Schedule of Charges. minimum Tk.=100/= per instrument (c)collection of outstation cheques/bills (clean/documentary) i) Commission

Size: px
Start display at page:

Download "Schedule of Charges. minimum Tk.=100/= per instrument (c)collection of outstation cheques/bills (clean/documentary) i) Commission"

Transcription

1 `SL. ITEM NATURE OF CHARGES SCHEDULE OF CHARGES Collection Service charge/commission (a) Collection of local cheques/instruments where there is clearing house (b)collection of local cheques/instruments where there is no clearing house At actual for conveyance minimum Tk.=00/= per instrument (c)collection of outstation cheques/bills (clean/documentary) 0.5% minimum Tk. 50/= ii) Postage (registered mail/courier service) At actual minimum Tk. 50/= iii) Telegram charge At actual minimum Tk. 50/= iv) Telex/Telephone charge i) Up to Tk. lac Tk. 5/= per minute or part thereof minimum Tk.75/= per telex/per call (Time of each telex/per call (Time of each telex/call should be ascertained 0.5% minimum Tk. 50/= ii) Above Tk. lac but upto 0 lac iii) Above Tk % minimum Tk. 0.05% min. Tk.,000/= (Interest shall also be realized) iv) Postage (registered mail/ courier service) At actual minimum Tk. 50/= Purchase of cheques and Inland Bills v) Telegram charge vi) Telephone Telex/charge At actual minimum Tk. 50/= Tk. 5/= per minute or part thereof minimum Tk.75/= per telex/per call (Time of each telex/per call (Time of each telex/call should be ascertained accurately).

2 SL. ITEM NATURE OF CHARGES SCHEDULE OF CHARGES Remittance i) DD up to Tk.,000/= Tk. 5/= + VAT ii) DD above Tk.,000/= Tk. 50/= + VAT b)cancellation of DD/PO iii) P.O. up to Tk. 500/= Tk. 5/= + VAT iv) P.O. above Tk. 500/= Tk. 5/= + VAT c) Issuance of duplicate instrument Tk. 50/= plus actual postage minimum Tk.5.00/ actual telegram charge minimum Tk /- actual telex-telephone charge minimum Tk. 75/= which is applicable. i) up to Tk. lac Tk. 5/= d) Payment order issuance ii) over Tk. lac to 5 lac Tk. 50/= iii) Over Tk. 5 lac Tk. 00/= 4 5 e) Loss of instrument Standing instruction Godown Charge a)borrower s godown under Bank s Custody Service charge Tk. 500/= i) Rent ii) Insurance Tk. 50/= to be realized for compliance of each instruction. Besides, usual service charges for services rendered like remittance etc. shall be recovered. On borrowers account -do-

3 b) Bank s rented godown iii) Salary & allowances of Godown staff i) Rent ii) Insurance iii) Salary & allowances of Godown staff -do- Shall be realized from the borrowers as per Instruction Circular No.098 dt do- -do- SL. ITEM NATURE OF CHARGES SCHEDULE OF CHARGES 6 Issuance of guarantees 0.75% per quarter or part thereof minimum Tk.000/=. But where guarantee is issued against 00% cash margin (non-interest bearing) a total com. Of Tk.000/= is to be realized from the party. But if the margin or part of it is kept in intt. Bearing account 0.75% per quarter should be realized. Stamp cost shall be at borrower s account 7 Charge for handling parcels Tk.00/= for each parcel for st 0days & additional Tk.5/= for every subsequent 0 days or part thereof. 8 Bank certificate Charge Tk. 00/= for certificate. 9 delivery order 9 Delivery order 0 Documentation (mortgaged/registration etc.) Charge a) Rent Tk. 00/= for each delivery per account At actual from the borrower s account. Locker/safe custody i) Small locker ii) Medium locker iii) Big locker b) Security for key of each Tk.,000/= + VAT PA Tk.,500/= + VAT PA Tk.,000/= + VAT PA Tk. 500/= (No security money

4 locker (refundable) for key from the Bank s Staff & Officers) (All locker charges as per Circular No. HO:BD & MD: :9 dt ) SL. ITEM NATURE OF CHARGES SCHEDULE OF CHARGES DD, TT & MT COMMISSION 0.0% +5% VAT TT (TELEGRAPH TELEGRAPH CHARGE TK.0/= +5% VAT CHARGE) TT (TELEPHONE TELEPHONE CHARGE TK.40/= +5% VAT CHARGE) SL. ITEM NATURE OF CHARGES Loan processing charge (To be realised during documentation before disbursement through transfer voucher & not in cash) Loan against FDR/DPS/PPS balances All other Loans & Advance except CLS Upto Tk..00 crore & above.00 crore. SL. ITEM NATURE OF CHARGES st Quarter 0.40% for sight, deferred L/C opening commission under cash 0.50% & for each subsequent quarter or part thereof 0.0%, Minimum Tk.000/= 00% margin cost sight 0.5% 4 5 L/C opening commission under Loan/Barter/Credit/grant/AID/STA etc. (both commodity & project) L/C opening commission under Back to back L/C/Inland L/C/EDFLC L/C opening commission under deferred payment L/Cs. Acceptance commission under deferred payment L/C, Back to Back L/C a) L/C amendment including increase of L/C value or extension of time 6 b) L/C amendment without increase of value & extension of time 7 Postage/SWIFT/TELEX charge st Quarter 0.40% sight, 0.50% deferred per quarter & for each subsequent quarter or part thereof 0.0%, Minimum Tk.000/= st Quarter 0.40% & for each subsequent quarter or part thereof 0.0%, Minimum Tk.000/= st Quarter 0.50% & for each subsequent quarter or part thereof 0.0%, Minimum Tk.,000/= st Quarter 0.40% per quarter Minimum Tk.000/= As per L/C opening commission. Actual cost or Minimum Tk.000/= +SWIFT, Courier/Postage Charges Tk.750/= plus SWIFT/ Courier/Postage Charges

