Schedule of Charges. The British Virgin Islands. Corporate Banking. Effective: Februa ry 1, 2018

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1 The British Virgin Islands Corporate Banking Effective: Februa ry 1,

2 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING AND CARD SERVICES 5 CORPORATE SERVICES 6 TRADE SERVICES 2

3 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY Business Current Accounts (Product Code 1) Minimum monthly service fee $12.00 waived if balance >$5k Minimum monthly service fee $8.00 Withdrawals / Cheques per entry $1.50 Withdrawals / Debits - excludes ABM transactions 2 free, thereafter $0.50 Deposits / Credits per entry $1.00 Deposits / Credits per entry 2 free, thereafter $0.50 Business Premium Accounts (Product Code 8) Fixed Deposit Accounts Minimum monthly service fee $12.00 Transfer to another internal account on maturity Withdrawals / Cheques per entry 1 free, thereafter $1.75 Transfer to another institution on maturity Draft/Wire Cost Deposits / Credits per entry 1 free, thereafter $1.25 Call Accounts (Product Code 34) Early Redemption Fees - Non-redeemable Fixed deposits only : Terms 5,000-24, ,999 50,000-99, , , , , , ,999 1,000,000 & Over days $150 $150 $300 $1,000 $3,000 $5,000 $7,500 Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in United States Dollars unless otherwise stated. 3

4 POUND STERLING (GBP$) Schedule of Charges CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY GBP Business Current Accounts (Product Code 4) Minimum monthly service fee Withdrawals / Cheques per entry -excludes ABM transactions 0.40 Deposits / Credits per entry GBP Business Call Accounts (Product Code 40) Minimum monthly service fee 5.00 Withdrawals / Cheques per entry 4 free, thereafter 0.25 Deposits / Credits per entry Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in United States Dollars unless otherwise stated. 4

5 INTERNET AND TELEPHONE BANKING MAIL TRANSFERS Monthly Access Fee Outgoing: Inland $ Draft charges Outgoing: Overseas Depends on destintation WIRE TRANSFERS International Wire Transfers (local equivalent): Branch Internet $1 to $9, $75.00 $45.00 Set-up $10, to $99, $95.00 $65.00 Amendment $15.00 $100,000 and Over $ $95.00 Internal Orders : Local / Regional Transfers: Loan Payments or Safety Deposit Box/Premier annual fees To/From an account held at other local banks via RTGS (local currency transactions only) $0.00 $0.00 Between other accounts $5.00 To an account held at one of our regional branches $40.00 $30.00 External Standing Orders: Incoming Wire Transfers: To transfer funds LOCALLY $ draft fee To credit an account at one of our branches $15.00 To transfer funds OVERSEAS $ draft/wire fee To credit an account held at other local banks Payable on presentation of Photo Identification $30.00 BILL PAYMENT Returned Wire Payments: Incoming and Outgoing USD $30.00 equiv. Via the Branch Counter N/A Tracers on Wire Transfers USD $40.00 equiv. Via the ABM N/A Notes: 1. All figures are quoted in local currency unless otherwise stated. 2. RTGS - Real Time Gross Settlement is an initiative of some local Central Banks that allows commercial banks to make (large) inter-bank transactions in real-time in local currency 3. All wires are sent for Beneficiary to pay Correspondent fees by default. If the sender wishes to pay this fee, US$24 Via the Internet Via Standing Order (Pre-Authorized Payment) ACCOUNT TRANSFERS By customer via our ABM, telephone or online Banking By customer via another Bank ABM N/A N/A Local drafts (Manager s cheques) $15.00 By us on written/faxed/telephoned instructions $15.00 USD Currency Drafts (IMOs) Up to $14, DRAFTS &/OR INTERNATIONAL MONEY ORDERS Schedule of Charges SUNDRY SERVICES $25.00 STANDING ORDERS $33.00 CHEQUE RELATED $15, and over $83.00 Cheque books (all styles) $5 + Cost + stamp duty Other Foreign Currency Drafts (IMOs) Stop payment on a local cheque (all reasons) $25.00 each Stop payment on a foreign cheque (all reasons) $62.50-(includes foreign Up to $14, $28.00 $15, and over $78.00 Charge backs (items returned to us by another bank): bank fees) Tracers on Local drafts $ costs Local cheque $25.00 Tracer on Foreign drafts $ costs Foreign cheque $50.00 Stop Payment on Local drafts $25.00 Non-Sufficient Funds $30.00 Stop Payment on Foreign drafts $62.50-(includes foreign bank fees) Third Party (Non Customers) Cheque Cashing Fee $5.00 Duplicate / Replacement drafts Original draft fee Foreign Cheque Processing Fee $6.00 5

