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  • Important Announcement

    There have been important updates to our Conditions at National Bank of Kuwait (International) PLC ('NBKI'). The current Conditions dated January 2023, available on our website, along with our Tariff of charges, are changing. Learn More

Institutional Banking

Documents Centre

View and print forms, manuals, documents etc.


Standard Settlement Instructions


NBKI documentation relating to Know Your Customers and Anti Money Laundering.

AEOI Compliance

The Foreign Account Tax Compliance and the Tax Withholding Certificates

Terms and Conditions

Financial institutions general terms and conditions governing relationships

NBK Institutional Banking

The Financial Institutions team manages NBKI London’s correspondent banking relationships globally.


The Financial Institutions team manages NBKI London’s correspondent banking relationships globally. The division is responsible for servicing its diverse clientele with top-tier financial products and services, as well as ensuring that all regulatory requirements are adhered to in connection with credit limits and compliance.

We leverage NBK Group’s footprint and expertise to identify and deliver opportunities to clients through tailor-made solutions.

The Bank’s commitment to its relationships is enforced by a team of dedicated professionals offering a wide selection of solutions, including:

  • Commercial Payments and Collections
  • Facility Structuring
  • Syndications
  • Bilateral Loans
  • Standby Facilities
  • Relationship Management
  • Regional Cash Management in the Middle East
  • Regional Custody (GCC, Jordan and Egypt)
  • Trade Finance
  • Risk Participation in Funded and Unfunded Transactions
  • Treasury

In addition, NBK Group provides regional Custody and Clearing services to leading Financial Institutions and Mutual Funds in GCC, Jordan and Egypt.

NBK’s Regional Custody and Clearing Services can be summarized as follows:

  • Account Opening (Establishing Trading Numbers and Custody Account Numbers in coordination)
  • Book Keeping
  • Trade Settlement and Reconciliation
  • Cash Management and FX
  • Flash News and Market Update
  • Tax Payment and Refund
  • Corporate Actions
  • Client Reporting