Bank of us
Bank of us

Term Deposit

Term Base Rate
30 Days 0.15%
60 Days 0.20%
90 Days 0.40%
120 Days 0.40%
150 Days 0.45%
180 Days 0.95%
210 Days 0.65%
240 Days 0.65%
270 Days 1.10%
300 Days 0.70%
330 Days 0.70%
1 Year(s) 1.50% paid Annually 1.40% paid 6 Monthly
2 Year(s) 2.00% paid Annually 1.95% paid 6 Monthly
3 Year(s) 2.00% paid Annually 2.00% paid 6 Monthly
Key Features
Min Amount
Max Amount
$100,000.00
$200,000.00
Interest Payment
Method
Cheque,Direct Credit,Rollover on Maturity
Early Withdrawal
Penalties