5 8 9 0 a) If L/Cs/L/C Amendment are transmitted by mail b) If L/Cs are transmitted by courier c) By Swift/Telex d) If L/Cs are transmitted in short Telex/SWIFT message e) Amendment of L/C by mail by SWIFT f) for any message/communication (SWIFT/Mail) F.C. charges for all types of L/Cs (which will be recovered at the time of lodgment of Bills) For arranging confirmation from third Bank/Advising Bank a) for sight L/C at openers cost b) for sight L/C at beneficiaries cost c) for deferred payment L/C up to 80 days on openers account d) for deferred payment L/c up to 80 days on beneficiaries account Foreign Correspondents charges for all types of L/Cs. a) Advising commission b) Negotiation commission c) Reimbursement commission Collection of Credit Report on beneficiary of L/C Tk.500/= At actual Minimum Tk.,000/= + VAT 5% a) Foreign Minimum Tk.,000/= b) Local Minimum Tk.,000/= Tk.,000/= Mail -Tk.500/=, SWIFT-Foreign Tk.,000/= Local Tk.500/= Courier-At actual, Min. Tk.,000/= Foreign Tk.600/=, Local Tk.00/= At actual a) On openers account-foreign Bank Charges + 0.5% flat (Minimum Tk.,500/= b) On beneficiaries account Foreign Bank charges at actual + 0.0% flat Minimum tk.,500/- (For both sight & deferred L/c) a) At actual as per schedule of charges of Foreign Bank + other charge b) At actual as per schedule of charges of Foreign Bank + other charge c) Minimum USD 50/= or equivt. At actual + SWIFT/Communication charge plus handling charge Tk.500/= All other charges not mentioned above in connection with opening L/C/inquiry Minimum Tk.500/= + message charge SL. ITEM NATURE OF CHARGES L/C cancellation charge NIL 4 L/C processing /Stationery/handling etc. Tk.00/= 5 PSI handling charge Tk.500/= 6 Loan account (L/C, BG, Bills, LATR, LIM, PC etc.) Tk.500/= per case proposal/renewal/specific processing charges/fees 8 a) Buying House License b) Money Exchange co. license c) General/Indentors Govt. Fees + tk.00/= for IRC (General), Tk.500/= for Indentors/Buying House/Money Exchange Co. 9 0 Discrepant document handling charge (Import payment) Endorsement of copy document USD 50/= from foreign Bill amount US$ 0/= from Local Bill amount + Handling charges Tk.500/= ffrom Importer Nil

6 Issuance of indemnity for shipping guarantee/noc Tk.500/= for each document Issuance of all kinds of certificate Tk.500/= Handling/disbursement charge for LATR, LIM, PC etc. a) upto Tk.5,00,000/= Tk.,000/= b) upto Tk.0,00,000/= Tk.,000/= c) above Tk.0,00,000/=Tk.,000/- B. Export Negotiation commission for export bills (where exchange earned through buying & selling) Tk.,000/- per Export documents Negotiation commission for export bills (where no 0.5% Flat exchange allowed) other than BB L/C Minimum Tk.500/= Advising of Foreign Bank L/Cs to the local Foreign Tk.750/= beneficiary Local Tk. 750/= 4 Advising of L/Cs amendment to the local beneficiary Tk.750/= Foreign L/C Tk.750/=Local L/C 5 Adding confirmation to Foreign Bank L/Cs by us 0.5% per quarter Minimum Tk.,000/= 6 Transfer of L/Cs/L/C amendment Tk. 000/= per transfer 7 Collecting Bank charges in abroad At actual a) Processing of documents under collection (where Handling charge Tk.500/= 8 exchange earned through buying & selling on realization) b) Processing of documents under collection (where no exchange allowed on realization) 0.5% Flat Minimum Tk.500/= 9 Mailing of Mail Tk.600/= Export documents Courier at actual 0 Any other charges not mentioned above for export At actual transactions Exp Certification Tk.00/= per set Cash incentive/assistance Claim Tk.,000/= for each claim PRC issuance Tk.500/= C. Origin of Bank Gurantee SL. NO ITEM OF TRANSACTION BANK CHARGES Advising of guarantee/bid-bond to the beneficiary in original without any engagement on our part Tk.,000/= Issuance of guarantees/bid-bonds/performance 0.0% per Quarter guarantee/stand by letter of credit against 00% Minimum US$. 50/= + other charges counter guarantee of Foreign correspondents Issuance of guarantee/bid-bond/performance 0.5% per Quarter Minimum

7 D. Collection (inward) HANDLING COMMISSION For collection of clean items (Inward) Tk.00/=-flat + FCC & P&T For documentary collection bills (under all type of L/Cs) 0.5% flat Minimum Tk.500/= For documentary bills (without L/Cs) 0.5% flat Minimum Tk.500/= 4 All other charges At actual E. FOREIGN REMITTANCE/COLLECTIONS Purchase of Foreign Check/Drafts/TCS a) Tk 0.0 per USD b) Tk per GBP c) In all other currency as per USD Minimum Tk.00/= + P&T Tk.00/= 4 Payment of any foreign Taka drafts which are drawn on our Bank (This shall include payment in cash account or by clearing) a) Disbursement of Inward remittances at our counter FTT-FDD b) If payment of remittances to the beneficiary made by DD, MT or TT Collection of foreign currency draft/instrument from other Local bank 5 Collection of foreign currency draft from abroad Free- Handling charge Tk.00/= upto Tk.0,000/=, Tk.00/= above Tk.0,000/- Charge at actual as per rule plus P&T Tk.00/= above Tk.0,000/-+ P&T Tk.00/= per instrument Foreign Bank charge + handling charge Tk.00/= Plus P & T 6 Encashment of any foreign currency at our counter Tk.00/= per instrument/case 7 Encashment of any TT at our counter in F.C Tk.00/= per TT 8 Transactions by Nominee/Account holder in F.C. A/cs Tk.00/= per instrument/trans 9 Issuance of Foreign Currency drafts on foreign correspondents or favoring Local Bank 0 Transfer of L/C authorization form to other Bank Tk.,000/=flat Delivery order (D/O) charge (Bank s and Party s Godown) Opening of student file a) Tk.00/= Non Commercial/individual b) Tk.500/= upto USD 5,000/- Tk.,000/= above USD 5,000/- or eqvt. Commercial + SWIFT Charge + F.Bank Charges if any Tk.00/= per delivery order Minimum Tk.,000/- + actual charge for opening, subsequent charge Tk.,000/= SL. ITEM OF TRANSACTION Cancellation of DD BANK CHARGES Tk.00/- + Message charge & FCC

