Files by categories
- Information on the total number of shares and voting shares as of the date of compiling the list of shareholders entitled to participate in the extraordinary general meeting of shareholders of JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK" convened on 27.11.2018
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the Annual General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 24.04.2019.
- State Register Extract as of 07.04.2021
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the extraordinary General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 12.09.2019.
- Information on the Bank’s ownership structure as of 01.01.2020 (ua)
- Report of the Risk Management Committee 2019
- Report on the work of the Remuneration Committee and appointments for 2019
- Regulations on remuneration of members of the Supervisory Board (from 28.04.2020)
- Announcement of the extraordinary General Meeting of Shareholders of the Bank on 29.01.2021 (placed 14.01.2021 р.)
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the extraordinary General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 29.01.2021.
- Minutes of the extraordinary GSM №84 dd 29.01.2021 (placed 02.02.2021)
- Internal Auditing Standards of JSC "FUIB"
- Report of the Risk Management Committee 2020
- Report on the work of the Remuneration Committee and appointments for 2020
- Положення про винагороду членів Правління АТ ПУМБ
- Звіт про винагороду членів Правління 2020 рік
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the extraordinary General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 22.03.2021
- Minutes of the GSM № 85 dd 22.03.2021 (placed 25.03.2021)
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the extraordinary General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 30.04.2021.
- Minutes of the extraordinary GSM №86 dd 30.04.2021 (placed 30.04.2021)
- State Register Extract as of 12.01.2022
- Announcement of the extraordinary General Meeting of Shareholders of the Bank on 25.11.2021 (placed 22.10.2021)
- Information on the total number of shares and voting shares as of the date of compiling the list of persons to whom a message is sent about the holding of an extraordinary General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 25.11.2021
- Report on the Committee's activity for the II half of 2021
- Report on the Committee's activity for the I half of 2022
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the Annual General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 14.10.2022.
- Report on the Committee's activity for the II half of 2022
- Information about structure of the Bank property from 01.01.2023 (ua)
- Звіт про винагороду членів Правління 2022 рік
- Report on Remuneration of Influential individuals for 2022
- Report on the work of the Remuneration Committee and appointments for 2022
- Report of the Risk Management Committee 2022
- Announcement of the Annual General Meeting of Shareholders of the Bank 28.04.2023
- Information on the total number of shares and voting shares as of the date of compiling the list of persons to whom a message is sent about the holding of an annual General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 28.04.2023
- Ballot for voting on AGSM 28.04.2023
- Ballot for voting on AGSM 28.04.2023 (election of governing bodies)
- Minutes of the GSM № 89 dd 28.04.2023
- Положення про Комітет
- Положення про Комітет з управління ризиками
- Regulations on the Audit Committee
- State Register Extract as of 24.10.2023
- Extract from USREOU dated 06.10.2023 (JSC "FUIB")
- State Register Extract as of 06.11.2023
- Minutes of the GSM № 92 dd 27.12.2023
- Regulations on the Risk Management Committee
- The Bank's Dividend Policy for 2024-2026
- State Register Extract as of 14.02.2024
- Information on the Bank’s ownership structure as of 01.01.2024 (ua)
- Report on the Risk Management Committee's activity for 2023
- Report on the the Remuneration and Appointments Committee's activities for 2023
- Information on the Bank’s ownership structure as of 23.02.2024 (ua)
- Звіт про винагороду членів Наглядової ради за 2023
- Звіт про винагороду впливових осіб за 2023 рік
- State Register Extract as of 12.03.2024
- Витяг із ЄДР від 12.03.2024
- Minutes of the GSM № 93 dd 26.04.2024
- Звіт про винагороду членів Наглядової ради за 2023 р.
- Положення про винагороду членів Наглядової ради АТ ПУМБ
- 232
- Corporate Code of Ethics
- Distribution of loans as of 01.12.2018
- The trial balance as of 01.12.2018
- Norms and constituents of the calculation of regulatory capital as of January 1, 2019
- Economic standards and limits of the open currency position as of January 1, 2019
- Economic standards and limits of the open currency position as of February 1, 2019
- Norms and constituents of the calculation of regulatory capital as of February 1, 2019
- The turnover balance as of 01.03.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.03.2019
- Distribution of loans for foreign trade activities on 01.03.2019
- Distribution of loans by class as of 01.03.2019
- IFRS Financial statements 1Q2019
- Economic standards and limits of the open currency position as of May 1, 2019
- Norms and constituents of the calculation of regulatory capital as of May 1, 2019
- Annual Report of the Banking Group FUIB JSC for 2018
- The turnover balance as of 01.05.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.05.2019
- Distribution of loans for foreign trade activities on 01.05.2019
- Distribution of loans by class as of 01.05.2019
- Economic standards and limits of the open currency position as of June 1, 2019
- Norms and constituents of the calculation of regulatory capital as of June 1, 2019
- The turnover balance as of 01.06.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2019
- Distribution of loans for foreign trade activities on 01.06.2019
- Distribution of loans by class as of 01.06.2019
- The turnover balance as of 01.07.2019
- Distribution of loans for foreign trade activities on 01.07.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.07.2019
- Distribution of loans by class as of 01.07.2019
- IFRS Financial statements 2Q2019
- Economic standards and limits of the open currency position as of August 1, 2019
- Norms and constituents of the calculation of regulatory capital as of August 1, 2019
- The turnover balance as of 01.08.2019
- Distribution of loans for foreign trade activities on 01.08.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.08.2019
- Distribution of loans by class as of 01.08.2019
- The turnover balance as of 01.09.2019
- Distribution of loans for foreign trade activities on 01.09.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.09.2019
- Distribution of loans by class as of 01.09.2019
- The turnover balance as of 01.10.2019
- Distribution of loans for foreign trade activities on 01.10.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.10.2019
- Distribution of loans by class as of 01.10.2019
- IFRS Financial statements 3Q 2019
- Economic standards and limits of the open currency position as of November 1, 2019
- Norms and constituents of the calculation of regulatory capital as of November 1, 2019
- The turnover balance as of 01.11.2019
- Distribution of loans for foreign trade activities on 01.11.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.11.2019
- Distribution of loans by class as of 01.11.2019
- Economic standards and limits of the open currency position as of December 1, 2019
- Norms and constituents of the calculation of regulatory capital as of December 1, 2019
- The turnover balance as of 01.12.2019
- Distribution of loans for foreign trade activities on 01.12.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.12.2019
- Distribution of loans by class as of 01.12.2019
- Economic standards and limits of the open currency position as of January 1, 2020
- Norms and constituents of the calculation of regulatory capital as of January 1, 2020
- FUIB calendar plan (31.01.2020)
- The turnover balance as of 01.01.2020
- Distribution of loans for foreign trade activities on 01.01.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.01.2020
- Distribution of loans by class as of 01.01.2020
- Economic standards and limits of the open currency position as of February 1, 2020
- Norms and constituents of the calculation of regulatory capital as of February 1, 2020
- The turnover balance as of 01.02.2020
- Distribution of loans for foreign trade activities on 01.02.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.02.2020
- Distribution of loans by class as of 01.02.2020
- Economic standards and limits of the open currency position as of March 1, 2020
- Norms and constituents of the calculation of regulatory capital as of March 1, 2020
- The turnover balance as of 01.03.2020
- Distribution of loans for foreign trade activities on 01.03.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.03.2020
- Distribution of loans by class as of 01.03.2020
- Annual Report 2019
- Economic standards and limits of the open currency position as of April 1, 2020
- Norms and constituents of the calculation of regulatory capital as of April 1, 2020
- The turnover balance as of 01.04.2020
- Distribution of loans for foreign trade activities on 01.04.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.04.2020
- Distribution of loans by class as of 01.04.2020
- The turnover balance as of 01.01.2020 (taking into account the annual adjustment)
- Norms and constituents of the calculation of regulatory capital as of May 1, 2020
- The turnover balance as of 01.05.2020
- Distribution of loans for foreign trade activities on 01.05.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.05.2020
- Distribution of loans by class as of 01.05.2020
- The turnover balance as of 01.06.2020
- Distribution of loans for foreign trade activities on 01.06.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2020
- Distribution of loans by class as of 01.06.2020
- IFRS Financial statements 1Q 2020
- Economic standards and limits of the open currency position as of July 1, 2020
- Norms and constituents of the calculation of regulatory capital as of July 1, 2020
- The turnover balance as of 01.07.2020
- Distribution of loans for foreign trade activities on 01.07.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.07.2020
- Distribution of loans by class as of 01.07.2020
- Economic standards and limits of the open currency position as of August 1, 2020
- Norms and constituents of the calculation of regulatory capital as of August 1, 2020
- The turnover balance as of 01.08.2020
- Distribution of loans for foreign trade activities on 01.08.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.08.2020
- Distribution of loans by class as of 01.08.2020
- Economic standards and limits of the open currency position as of September 1, 2020
- Norms and constituents of the calculation of regulatory capital as of September 1, 2020
- The turnover balance as of 01.09.2020
- Distribution of loans for foreign trade activities on 01.09.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.09.2020
- Distribution of loans by class as of 01.09.2020
- Economic standards and limits of the open currency position as of October 1, 2020
