Account infrastructure
Virtual IBAN Accounts
Named receiving accounts for cleaner collections, reconciliation, and treasury visibility across international operating flows.
Built for a
specific operator profile.
Finance and operations teams that need structured inbound settlement and clearer entity-level control.
Fragmented inbound payment routing makes collections slower, reconciliation harder, and treasury reporting less reliable.
- Named account structures
- Cleaner reconciliation
- Faster inbound settlement handling
What Virtual IBAN Accounts
improves for your operation.
Dedicated account references for counterparties and collections workflows
Improved visibility across entities, corridors, or customer groups
A stronger foundation for receivables, treasury reporting, and operating control
What the review team
looks at for this product.
Every Virtual IBAN Accounts activation is reviewed before onboarding moves forward. These are the primary assessment dimensions the review team considers.
Reviewed against operating jurisdictions and expected transaction profile
Assessed for settlement corridors and counterparties
Aligned to entity structure before account issuance
Virtual IBAN Accounts is most relevant for:
Start the onboarding
review process.
Include your interest in Virtual IBAN Accounts in your enquiry. The review team will assess corridor fit, compliance posture, and operating model before any next steps are communicated.