Schedule of Charges JAMAICA CORPORATE. Effecti ve: Apri l 9, Page 1 of 23

Size: px
Start display at page:

Download "Schedule of Charges JAMAICA CORPORATE. Effecti ve: Apri l 9, Page 1 of 23"

Transcription

1 JAMAICA CORPORATE Effecti ve: Apri l 9, 2018 Page 1 of 23

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 Page 2 of 23

3 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY Business Current Accounts (Product code 1) Minimum monthly service fee JMD JMD JMD Monthly Debits 0 0 Withdrawals/Debits /Cheques - In Branch / OTC Fee JMD JMD JMD Monthly Credits 0 0 Deposits/Credits - In Branch / OTC Fee JMD JMD JMD Business Premium Account - Interest Bearing (Product code 8) Minimum monthly service fee JMD JMD JMD Monthly Debits 1 1 Withdrawals/Debits /Cheques - In Branch / OTC Fee JMD JMD JMD Monthly Credits 1 1 Deposits/Credits - In Branch / OTC Fee JMD JMD JMD Business Call Account - Interest Bearing (Product code 34) Minimum monthly service fee JMD JMD JMD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee JMD JMD JMD Monthly Credits 4 4 Deposits/Credits - In Branch / OTC Fee JMD JMD JMD Fixed Deposit Accounts & Corporate Income Escalator Transfer to another internal account on maturity Transfer to another institution on maturity JMD JMD JMD Early Redemption Fees - Non-redeemable Fixed deposits only : Term 50, , , ,000 1,000,000 5,000,000 50M> days $1,500 $1,500 $1,500 $5,000 $5,000 $5,000 $15,000 Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in Jamaican Dollars unless otherwise stated. Page 3 of 23

4 DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY UNITED STATES DOLLAR (USD) USD Business Current Accounts (Product code 3) Non-Sufficient Funds USD USD 5.41 USD Charge backs - (items returned to us by another bank) USD USD 4.67 USD Minimum monthly service fee USD USD 7.15 USD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee USD 2.58 USD 0.42 USD 3.00 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee USD 0.64 USD 0.11 USD 0.75 USD Business Premium Accounts - Interest Bearing (Product code 14) Non-Sufficient Funds USD USD 5.41 USD Charge backs - (items returned to us by another bank) USD USD 4.67 USD Minimum monthly service fee USD USD 7.19 USD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee USD 2.58 USD 0.42 USD 3.00 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee USD 0.86 USD 0.14 USD 1.00 USD Business Call Accounts - Interest Bearing (Product codes 38 & 912) Charge backs - (items returned to us by another bank) USD USD 4.25 USD Minimum monthly service fee USD USD 2.12 USD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee USD 0.86 USD 0.14 USD 1.00 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee USD 0.86 USD 0.14 USD 1.00 USD Call Personal Accounts (Product code 650) Charge backs - (items returned to us by another bank) USD USD 4.25 USD Monthly Debits 1 1 Withdrawals/Debits /Cheques - In Branch / OTC Fee USD 0.86 USD 0.14 USD 1.00 Monthly Credits 1 1 Deposits/Credits - In Branch / OTC Fee USD 0.86 USD 0.14 USD 1.00 USD Fixed Deposit Accounts (Product codes 58 & 112) Transfer to another internal account on maturity Transfer to another institution on maturity Draft of Wire Draft of Wire fees Page 4 of 23

5 DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY CANADIAN DOLLAR (CAD) CAD Business Current Account (Product code 2) Non-Sufficient Funds CAD CAD 7.72 CAD Charge backs - (items returned to us by another bank) CAD 9.44 CAD 1.56 CAD Minimum monthly service fee CAD CAD 2.12 CAD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee CAD 0.86 CAD 0.14 CAD 1.00 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee CAD 0.86 CAD 0.14 CAD 1.00 CAD Business Premium Account - Interest Bearing (Product code 11) Non-Sufficient Funds CAD CAD 7.72 CAD Charge backs - (items returned to us by another bank) CAD 9.44 CAD 1.56 CAD Minimum monthly service fee CAD CAD 2.12 CAD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee CAD 0.86 CAD 0.14 CAD 1.00 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee CAD 0.86 CAD 0.14 CAD 1.00 CAD Business Call Account - Interest Bearing (Product code 36) Charge backs - (items returned to us by another bank) CAD 8.58 CAD 1.42 CAD Minimum monthly service fee CAD CAD 2.12 CAD Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee CAD 0.86 CAD 0.14 CAD 1.00 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee CAD 0.86 CAD 0.14 CAD 1.00 CAD Fixed Deposit Accounts (Product code 56) Transfer to another internal account on maturity Transfer to another institution on maturity Draft of Wire Draft of Wire fees Page 5 of 23

