Tender NO. 1012000036-24: General Insurance Tender Package
Tender NO. 1012000036-24: General Insurance Tender Package
Tender documents can be obtained by paying the below amount online to the Company’s account detailed below:
Account name: Oman Cement Company SAOG
Bank Name: Bank Muscat SAOG
Account number. 0423 01086 3070 017
Account Type: SWIFT Code: OMR BMUSOMRX
Tender Fees: OMR 52.500 + VAT 5%
New Closing date ; 20.11.2024
Copy of deposit transaction of a non-refundable amount of writing on the above as tender fees to be emailed to CFOSecretary@omancement.com & Treasury@omancement.com with the Subject showing “Tender No.” and “Tender Description” enabling the Company to provide tender document through email to your company. The above payment is a non-refundable Contact details: Office number: +968 22705601, Mobile number: +968 97932277.
The last date for submission of offers is on Tuesday, 2359 hours detailed date on the above table,
accompanied by a bid bond issued by any local bank in Oman (equivalent to 1%) of the total tender
value. The bid bond must be valid for 120 days from the last date of submission of offers and the
ORIGINAL bid bond must be submitted on the tender box at the reception on our Administration
Building, Al Mesfah West factory Site, Bausher, Muscat, Oman.
Any tenders received beyond the above closing time and date or not being supported by a tender bond
will NOT be considered. This publication is part of the tender documents.