Prosedur Pelaksanaan Rekening Giro Rupiah Di Pt. Bank Rakyat Indonesia Cabang Surabaya

Setiawan, Deni (2017) Prosedur Pelaksanaan Rekening Giro Rupiah Di Pt. Bank Rakyat Indonesia Cabang Surabaya. Diploma thesis, STIE Perbanas Surabaya.

[img]
Preview
Text
ARTIKEL ILMIAH.pdf

Download (451kB) | Preview
[img]
Preview
Text
COVER.pdf

Download (325kB) | Preview
[img]
Preview
Text
BAB 1.pdf

Download (236kB) | Preview
[img]
Preview
Text
BAB II.pdf

Download (342kB) | Preview
[img] Text
BAB III.pdf
Restricted to Registered users only

Download (239kB)
[img] Text
BAB IV.pdf
Restricted to Registered users only

Download (268kB)
[img]
Preview
Text
BAB V.pdf

Download (253kB) | Preview
[img] Text
LAMPIRAN.pdf
Restricted to Registered users only

Download (200kB)

Abstract

Bank is one of the financial institutions that can affect economic development in a country. Banking relationships in the economy as auxiliary institutions to facilitate the course of the world economy. The Bank also provides a wide range of products and services to meet the needs of the community. One of the bank products is Giro, in this modern era, business actors prefer to use Demand Deposit Account to facilitate the transaction. This study aims to determine the exact procedure of execution of rupiah demand deposit account at PT. Bank Rakyat Indonesia Surabaya Branch. This research uses descriptive method. The focus of this research is the procedures and execution of rupiah demand deposit account. The data source of this research use secondary data source obtained from supervisor and oprasional section. Data collection techniques used interview techniques. The results of the study found that the procedure of execution of rupiah demand deposit account in PT. Bank Rakyat Indonesia Surabaya Branch is in accordance with the existing reality. Suggestion given based on this research is need detail explanation to Giro customer if need to give manual book about pretest implementation of giro to customer. The implication of the suggestion to be implemented is to prepare the preparation of a checkbook account containing the procedures for execution of a checking account. Keywords: Procedure of Rupiah Account Demand Deposit Account, Rupiah Demand Deposit Account

Item Type: Thesis (Diploma)
Subjects: 300 - SOCIAL SCIENCE > 330 - 339 ECONOMICS > 332 - FINANCIAL ECONOMICS > 332.12 - BANKS & BANKING
Divisions: Finance and Banking Diploma > Practice Working Report
Depositing User: Perpustakaan Universitas Hayam Wuruk Perbanas
Date Deposited: 22 Oct 2019 03:56
Last Modified: 22 Oct 2019 03:56
URI: http://eprints.perbanas.ac.id/id/eprint/4959

Actions (login required)

View Item View Item