- Norms and constituents of the calculation of regulatory capital as of October 1, 2020
- The turnover balance as of 01.10.2020
- Distribution of loans for foreign trade activities on 01.10.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.10.2020
- Distribution of loans by class as of 01.10.2020
- IFRS Financial statements 3Q 2020
- Economic standards and limits of the open currency position as of November 1, 2020
- Norms and constituents of the calculation of regulatory capital as of November 1, 2020
- The turnover balance as of 01.11.2020
- Distribution of loans for foreign trade activities on 01.11.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.11.2020
- Distribution of loans by class as of 01.11.2020
- Economic standards and limits of the open currency position as of December 1, 2020
- Norms and constituents of the calculation of regulatory capital as of December 1, 2020
- The turnover balance as of 01.12.2020
- Distribution of loans for foreign trade activities on 01.12.2020
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.12.2020
- Distribution of loans by class as of 01.12.2020
- Economic standards and limits of the open currency position as of January 1, 2021
- Norms and constituents of the calculation of regulatory capital as of January 1, 2021
- FUIB calendar plan (31.01.2021)
- The turnover balance as of 01.01.2021
- Distribution of loans for foreign trade activities on 01.01.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.01.2021
- Distribution of loans by class as of 01.01.2021
- Economic standards and limits of the open currency position as of February 1, 2021
- Norms and constituents of the calculation of regulatory capital as of February 1, 2021
- The turnover balance as of 01.02.2021
- Distribution of loans for foreign trade activities on 01.02.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.02.2021
- Distribution of loans by class as of 01.02.2021
- Economic standards and limits of the open currency position as of March 1, 2021
- Norms and constituents of the calculation of regulatory capital as of March 1, 2021
- The turnover balance as of 01.03.2021
- Distribution of loans for foreign trade activities on 01.03.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.03.2021
- Distribution of loans by class as of 01.03.2021
- Annual Report 2020
- Economic standards and limits of the open currency position as of April 1, 2021
- Norms and constituents of the calculation of regulatory capital as of April 1, 2021
- The turnover balance as of 01.01.2021 (taking into account the annual adjustment)
- The turnover balance as of 01.04.2021
- Distribution of loans for foreign trade activities on 01.04.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.04.2021
- Distribution of loans by class as of 01.04.2021
- IFRS Financial statements 1Q 2021
- The turnover balance as of 01.05.2021
- Distribution of loans for foreign trade activities on 01.05.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.05.2021
- Distribution of loans by class as of 01.05.2021
- Economic standards and limits of the open currency position as of June 1, 2021
- Norms and constituents of the calculation of regulatory capital as of June 1, 2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2021
- Distribution of loans for foreign trade activities on 01.06.2021
- The turnover balance as of 01.06.2021
- Distribution of loans by class as of 01.06.2021
- Distribution of loans for foreign trade activities on 01.06.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2021
- Distribution of loans by class as of 01.06.2021
- Norms and constituents of the calculation of regulatory capital as of July 1, 2021
- Economic standards and limits of the open currency position as of July 1, 2021
- The turnover balance as of 01.07.2021
- Distribution of loans for foreign trade activities on 01.07.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.07.2021
- Distribution of loans by class as of 01.07.2021
- IFRS Financial statements 2Q 2021
- Economic standards and limits of the open currency position as of Agust 01, 2021
- Capital ratios and their components as of August 1, 2021
- The turnover balance as of 01.08.2021
- Distribution of loans for foreign trade activities on 01.08.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.08.2021
- Distribution of loans by class as of 01.08.2021
- Economic standards and limits of the open currency position as of September 01, 2021
- Capital ratios and their components as of September 1, 2021
- The turnover balance as of 01.09.2021
- Distribution of loans for foreign trade activities on 01.09.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.09.2021
- Distribution of loans by class as 01.09.2021
- Economic standards and limits of the open currency position as of October 01, 2021
- Capital ratios and their components as of October 1, 2021
- The turnover balance as of 01.10.2021
- Distribution of loans for foreign trade activities on 01.10.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.10.2021
- Distribution of loans by class as 01.10.2021
- Economic standards and limits of the open currency position as of November 01, 2021
- Capital ratios and their components as of November 1, 2021
- The turnover balance as of 01.11.2021
- Distribution of loans for foreign trade activities on 01.11.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.11.2021
- Distribution of loans by class as 01.11.2021
- Economic standards and limits of the open currency position as of December 01, 2021
- Capital ratios and their components as of December 1, 2021
- The turnover balance as of 01.12.2021
- Distribution of loans for foreign trade activities on 01.12.2021
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.12.2021
- Distribution of loans by class as 01.12.2021
- Economic standards and limits of the open currency position as of January 01, 2022
- Capital ratios and their components as of January 01, 2022
- The turnover balance as of 01.01.2022
- Distribution of loans for foreign trade activities on 01.01.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.01.2022
- Distribution of loans by class as 01.01.2022
- Economic standards and limits of the open currency position as of February 01, 2022
- Capital ratios and their components as of February 1, 2022
- The turnover balance as of 01.02.2022
- Distribution of loans for foreign trade activities on 01.02.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.02.2022
- Distribution of loans by class as 01.02.2022
- Economic standards and limits of the open currency position as of March 01, 2022
- Capital ratios and their components as of March 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of March 1, 2022
- The turnover balance as of 01.03.2022
- Distribution of loans for foreign trade activities on 01.03.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.03.2022
- Distribution of loans by class as of 01.03.2022
- Distribution of loans by impairment stages as of 01.03.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.03.2022
- Capital ratios and their components as of April 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of April 1, 2022
- Economic standards and limits of the open currency position as of April 01, 2022
- The turnover balance as of 01.01.2022 (taking into account the annual adjustment)
- The turnover balance as of 01.04.2022
- Distribution of loans for foreign trade activities on 01.04.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.04.2022
- Distribution of loans by class as of 01.04.202
- Distribution of loans by impairment stages as of 01.04.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.04.2022
- The turnover balance (quarter) as of 01.04.2022
- Capital ratios and their components as of May 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of May 1, 2022
- Economic standards and limits of the open currency position as of May 01, 2022
- The turnover balance as of 01.05.2022
- Distribution of loans for foreign trade activities on 01.05.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.05.2022
- Distribution of loans by class as of 01.05.202
- Distribution of loans by impairment stages as of 01.05.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.05.2022
- IFRS Financial statements 1Q 2022
- Capital ratios and their components as of June 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of June 1, 2022
- Economic standards and limits of the open currency position as of June 01, 2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.06.2022
- Distribution of loans by impairment stages as of 01.06.2022
- Distribution of loans by class as of 01.06.202
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2022
- Distribution of loans for foreign trade activities on 01.06.2022
- The turnover balance as of 01.06.2022
- Capital ratios and their components as of July 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of July 1, 2022
- Economic standards and limits of the open currency position as of July 01, 2022
- The turnover balance as of 01.07.2022
- The turnover balance (quarter) as of 01.07.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.07.2022
- Distribution of loans by impairment stages as of 01.07.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.07.2022
- Distribution of loans by class as of 01.07.202
- Distribution of loans for foreign trade activities on 01.07.2022
- Economic standards and limits of the open currency position as of August 01, 2022
- Capital ratios and their components as of August 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of August 1, 2022
- IFRS Financial statements 2Q 2022
- The turnover balance as of 01.08.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.08.2022
- Distribution of loans by impairment stages as of 01.08.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.08.2022
- Distribution of loans by class as of 01.08.202
- Distribution of loans for foreign trade activities on 01.08.2022
- Economic standards and limits of the open currency position as of September 01, 2022
- Capital ratios and their components as of September 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of September 1, 2022
- The turnover balance as of 01.09.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.09.2022
- Distribution of loans by impairment stages as of 01.09.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.09.2022
- Distribution of loans by class as of 01.09.2022
- Distribution of loans for foreign trade activities on 01.09.2022
- Economic standards and limits of the open currency position as of October 01, 2022
- Capital ratios and their components as of October 1, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of October 1, 2022
- Annual Report 2021
- The turnover balance as of 01.10.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.10.2022
- Distribution of loans by impairment stages as of 01.10.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.10.2022
- Distribution of loans by class as of 01.10.2022
- Distribution of loans for foreign trade activities on 01.10.2022
- The turnover balance (quarter) as of 01.10.2022
- IFRS Financial statements 3Q 2022
- Capital ratios and their components as of November 1, 2022
- Economic standards and limits of the open currency position as of November 01, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of November 1, 2022