8

Schedule of Bank Charges/Commission in respect of Inland & Online Transactions

Schedule of Bank Charges/Commission in respect of Inland & Online Transactions Schedule of Bank /Commission in respect of Inland & Online Transactions Sl. No. Types of Service Nature of 1 Al-Wadiah Current Maintenance Deposit Account/ MSND Account Account Closing 2 Mudaraba Savings

More information

Social Islami Bank Ltd. Business Development & Marketing Department Head Office, Dhaka. Schedule of Charges for General Banking and others

Social Islami Bank Ltd. Business Development & Marketing Department Head Office, Dhaka. Schedule of Charges for General Banking and others Social Islami Bank Ltd. Business Development & Marketing Department Head Office, Dhaka. Annexure A 05. Schedule of for General Banking and others Type of s Nature of Revised Rate a. Account a. Half yearly

More information

Schedule of Charges Effective from August 01, 2015

Schedule of Charges Effective from August 01, 2015 Schedule of Charges Effective from August 01, 2015 This schedule is focused on giving a clear idea of our charges, fees and commissions. For any queries about the fees charges or commissions in the manual,

More information

STANDARD BANK LTD. International Division, Head Office

STANDARD BANK LTD. International Division, Head Office Revised Schedule of Relating To Foreign Exchange Transactions has been prepared complying the BRPD Circular No. 19 Dt. 22.12.2009 & No. 09 Dt. 14.02.2010 with effect from 01.08.2013. A. IMPORT SL TYPES

More information

Mutual Trust Bank Ltd Schedule of Charges of Corporate Banking

Mutual Trust Bank Ltd Schedule of Charges of Corporate Banking Mutual Trust Bank Ltd Schedule of of Corporate Banking No 1 Particulars Collection Nature of / Commission /Commission Collection of Local Cheque/Bill/Draft i) Where there is a Clearing House - ii) Where

More information

FOREIGN TRADE IMPORT

FOREIGN TRADE IMPORT FOREIGN TRADE SCHEDULE OF CHARGES LC OPENING CHARGE & COMMISSION: LC (Cash) opening commission with 100% cash margin IMPORT 1 st qtr @ 0.10% To 0.25%, sub qtr. @ 0.10% To 0.25%, LC (Cash) opening commission

More information

BASIC Bank Limited. " T~ [OI'lN(O SCiHOUlCO 8"NI< Treasury Division Head Office, Dhaka.

BASIC Bank Limited.  T~ [OI'lN(O SCiHOUlCO 8NI< Treasury Division Head Office, Dhaka. BASIC Bank Limited S r "In i ~P.0 p, i f et, p r et, T fj i " T~ [OI'lN(O SCiHOUlCO 8"NI< Treasury Division Head Office, Dhaka. Circular no: BASIC/HOrrD120 14/02 January 22, 2014 TO: ALL DIVISIONAL HEADS

More information

UNITED COMMERCIAL BANK LIMITED Corporate Office Dhaka. Revised Schedule of Charges for various Services on inland transactions rendered by the Bank

UNITED COMMERCIAL BANK LIMITED Corporate Office Dhaka. Revised Schedule of Charges for various Services on inland transactions rendered by the Bank UNITED COMMERCIAL BANK LIMITED Corporate Office Dhaka Revised Schedule of Charges for various Services on inland transactions rendered by the Bank Sl. Items Present rate of Charges 01. Acco unt Maintenance

More information

Schedule of Charges & Commissions Effective from July 01, 2013 General

Schedule of Charges & Commissions Effective from July 01, 2013 General Schedule of & s Effective from July 01, 2013 General This guide is intended to give you a clear picture of our fees, charges and commission. If you have any queries about the fees, charges or commission

More information

General Service Corporate and SME Banking

General Service Corporate and SME Banking General Service Corporate and SME Banking Schedule of s Deposit Accounts Current, Savings and Short Term Deposit (STD) Minimum Balance Fee/Incidental /Ledger Fee/Service SB & CD Account No Fee Account

More information

SCHEDULE OF CHARGES. 1.0 Account related Charges/Fees: Service Description

SCHEDULE OF CHARGES. 1.0 Account related Charges/Fees: Service Description SCHEDULE OF CHARGES 1.0 Account related Charges/Fees: Service Description 1.1 Account Maintenance Fee Current Account/ Al-Wadiah Current A/c SND Account/ Mudaraba SND Account Charges Tk. 500.00 (1/2 Yearly)

More information

IFIC Bank Limited Schedule of Charge, Fees & Commissions. Particulars Nature of Charges Rate. Fees

IFIC Bank Limited Schedule of Charge, Fees & Commissions. Particulars Nature of Charges Rate. Fees Schedule of, s & s A. General Banking Particulars Nature of s Rate Deposit Accounts Current Account Account Maintenance (half yearly) s Tk. 500 + VAT Closing of Account Tk. 300 + VAT SND Account Account

More information

State Bank of India SCHEDULE OF CHARGES General Banking

State Bank of India SCHEDULE OF CHARGES General Banking State Bank of India SCHEDULE OF CHARGES General Banking SL Types of service Nature of charges Revised Charges No. 1.a Balance confirmation certificate Half-yearly/ Free Yearly 1.b Balance confirmation

More information

Effective from January 1, Page 1 of 8

Effective from January 1, Page 1 of 8 Effective from January 1, 2014 Page 1 of 8 Manarah Current Account Minimum account opening balance A/C Maintenance fee Tk.10,000 Tk. 500 ½ Yearly Closing of account Tk. 300 Cheque Book issue fee Tk. 5

More information

Particulars Nature of Charges Rate. Account Maintenance Fee (half yearly) Fees Tk VAT. Account Maintenance Fee (half yearly) Fees Tk.