6 DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY POUND STERLING (GBP) GBP Business Current Accounts (Product code 4) Non-Sufficient Funds GBP GBP 1.76 GBP Charge backs - (items returned to us by another bank) GBP 4.72 GBP 0.78 GBP 5.50 Minimum monthly service fee GBP 8.58 GBP 1.42 GBP Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee GBP 0.47 GBP 0.08 GBP 0.55 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee GBP 0.47 GBP 0.08 GBP 0.55 GBP Business Premium Accounts-Interest Bearing (Product code 17) Non-Sufficient Funds GBP GBP 1.76 GBP Charge backs - (items returned to us by another bank) GBP 4.72 GBP 0.78 GBP 5.50 Minimum monthly service fee GBP 8.58 GBP 1.42 GBP Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee GBP 0.56 GBP 0.09 GBP 0.65 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee GBP 0.56 GBP 0.09 GBP 0.65 GBP Business Call Accounts - Interest Bearing (Product code 40) Charge backs - (items returned to us by another bank) GBP 4.29 GBP 0.71 GBP 5.00 Minimum monthly service fee GBP 8.58 GBP 1.42 GBP Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee GBP 0.56 GBP 0.09 GBP 0.65 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee GBP 0.56 GBP 0.09 GBP 0.65 GBP Call Accounts - Personal (Product code 651) Charge backs - (items returned to us by another bank) GBP 4.29 GBP 0.71 GBP 5.00 Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee GBP 0.64 GBP 0.11 GBP 0.75 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee GBP 0.64 GBP 0.11 GBP 0.75 GBP Fixed Deposit Accounts (Product code 60) Transfer to another internal account on maturity Transfer to another institution on maturity Draft of Wire Draft of Wire fees Page 6 of 23

7 DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY JAPANESE YEN (JPY) JPY Business Current Accounts (Product code 907) Minimum monthly service fee Monthly Debits Unlimited Unlimited Withdrawals/Debits /Cheques - In Branch / OTC Fee Monthly Credits Unlimited Unlimited Deposits/Credits - In Branch / OTC Fee EURO DOLLARS (EUR) EUR Call Account (Product code 922) Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee EUR 0.85 EUR 0.14 EUR 0.99 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee EUR 0.43 EUR 0.07 EUR 0.50 EUR deposit charge 0.7% p.a. of Average Monthly Balance 0.116% 0.816% p.a. of Average Monthly Balance DEUTSCHE MARK (DEM) DEM DICA Non-Personal Account (Product code 21) Non-Sufficient Funds DEM DEM 4.21 DEM Charge backs - (items returned to us by another bank) DEM DEM 2.34 DEM Minimum monthly service fee DEM 5.67 DEM 0.93 DEM 6.60 Monthly Debits 2 2 Withdrawals/Debits /Cheques - In Branch / OTC Fee DEM 1.18 DEM 0.19 DEM 1.37 Monthly Credits 2 2 Deposits/Credits - In Branch / OTC Fee DEM 1.18 DEM 0.19 DEM 1.37 Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in Jamaican Dollars unless otherwise stated. 3. EUR currency fixed deposits and transaction accounts, where offered, are charged at a rate of 0.70% per annum. Page 7 of 23