- The turnover balance as of 01.11.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.11.2022
- Distribution of loans by impairment stages as of 01.11.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.11.2022
- Distribution of loans by class as of 01.11.2022
- Distribution of loans for foreign trade activities on 01.11.2022
- Capital ratios and their components as of December 1, 2022
- Economic standards and limits of the open currency position as of December 01, 2022
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of December 1, 2022
- The turnover balance as of 01.12.2022
- Distribution of loans by impairment stages by foreign trade activity as of 01.12.2022
- Distribution of loans by impairment stages as of 01.12.2022
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.12.2022
- Distribution of loans by class as of 01.12.2022
- Distribution of loans for foreign trade activities on 01.12.2022
- FUIB calendar plan of 2023
- Capital ratios and their components as of January, 2023
- Economic standards and limits of the open currency position as of January 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of January 1, 2023
- Annual Report of the Banking Group FUIB JSC for 2021
- The turnover balance as of 01.01.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.01.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.01.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.01.2023
- Distribution of loans by class as of 01.01.2023
- Distribution of loans for foreign trade activities on 01.01.2023
- Capital ratios and their components as of February 01, 2023
- Economic standards and limits of the open currency position as of February 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of February 01, 2023
- The turnover balance as of 01.02.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.02.2023
- Distribution of loans by impairment stages as of 01.02.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.02.2023
- Distribution of loans by class as of 01.02.2023
- Distribution of loans for foreign trade activities on 01.02.2023
- Capital ratios and their components as of March 01, 2023
- Economic standards and limits of the open currency position as of March 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of March 01, 2023
- The turnover balance as of 01.03.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.03.2023
- Distribution of loans by impairment stages as of 01.03.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.03.2023
- Distribution of loans by class as of 01.03.2023
- Distribution of loans for foreign trade activities on 01.03.2023
- Capital ratios and their components as of April 01, 2023
- Economic standards and limits of the open currency position as of April 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of April 01, 2023
- The turnover balance as of 01.01.2023 (taking into account the annual adjustment)
- The turnover balance as of 01.04.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.04.2023
- Distribution of loans by impairment stages as of 01.04.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.04.2023
- Distribution of loans by class as of 01.04.2023
- Distribution of loans for foreign trade activities on 01.04.2023
- The turnover balance (quarter) as of 01.04.2023
- Річний звіт за 2022 рік
- Annual Report 2022
- Фінансова звітність за 1 кв. 2023 року
- IFRS Financial statements 1Q 2023
- Capital ratios and their components as of May 01, 2023
- Economic standards and limits of the open currency position as of May 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of May 01, 2023
- The turnover balance as of 01.05.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.05.2023
- Distribution of loans by impairment stages as of 01.05.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.05.2023
- Distribution of loans by class as of 01.05.2023
- Distribution of loans for foreign trade activities on 01.05.2023
- Economic standards and limits of the open currency position as of June 01, 2023
- Capital ratios and their components as of June 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of June 01, 2023
- The turnover balance as of 01.06.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.06.2023
- Distribution of loans by impairment stages as of 01.06.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2023
- Distribution of loans by class as of 01.06.2023
- Distribution of loans for foreign trade activities on 01.06.2023
- Economic standards and limits of the open currency position as of July 01, 2023
- Capital ratios and their components as of July 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of July 01, 2023
- The turnover balance as of 01.07.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.07.2023
- Distribution of loans by impairment stages as of 01.07.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.07.2023
- Distribution of loans by class as of 01.07.2023
- Distribution of loans for foreign trade activities on 01.07.2023
- The turnover balance (quarter) as of 01.07.2023
- Report on the Committee's activity for the I half of 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of August 01, 2023
- Capital ratios and their components as of August 01, 2023
- Economic standards and limits of the open currency position as of August 01, 2023
- The turnover balance as of 01.08.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.08.2023
- Distribution of loans by impairment stages as of 01.08.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.08.2023
- Distribution of loans by class as of 01.08.2023
- Distribution of loans for foreign trade activities on 01.08.2023
- Capital ratios and their components as of September 01, 2023
- Economic standards and limits of the open currency position as of September 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of September 01, 2023
- The turnover balance as of 01.09.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.09.2023
- Distribution of loans by impairment stages as of 01.09.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.09.2023
- Distribution of loans by class as of 01.09.2023
- Distribution of loans for foreign trade activities on 01.09.2023
- Capital ratios and their components as of October 01, 2023
- Economic standards and limits of the open currency position as of October 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of October 01, 2023
- The turnover balance (quarter) as of 01.10.2023
- Distribution of loans by impairment stages as of 01.10.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.10.2023
- Distribution of loans by class as of 01.10.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.10.2023
- The turnover balance as of 01.10.2023
- Distribution of loans for foreign trade activities on 01.10.2023
- Capital ratios and their components as of November 01, 2023
- Economic standards and limits of the open currency position as of November 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of November 01, 2023
- The turnover balance as of 01.11.2023
- Distribution of loans by impairment stages as of 01.11.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.11.2023
- Distribution of loans by class as of 01.11.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.11.2023
- Distribution of loans for foreign trade activities on 01.11.2023
- Capital ratios and their components as of December 01, 2023
- Economic standards and limits of the open currency position as of December 01, 2023
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of December 01, 2023
- Results of assessment of stability of JSC "PUMB"
- The turnover balance as of 01.12.2023
- Distribution of loans by impairment stages as of 01.12.2023
- Distribution of loans by impairment stages by foreign trade activity as of 01.12.2023
- Distribution of loans by class as of 01.12.2023
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.12.2023
- Distribution of loans for foreign trade activities on 01.12.2023
- Capital ratios and their components as of January 01, 2024
- Economic standards and limits of the open currency position as of January 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of January 01, 2024
- FUIB calendar plan of 2024
- The turnover balance as of 01.01.2024
- Distribution of loans by impairment stages as of 01.01.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.01.2024
- Distribution of loans by class as of 01.01.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.01.2024
- Distribution of loans for foreign trade activities on 01.01.2024
- Capital ratios and their components as of February 01, 2024
- Prudential standards and limits of the open currency position as of February 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of February 01, 2024
- Distribution of loans by impairment stages as of 01.02.2024
- Distribution of loans by class as of 01.02.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.02.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.02.2024
- The turnover balance as of 01.02.2024
- Distribution of loans for foreign trade activities on 01.02.2024
- Report on the Committee's activity for the ІI half of 2023
- Capital ratios and their components as of March 01, 2024
- Prudential standards and limits of the open currency position as of March 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of March 01, 2024
- Distribution of loans by impairment stages as of 01.03.2024
- Distribution of loans by class as of 01.03.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.03.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.03.2024
- The turnover balance as of 01.03.2024
- Distribution of loans for foreign trade activities on 01.03.2024
- Capital ratios and their components as of April 01, 2024
- Prudential standards and limits of the open currency position as of April 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of April 01, 2024
- The turnover balance of JSC FUIB (annual) as of 01.01.2024
- Distribution of loans by impairment stages as of 01.04.2024
- Distribution of loans by class as of 01.04.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.04.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.04.2024
- The turnover balance as of 01.04.2024
- Distribution of loans for foreign trade activities on 01.04.2024
- The turnover balance (quarter) as of 01.04.2024
- Річний звіт за 2023 рік
- Annual Report 2023
- IFRS Financial statements 1Q 2024
- Capital ratios and their components as of May 01, 2024
- Prudential standards and limits of the open currency position as of May 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of May 01, 2024
- The turnover balance as of 01.05.2024
- Distribution of loans by impairment stages as of 01.05.2024
- Distribution of loans by class as of 01.05.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.05.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.05.2024
- Distribution of loans for foreign trade activities on 01.05.2024
- Capital ratios and their components as of June 01, 2024
- Prudential standards and limits of the open currency position as of June 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of June 01, 2024
- The turnover balance as of 01.06.2024
- Distribution of loans by impairment stages as of 01.06.2024
