Announcement for correspondent banks
|
|
- Alexandra Baldwin
- 5 years ago
- Views:
Transcription
1 Announcement for correspondent banks Effective as of January 1, 2017
2 Clean payments (fees charged monthly to Ordering Bank in EUR both for EU/EEA currencies unless related to a HUF vostro account at K&H) 1. Bank to bank transfers 2. Commercial payments Payments in EU/EEA currency a.) Incoming payments with OUR charge option a.a.) in favour of K&H customers a.b.) in favour of non-k&h customers b.) Incoming payments with SHA/BEN charge option b.a.) in favour of K&H customers b.b.) in favour of non-k&h customers 1 EUR 12 Payments in non- EU/EEA currency c.) Incoming payments with OUR charge option c.a.) in favour of K&H customers c.b.) in favour of non-k&h customers d.) Incoming payments with SHA/BEN charge option d.a.) in favour of K&H customers d.b.) in favour of non-k&h customers 2 3. NON STP fee 3 EUR Amendment or cancellation 5. Rejected items EUR 80 EUR 30 1 In order to comply with the full amount principal of the European Payment directive (PSD) as of November 1, 2009 the payment is processed without charge deductions. The applicable charge is invoiced to the sending bank on a monthly basis. 2 Payments are free for the sending bank and charge is deducted from the transferred amount 3 In case of cross-border commercial payments in the EU area, payment orders will be considered as STP if the correct BIC is in Tag 57A and correct IBAN is in Tag 59A 2
3 Collections 1. Collections 2. Amendments 3. Documents to be delivered free or cancellation of collection order 4. Release of goods 3.00, min. EUR 50 EUR , min. EUR , min. EUR 50 Commissions collected will not be refunded Documentary Credits 1. Advice on opening or increasing a D/C 2. Confirming D/C (in case of increase or extension too, in addition to the advising commission) 3. Opening (increase, extension) of D/C 4. Handling and examining D/C documents 5. Discrepancy fee 6. Amendment of D/C (Extension of a commitment period or increase are subject to the commission rates applied for new transactions) 7. Transfer of D/C 8. Assignment of D/C 9. Discounting of D/C proceeds in case of deferred payment D/C 10. Handing over of D/C to another institute 1.5, min. EUR , min EUR 50 EUR 100 EUR 50 2, min. EUR 50 1,5, min EUR 50 1,5, min EUR 50 No commission will be refunded when a credit is cancelled or expires totally or partially unutilized. When documentary credits stipulate amount as about, revolving, etc. commission are charged on the amount including this tolerance. Month to be understood as month or part thereof. 3
4 Guarantees (Indemnities, Liabilities etc.) 1. Advising guarantees issued and increased 1.50, min. EUR 50 max. EUR 1, Issuing 3. Amending guarantees (except for increase and prolongation) EUR Drawing of guarantee and handling 2.00, min. EUR 50, max. EUR 500,- and examining documents No commission will be refunded when a guarantee is cancelled before expiry. 1. SWIFT charges Others EUR Investigation/reclamation fee ( < 3 months) 3. Investigation/reclamation fee ( > 3 months) EUR 80 EUR Handling of Guarantees/Letters of Credit EUR 70 requesting the use of non standard text EUR 35 5.Safe keeping of Bill of Exchange Plus protest charge 6. Protest Cut-off time Transfer initiated by Correspondent Banks 4.00 p.m. The Bank shall process the foreign currency payments arriving in benefit of the Client before 4.00 p.m. of a bank day on the day of their arrival. The Bank shall process the payment transfers arriving after this cut-off time on the following day. General rules Postage, stamp expenses, cable and telephone expenses, courier expenses etc. and third party bank charges incurred will be charged separately. OUR charges incurred for outgoing payments with OUR charge option are respected within 4 months. Charges incurred for payments older than 4 months remain unpaid All collections are subject to the Uniform Rules of Collections Revision ICC Brochure No. 522 or any subsequent revision thereto. All documentary credits are subject to the "Uniform Customs and Practice for Documentary Credits" 2007 revision, ICC Publication No. 600 or any subsequent revisions thereto. For documentary credits, letters of guarantee, Bills of Exchange, etc. received by the beneficiaries directly and delivered by them to the Bank for registration, notification and further handling, the same commissions will be charged to the issuing bank as for the instruments received from correspondent banks directly. Commissions listed here above apply only to transactions which can be handled in a routine fashion. Commissions and charges refused by our customers, or which cannot be collected are to orderer s debit. 4