8 INTERNET AND TELEPHONE BANKING Monthly Access Fee SUNDRY SERVICES WIRE TRANSFERS International Outgoing Wire Transfers (local equivalent): Via Internet Via Branch Via Internet Via Branch Via Internet Via Branch $1 to $99, J$2, J$5, J$ J$ J$2, J$6, $100,000 and Over J$2, J$5, J$ J$ J$2, J$6, International Incoming Wire Transfers To credit an account at one of our branches To credit an account held at other local banks Payable on presentation of Photo Identification: - JMD - USD/CAD - GBP - EUR Local / Regional Transfers Outgoing To an account held at other local banks via RTGS (local currency transactions only) J$ J$ J$21.06 J$29.70 J$ J$ To an account held at one of our regional branches J$1, J$3, J$ J$ J$1, J$4, Incoming Received from an account held at other local banks via RTGS (local currency transactions only) ACH Fee: Large Value Items over J$1 Million Returned Wire Payments: Incoming and Outgoing Tracers on Wire Transfers Cancelled Wire J$3, J$ J$3, J$3, Draft / RTGS J$ J$3, Draft /RTGS J$3, J$ J$3, USD/CAD $17.17 USD/CAD $2.83 USD/CAD $ J$ J$29.70 J$ J$5, J$ J$5, USD $40.00 USD $6.60 USD $46.60 USD $35 + Foreign Bank USD $ Foreign Bank USD $5.78 charges charges USD $30 + Foreign Bank charges USD $4.95 USD $ Foreign Bank charges 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 realtime in local currency 3. All wires are sent for Beneficiary to pay Correspondent fees Page 8 of 23

9 DRAFTS Local Draft (Manager's Cheque) - Client Local Draft (Manager's Cheque) - Non-Client Local Draft (Manager's Cheque) over J$1 million - Client SUNDRY SERVICES J$ J$86.63 J$ J$1, J$ J$1, J$5, Draft fee J$ J$5, draft fee Local Draft (Manager's Cheque) over J$1 million - Non-Client USD Draft - drawn on a local Bank USD Draft - drawn on a foreign Bank Other Foreign Currency Draft paid in local currency Other Foreign Currency Draft paid in foreign currency Tracers on Local Drafts (plus costs) Tracers on Foreign Drafts (plus costs) Stop Payment on Local Drafts (plus costs) Stop Payment on Foreign Drafts (includes foreign bank charges) Duplicate / Replacement Drafts - Local drafts - Client Duplicate / Replacement Drafts - Local drafts - Non-Client Duplicate / Replacement Drafts - Foreign drafts STANDING ORDERS Set-up - Local currency Set-up - Foreign currency Amendment - Local currency Amendment - Foreign currency Internal Standing Orders Between accounts To make a loan payment or pay annual fees for a bank service To transfer funds LOCALLY To transfer funds LOCALLY via Local RTGS Wire To transfer funds OVERSEAS Charge of order cannot be processed J$6, Draft fee J$1, J$7, draft fee J$1, J$ J$1, J$1, Draft fee J$ J$1,880 + Draft Fee of $2, = J$3, J$1, J$ J$2, % Min J$ 1, % Min J$1, % + Draft fee Draft fee of J$2, USD USD 4.25 USD $30 + Costs USD USD 4.25 USD $30 + Costs J$ J$63.73 J$450 + Costs USD USD 7.08 USD J$1, J$ J$1, J$1, J$ J$1, J$1, J$ J$2, J$ J$42.49 J$ $2.58 units of resp. currency $0.42 units of resp. currency J$ J$28.04 J$ USD 1.72 USD 0.28 USD 2.00 J$ J$49.57 J$ units of resp. currency eg. USD 3.00/GBP 3.00 J$ J$ J$1, J$1, J$ J$1, J$ Draft/wire fee J$70.82 J$ draft/wire fee J$ J$56.65 J$ Page 9 of 23