- Distribution of loans by class as of 01.06.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.06.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.06.2024
- Distribution of loans for foreign trade activities on 01.06.2024
- Capital ratios and their components as of July 01, 2024
- Prudential standards and limits of the open currency position as of July 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of July 01, 2024
- The turnover balance as of 01.07.2024
- Distribution of loans by impairment stages as of 01.07.2024
- Distribution of loans by class as of 01.07.2024
- Distribution of loans by impairment stages by foreign trade activity as of 01.07.2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.07.2024
- Distribution of loans for foreign trade activities on 01.07.2024
- The turnover balance (quarter) as of 01.07.2024
- Report on the Committee's activity for the I half of 2024
- IFRS Financial statements 2Q 2024
- Capital ratios and their components as of August 01, 2024
- Prudential standards and limits of the open currency position as of August 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of August 01, 2024
- The turnover balance as of August 01, 2024
- Distribution of loans by impairment stages as of August 01, 2024
- Distribution of loans by class as of August 01, 2024
- Distribution of loans by impairment stages by foreign trade activity as of August 01, 2024
- Distribution of individual deposits and the amount of compensation of the IDGF as of August 01, 2024
- Distribution of loans for foreign trade activities on August 01, 2024
- Capital ratios and their components as of September 01, 2024
- Prudential standards and limits of the open currency position as of September 01, 2024
- Components of calculating liquidity coverage ratios (LCR) for all currencies and in foreign currency as of September 01, 2024
- Information on the number of voting shares and the size of the IC after the increase
- The Information about the report approval on the remuneration of Supervisory Board members 22.03.2021
- The Information about the decision on dividend payment 22.03.2021
- Annual information of securities issuer 2020
- Interim information of the issuer of securities for the I quarter of 2021
- Statement of changes in the composition of the issuer's officials 29.04.2021
- Interim information of the issuer of securities for the II quarter of 2021
- Statement of changes in the composition of the issuer's officials 21.10.2021
- Interim information of the issuer of securities for the III quarter of 2021
- Interim information of the issuer of securities for the IV quarter of 2021
- Information on changes in the composition of the issuer's officials on April 19, 2022
- Information on changes in the composition of the issuer's officials on July 21, 2022
- Interim information of the issuer of securities for the I quarter of 2022
- Interim information of the issuer of securities for the II quarter of 2022
- Interim information of the issuer of securities for the III quarter of 2022
- Annual information of securities issuer 2021
- Interim information of the issuer of securities for the IV quarter of 2022
- The Information about the report approval on the remuneration of Supervisory Board members
- The Information about the report approval on the remuneration of Supervisory Board members
- Information on changes in the composition of the issuer's officials on May 02, 2023
- The Policy of Information Disclosure of JSC "FUIB" as an Issuer of Securities
- Information on the issuer's decision to establish, terminate its branches and representative offices
- Interim information of the issuer of securities for the IV quarter of 2023
- Information on the approval of the report on remuneration of the members of the Management Board
- Information on the issuer's decision to establish, terminate its branches and representative offices
- Information on the issuer's decision to establish, terminate its branches and representative offices
- The Information about the report approval on the remuneration of Supervisory Board members
- Information on changes in the composition of the issuer's officials
- Information on the issuer's decision to establish, terminate its branches and representative offices
- Information on the issuer's decision to establish, terminate its branches and representative offices
- Information on changes in the composition of the issuer's officials
- FUIB's policy of interaction with shareholders and other stakeholders
- Information on the issuer's decision to establish, terminate its branches and representative offices
- Extract from the State Register of Banks
- Tariffs for FUIB services provided to banks ( valid from 01.06.2024)
- The agreement “PUMB Online”
- Rules for remote servicing of individual clients in the Internet-banking system "PUMB Online"
- The limits for making payments in PUMB Online
- Significant characteristics of the service (according to 141 resolutions of the NBU)
- Публічна пропозиція АТ «ПУМБ» на укладання договору комплексного банківського обслуговування фізичних осіб Попередні редакції можна знайти за посиланням.
- Інформація для позичальників-військовослужбовців
- Тарифи на обслуговування фізичних осіб (чинна редакція)Попередні редакції можна знайти за посиланням.
- Інформація про істотні характеристики послуги з надання кредиту готівкою «ВСЕЯСНО»
- Інформація для ознайомлення споживачів фінансових послуг
- Взаємодія при врегулюванні проблемної заборгованості
- Співпраця з колекторськими компаніями
- Progress Report for 2021-2022
- Політика управління ризиками
- Декларація ESG
- Політика ЕС ризиків
- Information on the essential characteristics of the Credit card «VSEMOZHU» and «soloMANDRY»
- Інформація про істотні характеристики послуги з надання кредиту готівкою «ВСЕЯСНО»
- Офіційні правила Акції «GP Loyalty»
- Public offer of JSC “FUIB” for contract conclusion of complex bank services for individuals Previous editions can be found at the link.
- Guidance for the cardholders
- Recommendations for the cardholders
-
General terms of credit contracts, opening and maintaining accounts
For customers who drew up an agreement before 01.01.2016. Drawing up new agreements on the General Terms and Conditions will not be carried out from 01.01.2016
- Exchange rate formation on cards
- To owners of Ratio\Emozio card products
- Information for military borrowers
- Information on the essential characteristics of the Credit card VSEMOZHU with a grace period and a checkout service "Splachuyte chastynamy"
- Recommendations for payment card holders on their use
- The report for clients of JSC "Bank Renaissance Capital" about the closure of accounts which are not used for transactions more than 6 months
- Limits on operations with cards
- Tariffs for service of individuals (current version)Previous editions can be found at the link.
- Information to inform consumers of financial services
- Interaction in settlement of problem debts
- Cooperation with collection companies (ua)
- Official Rules of the action
- Загальні умови договорів кредитування, відкриття та ведення рахунків
- Інформація для позичальників-військовослужбовців
- Інформація про істотні характеристики послуги з надання кредиту «Цільовий споживчий кредит»
- Інформація для ознайомлення споживачів фінансових послуг
- Публічна пропозиція АТ «ПУМБ» на укладання договору комплексного банківського обслуговування фізичних осібПопередні редакції можна знайти за посиланням.
- Пам'ятка для власників карток
- Загальні умови договорів кредитування, відкриття та ведення рахунків
- Курсоутворення за картками
- Ліміти на операції з картками
- Minutes of the GSM №80 dd 27.11.2018 (published 04.12.2018, enters into force from the date of state registration of a new edition of the Bank's Charter)
- The new edition of the Regulation on the Management Board (published 04.12.2018, enters into force from the date of state registration of a new edition of the Bank's Charter)
- Information on the Bank’s ownership structure as of 01.01.2019
- State Register Extract as of 01.10.2019
- Положення про Правління
- The trial balance as of 01.11.2018
- Results of assessment of stability of JSC "PUMB"
- FUIB calendar plan (31.01.2019)
- The turnover balance as of 01.01.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.01.2019
- Distribution of loans for foreign trade activities on 01.01.2019
- Distribution of loans and the amount of credit risk by class as of 01.01.2019
- Economic standards and limits of the open currency position as of April 1, 2019
- Norms and constituents of the calculation of regulatory capital as of April 1, 2019
- The turnover balance as of 01.04.2019
- Economic standards and limits of the open currency position as of July 1, 2019
- Norms and constituents of the calculation of regulatory capital as of July 1, 2019
- Economic standards and limits of the open currency position as of September 1, 2019
- Norms and constituents of the calculation of regulatory capital as of September 1, 2019
- Economic standards and limits of the open currency position as of October 1, 2019
- Norms and constituents of the calculation of regulatory capital as of October 1, 2019
- Results of assessment of stability of JSC "PUMB"
- Results of assessment of stability of JSC "PUMB"
- Публічна пропозиція АТ «ПУМБ» на укладення договору комплексного банківського обслуговування фізичних осіб
- ПРАВИЛА
- Distribution of loans as of 01.11.2018
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.04.2019
- Distribution of loans for foreign trade activities on 01.04.2019
- Distribution of loans by class as of 01.04.2019
- Economic standards and limits of the open currency position as of December 1, 2018
- Norms and constituents of the calculation of regulatory capital as of December 1, 2018
- Regulations about the Board of JSC "FUIB"
- Management policy and bank risk controls of JSC "FUIB"
- Minutes of the GSM №68 dd 14.03.2015 (ua)
- Minutes of the GSM №69 dd 20.04.2015 (ua)
- Regulations about Supervisory Board of JSC "FUIB"
- Information about structure of the Bank property from 01.01.2016 (ua)
- Minutes of the GSM №76 dd 17.11.2016 (placed 23.11.2016) (ua)
- Regulation on Management Board (placed 23.11.2016) (ua)
- Regulation on Supervisory Board (published 23.11.2016) (ua)
- Minutes of the GSM №70 dd 09.07.2015 (ua)
- Minutes of the GSM №71 dd 05.10.2015 (ua)
- Minutes of the GSM №72 dd 24.12.2015 (ua)
- Minutes of the GSM №73 dd 26.02.2016 (ua)
- Minutes of the GSM №74 dd 19.04.2016 (ua)
- Minutes of the GSM №75 dd 30.08.16 (ua)
- Information about structure of the Bank property from 01.01.2017 (ua)
- Minutes of the GSM №77 dd 16.03.2017 (placed 22.03.2017)(ua)
- ДКБО 10.06.2017
- FUIB 11% due 2018 Tender Offer (June 2017)
- Cтруктура власності
- Announcement of the Annual General Meeting of Shareholders of the Bank on 26.04.2018 (placed: 23.03.2018)
- Placement of draft decisions proposed by the Bank's shareholders who own more than 5% of the Bank's shares on issues included in the draft agenda of the Annual General Meeting of Shareholders of the Bank, convened on April 26, 2018 (Posted on April 6, 2018)
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the Annual General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 26.04.2018.