Particulars Nature of Charges Rate. Account Maintenance Fee (half yearly) Fees Tk VAT. Account Maintenance Fee (half yearly) Fees Tk. Schedule of, Fees & s Particulars Nature of s Rate A. General Banking Deposit Accounts Current Account Account Maintenance Fee (half yearly) Fees Tk. 500 + VAT Closing of Account Tk. 300 + VAT SND Account

More information

UNITED COMMERCIAL BANK LIMITED Head Office Dhaka

UNITED COMMERCIAL BANK LIMITED Head Office Dhaka UNITED COMMERCIAL BANK LIMITED Head Office Dhaka Annexure B Revised Schedule of Charges for various Services on Foreign Exchange transactions rendered by the Bank. Sl. Period/Value Revised Rate of Charges

More information

Schedule of Charges, Fees & Commissions Effective from January 01, 2018 General

Schedule of Charges, Fees & Commissions Effective from January 01, 2018 General Schedule of, & Effective from January 01, 2018 General This guide is intended to give you a clear picture of our charges, fees and commissions. If you have any queries about the fees, charges or commissions

More information

Schedule of Bank Charges

Schedule of Bank Charges (January- June) 2018 INLAND BANKING Pay-order 1 Issuance of PO upto BDT 1 lac BDT 100.00 2 Issuance of PO above BDT 1 lac BDT 200.00 3 Cancellation of PO BDT 500.00 4 Stop Payment of Cheques /PO/DD 1 Regular

More information

SCHEDULE OF CHARGES. Average Balance Tk.25,000 + Nil Nil

SCHEDULE OF CHARGES. Average Balance Tk.25,000 + Nil Nil SCHEDULE OF CHARGES 1.0 Account related Charges/Fees: Service Description 1.1 Account Maintenance Fee Current Account/Al-Wadiah Current A/c SND Account/Mudaraba SND Account Charges Tk. 500.00 (1/2 Yearly)

More information

Tariffs & Charges. Account Maintenance Fee. -BDT Accounts (SND) Avg balance 5,001 to 25,000/-

Tariffs & Charges. Account Maintenance Fee. -BDT Accounts (SND) Avg balance 5,001 to 25,000/- Deposit Accounts 1 Account Maintenance Fee -BDT Accounts (Savings) Avg balance up to 5,000/- Avg balance 5,001 to 25,000/- Tk. 100/- (Half Yearly) Avg balance above 25,000/- Tk. 300/- (Half Yearly) -BDT

More information

Schedule of Charges. for. Corporate Banking Division

Schedule of Charges. for. Corporate Banking Division Schedule of Charges for Corporate Banking Division Effective from 1 st March 2014 Cash & Trade CURRENT CLASSIC ACCOUNT Account Maintenance Fee BDT 500.00 Half yearly Cheque Book Issue fees BDT 250.00 SHORT

More information

Schedule of Charges of Retail Banking

Schedule of Charges of Retail Banking Schedule of Charges of Retail Banking Particulars Charges / Commission Deposit Accounts Current, Savings, SND, MTB Senior, MTB Inspire and Scheme accounts Account Maintenance Fee 1 Current Account/ SND

More information

SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2015.

SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2015. SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2015. (All charges are inclusive of service tax) A. INWARD REMITTANCES: i) Execution of SWIFT remittances. Rs. 230/- per remittance.

More information

Schedule of Charges. for. Corporate Banking Division

Schedule of Charges. for. Corporate Banking Division Schedule of Charges for Corporate Banking Division Effective from 1 st March 2014 Cash & Trade CURRENT CLASSIC ACCOUNT Account Maintenance Fee BDT 500.00 Half yearly Cheque Book Issue fees BDT 250.00 SHORT

More information

Tariffs & Charges. Deposit Accounts. Account Maintenance Fee. -BDT Accounts (SND) Avg balance 5,001 to 25,000/-

Tariffs & Charges. Deposit Accounts. Account Maintenance Fee. -BDT Accounts (SND) Avg balance 5,001 to 25,000/- Tariffs & Charges Description Tariffs & Charges Account Maintenance Fee -BDT Accounts (Savings) Avg balance up to 5,000/- Avg balance 5,001 to 25,000/- Avg balance above 25,000/- -BDT Accounts (Current)

More information

SCHEDULE OF CHARGES & COMMISSION EFFECTIVE FROM: JUNE-2016

SCHEDULE OF CHARGES & COMMISSION EFFECTIVE FROM: JUNE-2016 SCHEDULE OF CHARGES & COMMISSION EFFECTIVE FROM: JUNE-016 General Banking Services Item Type of Services Nature of s s / s 1 Standing Instruction Rent Small Size Medium Size Large Size Tk. 0/- to be realized

More information

Schedule of Charges. For Individual Accounts

Schedule of Charges. For Individual Accounts Schedule of Charges For Individual Accounts Savings Account : Minimum Balance Requirement : Shukonna TK. 500.00 TK. 100.00 Account Maintenance Fee : Half Yearly Average Balance: Savings Account Up to TK.