6 SUNDRY SERVICES FOREIGN CURRENCY EXCHANGE RESEARCH Charges for foreign currency transactions where same currency tendered as for that being purchased 1% of USD equiv, Min $10.00 Where vouchers are held at local branch $20.00 per hour Local currency for foreign currency Daily rates apply Same Month (within 30 days of last statement): Foreign currency for local currency Daily rates apply 1-5 Vouchers / Items $21.00 per hour Preparation & Submission of FC forms for Approval N/A Each additional Voucher / Item Covered above Registration of inward investment with Central Bank (preparation N/A 2 months - 12 Months: &/or submission of Central Bank forms) Registration for funds for repatriation N/A 1-5 Vouchers / Items $21.00 per hour Each additional Voucher / Item Over 3 months and up to 7 Years: Covered above New issue / replacement of expired or stolen card 1-5 Vouchers / Items $24.00 per hour Replacement of lost card $25.00 Each additional Voucher / Item Covered above **Mini Statement Print $1.00 ABM Deposits ABM Withdrawals: At a FirstCaribbean ABM $1.00 Audit Certificate $25.00 At another bank s ABM N/A Certificate / Confirmation of balance $25.00 Point of Sale purchases N/A Certificate of interest Paid $25.00 **FREE ABM Withdrawals & Ministatements for the following account types: Direct Banking, Senior Savings, Senior Chequing Reference Letters $25.00 Reference Letters: provided on the same day $40.00 Mailed / Regular / diary filled statement Fax sent / received for a customer: Duplicate / Additional / Interim statement $5.00 each USA $50.00 per page Screen print / photocopy $5.00 each Elsewhere including local $10.00 per page Held for collection at the Branch $10.00 each Signature verification $5.00 E-statement: Insurance on Registered Mail Cost Set Up Photocopying documents $5.00 per sheet Monthly Subscription Fee (to be collected via standing order) Coin Orders (requesting coin)-same day request 1% Min. $12.00 Daily files US$50.00 / account Coin Handling (exchanging for Bills) 1% Min. $8.00 Weekly Files US$20.00 / account Hold Mail $20.00 Monthly Files Transaction Fee ABM STATEMENTS US$15.00 / account No charge MISCELLANEOUS SERVICES 6

7 SUNDRY SERVICES ACCOUNT CLOSURE DORMANCY PROTECTION Chequing: Initial Notice (when account goes dormant after 4 years of inactivity) $30.00 Within 90 days $50.00 Notice thereafter ( every year of inactivity) $30.00 each Within 180 days $20.00 Reactivation Savings: Transfer to Central Bank (after 10 years of dormancy) $ VAT Within 90 days $ Within 180 days $50.00 SureStart $20.00 Annual (Rental) Fees: Sealed envelopes (letter sizes) $40.00 SAFETY DEPOSIT BOXES Sealed packages: Annual Rental Fees: Small $ Small $ Large $ Medium $ Sealed boxes $ **Refund of Annual Rental Fee (box closed before year end) Annual fee less Stocks, Debentures, Share Certificates, Deeds, Treasury $ outstanding charges & Bills safekeeping, Savings Certificates taxes Refund of Annual Rental Fee Other Fees: Number of free visits 3 per month Other Fees: 1/12 of annual fee for each unused full month Additional visits $5.00 each Number of free visits 3 per month Forced entry / Drilling of Box $ expenses Additional visits per month $5.00 each Listing of contents $80.00 Clipping coupons N/A Replacement / Lost key $10.00 Obsolete collateral N/A Notification of Safety Deposit arrears LARGE CASH DEPOSITS Fee for depositing large cash deposits via Night deposits Free Fee for depositing large cash deposits in-branch $5 per every $1,000 in cash deposited $0.50 per every $1,000 in cash Cashed In SAFEKEEPING AND SECURITIES TRAVELERS CHEQUES Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in United States Dollars unless otherwise stated. AMEX: Free VISA: 0.25% Min$

8 LENDING SERVICES OVERDRAFTS Setup / Annual Renewal Fee 1.5% Min.$ Annual Fees No charge Standby / Availment (Commitment) fee 1.5% Min.$ Fast Card Fees (Courier charges only) $45.00 Excess Overdraft Fee 1.00% Min. $30.00 ABM Balance Inquiry Fee: Unauthorized Overdraft Fee 2.00% Min. $30.00 At a local FirstCaribbean ABM No charge Note: Overdraft interest rates are charged separately. See rate bulletin for rates. At another bank s ABM $0.50 LOANS & MORTGAGES ABM Withdrawals: At a local FirstCaribbean ABM No charge See Loans Section on the Intranet At another local bank s ABM $3.00 At International/Overseas bank s ABM (Including FirstCaribbean ABMs in another country) $3.00 CREDIT CARDS Point of Sale Purchases: Free CREDIT CARDS Replacement & Additional Cards - Classic $5.00 See Credit Card Section on the Intranet Replacement & Additional Cards - Platinum $10.00 Stamp Duty Declined Transactions: At a local FirstCaribbean ABM No charge Notes: At another local bank s ABM $ * - Product/Service Not offered to new clients At International/Overseas bank s ABM (Including FirstCaribbean ABMs in another country) $ All figures are quoted in United States Dollars unless otherwise stated. Schedule of Charges LENDING AND CARD SERVICES VISA DEBIT CARDS - USD CURRENCY USD VISA DEBIT CARDS 8