- Minutes of the GSM №79 dd 26.04.2018 (placed 04.05.2018)
- Regulation on Management Board (placed 04.05.2018) (ua)
- Announcement on holding of the Extraordinary General shareholders meeting of the Bank on 27.11.2018 (published 26.10.2018)
- Placement of the shareholder’s suggestions, who holds more than 5% of the shares, concerning the candidates for the Supervisory Board of the Bank on the issue No. 9 on the agenda of the Extraordinary General Meeting of Shareholders of the Bank, convened on 27.11.2018
- Public irrevocable request on the acquisition of shares from all shareholders of JSC "PUMB" (placed on January 17, 2019)
- Announcement of the Annual General Meeting of Shareholders of the Bank on 24.04.2019 (placed: 22.03.2019)
- Minutes of the GSM №81 dd 24.04.2019 (placed 03.05.2019)
- Положення про Комітет
- Положення про Комітет
- Announcement of the Extraordinary General Meeting of Shareholders of the Bank on 12.09.2019 (placed 07.08.2019)
- Minutes of the GSM №82 dd 12.09.2019 (placed 13.09.2019)
- Announcement of the Annual General Meeting of Shareholders of the Bank on 28.04.2020 (placed: 27.03.2020)
- Minutes of the GSM №83 dd 28.04.2020 (placed 06.05.2020)
- Положення про Правління
- Information about structure of the Bank property from 01.01.2021 (ua)
- Положення про Комітет
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the extraordinary General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 25.11.2021
- Minutes of the extraordinary GSM №87 dd 25.11.2021 (placed 26.11.2021)
- Announcement of the Annual General Meeting of Shareholders of the Bank on 14.10.2022 (placed: 09.09.2022)
- Information on the total number of shares and voting shares as of the date of compiling the list of persons to whom a message is sent about the holding of an annual General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 14.10.2022
- Ballot for voting on GSM 14.10.2022
- Звіт про винагороду членів Наглядової ради за 2021
- Minutes of the GSM № 88 dd 14.10.2022 (placed 21.10.2022)
- Звіт про винагороду членів Наглядової ради за 2022
- Corporate Code of Ethics
- State Register Extract as of 05.09.2023
- Minutes of the GSM № 90 dd 20.09.2023
- The Corporate Governance Code
- Extract from USREOU dated 06.10.2023 (JSC "FUIB")
- State Register Extract as of 09.10.2023
- Minutes of the GSM № 91 dd 06.11.2023
- State Register Extract as of 11.12.2023
- Audited Financial Statements YE2007
- NAS Financial statements 1Q2007 (ua)
- NAS Financial statements 2Q2007 (ua)
- NAS Financial statements 3Q2007 (ua)
- NAS Financial statements 4Q2007 (ua)
- Audited Financial Statements YE2008
- NAS Financial statements 1Q2008 (ua)
- NAS Financial statements 2Q2008 (ua)
- NAS Financial statements 3Q2008 (ua)
- NAS Financial statements 4Q2008 (ua)
- Audited Financial Statements YE2009
- NAS Financial statements 1Q2009 (ua)
- NAS Financial statements 2Q2009 (ua)
- NAS Financial statements 3Q2009 (ua)
- NAS Financial statements 4Q2009 (ua)
- Annual information of securities issuer 2010 (ua)
- Financial statements according to the Independent Auditor's Report (ua)
- The financial report of the Bank for 2009 with the report of independent auditors (according to the national standards) (ua)
- Проміжна скорочена фінансова звітність (ua)
- NAS Financial statements 1Q2010 (ua)
- NAS Financial statements 2Q2010 (ua)
- NAS Financial statements 3Q2010 (ua)
- NAS Financial statements 4Q2010 (ua)
- IFRS Financial Statements 1Q2010
- IFRS Financial Statements 2Q2010
- IFRS Financial Statements 3Q2010
- IFRS Financial Statements 4Q2010
- Audited Financial Statements YE2010
- IFRS Financial Statements 1Q2011
- IFRS Financial Statements 2Q2011
- IFRS Financial Statements 3Q2011
- IFRS Financial Statements YE2011
- NAS Financial statements 1Q2011 (ua)
- NAS Financial statements 2Q2011 (ua)
- NAS Financial statements 3Q2011 (ua)
- NAS Financial statements 4Q2011 (ua)
- NAS Financial statements 1Q2012 (ua)
- NAS Financial statements 2Q2012 (ua)
- NAS Financial statements 3Q2012 (ua)
- NAS Financial statements 4Q2012 (ua)
- IFRS Financial Statements 1Q2012
- IFRS Financial Statements 2Q2012
- IFRS Financial Statements 3Q2012
- IFRS Finacial statements 2012
- IFRS Finacial statements 2012 (ua)
- NAS Financial analysis 2Q2012
- NAS Financial analysis 3Q2012
- IFRS Financial statements 1Q2016
- Annual Report 2005 (ua)
- Annual Report 2006 (ua)
- Annual Report 2007
- Annual Report 2008
- Annual Report 2009
- Annual Report 2009 (informational part) (ua)
- Annual Report 2009 (financial part) (ua)
- Annual Report 2010
- Annual Report 2011
- Annual Report 2012 (ru)
- Annual Report 2013 (ru)
- Annual Report 2014 (ru)
- Annual Report 2015 (ua)
- Financial statements 2015 (ua)
- NAS Financial statements 1Q2015 (ua)
- NAS Financial statements 2Q2015 (ua)
- NAS Financial statements 3Q2015 (ua)
- IFRS Financial analysis 1Q 2015
- IFRS Financial statements 1Q2015
- NAS Financial analysis 1H 2015
- IFRS Financial statements 1H 2015
- IFRS Financial analysis 1Q 2015
- NAS Financial analysis 3Q 2015
- IFRS Financial statements 3Q 2015
- IFRS Financial analysis 3Q 2015
- IFRS Financial statements 1Q2014 (standalone)
- NAS Financial statements 1Q2014 (ua)
- IFRS Financial analysis 1Q 2014
- IFRS Financial statements 1H2014 (consolidated)
- IFRS Financial statements 1H2014 (standalone)
- IFRS Financial analysis 2Q2014
- NAS Financial statements 2Q2014 (ua)
- NAS Financial analysis 2Q2014
- IFRS Financial statements 3Q2014 (consolidated)
- IFRS Financial statements 3Q2014 (standalone)
- IFRS Financial analysis 3Q2014
- NAS financial statements 3Q2014 (ua)
- NAS Financial analysis 3Q2014
- NAS financial statements 4Q2014
- NAS analysis of financials 4Q2014 (ru)
- Consolidated Audited Financial Statements Annual
- Standalone Audited Financial Statements Annual (ua)
- Consolidated Audited Financial Statements YE2013
- Standalone Audited Financial Statements YE2013
- NAS financial statements 4Q2013
- IFRS Financial statements 3Q 2013
- IFRS analysis of financials 9M2013 (ru)
- NAS financial statements 3Q2013
- NAS analysis of financials 3Q2013 (ru)
- IFRS analysis of financials 1H2013 (ru)
- IFRS Finacial statements 1H2013
- NAS financial statements 2Q2013 (ua)
- NAS analysis of financials 2Q2013 (ru)
- IFRS Financial statements 1Q2013
- IFRS analysis of financials 1Q2013 (ru)
- NAS financial statements 1Q2013 (ua)
- NAS analysis of financials 1Q2013 (ru)
- FUIB Series B due 2010 Prospectus (ua)
- FUIB Series B due 2014 Prospectus Amendment (ua)
- Statement of financial position for 3q. 2016 (ua)
- IFRS Financial statements 2Q2016
- IFRS Financial statements 3Q2016 (ua)
- IFRS Financial analysis 1Q2016 (ua)
- Annual Report 2015
- Annual Report 2014
- Annual Report 2013
- Annual Report 2012
- Annual Report 2011
- Annual Report of the Banking Group FUIB JSC for 2015 (ua)
- Financial statements 4Q 2016 (ua)
- IFRS Financial statements 1Q2017
- Annual Report 2016
- Annual Report of the Banking Group FUIB JSC for 2016 (ua)
- Annual information of securities issuer 2016 (ua)
- ПУМБ_Річний звіт 2016
- IFRS Financial statements 2Q2017
- FUIB 11% due 2018 Tender Offer (June 2017)
- FUIB 11% due 2018 Consent Solicitation Memorandum (December 2014)
- FUIB 11% due 2014 Consent Solicitation Memorandum (October 2010)
- FUIB 11% due 2014 Consent Solicitation Memorandum (November 2009)
- FUIB 11% due 2014 (former FUIB 9.75% due 2010) Prospectus
- IFRS Financial analysis 2Q2017