More information

Tariffs & Charges. -BDT Accounts (SND) Avg balance 5,001 to 25,000/-

Tariffs & Charges. -BDT Accounts (SND) Avg balance 5,001 to 25,000/- Tariffs & Charges Description Tariffs & Charges Deposit Accounts Account Maintenance Fee -BDT Accounts (Savings) Avg balance up to 5,000/- Avg balance 5,001 to 25,000/- Tk. 100/- (Half Yearly) Avg balance

More information

Schedule of Charges 1 January June 2018

Schedule of Charges 1 January June 2018 Schedule of Charges 1 January 2018-30 June 2018 Notes a) All government excise duties / taxes / Zakat etc. are applicable in addition to fee / charges. b) Out-of-pocket expenses will be collected for all

More information

(Company No: U) TARIFFS AND CHARGES

(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 information

SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2013 A) INWARD REMITTANCES:

SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2013 A) INWARD REMITTANCES: SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2013 A) INWARD REMITTANCES: i) Execution of SWIFT remittances. ` 230/- per remittance ii) Inward remittances received and to be executed

More information

SCHEDULE OF CHARGES. 1.3 Account Maintenance Fee Personal Current Account Half Yearly Average Balance Urban branches Rural branches

SCHEDULE OF CHARGES. 1.3 Account Maintenance Fee Personal Current Account Half Yearly Average Balance Urban branches Rural branches SCHEDULE OF CHARGES 1.0 Account related Charges/Fees: Service Description 1.1 Account Maintenance Fee Current Account/Al-Wadiah Current A/c SND Account/Mudaraba SND Account Charges Tk. 500.00 ( Half Yearly)

More information

Tk per instance excluding DPS & Loan Installment Payment No charge for Defence Personnel & TBL Employees

Tk per instance excluding DPS & Loan Installment Payment No charge for Defence Personnel & TBL Employees Sl Description Schedule of s - 2012 A A1 General Banking & Local Remittance Current Accounts/Al-Wadiah: A1-i Incidental A1-ii Account Maintenance Fee Tk.500 (Half Yearly) A1-iii Account closing charge

More information

(Company No: U) TARIFFS AND CHARGES

(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 information

Effective from January 1, 2014

Effective from January 1, 2014 Effective from January 1, 2014 Page 1 of 8 Updated on June 29, 2014 Deposit Accounts Current Accounts (Minimum account opening balance TK. 10,000) BDT account maintenance fee (including OD Account) TK.

More information

Updated on May 10, 2016

Updated on May 10, 2016 Updated on May 10, 2016 Page 1 of 8 Updated on May 10, 2016 Deposit Accounts Current Accounts (Minimum account opening balance TK. 10,000) BDT account maintenance fee (including OD Account) TK. 500 FCY

More information

Forex related Service Charges (Excluding GST)

Forex related Service Charges (Excluding GST) Forex related Service Charges (Excluding GST) DESCRIPTION A. EXPORT RELATED TRANSACTIONS 1 PCFC Disbursal Charges: a. For domestic Inputs (Conversion into Rupee) b. For imported inputs (direct remittance

More information

SCHEDULE OF CHARGES. Retail Business Division United Commercial Bank Limited

SCHEDULE OF CHARGES. Retail Business Division United Commercial Bank Limited SCHEDULE OF CHARGES Retail Business Division United Commercial Bank Limited effective from January, 2018 Schedule of Charges, Retail Liability, Retail Business Division United Commercial Bank Limited Account

More information

FOREIGN EXCHANGE TRANSACTIONS

FOREIGN EXCHANGE TRANSACTIONS FOREIGN EXCHANGE TRANSACTIONS Sl Subject Page No. 1. General 2. Export bills purchased/ discounted/ negotiated: 2.1 Foreign Currency Bill 2.2 Rupee Bill 3 2.3 Bill sent to another bank in India 2.4 Indemnity

More information

INTERNATIONAL DIVISION

INTERNATIONAL DIVISION I. EXPORTS 1. (A) Bills Purchased / Discounted / Negotiated (a) Processing Charges for Foreign Currency Export Bills (b) Processing Charges for each Rupee Export Bills (c) Forwarding Export Document on

More information

Updated on

Updated on Updated on 24-01-2019 Page 1 of 11 Updated on 24-01-2019 Deposit Accounts Current Accounts (Minimum account opening balance TK. 10,000) BDT account maintenance fee (including OD Account) FCY account maintenance

More information

United Overseas Bank Limited, Mumbai - Trade and Remittance Services

United Overseas Bank Limited, Mumbai - Trade and Remittance Services United Overseas Bank Limited, Mumbai - Trade and Remittance Services DOCUMENTARY LETTER OF CREDIT IMPORTS / INLAND LETTER OF CREDIT (LC) 1 Issuance of Sight/Usuance LC 1% p.a or Minimum Rs 4000 2 Usuance

More information

FOREIGN EXCHANGE RELATED SERVICE CHARGES STRUCTURE w.e.f

FOREIGN EXCHANGE RELATED SERVICE CHARGES STRUCTURE w.e.f Sr. No. FOREIGN EXCHANGE RELATED SERVICE CHARGES STRUCTURE w.e.f. 01.07.2017 DESCRIPTION CHARGES Annexure-I A. EXPORT RELATED TRANSACTIONS 1) EXPORT BILLS PURCHASED / NEGOTIATED / DISCOUNTED a. Processing

More information

Schedule of Bank Charges (Excluding Applicable V.A.T)

Schedule of Bank Charges (Excluding Applicable V.A.T) Schedule of Bank Charges (Excluding Applicable V.A.T) From 1 st January 2018 Bank Alfalah Limited Dhaka-1212, Bangladesh. T: +8802-8833112-4 F: +8802-9896782 www.bankalfalah.com/bd Contents A. Customer