5 The bank refuses to bear any responsibility for delays, errors, misinterpretations, etc. that may arise from incomplete or unclear instructions. Payment cancellation requests are effected on the best efforts basis. In the case a payment order has already been executed (i.e. credited to the account of the beneficiary) or advised to the beneficiary, cancellation requests may only be processed upon the consent of the beneficiary, even if the request for cancellation is received prior to the value date. Commitments to be undertaken and rates given herein relevant to them are subject to the bank s discretion. The Bank reserves the right to modify the conditions at any time without pre-advice. We are at your disposal on conditions concerning transactions not included in this list. 5
TERMS AND CONDITIONS APPLICABLE TO CREDIT INSTITUTIONS
ERSTE BANK HUNGARY ZRT TERMS AND CONDITIONS APPLICABLE TO CREDIT INSTITUTIONS Effective from: 01 October, 2018 1. General Provisions 1.1. These Terms and Conditions (hereinafter TC ) apply to all correspondent
More informationTerms & conditions for correspondent banks. Jan CaixaBank-Terms and conditions Correspondent banks
Terms & conditions for correspondent banks Jan 2018 1 CaixaBank-Terms and conditions Correspondent banks Accounts Account Services Account maintenance fee (monthly) 100 Account closing fee 150 Cheques
More informationTerms & Conditions for Financial Institutions
Terms & Conditions for Financial Institutions 1. ACCOUNT CONDITIONS 1.1 Credit interest By arrangement 1.2 Debit interest By arrangement 1.3 Maintenance fees By arrangement 1.4 Statement of account SWIFT
More informationStandard Terms & Conditions
Standard Terms & Conditions For Financial Institutions Piraeus Bank 4 Amerikis Str. 105 64 Athens Greece Swift: PIRBGRAA Internet: www.piraeusbank.gr E-banking: www.winbank.gr Telex: +3210 215501, 215502
More informationTerms and Conditions for Foreign Correspondent Banks
I. CURRENT ACCOUNT SEPTEMBER 2018 ACCOUNT CHARGES Account Maintenance One or two accounts More than two accounts Daily MT950 Statements of Account (Sent daily if there is a change in the account balance)
More informationUNICREDIT BULBANK TERMS AND CONDITIONS FOR BANKS
UNICREDIT BULBANK TERMS AND CONDITIONS FOR BANKS 16 September 2016 The present Terms and Conditions supersede the previous ones and are subject to amendment without prior notice CONTENT FEE SCHEDULE 3
More informationTerms and Conditions for Foreign Correspondents April 2015
Terms and Conditions for Foreign Correspondents April 2015 1/4 I ACCOUNT SERVICES 1. Overdraft by arrangement 2. Account maintenance by arrangement 3. Interest rate by arrangement 4. Bank transfers free
More informationTerms and Conditions for. Foreign Correspondent Banks UniCredit Bank Austria
Terms and Conditions for Foreign Correspondent Banks UniCredit Bank Austria August 2012 Contents 1. CASH PRODUCTS AND SERVICES 1.1. Account services 1.2. Bank-to-bank transactions (MT2XX) 1.3. Commercial
More informationGeneral Terms and Conditions for Foreign Correspondent Banks
I. Current account ACCOUNT OPENING DOCUMENTATION Account opening request (sent through an authenticated SWIFT message or by fax duly signed by authorized persons) Licence (copy certified by a public notary)
More informationList of Terms and Conditions for Corporate Customers of Commerzbank Zrt.
List of Terms and Conditions for Corporate Customers of Commerzbank Zrt. Page 2 List of Terms and Conditions for Corporate Customers of Commerzbank Zrt. effective as of 1st November, 2018 1. Account maintenance
More informationList of Terms and Conditions for Corporate Customers of Commerzbank Zrt.
List of Terms and Conditions for Corporate Customers of Commerzbank Zrt. Page 2 List of Terms and Conditions for Corporate Customers of Commerzbank Zrt. effective as of 1st April, 2019 1. Account maintenance
More informationFees and Commissions. Effective as of Citibank Europe Plc., Bulgaria branch
Fees and Commissions Effective as of 01.09.2018 Citibank Europe Plc., Bulgaria branch Contents 1. Account services... 2 o BGN and FCY... 2 o Account statements (BGN & FCY)... 3 2. Liquidity services...
More informationFees and Commissions. Effective as of Citibank Europe Plc., Bulgaria branch
Fees and Commissions Effective as of 01.12.2017 Citibank Europe Plc., Bulgaria branch Contents 1. Account services... 2 o BGN and FCY... 2 o Account statements (BGN& FCY)... 3 2. Liquidity services...
