Prague Branch of the Cash and Payments Department
Na Příkopě 28
115 03 Praha 1
Opening hours
Monday to Friday: 7.30 a.m. – 11.30 a.m, 12.30 p.m. – 2.00 p.m.
Tel.: 224 413 676
Fax: 224 413 166
Responsible for
- receiving banknotes and coins from production and processing them
- managing money reserves
- performing cash services
- cash processing
- selling commemorative coins and numismatic material to the CNB’s contractual partners
- providing compensation for damaged banknotes and coins and exchanging invalid and worn out banknotes and coins
- executing payments
- maintaining accounts under the Act on Budgetary Rules and other acts, including state financial assets and liabilities accounts, accounts for the National EU Fund and accounts for European Commission funds