Account AdjustmentAccount Adjustment


When you set up all of your group's accounts at Danske Bank, you can take advantage of our Account Adjustment service. It automatically transfers funds between accounts held in the same currency, daily or weekly, consolidating your group's total liquidity in a country into a single account.

Danske Bank has extensive experience in designing individual cash management solutions for international groups. For further information, please contact us.
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Go local
Visit our local sites to learn more about our cash management products and services:

Download fact sheets
Download fact sheets on our cash management services in various countries (PDF):



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Danske Bank A/S, Holmens Kanal 2-12, DK-1092 Cph K, Tel. +45 70 123 456, fax +45 70 121 080, E-mail: danskebank@danskebank.com, CVR-nr. 61 12 62 28, SWIFT: DABADKKK.

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