More informationT E R M S А N D C O N D I T I O N S
T E R M S А N D C O N D I T I O N S February 2012 www.piraeusbank.bg Terms and Conditions of Piraeus Bank Bulgaria AD 2 / 23 CONTENTS 1. GENERAL PROVISIONS... 3 2. PAYMENTS IN BGN... 3 3. PAYMENTS IN FOREIGN
More informationTerms and Conditions for Correspondent Banks
Terms and Conditions for Correspondent Banks Supersedes the August 2013 edition. About Spar Nord Bank Spar Nord was founded in 1824 as the first bank outside the capital and is today one of Denmark's major
More informationT E R M S А N D C O N D I T I O N S
T E R M S А N D C O N D I T I O N S November 2013 www.piraeusbank.bg Terms and Conditions of Piraeus Bank Bulgaria AD 2 / 23 CONTENTS 1. GENERAL PROVISIONS... 3 2. PAYMENTS IN BGN... 3 3. PAYMENTS IN FOREIGN
More informationTariff. for fees and commissions. June 2015
Tariff for fees and commissions June 2015 www.piraeusbank.bg Tariff for fees and commissions 2 / 26 CONTENTS 1. GENERAL PROVISIONS... 3 2. PAYMENTS IN BGN... 4 3. PAYMENTS IN FOREIGN CURRENCIES... 4 4.
More informationANZ Trade Fees. Effective 15 May 2006
ANZ Trade Fees Effective 15 May 2006 IMPORTS Documentary Credit THREE FEE STRUCTURES FOR ISSUE: a) Up front issue (including document handling), or b) Pay as you go issue (where the issue fee is paid immediately,
More informationFEES AND COMMISSIONS TARIFF FOR BANKS
FEES AND COMMISSIONS TARIFF FOR BANKS I. ACCOUNTS II. CASH OPERATIONS III. TRANSFERS IV. COLLECTION OF DOCUMENTS AND COMMERCIAL PAPERS V. LETTERS OF CREDIT VI. CHEQUES VII. OPERATIONS WITH CORPORATE SECURITIES
More informationa) Forint sight account interest 0% p.a. 0% p.a. a) Foreign currency sight account interest for all currencies 0% p.a. 0% p.a.
Corporate Payment Account List of Conditions Part I. Effective from 1st of January 2014 General Conditions This List of Conditions is an inseparable part of the General Business Conditions and the General
More informationTerms and Conditions for Foreign Correspondent Banks UniCredit Bank Austria AG
Terms and Conditions for Foreign Correspondent Banks UniCredit Bank Austria AG November 2017 Contents 1. CASH PRDUCTS AND SERVICES 3 1.1 ACCUNT SERVICES 3 1.2 BANK-T-BANK TRANSACTINS (MT 2XX) 3 1.3 CMMERCIAL
More informationeihbank Europäisch-Iranische Handelsbank AG
ACCOUNT SERVICES Maintenance fee 25.00 per month Deposit fee on EUR ledger credit balances (effective 01.11.2016) 0,40 % p.a. Account reporting - Interim balance/transaction report by fax 25.00 per fax
More informationa) Forint sight account interest 0% p.a. 0% p.a. a) Foreign currency sight interest for all currencies 0% p.a. 0% p.a.
Corporate List of Conditions Part I. Effective from 3 rd of February 2015 General Conditions This List of Conditions is an inseparable part of the General Business Conditions and the General Lending Conditions
More informationCorporate List of Conditions Part I.
Corporate List of Conditions Part I. Effective from 17 th of July 2017 General Conditions This List of Conditions is an inseparable part of the General Business Conditions and the General Lending Conditions
More informationINDUSTRIAL AND COMMERCIAL BANK OF CHINA (MALAYSIA) BERHAD FEES AND CHARGES
INDUSTRIAL AND COMMERCIAL BANK OF CHINA (MALAYSIA) BERHAD FEES AND CHARGES OCTOBER 2010 BANKING SERVICES RATE PER ITEM CURRENT ACCOUNT:. Half yearly service charge - All accounts with average daily balance
More informationTARIFF. For fees and commissions of Raiffeisenbank (Bulgaria) EAD for Legal entities and Sole traders. In force as of
TARIFF For fees and commissions of Raiffeisenbank (Bulgaria) EAD for Legal entities and Sole traders In force as of 11.12.2018 Table of contents: Chapter One: Services in local currency 1. Current Accounts,
More informationTARIFF. for fees and commissions of Raiffeisenbank (Bulgaria) EAD for Legal entities and Sole traders. In force as of
TARIFF for fees and commissions of Raiffeisenbank (Bulgaria) EAD for Legal entities and Sole traders In force as of 14.01.2019 1 Table of contents: Chapter One: Services in local and foreign currency 1.