9 E-PAY - (Payroll, Supplier Payments, Direct Debits) Schedule of Charges CORPORATE SERVICES NIGHT WALLET DEPOSITORY Set up Fee Annual Fees: Service Fee (monthly) Canvas Wallets N/A Operational Fee (per payroll run) $10.00 Disposable Bags $60.00 Transaction Fee (per credit/payment): Short Term Rental (30 days or less): Per credit to employee account with FirstCaribbean $0.50 Canvas Bags N/A Per credit to employee account with Another Bank $0.75 Disposable Bags N/A Late transmission of payroll file $20.00 Safekeeping (where contents remain in bag): Canvas Bags N/A E-Cheque Card Accounts Disposable Bags N/A Minimum monthly service fee Rebates: Withdrawals / Cheques per entry $0.75 Canvas Bags N/A Deposits / Credits per entry $0.75 Disposable Bags MANUAL PAYROLL - Paper List Option Per Package of 100 (Disposable Only): Small: 9 x 12 $10.00 Set up Fee Medium: 12 x 16 $12.50 Service Fee (monthly) Large: 19 x 28 $15.00 Operational Fee (per payroll run) $30.00 Replacement and Repairs: Transaction Fee (per credit/payment): Canvas Bag N/A Per credit to employee account with FirstCaribbean $3.00 Canvas Bag Keys N/A Per credit to employee account with Another Bank $7.50 Trap Door Key $25.00 Late transmission of payroll file $20.00 Additional Key $

10 CORPORATE SERVICES MANUAL PAYROLL - Cash/Envelope Option ONLINE BILL PAYMENT Set up Fee Where a company signs up as a Biller on FirstCaribbean Internet Banking Service Fee (monthly) Charge Per Payment $0.60 Operational Fee (per payroll run) $30.00 Transaction Fee (per credit/payment): E-STATEMENT PRICING Per credit to employee account with FirstCaribbean $3.00 Statement Frequency Fee Per credit to employee account with Another Bank $5.00 Via Swift: Late transmission of payroll file N/A Daily USD$50 Weekly USD$20 OVER-THE-COUNTER PAYROLL Monthly USD$15 Set up Fee N/A Via Service Fee (monthly) N/A Daily USD$25 Operational Fee (per payroll run) $60.00 Weekly USD$15 Transaction Fee (per credit/payment): Monthly USD$10 Per credit to employee account with FirstCaribbean $3.00 Per credit to employee account with Another Bank $7.50 SWEEPS and ZBAs Same day/immediate request $80.00 Set-up fee Standard Set Up USD$50 Additional Set Up USD$10 Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in United States Dollars unless otherwise stated. 10

11 Performance Bonds 1.25% p.a. Min $55.00 Advising Credits $55.00 Customs Bond 1.00 p.a. Min $35.00 Amendments to credits $ swift/mail costs Guarantee Bond 1.25% p.a. Min $55.00 Confirming credits 1% Min $55.00 Establishment Commission Sight to 3 days: For the first quarter Each additional month Term Max 1 year: For the first quarter Each additional month Amendments, Extensions and Increases: Amendments Extensions Increases BONDS, INDEMNITIES & GUARANTEES LETTERS OF CREDIT: IMPORT (INWARD) CLEAN & DOCUMENTARY Schedule of Charges TRADE SERVICES 1.00% Min $ SWIFT costs 1.00% Min $ SWIFT costs 1.00% Min $ SWIFT costs 1.00% Min $ SWIFT costs $ charges $ charges $ charges LETTERS OF CREDIT: EXPORT (INWARD) CLEAN & DOCUMENTARY Drawings 0.25% Min $55.00 Max $

12 TRADE SERVICES DOCUMENTARY COLLECTIONS (IMPORT & EXPORT) Clean Collection: Handling Charge: All amounts 0.50% Min $11.00 Max $ Inward (clean or Documentary except cheques): Interest charge Local or Foreign Currency: $75.00 Sight 0.75% Min $55.00 Max $ Term 1.00% Min $55.00 Max $ Collection Commission: All amounts 0.75% Min $55.00 Max $ Holding Commission: Sight bills $11.00 per month Matured / Accepted Bills $11.00 per month Shipping Guarantees (Guarantees re Missing Bills of Lading) First 3 months or part thereof 1.00% Min $50.00 Each Additional month 1.00% Min $50.00 Return (of Documents) Charges $ holding fee Protest Fee $ legal costs Airmail Charges $5.50 Inward: $50.00 Cheques received for collection 0.50% Min $11.00 Max $ Outward: Foreign Cheques 0.50% Min $11.00 Max $ Notes: Clean (coupons, bonds, debentures etc) 0.50% Min $11.00 Max $ * - Product/Service Not offered to new clients Documentary collections/handling Charge $ All figures are quoted in United States Dollars unless otherwise stated. 12

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