- IFRS Financial statements 3Q2017
- FUIB calendar plan (31.01.2019)
- Economic standards and limits of the open currency position as of March 1, 2018
- Norms and constituents of the calculation of regulatory capital as of March 1, 2018
- The trial balance as of 01.03.2018
- Distribution of loans as of 01.03.2018
- Economic standards and limits of the open currency position as of April 1, 2018
- Norms and constituents of the calculation of regulatory capital as of April 1, 2018
- IFRS Financial statements 4Q2017
- Annual Report 2017
- Оборотно-сальдовый баланс на 01.01.2018
- Оборотно-сальдовый баланс на 01.04.2018
- Оборотно-сальдовий баланс на 01.01.2018
- Оборотно-сальдовий баланс на 01.04.2018
- Розподіл кредитів на 01.04.2018
- IFRS Financial statements 1Q.2018
- Economic standards and limits of the open currency position as of May 1, 2018
- Norms and constituents of the calculation of regulatory capital as of May 1, 2018
- The trial balance as of 01.05.2018
- Distribution of loans as of 01.05.2018
- Annual Report of the Banking Group FUIB JSC for 2017 (ua)
- Economic standards and limits of the open currency position as of June 1, 2018
- Norms and constituents of the calculation of regulatory capital as of June 1, 2018
- FUIB_Annual report 2017
- The trial balance as of 01.06.2018
- Distribution of loans as of 01.06.2018
- Economic standards and limits of the open currency position as of July 1, 2018
- Norms and constituents of the calculation of regulatory capital as of July 1, 2018
- The trial balance as of 01.07.2018
- Distribution of loans as of 01.07.2018
- IFRS Financial statements 2Q.2018
- Norms and constituents of the calculation of regulatory capital as of August 1, 2018
- Economic standards and limits of the open currency position as of August 1, 2018
- The trial balance as of 01.08.2018
- Distribution of loans as of 01.08.2018
- Economic standards and limits of the open currency position as of September 1, 2018
- Norms and constituents of the calculation of regulatory capital as of September 1, 2018
- The trial balance as of 01.09.2018
- Distribution of loans as of 01.09.2018
- Economic standards and limits of the open currency position as of October 1, 2018
- Norms and constituents of the calculation of regulatory capital as of October 1, 2018
- The trial balance as of 01.10.2018
- Distribution of loans as of 01.10.2018
- IFRS Financial statements 3Q2018
- Economic standards and limits of the open currency position as of November 1, 2018
- Norms and constituents of the calculation of regulatory capital as of November 1, 2018
- The turnover balance as of 01.02.2019
- Distribution of individual deposits and the amount of compensation of the IDGF as of 01.02.2019
- Distribution of loans for foreign trade activities on 01.02.2019
- Distribution of loans by class as of 01.02.2019
- Economic standards and limits of the open currency position as of March 1, 2019
- Norms and constituents of the calculation of regulatory capital as of March 1, 2019
- FUIB_Annual report 2018
- Economic standards and limits of the open currency position as of May 1, 2020
- Economic standards and limits of the open currency position as of June 1, 2020
- Norms and constituents of the calculation of regulatory capital as of June 1, 2020
- IFRS Financial statements 3Q 2021
- Main forms according to IFRS for the 2021 year
- Фінансова звітність за 2 кв. 2023 року
- IFRS Financial statements 2Q 2023
- IFRS Financial statements 3Q 2023
- Statement of changes in the composition of the issuer's officials 25.11.2021
- Statement of changes in the composition of the issuer's officials 24.02.2022
- Information on approval of the report on the remuneration of the executive body members
- The Information about the report approval on the remuneration of Supervisory Board members
- Information on changes in the composition of the issuer's officials on October 20, 2022
- Information on changes in the composition of the issuer's officials on April 20, 2023
- Information on changes in the composition of the issuer's officials on April 27, 2023
- Annual information of securities issuer 2022
- Interim information of the issuer of securities for the I quarter of 2023
- Interim information of the issuer of securities for the II quarter of 2023
- Information on changes in the composition of the issuer's officials on September 20, 2023
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- Information on changes in the composition of the issuer's officials on October 19, 2023
- Interim information of the issuer of securities for the III quarter of 2023
- Information on changes in the composition of the issuer's officials on November 03, 2023
- Underwriting Licence
- Dealing Licence
- Brokerage Licence
- Managing Licence
- Activity of a depository institution licence
- Safekeeping of mutual fund assets licence
- Safekeeping of pension fund assets licence
- Questionary for client financial institution
- List of documents for opening correspondent account in Hryvnia
- List of documents for opening correspondent account in Foreign Currencies (ru)
- WOLFSBERG AML Questionnaire
- W8-BEN form
- 5.01.2018
- 05.01.2018_eng
- 22.01.2018_ukr
- 19.02.2018_ukr
- 12.02.2018_ukr
- 05.02.2018_ukr
- 29.01.2018
- Офіційні правила акціїї Каннський кінофестивальОфіційні правила акціїї Каннський кінофестиваль pdf
- ПУМБ_Річний звіт 2017
- Reminder "Simple rules to protect yourselves from fraud"
- 404
- Information on the total number of shares and voting shares as of the date of drawing up the list of shareholders entitled to participate in the Annual General Meeting of Shareholders of the JOINT STOCK COMPANY "FIRST UKRAINIAN INTERNATIONAL BANK", convened on 28.04.2020.
- Report on the Committee's activity for the I half of 2021
- Procedure for processing and protection of personal data at JSC “FUIB”
- Rules for creating copies and identifying changes when working with electronic documents
- Annual Report of the Banking Group FUIB JSC for 2019
- Economic standards and limits of the open currency position as of May 1, 2021
- Norms and constituents of the calculation of regulatory capital as of May 1, 2021
- Annual Report of the Banking Group FUIB JSC for 2020
- Statement of changes in the composition of the issuer's officials 22.07.2021 - «refuted»
- Notification of inaccurate information
- Statement of changes in the composition of the issuer's officials 22.07.2021
- Договір про банківський вклад (з можливістю поповнення)
- Договір строкового банківського вкладу ("Гнучкий депозит")
- Договір строкового банківського вкладу ("Депозит з можливістю вилучення")
- Договір строкового банківського вкладу
- Договір строкового банківського вкладу (депозиту)
- Договір поточного рахунку 2620
- Загальна інформація по здійсненню грошових переказів за системами Western Union, MoneyGram та Ria
- Реквізити Фонду гарантування вкладів фізичних осіб
- Інформація для вкладників неплатоспроможніх банків
- Фінансова звітність за 3 кв. 2021 року (Скорочена форма)
- Банкноти, що перебувають в готівковому обігу України
- Монети, що перебувають в готівковому обігу України
- ЗАЯВА - АНКЕТА на приєднання до ДКБО ФО (кредитна картка)
- Публічна пропозиція АТ «ПУМБ» на укладання договору комплексного банківського обслуговування фізичних осіб Попередні редакції можна знайти за посиланням.
- Тарифи на обслуговування фізичних осіб (чинна редакція)Попередні редакції можна знайти за посиланням.