More informationPricing schedule for Institutional Customers
Cash Management Pricing schedule for Institutional Customers Deutsche Bank AG Germany SWIFT BIC (DEUTDEFFXXX) Valid as of January 2018 General Terms and for Financial Institutions 1 Correspondent Banking
More informationBNP PARIBAS MALAYSIA BERHAD. Tariff and Charges
BNP PARIBAS MALAYSIA BERHAD Tariff and Charges CASH MANAGEMENT CURRENT ACCOUNT Maintenance Fee RM 600 / month (per account) Note: capped at RM 1,200 / month in case of more than 2 accounts. Cheque Book
More informationTARIFF. For fees and commissions of Raiffeisenbank (Bulgaria) EAD for Legal entities and Sole traders. In force as of
TARIFF For fees and commissions of Raiffeisenbank (Bulgaria) EAD for Legal entities and Sole traders In force as of 01.04.2017 Table of contents: Chapter One: Services in local currency 1. Current Accounts,
More informationTerms and Conditions for Bank Correspondents (Hereinafter as Terms and Conditions or T&C )
Československá obchodná banka, a.s., Slovak Republic (Hereinafter as ČSOB or the Bank ) Terms and Conditions for Bank Correspondents (Hereinafter as Terms and Conditions or T&C ) Valid as of June 1, 2016
More informationTrade Finance List of Prices and Services for Corporate Clients in Germany
Trade Finance List of Prices and Services for Corporate Clients in Germany Valid from April 2013 Provided no charges deviating from this have been individually, the charges stated in this List of Prices
More informationStandard Chartered Bank
Standard Chartered Bank (Hong Kong) Limited Trade Services Schedule of Standard Charges (Effective 1 st July 2018) Imports Opening Commission on Documentary Credits Irrevocable Documentary Credits Back-to-back
More informationTerms and Conditions with VTBD. VTB Bank (Deutschland) AG
Terms and Conditions with VTBD VTB Bank (Deutschland) AG GENERAL NOTES The Terms and Conditions are subject to alteration without prior notice. VTB Bank (Deutschland) AG does not bear responsibility for
More informationPrice, till Price, from Minimum services fee 1 (fee for account opening 2, maintenance, closing and incoming Euro payments 3 )
DAILY BANKING BANK ACCOUNT Bank account (N) Valid from st of February, 08 Minimum services fee (fee for account opening, maintenance, closing and incoming Euro payments 3 ) 3.50.40 Verification of shareholders
More informationTerms and Conditions for Banks
In force as of 05.09.2018 1. General 1.1. These Terms and Conditions govern the relationship between Raiffeisenbank (Bulgaria) EAD and its customers correspondent banks, unless otherwise expressly agreed
More informationCHARGES CATALOGUE. 4 working days including deposit date
The Charges Catalogue includes the usual charges that are currently valid as well as upcoming charges with their implementation date. The Charges Catalogue is reviewed at fixed intervals and is being also
More informationCommercial Banking List of Conditions Part I.
Commercial Banking List of Conditions Part I. Effective from 10 th of October 2016 I. General Conditions This List of Conditions is an inseparable part of the General Business Conditions of Corporate Services
More informationStandard List of Fees and Commissions for Corporate Clients
Standard List of Fees and Commissions for Corporate Clients Expobank CZ a.s., Vítězná 126/1, Prague 5, PSČ 150 00, IČ: 14893649 (hereinafter only Bank) Valid from 31. 12. 2015 I. Opening, maintaining and
More informationTerms and conditions for banks. Valid as of 1 st February 2019
Terms and conditions for banks Valid as of 1 st February 2019 1. ACCOUNT SERVICES subject to agreement 2. BANK-TO-BANK TRANSFERS subject to agreement 3. COMMERCIAL PAYMENTS Incoming commercial payments
More informationBank of China (Malaysia) Berhad Standard Charges on International Trade Services Operations No Item Charges
No Item Charges 1.0 Export services - Non-L/C Bills 1.1 Outward Bills for Collection (Non-L/C Bills) (Clean and Documentary Items) (a) Foreign Currency (FC) (b) Local Currency (RM) (c) Snag bill handling
More informationTable of Fees and Commissions of ING Bank Śląski Spółka Akcyjna
Enclosure to Ordinance no. Korp/85/2017 of the President of the Management Board of ING Bank Śląski S.A. of 15 th of February 2017 Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna For residents
More informationCorporate Banking. Trade Finance - Tariff & Fees
Corporate Banking Trade Finance - Tariff & Fees Schedule of charges for Trade Finance products A - Imports / Local LCs: 1- Documentary Letters of Credit (LC) Issuance Commission Murabaha/Non-Murabaha (Sight/Usance
More informationTABLE OF COMMISSIONS AND CHARGES CONCERNING PERSONAL AND COMMERCIAL ACCOUNTS CHARGES FOR CREDIT FACILITIES (CURRENT ACCOUNTS / LOANS)
TABLE OF COMMISSIONS AND CHARGES CONCERNING PERSONAL AND COMMERCIAL ACCOUNTS CHARGES FOR CREDIT FACILITIES (CURRENT ACCOUNTS / LOANS) Documentation fees 40 75 80 150 Fixed charge for Individuals / Small
More informationMIZUHO BANK, LTD. TERMS AND CONDITIONS Bank s Service Charge and Fee BANGKOK BRANCH. 03 December Page 1 of 16
MIZUHO BANK, LTD. BANGKOK BRANCH TERMS AND CONDITIONS Bank s Service Charge and Fee 03 December 2018 Page 1 of 16 A: COMMON CHARGES Audit Confirmation Balance Confirmation Bank Certificate Certify copy
More informationPrice list Corporate UniCredit Bank Czech Republic and Slovakia, a.s.
Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 9. 10. 2017 Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 9. 10. 2017 Contents 1. Accounts
More informationOP CORPORATE BANK PLC ESTONIAN BRANCH. PRICE LIST for corporate customers and sole proprietors. Effective from 1 February 2018, prices in euros
OP CORPORATE BANK PLC ESTONIAN BRANCH PRICE LIST for corporate customers and sole proprietors Effective from 1 February 2018, prices in euros Accounts [More] Payments [More] Internet bank [More] Sweeping
More informationSUMITOMO MITSUI BANKING CORPORATION BANK S SERVICE CHARGES AND FEE
DEPARTMENT : DEPOSIT 1) Maintenance Fee: Current Account: - Monthly average balance is less than THB 1,000. - THB 50. - Per month - Any Current Account has no movement for 2 consecutive years THB 100.
More informationPrice List Valid as of Accounts, Information Service Charging Terms Price Account Terms
Price List Valid as of 13.01.2018 1. Accounts, Information Service Charging Terms Price Account Terms CZK Account Opening Free of charge Account Maintenance, incl. Electronic Reporting per account, per
More informationPrice list Corporate UniCredit Bank Czech Republic and Slovakia, a.s.
Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 1. 7. 2017 Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 1. 7. 2017 Contents 1. Accounts
More informationDOCUMENTARY CREDITS. Advising of Documentary Credits
DOCUMENTARY CREDITS No Description Charges on Issuance of Documentary Credit (for validity up to 6 months or part thereof) Sight LC i. above Usance LC i. above 1 ii. Usance of 0.0625% per month Revolving
More informationBanking fees, commissions, conditions and costs for services chargeable to customers UK BRANCH
Banking fees, commissions, conditions and costs for services chargeable to customers UK BRANCH June 2017 1 Contents Current Accounts 3 Cheques and Giro Credits 4 Domestic (Intra-UK) Transfers 5 Payments
More informationPrice List Valid as of Accounts, Information Service Charging Terms Price Account Terms
Price List Valid as of 13.01.2018 1. Accounts, Information Service Charging Terms Price Account Terms CZK Account Opening Free of charge Account Maintenance, incl. Electronic Reporting per account, per
More informationMIZUHO BANK, LTD. BANGKOK BRANCH
MIZUHO BANK, LTD. BANGKOK BRANCH 18 th Floor, TISCO Tower, 48 North Sathorn Road, Silom, Bangrak, Bangkok 10500 Telephone: 0-2638-0190-92 (Direct) Fax: 0-2638-0220 TERMS AND CONDITIONS Bank s Service Charge
More informationTARIFF FOR CORE BANKING BUSINESS
TARIFF FOR CORE BANKING BUSINESS Nicosia, August 2017 Α. FUND TRANSFERS IN EURO & F/C Α.1. OUTWARD PAYMENT ORDERS Through SEPA 1, SWIFT in Euro up to 50.000 By debiting a Euro account or cash in Euro,
More informationTariffs for Transaction Services
Tariffs for Transaction Services ING Bank, a Branch of ING-DiBa AG Effective as of 1 January 2019 This Tariff Brochure for Transaction Services is effective as of 1 January, 2019 and applicable to the
More informationTerms of settlement. Contents. Valid as of
Valid as of 01.12.2016 Contents Definitions 2 General provisions 2 Applicable conditions 2 Identification of account and bank 2 Submitting data 3 Commission fee 3 Rights and obligations of SEB 3 Term of
More informationTable of Commissions and Fees for Bank Services rendered to Non-Consumers within Private Banking
Table of Commissions and Fees for Bank Services rendered to Non-Consumers within Private Banking (it applies to customers serviced in the Bank's branches which before the merger date were branches of BNP
More informationTARIFF GUIDE CHARGES AND VALUE DATES APPLICABLE AS OF 15 June 2018 TABLE OF CONTENTS
TARIFF GUIDE CHARGES AND VALUE DATES APPLICABLE AS OF 15 June 2018 TABLE OF CONTENTS 1 INWARD TRANSFERS 2 OUTWARD TRANSFERS 3 CHEQUES 4 PAYMENTS AND FOREIGN EXCHANGE 5 OTHER SERVICES RENDERED 6 TRADE FINANCE