More information

SCHEDULE OF CHARGES (SC 2012/2069)

SCHEDULE OF CHARGES (SC 2012/2069) SCHEDULE OF CHARGES (SC 2012/2069) SUNRISE BANK LTD 2012/2069 Table of Contents Page No. (A) Import Letter of Credit 3 (B) Export Letter of Credit 6 (C) Guarantee 9 (D) Clean Bills Purchase 11 (E) Clean

More information

FEES AND CHARGES (CORPORATE NON SME)

FEES 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 information

Schedule of Charges. January to June 2018

Schedule of Charges. January to June 2018 Schedule of Charges January to June 208 CONTENTS DESCRIPTION Page No. Foreign Currency Accounts & Remittances Outward Inward Collection and Clearing Domestic Banking Remittances 2 Online, Clearing & Collection

More information

Kenya Centre. Schedule of Service Charges w.e.f (Inclusive excise duty to be effective from )

Kenya Centre. Schedule of Service Charges w.e.f (Inclusive excise duty to be effective from ) Kenya Centre Schedule of Service Charges w.e.f. 01.11.2010 (Inclusive excise duty to be effective from 01.08.13) Item Description Non-customers Excise 10% Total GENERAL CHARGES 1.Cheque Book Ksh 15/- per

More information

Schedule of Charges Effective from 1st August, 2018

Schedule of Charges Effective from 1st August, 2018 Schedule of Charges Effective from 1 st August, 2018 Cash Management Services Account Services Account Maintenance Fee Stop Payment Account Closing Statement Rendition - Hard Copy Inward Remittance Inward

More information

NEPAL CREDIT AND COMMERCE BANK LTD.

NEPAL CREDIT AND COMMERCE BANK LTD. Annexure 2 NEPAL CREDIT AND COMMERCE BANK LTD. Effective from 12 th November 2017 Page 1 / 8 S.no Services Min. Charges Revised Charges 1. Account Services a. Good for Payment Rs. 500/- Cancellation Rs.

More information

Schedule of Charges. Charges / Commission/ Fees Account Maintenance Fee

Schedule of Charges. Charges / Commission/ Fees Account Maintenance Fee 1 2 Schedule of Charges Particulars Charges / Commission/ Fees Account Maintenance Fee Current Account/ SND Account BDT 500 Half Yearly Regular Savings / Inspire / Ruby / i) No fee up to BDT 5,000 on average

More information

NATIONAL DEVELOPMENY BANL PLC

NATIONAL DEVELOPMENY BANL PLC NATIONAL DEVELOPMENY BANL PLC ISLAMIC BANKING TARIFF BOOKLET Version 02 November 2014 Islamic Banking Unit THE RATES AND CHARGES CONTAINED HEREIN ARE SUBJECT TO CHANGE Page 1 of 13 Contents General Information...

More information

November, 2017 PUBLIC

November, 2017 PUBLIC November, 2017 GLOBAL LIQUIDITY AND CASH MANAGEMENT Account Management Account Maintenance Fee Account Closing Fee Standing Instruction Fee PRC (Encashment Certificate) Fee Current Account BDT 500/- (Half

More information

SCHEDULE OF CHARGES SUNRISE BANK LTD

SCHEDULE OF CHARGES SUNRISE BANK LTD SCHEDULE OF CHARGES SUNRISE BANK LTD Contents (A) IMPORT LETTER OF CREDIT... 3 (B) EXPORT LETTER OF CREDIT... 6 (C) GUARANTEE... 9 (D) CLEAN BILLS PURCHASE... 11 (E) CLEAN BILLS COLLECTION... 12 (F) OUTWARD

More information

SCHEDULE OF CHARGES February 15, 2015

SCHEDULE OF CHARGES February 15, 2015 SCHEDULE OF CHARGES February 15, 2015 PAYMENTS & CASH MANAGEMENT SERVICES Account Management Account Closing Fee Standing Instruction fees PRC (Encashment Certificate) fee BDT 200/- (or BDT 200/- Equivalent

More information

SERVICE CHARGES WITH EFFECT FROM TRANSACTION TYPE SAVINGS CURRENT / OD / CC

SERVICE CHARGES WITH EFFECT FROM TRANSACTION TYPE SAVINGS CURRENT / OD / CC TRANSACTION TYPE SAVINGS CURRENT / OD / CC MINIMUM BALANCE Rs.1000/- Rs.5000/- Account Maintenance Fee (applicable in case of non-maintenance of MINIMUM BALANCE) Shortfall Amount Charges (Rs.) 1-250 35

More information

Rs 2,000 Rs 10,000 Medium. Rs 4,000 Rs 15,000 Large. Rs 6,000 Rs 20,000 Extra Large

Rs 2,000 Rs 10,000 Medium. Rs 4,000 Rs 15,000 Large. Rs 6,000 Rs 20,000 Extra Large 1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 2 2.1 3 3.1 3.2 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in

More information

Schedule of Charges. Account Maintenance Fee. Account Transfer Charge

Schedule of Charges. Account Maintenance Fee. Account Transfer Charge 1 2 Particulars Current Account/SND Account Schedule of Charges Account Maintenance Fee Regular Savings/Inspire/Ruby/Senior/NRB Saving/Other Saving Account (Waiver of A/C Maintenance Fee for Junior, Graduate,

More information

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large 1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 2 2.1 3 3.1 3.2 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in

More information

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large 1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 2 2.1 3 3.1 3.2 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in

More information

MAYBANK CHINA BRANCHES. (June 2016)

MAYBANK CHINA BRANCHES. (June 2016) FEES & CHARGES FOR ACCOUNT SERVICE A) DEMAND DEPOSITS (CURRENT ACCOUNT) 1. Half-yearly Service Charge USD20.00 if minimum average balance during the half year is below USD10,000.00 Exemptions for:- i)