- Виписка з ЄДРПОУ від 24.06.2020
- Інформація про право на позачергове обслуговування
- Повідомлення про процедуру проведення ідентифікації клієнтів
- Про запровадження міжнародного номера банківського рахунку (IBAN) в Україні
- Повідомлення про банківську таємницю, передбаченої Главою 10 Закону України "Про банки і банківську діяльність"
- Повідомлення про умови обов'язкового повернення коштів клієнту (15 хвилин)
- Повідомлення про ознаки платіжності та зношення банкнот іноземної валюти, які приймаються банками та пунктами обміну валюти на території України
- Інформація про вилучення з готівкового обігу банкнот
- Тарифи систем миттєвих переказів в ПУМБ
- Український індекс ставок за депозитами фізичних осіб
- Повідомлення про процедуру проведення ідентифікації
- Фінансова звітність Банку за 1 кв. 2022 р. (Скорочена форма)
- Договір строкового банківського вкладу (депозиту)
- Договір поточного рахунку
- ЗАЯВА-АНКЕТА на приєднання до ДКБО ФО (пакет послуг+депозит)
- Фінансова звітність за 1 кв. 2022 р.
- Фінансова звітність за 2020 р.
- Тарифи АТ "ПУМБ" на касове обслуговування
- ЗАЯВА-АНКЕТА на приєднання до ДКБО ФО (пакет послуг+депозит)
- Тарифи на обслуговування фізичних осіб (чинна редакція)Попередні редакції можна знайти за посиланням.
- Акредитовані компанії АТ «ПУМБ», котрі здійснюють діяльність направлену на стягнення заборгованості фізичних осіб
- Інформація для розміщення у доступі клієнтів Банку щодо взаємодії працівників Банку з Боржниками та іншими особами при врегулюванні простроченої заборгованості
- ЗАЯВА-АНКЕТА на ЗАЯВА-АНКЕТА на приєднання до ДКБО ФО (пакет послуг+депозит)ЗАЯВА-АНКЕТА на присоединения к ДКБО ФЛ (пакет услуг+депозит)(1)
- Фінансова звітність за 3 кв. 2021 рокуФінансова звітність за 3 кв. 2021 року
- Порядок розгляду звернень Клієнтів
- Тарифи АТ "ПУМБ" на касове обслуговування
- Тарифи АТ "ПУМБ" на касове обслуговування
- Recommendations to cardholders on their use
- Typical application form to join CBSA
- Typical application form to join CBSA (MoneyBox)
- Public offer of JSC “FUIB” for contract conclusion of complex bank services for individualsPrevious editions can be found at the link.
- Tariffs for service of individuals (current version)Previous editions can be found at the link.
- Tariffs for servicing individuals on products that are not drawn up (current version)Previous editions can be found at the link.
- The report for clients of FUIB about the closure of accounts which are not used for transactions more than 3 years
- The contract of the current account
- Guide for Cardholders
- Information to inform consumers of financial services
- Service conditions of "vseKARTA" service package in foreign currency
- Service conditions of "vseKARTA" service package for social benefits and pension
- Service conditions of "vseKARTA" service package in hryvnia
- Procedure for dealing with complaints from customers and other stakeholders
- Public offer of JSC “FUIB” for contract conclusion of complex bank services for individualsPrevious editions can be found at the link..
- Typical application form to join CBSA (Credit card VSEMOZHU Online)
- Typical application form to join CBSA (Сash loan vseYASNO)
- Typical application form to join CBSA (Targeted consumer loan)
- Interaction in settlement of problem debts
- Cooperation with collection companies
- Guidance for the cardholders
- The first profitable credit card from FUIB vseMOZHU Online
- General terms of credit contracts, opening and maintaining accountsFor customers who drew up an agreement before 01.01.2016. Drawing up new agreements on the General Terms and Conditions will not be carried out from 01.01.2016
- Exchange rate formation on cards
- Terms of credit card
- Client’s assistant in credit card (ua)
- Recommendations for the cardholders
- Rules for remote servicing of individual clients in the Internet-banking system "FUIB Online"
- Public offer of JSC “FUIB” for contract conclusion of complex bank services for individualsPrevious editions can be found at the link..
- PUBLIC PROPOSAL for concluding the General Agreement on the provision of investment services for individualsValid from 01.07.2021
- Filing an application for sending SWIFT
- Terms and Conditions of the MoneyGram system. Fraud warning. Privacy Notice.
- List of accredited insurance companies
- Requirements for insurance contracts
- Fees for money transfers
- Dealer activities
- Brokerage activities
- Underwriting
- Information for the Client in accordance with part two of Article 12 of the Law of Ukraine «On Financial Services and State Regulation of Financial Services Markets»
- Application for accession to the brokerage services contract
- Tariff for brokerage services for individuals
- Order (Appendix 2 to the brokerage contract)
- Report (Appendix 3 to the brokerage contract)
- Brokerage contract - public offervalid from 15.06.2018 to 03.05.2020
- Brokerage contract - public offerValid from 15.06.2018 to 03.05.2020
- Consent to conclude an AgreementValid from 04.05.2020 to 30.06.2021
- Deposit characteristics
- Typical application form to join CBSA
- Public offer of JSC “FUIB” for contract conclusion of complex bank services for individualsPrevious editions can be found at the link..
- Certificate of membership in Fund of guaranteeing deposits of individuals
- Information on the system Deposit Guarantee
- Terms of all deposits (including loyalty programs)
- Terms of all deposits
- Agreement of a term bank deposit (deposit)
- Tariffs of depository institution
- Regulations on depository activities (current version)
- Appendices to the Regulations on depository activities (current edition)
- Auction for individuals
- Auction for legal entities
- Auction for issuers
- Auction for CIF
- Auction for PIF
- Auction for NPF
- Tariffs of depository institution 2016
- The provisions of depository institution 2018
- Depository activity license
- License Activities for custody of assets of joint investment institutes
- License Activities for the storage of assets of pension funds
- Tariffs of depository institution 2017
- Opening accounts for issuers
- Amendments to the Issuer's accounts
- Tariff for the non-residents of Ukraine_2017
- Making changes to the account in the CPU of a legal entity
- Activation/opening/ of an account in the central bank for individuals
- Making changes to an individual's CPU account
- Activation of the opening of an account in the central bank for the ISI KIF
- Activation/opening/ of an account in the central bank for the CPI of the PIF
- Making changes to the account in the CPU of a legal entity
- Public offer of JSC “FUIB” for contract conclusion of complex bank services for individualsPrevious editions can be found at the link.
- Public offer of JSC "FUIB" for the conclusion of an agreement on the provision of payment services
- Public offer of JSC "FUIB" for the conclusion of an agreement on the provision of payment services (Card-to-Card transfers)
- Public offer of JSC "FUIB" for the conclusion of an agreement on the provision of payment services (Transfer terminated Card-to-Card)
- Information about the provider of financial services and about financial services
- Official rules of the promotion "Invite a friend"
- The procedure for accreditation of IC
- Public Bank's claims against insurers
- List of documents for the accreditation of IC
- The conditions of insurance contracts requirements
- List of insurance companies
- Report on credit transactions for corporate business Customers
- Notification of the subject of personal data
- Minimum package of documents
- Leasing questionnaire
- Certificate of constituent documents and governing bodies
- Application leasing
- CEA template
- List of documents for financial analysis
- Minutes of the general meeting
- Legal documents of lessees of guarantors
- Customer Memo
- Eligibility criteria
- The rules of Overdraft "Light" (from 03.12.20)
- The rules of Overdraft "Light" (from 11.02.21)
- Cooperation agreement "Affordable loans 5-7-9 DD11 13-06-2022"Previous editions can be found at the link..
- Tariffs for collateral assessment for corporate customers of LCC/MCC segments
- Additional agreement to the Cooperation Agreement "Affordable loans 5-7-9%" (400 thousand euros)
- Rules for providing banking services for active operations of SB (valid from 08.10.2021)
- Typical lending conditions under the loan agreement «VseBUSINESS»» loan (effective from 08.02.2023)
- The rules of Overdraft "Light" ( from 05.11.2021)
- Agreement «VseBUSINESS»» loan
- Detailed instructions for repayment of the payment according to the schedule and in case of early repayment
- Agreement on the provision of a state guarantee on a portfolio basis
- Rules for the provision of banking services for active operations of the MB (for General Agreements executed from 01.06.2021) are valid from 01.07.2022
- Rules for providing banking services (valid from 16.01.19)
- The list of documents Overdraft "Light"
- The rules of Overdraft "Light"
- Accredited appraisal activity subjects
- List of insurance companies
- Rules for providing banking services
- Rules for providing banking services for agribusiness enterprisesПопередні редакції можна знайти за посиланням.