More informationTERMS AND CONDITIONS FOR BANKS
TERMS AND CONDITIONS FOR BANKS Valid as of 1 st August, 2017 1 General principles of fees and commissions collection: 1. This Table concerns: a) domestics banks; b) foreign banks; c) banks with LORO account;
More informationGeneral Tariffs for Bank Services
General Tariffs for Bank Services ING Bank N.V., pobočka zahraničnej banky Effective as of 1 August 2017 ING is one of the largest providers of financial products in Europe. ING offers Clients financial
More informationBizKit L till EUR/month. 2 accounts 4 accounts Unlimited Unlimited Unlimited Unlimited transfers
Business pricelist (D) 2018-02-01 2019-01-31 Banking packages Business banking packages Business packages BizKit S till 2018.01.3 1 BizKit M till 2018.01.3 1 BizKit L till 2018.01.3 1 Business S from 2018.02.0
More informationTABLE OF COMMISSIONS AND FEES FOR BANK SERVICES RENDERED TO NON-CONSUMERS WITHIN PRIVATE BANKING
TABLE OF COMMISSIONS AND FEES FOR BANK SERVICES RENDERED TO NON-CONSUMERS WITHIN PRIVATE BANKING Dated 20 December 2018 Applicable to Customers serviced before the Demerger Date in Branches of Bank BGŻ
More information(Company No: U) TARIFFS AND CHARGES
(Company No: 302316-U) TARIFFS AND CHARGES SEPTEMBER 2018 ACCOUNT 1. SERVICE CHARGE ON CURRENT ACCOUNT (for minimum average of less than RM1,000) Waived 2. Cheque processing fee RM0.50 3. CHEQUE ENCASHMENT
More informationPrice list Corporate UniCredit Bank Czech Republic and Slovakia, a.s.
Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 1. 3. 2018 Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 1. 3. 2018 Contents 1. Accounts
More informationIMPORTS Import Letter of Credit Issuance (LC) Irrevocable Documentary Letter of Credit - As per arrangement with customer Issuance
Trade Product tariff effective 1 st April 2017 PRODUCTS CHARGES IMPORTS Import Letter of Credit Issuance (LC) Irrevocable Documentary Letter of Credit - Issuance Standby LC issuance Commission Back to
More informationI. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 4
I. PAYMENT ACCOUNTS... 2 CURRENT ACCOUNTS... 2 DEPOSIT ACCOUNTS... 2 CUMULATIVE/SPECIAL ACCOUNTS... 2 TRUST/ESCROW ACCOUNTS...2 II. BANK TRANSFERS... 2 PAYMENT OPERATIONS IN BGN... 2 PAYMENT OPERATIONS
More informationT.C. ZİRAAT BANKASI SOFIA BRANCH
T.C. ZİRAAT BANKASI SOFIA BRANCH TARIFF OF TERMS AND CONDITIONS CORPORATE CLIENTS PART ONE SERVICES IN LOCAL CURRENCY I. BANK ACCOUNTS 1. OPENING OF BANK ACCOUNTS 1.1 Current accounts 5 EUR 1.2 Special
More information(Company No: U) TARIFFS AND CHARGES
(Company No: 302316-U) TARIFFS AND CHARGES JUNE 2017 ACCOUNT 1. SERVICE CHARGE ON CURRENT ACCOUNT (for minimum average of less than RM1,000) Waived NIL 2. Cheque processing fee RM0.50 RM0.03 3. CHEQUE
More informationLIST OF TERMS AND CONDITIONS
I. Transfers Commission for outgoing forint and foreign currency transfers If the Client submits a transfer order in which the beneficiary is a third party. 0.15%, min. HUF 1,500, max. HUF 10,000 II. Documentary
More informationSUMITOMO MITSUI BANKING CORPORATION
DEPARTMENT : CMS OPERATIONS DEPARTMENT 1. Standing Order and Direct Debit Service 1.1 Direct Debit (internal fund transfer) 1.1.1 Diskette, other media and other electronic channel THB 15 Per item 1.1.2
More informationStandard Chartered Bank
Standard Chartered Bank (Hong Kong) Limited Trade Services Schedule of Standard Charges Doc Version 2.0 1 (Effective 01 July 2015) 1 Version 2.0 is issued on 01 October 2015 to include the Handling Charges
More informationSchedule of International Transaction Charges
Schedule of International Transaction Charges This document contains important information. Please read carefully and retain for future reference. November 2017 Contents Bureau de Change page 2 Card Usage