More information

FEES AND CHARGES MAY 2012

FEES AND CHARGES MAY 2012 FEES AND CHARGES MAY 2012 Part 1 for the Branches 1. CURRENT ACCOUNT (LOCAL CURRENCY) 1.1 Half-Yearly Service Charges All accounts without banking facility with average daily RM10.00 balance less than

More information

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large 1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in house cheque)

More information

Union Bank of Colombo PLC- Tariffs - (w.e.f. 1st July 2017)

Union Bank of Colombo PLC- Tariffs - (w.e.f. 1st July 2017) Union Bank of Colombo PLC- Tariffs - (w.e.f. 1st July 2017) No. DESCRIPTION DBU (in LKR) RETAIL 1.00 Minimum Deposit to open Accounts Ultra Saver LKR 1,000 NA Ultra Saver - Elite LKR 1000 Regular Saver

More information

BNP PARIBAS MALAYSIA BERHAD. Tariff and Charges

BNP 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 information

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large

Rs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large 1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in house cheque)

More information

LC is part thereof then charges for full quarter should be (ii) Usance charges for bills upto 10 days sight

LC is part thereof then charges for full quarter should be (ii) Usance charges for bills upto 10 days sight Sechdule of Charges for Trade and Forex Transaction Effective 15th April 2019 S.NO SERVICES CHARGES 1 IMPORT LETTER OF CREDIT A Opening of Sight Letter of Credit Commitment charges 0.20% per quarter on

More information

Schedule of Charges. For Individual Accounts

Schedule of Charges. For Individual Accounts Schedule of Charges For Individual Accounts Savings Account : Minimum Balance Requirement : Shukonna TK. 500.00 TK. 100.00 Account Maintenance Fee : Half Yearly Average Balance: Savings Account Up to TK.

More information

SUMITOMO MITSUI BANKING CORPORATION BANK S SERVICE CHARGES AND FEE

SUMITOMO 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 information

ISLAMIC BANKING - SCHEDULE OF CHARGES FOR THE PERIOD - JULY TO DECEMBER 2017

ISLAMIC BANKING - SCHEDULE OF CHARGES FOR THE PERIOD - JULY TO DECEMBER 2017 TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit. 1 st Qtr or part thereof: Subs. Qtr or part thereof: Minimum charges: 2. Non Reimbursable Letters

More information

Product - Imports & Exports Letter of Credits, Collections, Guarantee & Trade Loan. 1. Services : Imports Issuance of Letter of Credit (LC)

Product - Imports & Exports Letter of Credits, Collections, Guarantee & Trade Loan. 1. Services : Imports Issuance of Letter of Credit (LC) 1. Service level Agreement SLA Product - Imports & Exports Letter of Credits, Collections, Guarantee & Trade Loan 1. Services : Imports Issuance of Letter of Credit (LC) By 1pm on T Day Fulfillment : LC/Amendment

More information

FEES AND CHARGES (CORPORATE NON SME)

FEES AND CHARGES (CORPORATE NON SME) FEES AND CHARGES (CORPORATE NON SME) 1. CURRENT ACCOUNT (LOCAL CURRENCY) 1.1 Half-Yearly Service Charges All accounts without banking facility with average daily RM10.00 balance less than RM 1,000.00 during

More information

Corporate Banking. Tariff of Charges

Corporate Banking. Tariff of Charges Corporate Banking Tariff of Charges effective 1 st July 2017 This document lists the charges applicable to corporate banking transactions and services offered by the domestic branches of The Hongkong and

More information

INR 200 each additional request. previous year - INR 200 per month

INR 200 each additional request. previous year - INR 200 per month India Current Accounts Certification of balance of account GL 7277261 Free for first certificate INR 200 each additional request Cheques returned NSF (other than for technical INR 250 reason) (refer drawer,

More information

TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit.

TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit. TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit. SCHEDULE OF BANK CHARGES FOR THE PERIOD JANUARY - JUNE 2019 1 st Qtr or part thereof: Up to 0.40%

More information

TARIFF OF FEES / CHARGES - CASH & TRADE

TARIFF OF FEES / CHARGES - CASH & TRADE ARAB BANK plc TARIFF OF FEES / CHARGES - CASH & TRADE TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) CASH MANAGEMENT SERVICES TRANSACTIONAL FEES AMOUNTS ARE IN AED ITEMS ACCOUNT

More information

Schedule of Bank Charges 1 st January to 3o th June, Samba Bank Limited

Schedule of Bank Charges 1 st January to 3o th June, Samba Bank Limited 2019 1 30 Schedule of Bank Charges 1 st January to 3o th June, 2019 Samba Bank Limited 1. Letter of Credit Issuance and Revalidation Charges 1st Qtr or part thereof Up to 0.40% Subsequent Qtr or part thereof

More information

Samba Bank Limited Schedule of Bank Charges

Samba Bank Limited Schedule of Bank Charges Samba Bank Limited Schedule of Bank Charges 2017 30 1 st January to 30 th June, 2017 Samba Bank Limited - Subsidiary of Samba Financial Group, Saudi Arabia Samba Bank Limited - Subsidiary of Samba Financial

More information

MAYBANK CHINA BRANCHES. (March 2017)

MAYBANK CHINA BRANCHES. (March 2017) FEES & CHARGES FOR ACCOUNT SERVICE A) DEMAND DEPOSITS (CURRENT ACCOUNT) 1. Half-yearly Service Charge USD20.00 if minimum average balance during the half year is below USD10,000.00 Exemptions for:- i)

More information

REVISED SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS W.E.F. MAY 20, 2013

REVISED SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS W.E.F. MAY 20, 2013 REVISED SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS W.E.F. MAY 20, 2013 TYPES OF TRANSACTION 1 For each Foreign Currency and Rupee Bill Purchased/ Discounted/ Negotiated Collection/Bills under PCFC/

More information

SCHEDULE OF BANK CHARGES JAN-JUNE, 2019

SCHEDULE OF BANK CHARGES JAN-JUNE, 2019 SCHEDULE OF BANK CHARGES JAN-JUNE, 2019 Nasir Hussain BANKISLAMI PAKISTAN LIMITED KARACHI,PAKISTAN Contents 1. INLAND REMITTANCES... 2 2. Collection and other services... 2 3. ALTERNATE DISTRIBUTION CHANNELS...