- Rules for providing banking services (from 01.10.19)
- The rules of Overdraft "Light" (from 01.10.19)
- Rules for providing banking services (from 09.01.2020)
- List of documents “Car loan”
- List of documents “Express loan”
- Rules for providing banking services (from 10.06.21)
- Rules for providing banking services for agribusiness enterprises (from 10.06.21)
- Rules for providing banking services for active operations of SB (for General Agreements, which are issued from 01.06.21)
- The list of documents
- Tariffs for documentary operations (valid from 13.07.2021)
- Covered guarantee agreementPrevious editions can be found at the link.
- Appendix 1. Application for the provision of the ServicePrevious editions can be found at the link.
- Appendix 2. Application for changing the terms of the ServicePrevious editions can be found at the link.
- Appendix 3. Application for the provision of the Guarantee
- Appendix 4. Bank's tariffs for the Service
- Tariff packages
- The tariff package "vseMINIMUM"
- The tariff package "vseOPTIMUM"
- The tariff package "vsePREMIUM"
- The tariff package "Coder"
- Rules of the rates matching in the process of foreign exchange trading
- FUIB tariffs for trade acquiring service
- Tariff package "Moya krayina"
- The tariff package "всеDigital"
- The tariff package "Vse bude Ukraina"
- Zaprosy Partnera Official Rules
- The list of documents. An Individual who implements an independent professional activity (private notary/lawyer)
- List of documents. Legal entity – a resident of Ukraine
- The list of documents. An Individual – entrepreneur
- Annex 1. Application of accession for private entrepreneur/NAP
- Annex 1. Application of accession for entity
- Invoice-offer
- СМАРТ ОПЛАТА
- The NBU recommendations for cardholders
- Annex 8. Application for the issue of a BPC
- Annex 8.1. Types of BPC
- Annex 9. Rules for the usage of corporate payment card
- Public offer of mutual funds
- Deposit programs
- Annex 3. Statement of Deposit Placement (with an open account)
- Annex 3.1 Statement of Deposit Placement (without account) for private entrepreneur/NAP
- Annex 3.1 Statement of Deposit Placement (without account) for entity
- Annex 3.2 Statement of Deposit Placement (without account)
- Appendix 3.3. Application for placement of the deposit
- Annex 7. Passive products
- Annex 12. Statement of IDGS
- “Comfortable” deposit
- The account “Profitable”
- Public rules of Internet acquiring
- Annex 2 (Application-contract)
- Download API
- Appendix 1 to the Rules for provision of acquiring services
- Appendix 2 to the Rules for provision of acquiring services
- Rules for acquiring POS-TER
- Annex 1 (Operating procedures with BPC)
- Annex 4 (Description of seized cards)
- Annex 3 (Application-contract for changing acquiring agreement)
- Annex 6 (Affirmation on termination of acquiring Agreement)
- Annex 7 (Application for connection of AS)
- Rules
- Appendix 5.1 (Act of Dismantling)
- Appendix 8 (POS protection instructions)
- Appendix 9 (Instructions for use of equipment)
- Appendix 5 (Act of Installation)
- CBS CONTRACTPrevious editions can be found at the link.
- Annex 1. Application of accession for private entrepreneur/NAP
- Annex 1. Application of accession for entity
- Annex 1. Application for accession for PE/NAP. Video verification
- Annex 1. Application of accession for entity. Video verification.
- Annex 1. Application of accession for entity Digital Entry
- Annex 2. Application for changing conditions of service
- Annex 2.1. Application for connecting the Profit account service
- Annex 2.2. Application for opening an account
- Annex 3. Statement of Deposit Placement (with an open account)
- Annex 3.1 Statement of Deposit Placement (without account) for private entrepreneur/NAP
- Annex 3.1 Statement of Deposit Placement (without account) for entity
- Annex 3.2. Statement of Deposit Placement (without account)
- Appendix 3.3. Application for placement of the deposit
- Annex 4. Application for changing conditions of the deposit
- Annex 4.1. Application for refusal to place the Deposit
- Annex 5. Tariff packages
- Annex 5.1. Tariffs of packages of the distance service center
- Annex 6. Tariffs of the Bank
- Annex 7. Passive products
- Annex 8. Application for the issue of a BPC
- Annex 8.1. Types of BPC
- Annex 9. Rules for the usage of the corporate payment card
- Annex 10. Application for purchase of a foreign currency
- Annex 10.1. Application for conversion of a foreign currency
- Annex 10.2 Application for sale of a foreign currency
- Annex 11. Application for servicing in foreign currency
- Annex 12. Statement of IDGS
- Annex 13. Application for services of SP
- Appendix to the Application for services of SP
- Annex 14. List of Individuals to whom accounts are opened (in electronic form)
- Annex 15. List of Individuals to whom accounts are opened (in paper form)
- Annex 16. Cash Disbursement Statement to Individuals (in electronic form)
- Annex 17. Cash Disbursement Statement to Individuals (in paper form)
- Annex 18. Tariffs of additional cash and settlement service
- Annex 19. Application for services of additional cash and settlement service
- Annex 20. Report for services of additional cash and settlement service
- Annex 21. Additional services
- Appendix 22. Application for connecting merchant acquiring
- Appendix 23. Acceptance certificate for equipment installation
- Appendix 23.1. Acceptance certificate for equipment dismantling
- Appendix 24. Application for refusal of merchant acquiring
- Appendix 25. Application for connecting additional acquiring services
- Appendix 26. Application for changing acquiring conditions
- Appendix 26.1 Application for changing acquiring conditions
- Appendix 27. Description of seized cards
- Appendix 28. Tariffs of JSC FUIB for servicing of cash and cash equivalents
- Annex 29: Payment instruction in national currency
- Annex 30. Payment instruction in foreign currency
- Annex 31: Instructions for filling in a payment instruction in foreign currency
- Annex 32. Approval of the cash limit calculation
- Annex 33. Application for the contractual debit service
- Annex 34. Application for additional cash management services
- Appendix 35. Act on additional cash management services
- SCS AgreementPrevious editions can be found at the link
- Annex 1. Application of accession for private entrepreneur, SO
- Annex 1. Application of accession for entity
- Annex 1. Application of accession for entity. Video verification.
- Annex 1. Application of accession for private entrepreneur. Video verification.
- Annex 2. Application for changing conditions of service
- Annex 3. Application for the provision of services under the Loan Agreement
- Annex 4. Service terms of “Profitable” account
- Annex 5. Application for opening an account in the PUMB Digital Business app
- Annex 6. Application for purchase of a foreign currency
- Annex 6.1. Application for purchase of a foreign currency for another foreign currency
- Annex 6.2. Application for sale of a foreign currency
- Annex 7. Application form (questionnaire) for issuance of BPC by JSC "FUIB"
- Annex 7.1. Types of BPC issued for account management
- Annex 8. Rules (recommendations) for the use of corporate BPC
- Annex 9. Tariffs of the Bank
- Annex 9. Tariffs of the BankValid from 30.08.2024
- Annex 10. Statement of IDGS
- Annex 11. Application for connection to the Acquiring Service
- Annex 12. Application for change of terms and conditions of the Acquiring Service
- Annex 13. Description of confiscated bank payment cards
- Appendix 13.1 Application for changing the terms of the merchant acquiring service
- Annex 14. Acceptance certificate for equipment installation
- Annex 15. Application for cancellation of the Acquiring Service
- Appendix 15.1. Acceptance certificate for withdrawal of equipment
- Appendix 16. Application for additional services
- Annex 17. Application for the provision of services of the Salary Project
- Annex 18. List of individuals in whose favour accounts are opened
- Appendix 19. List of individuals in whose favour accounts are opened
- Annex 20. Statement of crediting funds to individuals
- Annex 21. Statement of crediting funds to individuals
- Annex 22. Tariffs for servicing salary projects
- Annex 23. Client's payment instruction in national currency
- Annex 24. Payment instruction in foreign currency
- Annex 25. Instructions for filling out a payment instruction in foreign currency
- Annex 26. Approval of the cash limit calculation
- Annex 27. Application for the contractual debit service
- Annex 28. Application for the service of providing information on account status in the form of SWIFT 940, 950 messages
- Package of documents for the product (import)
- Package of service documents (import)
- Package of documents for the product (export)
- Package of service documents (export)
- List of risky states (areas) as of 11.07.2024
- Template 1: Information about the counterparty's owner
- Template 2: Information on business activity
- Template 3. Information about the intermediary and the manufacturer of the goods
- Template 4. Information about the service
- Template 5. Letter for transferring a contract
- Template 6. Contract for the supply of goods (import)
- Template 7. Contract for the supply of goods (export)
- Template 8. Service contract (export)
- Template 9. IT invoice
- Template 10. Invoice of goods
- Template 11. Service invoice
- Terms and procedure for the provision of services for opening and maintaining current accounts
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