More informationI. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 3
Valid from 24.03.2018 I. PAYMENT ACCOUNTS... 2 CURRENT ACCOUNTS... 2 DEPOSIT ACCOUNTS... 2 CUMULATIVE/SPECIAL ACCOUNTS... 2 II. BANK TRANSFERS... 2 PAYMENT OPERATIONS IN BGN... 2 PAYMENT OPERATIONS IN
More informationTable of Fees and Commissions of. ING Bank Śląski Spółka Akcyjna
Enclosure to Ordinance no. Korp/338/2015 of the President of the Management Board of ING Bank Śląski SA of 29.05.2015 Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna For residents and non-residents
More informationT A R I F F. for fees and commissions of UniCredit Bulbank AD. applicable to legal entities and sole traders
T A R I F F for fees and commissions of UniCredit Bulbank AD applicable to legal entities and sole traders in force since May 7th, 2007 amended as of May 27th, 2017 T A B L E O F C O N T E N T І. Accounts...
More informationLIST OF PRICES AND SERVICES FOR CORPORATE CLIENTS OF PKO BANK POLSKI SA NIEDERLASSUNG DEUTSCHLAND
Attachment to Resolution No. 758/E/2015 LIST OF PRICES AND SERVICES FOR CORPORATE CLIENTS OF PKO BANK POLSKI SA NIEDERLASSUNG DEUTSCHLAND Effective as of 01.03.2019 Name and address of the Bank: PKO Bank
More informationTERMS AND CONDITIONS FOR LEGAL ENTITIES IN FORCE AS
TERMS AND CONDITIONS FOR LEGAL ENTITIES IN FORCE AS 13.02.2017 General information... 4 I. General provisions... 5 ІI. Interests, value dates and terms of accepting and processing of payment orders...
More informationINFORMATION SHEET Current Account and Transaction Banking Services
INFORMATION SHEET Current Account and Transaction Banking Services Date: 20th November 2017 Here below we listed the term and conditions regarding the bank accounts opened within our branch. It is being
More informationBUSINESS TERMS AND CONDITIONS FOR THE PROVISION OF PAYMENT SERVICES
BUSINESS TERMS AND CONDITIONS FOR THE PROVISION OF PAYMENT SERVICES PART ONE GENERAL PROVISIONS Article 1 Basic Provisions 1. This document constitutes Business Terms and Conditions of UniCredit Bank Czech
More informationPrice List for Legal Entities of ProCredit Bank (Bulgaria) EAD
Price List for Legal Entities of ProCredit Bank (Bulgaria) EAD CONTENTS 3 TRANSFERS 4 CARDS 5 DOCUMENTARY 7 LOANS 8 11 12 13 14 Current account 1 Minimum balance BGN 250 Monthly maintenance fee, which
More informationTERMS AND CONDITIONS FOR LEGAL ENTITIES IN FORCE AS
TERMS AND CONDITIONS FOR LEGAL ENTITIES IN FORCE AS 01.12.2017 General information... 4 I. General provisions... 5 ІI. Interests, value dates and terms of accepting and processing of payment orders...
More informationTransaction Banking Pricing Guide
l Transaction Banking l Transaction Banking Pricing Guide Jordan August / 2017 Cash Management Account Services Charges Notes Account Maintenance Charge JOD 5.000 Per account, per month EUR 70.00 or Account
More informationPRICE LIST. Valid since TABLE OF CONTENT. TALLINN BUSINESS BANK and TBB LEASING Ltd.
TABLE OF CONTENT 1 Opening and maintenance of account... 2 2 Cash Transactions in EUR... 2 3 Cash Transactions in other Currencies... 2 4 Bank Transfers in EUR... 3 5 Bank Transfers in Foreign Currency...
More informationTERMS AND CONDITIONS
JOINT STOCK COMMERCIAL BANK FOR FOREIGN TRADE OF VIETNAM TERMS AND CONDITIONS FOR CORRESPONDENT BANKS (Issued together with Decision 1946/QĐ/VCB-DCTC on 14/12/2017 signed by the CEO of JSC Bank for Foreign
More informationPricing Terms & Conditions. Tariff of standard charges regarding services for Financial Institutions and Banks
Pricing Terms & Conditions Tariff of standard charges regarding services for Financial Institutions and Banks These Pricing Terms and Conditions are applicable as of 1st april 2011 and supersede all previous
More informationPRICE LIST. Valid since TABLE OF CONTENT. TALLINN BUSINESS BANK and TBB LEASING Ltd.