10 SUNDRY SERVICES BILL PAYMENT Via the Internet Via the Branch Counter - Customer Via the Branch Counter - Non-customer Via the ABM Via Standing Order (bills are sent to bank for payment) Via Direct Debit (Pre-Authorized Payment) TRANSFER BETWEEN ACCOUNTS By customer via our ABM, or internet banking By us on written/faxed/telephoned instructions JMD account USD account CAD account GBP account EUR account Transfer between overdrawn accounts Transfer to a third party account CHEQUE RELATED Cheque Books (all styles) Stop payment on a local cheque (all reasons) Stop payment on a foreign cheque (all reasons) Charge backs - (items returned to us by another bank) Local Cheque Foreign Cheques (add foreign Bank Charge to the below fee) USD account CAD account GBP account EUR account Non-Sufficient Funds (return cheque charge) PAP (Pre-Approved Payment) Initiation Cheque recalled at customer's request Encashing CIBC FCIB cheques - Client Encashing CIBC FCIB cheques - Non-Client Encashing other banks cheques - Client Encashing other banks cheques - Non-Client Foreign Cheque Processing Fee J$ J$28.08 J$ J$ J$28.08 J$ J$ J$52.40 J$ J$ J$35.41 J$ J$ J$ J$1, USD $3.13 USD $0.52 USD $3.65 CAD 3.00 CAD 0.50 CAD 3.50 GBP 2.15 GBP 0.35 GBP 2.50 EUR 2.58 EUR 0.42 EUR 3.00 J$ J$ J$1, J$ J$ J$1, Cost J$ J$63.73 J$ USD USD 7.08 USD 50 + foreign bank chg J$ J$ J$ USD $24.55 USD $4.05 USD $28.60 CAD CAD 4.67 CAD GBP GBP 2.80 GBP EUR EUR 2.80 EUR J$ J$ J$ J$ J$ J$ J$ J$70.82 J$ J$ J$17.00 J$ J$ J$21.24 J$ J$ J$17.00 J$ J$ J$21.24 J$ J$ J$81.90 J$ Page 10 of 23

11 FOREIGN CURRENCY EXCHANGE Charges for foreign currency transactions where same currency tendered as for that being purchased Travellers Cheques cashed in Foreign Cash Handling Fees Daily Threshold Limit Monthly cap Handling Fees SUNDRY SERVICES 1.073% + Cost of Draft 0.177% 1.25% + Cost of Draft J$86.00 J$14.19 J$ Equiv USD $ Equiv USD $ Equiv USD $10, Equiv USD $10, % on amounts in any 2.000% 0.330% foreign currency above the daily threshold ABM New issue/replacement of expired or stolen card Replacement of lost card Transactions at FirstCaribbean ABM ABM Deposits ABM Withdrawals Declines Balance Enquiry **Mini-statement Print Transactions at Otherbank ABM (multilink) Withdrawals Declines Balance Enquiry Point of Sale Purchases Point of Sale Declines Request a copy of ABM video photograph **FREE ABM Withdrawals & Ministatements for the following account types: Direct Banking, Bank@Work, Bank@School, Senior Savings, Senior Chequing J$ J$99.14 J$ J$27.47 J$4.53 J$32.00 J$10.30 J$1.70 J$12.00 J$25.75 J$4.25 J$30.00 J$51.50 J$8.50 J$60.00 J$25.75 J$4.25 J$30.00 J$25.75 J$4.25 J$30.00 J$13.73 J$2.27 J$16.00 J$12.88 J$2.12 J$15.00 J$ J$86.25 J$ STATEMENTS Mailed/Regular/diary filled statement Duplicate/Additional/Interim statement (each) Screen print/photocopy (per page) Held for Collection at the Branch (per month) E-statement: Set Up Monthly Subscription Fee (to be collected via standing order) Daily files Weekly Files Monthly Files Transaction Fee J$ J$92.06 J$ J$ J$42.49 J$ J$1, J$ J$1, No Charge No Charge USD50.00 / account USD 8.25 USD USD20.00 / account USD 3.30 USD USD15.00 / account USD 2.48 USD No charge No Charge Page 11 of 23

12 SUNDRY SERVICES ACCOUNT CLOSURE Within 90 days JMD account USD account CAD account GBP account EUR account Within 180 days J$1, J$ J$2, USD $8.58 USD $1.42 USD $10.00 CAD 8.58 CAD 1.42 CAD GBP 8.58 GBP 1.42 GBP EUR 8.58 EUR 1.42 EUR DORMANCY PROTECTION Initial Notice (when account goes dormant after 2 years of inactivity) Annual Notice thereafter Reactivation Transfer to Central Bank (after 15 years of inactivity) No Charge No Charge No Charge No Charge No Charge No Charge No Charge No Charge RESEARCH Where vouchers are held at local branch Same Month (within 30 days of last statement) 1-5 Vouchers / Items Each additional Voucher / Item Up to 3 months 1-5 Vouchers / Items Each additional Voucher / Item Over 3 months and up to 7 Years 1-5 Vouchers / Items Each additional Voucher / Item J$ J$76.17 J$ J$ J$28.33 J$ J$ J$ J$ J$ J$42.49 J$ J$1, J$ J$1, J$ J$42.49 J$ SAFETY DEPOSIT BOXES Annual (Rental) Fees Small (1.5 x 5 x 24) Medium (2.5 x 5 x 24) Large (5 x 5 x 24) Large (5 x 10.5 x 24) Large (10 x 10 x 24) **Refund of Annual Rental Fee (box closed before year end) Number of free visits Each additional visit per month Forced entry / Drilling of Box Listing of contents J$1, J$ J$1, J$2, J$ J$2, J$2, J$ J$3, J$2, J$ J$3, J$3, J$ J$4, Annual fee less outstanding charges & taxes Annual fee less outstanding charges & taxes Unlimited Unlimited J$1, J$ J$ expenses J$ J$72.20 J$ per hour or part thereof Page 12 of 23