More information

Disclosure of Fees and Charges

Disclosure of Fees and Charges Disclosure of Fees and Charges International Services in CCY Foreign Currency Account AUD, USD, JPY GBP, NZD, EUR Foreign Currency High Passbook Account Minimum operating balance 500.00 20,000 Maintenance

More information

TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking)

TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) 1 ACCOUNT SERVICES Current Account Yearly Account Administration Fees QAR 1,000 Account Opening Balance QAR QAR 100,000 USD USD 7,500

More information

Trade Finance Wholesale Banking

Trade 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 information

BANK SADERAT PLC. Schedule of Tariffs Terms and Conditions. Effective from March 2010

BANK SADERAT PLC. Schedule of Tariffs Terms and Conditions. Effective from March 2010 BANK SADERAT PLC Schedule of Tariffs Terms and Conditions Effective from March 2010 5 Lothbury London EC2R 7HD Tel: 020 7600 0133 Fax: 020 7796 3216 e-mail: enquiries@saderat-plc.com V 109.1.4 Registered

More information

MIZUHO BANK, LTD. BANGKOK BRANCH

MIZUHO 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 information

TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) CASH MANAGEMENT SERVICES July 31, 2012

TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) CASH MANAGEMENT SERVICES July 31, 2012 TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) CASH MANAGEMENT SERVICES July, 0 ACCOUNT SERVICES Current Account Yearly Account Administration Fees QAR 500 Account Opening Balance

More information

TARIFF OF FEES / CHARGES - CASH & TRADE

TARIFF OF FEES / CHARGES - CASH & TRADE ARAB BANK plc TARIFF OF FEES / CHARGES - CASH & TRADE TARIFF OF FEES & CHARGES FOR ENTITIES (Corporate / Commercial Banking) CASH MANAGEMENT SERVICES TRANSACTIONAL FEES AMOUNTS ARE IN AED ITEMS ACCOUNT

More information

Mega Standard Charges

Mega Standard Charges 2016 Mega Standard Charges Mega Standard Charges Mega Standard Charges 2016 Page 1 of 17 1. Introduction 1.1 This document i.e. Mega Standard Charges 2016 (hereinafter called MSC 2016) supersedes all the

More information

Transaction Banking Sri Lanka. Pricing Guide

Transaction Banking Sri Lanka. Pricing Guide Transaction Banking Sri Lanka Pricing Guide - 2017 Welcome Dear Valued Client, Drawing on over 150 years of international banking experience, Standard Chartered is actively driving value in its markets

More information

Schedule of Charges 2018

Schedule of Charges 2018 Schedule of Charges 2018 600 522 228 www.hbl.com/uae help.uae@hbl.com 1. Personal Banking 1.1 Account Services Minimum Account Balance Fee If monthly minimum balance is AED 2,000 equivalent and above If

More information

TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit.

TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit. TRADE FINANCE A. IMPORTS 1. Letters of Credit issuance and re validation charges including supplier credit. SCHEDULE OF BANK CHARGES FOR THE PERIOD JULY - DECEMBER 2018 1 st Qtr or part thereof: Up to

More information

INDUSTRIAL AND COMMERCIAL BANK OF CHINA (MALAYSIA) BERHAD FEES AND CHARGES

INDUSTRIAL 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 information

SCHEDULE OF CHARGES AND FEES. Eighteenth Edition

SCHEDULE OF CHARGES AND FEES. Eighteenth Edition Eighteenth Edition Effective 4 th September 2016 Dear Customer, We are pleased to detail herewith our standard Schedule of Charges & Fees which is applicable for transactions carried out by Bank of Maldives

More information

Business Banking Tariff Guide

Business Banking Tariff Guide Business Banking Tariff Guide www.sc.com/lk Copyright 2017 Standard Chartered Bank. All rights reserved. Contents Cash Management 01 Cheque Clearing 02 Payments 03 Collections 04 Straight2Bank 04 Trade

More information

FOREX SERVICE CHARGES

FOREX SERVICE CHARGES A 1 A1.1 Annexure - I of Foreign Exchange Circular No. 38 dated 30/11/2017 FOREX SERVICE CHARGES EXPORTS Bills Purchased /Discounted/Negotiated Processing charges for each foreign currency export bill

More information

Schedule of Charges. Barbados. Corporate Banking. Effective: J une 20, 2017

Schedule of Charges. Barbados. Corporate Banking. Effective: J une 20, 2017 Barbados Corporate Banking Effective: J une 20, 2017 1 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES

More information

Transaction Banking Sri Lanka. Pricing Guide

Transaction Banking Sri Lanka. Pricing Guide Transaction Banking Sri Lanka Pricing Guide - 2016 Welcome Dear Valued Client, Drawing on over 150 years of international banking experience, Standard Chartered is actively driving value in its markets

More information

MIZUHO BANK, LTD. TERMS AND CONDITIONS Bank s Service Charge and Fee BANGKOK BRANCH. 03 December Page 1 of 16

MIZUHO 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 information

General Banking. Savings Account

General Banking. Savings Account General Banking SCHEDULE OF CHARGES MDB Minimum initial deposit amount BDT 2,000.00 s Half Yearly Average Balance: Up to BDT 5,000.00- Nil, Above BDT 5,000.00 to BDT 25,000.00- BDT 100.00, Above BDT 25,000.00-

More information