TABLE OF CONTENT 1 Opening and maintenance of account... 2 2 Cash Transactions in... 2 3 Cash Transactions in other Currencies... 3 4 Bank Transfers in... 3 5 Bank Transfers in Foreign Currency... 5 6
More informationTerms & Conditions for Small Business
Terms & Conditions for Small Business 1. Current Accounts Account opening Products and Services Fees and Commissions LEK EURO USD GBP CHF Account closing After 3 months of opening day Within three months
More informationFEES AND CHARGES (CORPORATE NON SME)
FEES AND CHARGES (CORPORATE NON SME) 1 st April 2015 1.0 CURRENT ACCOUNT 1.1 Half Yearly Service Charges All accounts without banking facility with average daily balance
More informationTariff of Banking Fees and Commissions for Customers of CaixaBank, S.A. (Spółka Akcyjna) Oddział w Polsce
Tariff of Banking Fees and Commissions for Customers of CaixaBank, S.A. (Spółka Akcyjna) Oddział w Polsce () www.caixabank.pl TABLE OF CONTENTS: 1. GENERAL CONDITIONS 3 2. CURRENT ACCOUNTS 5 3. DOMESTIC
More informationCASH MANAGEMENT CONDITIONS F O R C O R P O R A T E C L I E N T S
CASH MANAGEMENT CONDITIONS F O R C O R P O R A T E C L I E N T S BNP PARIBAS, HUNGARY BRANCH 1. INTEREST CONDITIONS OF CURRENT ACCOUNTS Fee / Commission Credit interest rate on HUF current account (in
More informationDANSKE BANK A/S LATVIA BRANCH PRICELIST FOR LEGAL CUSTOMERS
Approved by Management committee of Danske Bank A/S Latvia branch (Meeting No 3/06 from 7 August 06) Effective from 4 of October 06 DANSKE BANK A/S LATVIA BRANCH PRICELIST FOR LEGAL CUSTOMERS. Current
More informationTariff of interests, fees and commissions Corporate clients
Allianz Bank Bulgaria Tariff of interests, fees and commissions Corporate clients 01 November 2016 1 CONTENTS General conditions 1. Accounts 1.1. Interest on accounts 2. Cash transactions 3. Transfers
More informationTrade Finance Wholesale Banking
Import Documentary Letters Of Credit Issuance: Sight or Usance Back to Back Letter of Credit Revolving Letter of Credit Standby Letter of Credit the first AED100,000 (Minimum 0.375% but not less than AED
More informationAmendment to a Documentary Credit Advice of a Third Banks Documentary Credit. Transfer of a Documentary Credit Transfer of a Documentary Credit
SWIFT CODE Category 7: Documentary Credits and Guarantees Message type MT 700 MT 701 MT 705 MT 707 MT 710 MT 711 MT 720 MT 721 MT 730 MT 732 MT 734 MT 740 MT 742 MT 747 MT 750 MT 752 MT 754 MT 756 MT 760
More informationTERMS AND CONDITIONS for the Payment System of Expobank CZ a.s.
TERMS AND CONDITIONS for the Payment System of Expobank CZ a.s. This document is strictly an informative translation of the original Terms and conditions for the Payment System of Expobank CZ a.s. In the
More informationTARIFFS AND CHARGES FOR ISLAMIC BANKING BUSINESS
(Company No: 302316-U) TARIFFS AND CHARGES FOR ISLAMIC BANKING BUSINESS NOVEMBER 2017 ACCOUNT 1. SERVICE CHARGE ON CURRENT ACCOUNT (for minimum average of less than RM1,000) Waived 2. Cheque processing
More informationCorporate Finance and Trade Services Charges Booklet setting out certain fees in relation to banking services
Corporate Finance and Trade Services Charges Booklet setting out certain fees in relation to banking services (A) Corporate Finance Fees (1) General Account Services Please note that any monthly fees for
More informationDisclosure Statement for Business Chequing Plus Account
Disclosure Statement for Business Chequing Plus Account The following information sets out our schedule of charges for Business Chequing Plus accounts effective May 1, 2014. Unless otherwise stated, all
More informationCash and Trade Pricing Guide 2017
Transaction Banking Cash and Trade Pricing Guide 2017 Brunei Darussalam Cash Management: Account Services 3 Cash Management: Payment Services 6 Cash Management: Collection Services 10 Cash Management:
More information