13 SUNDRY SERVICES SAFEKEEPING AND SECURITIES Annual (Rental) Fees Sealed envelopes Small Large Sealed Boxes/Packages Small Large Locked boxes, trunks, etc (per entry) Stocks, debentures, share certificates, Deeds, treasury bills safekeeping Other Fees Number of free visits Each additional visit per month Bankers Acceptances - Draft J$ J$ J$ J$1, J$ J$1, J$2, J$ J$2, J$2, J$ J$3, J$ J$26.56 J$ J$1, J$ J$1, Nil Nil J$ J$26.56 J$ J$ J$72.20 J$ MISCELLANEOUS SERVICES Audit Certificate Current Year - cost per certificate Current Year - cost per hour for detailing securities Certificate/Confirmation of balance Local currency accounts Foreign currency accounts Certificate of interest Paid Reference Letters Fax sent/received for a customer Local Out of Town Overseas Signature verification Insurance on Registered Mail Photocopying documents (per sheet) Letter of Undertaking Coin Handling (exchanging for Bills over J$1000) Cash Holdling (exchanging for Bills over J$1000) Credit information services Fee Credit information services commission Verification of CSV on life insurance policy Verification of cheques and balances by telephone Duplicate passbooks No Book transactions Hold (all) Mail where nothing is mailed to client (per month) J$2, J$ J$2, J$ J$ J$ J$1, USD $14.59 J$ USD $2.41 J$1, USD $17.00 J$1, J$ J$1, J$2, J$ J$2, J$ J$21.06 J$ J$ J$17.35 J$ J$ J$28.89 J$ Cost Cost J$ J$42.49 J$ J$4, J$ J$5, % Min $600 : Customers 3.43% Min $1,000:- Non- Customers 0.283% : Customers 0.57% :- Non-Customers 2.00% Min $600: Customers 4% Min $1,000 :- Non- Customers 0.858% Min $600 : 0.142% : Customers 1.00% Min $600: Customers Customers 0.858% Min $1,000:- Non % :- Non-Customers 1.00% Min $1,000 :- Non- Customers Customers J$1, J$ J$2, J$ J$57.75 J$ J$ J$50.53 J$ J$85.84 J$14.16 J$ J$ J$66.00 J$ J$ J$21.24 J$ J$1, J$ J$1, Page 13 of 23

14 SUNDRY SERVICES Securities Documentation Fees Guarantee Bonds Postponement of Claim Satisfaction of Bills of Sale - Individual Satisfaction of Bills of Sale - Corporate Hypothecations of bank account FEX Loan Agreements Assignment of Life Insurance Release of Life Insurance Insurance processing fees - requests for confirmation of renewal Lodgment of Caveats Withdrawal of Caveats General Searches Caveat Searches Company Searches Title Searches Surrender of Title Verification of CSV on life insurance policy Bills of Sale (Individual) Up to 9,999 10,000 to 39,999 40,000 to 74,999 75,000 to 199, ,000 to 399, ,000 to 599, ,000 to 799, ,000 & over J$ J$ J$ J$ J$ J$ J$ J$ J$ J$1, J$ J$1, J$1, J$ J$1, J$ J$64.26 J$ J$ J$ J$ J$ J$ J$ J$ J$ J$1, J$1, J$ J$1, J$ J$ J$1, J$ J$ J$1, J$1, J$ J$1, J$ J$ J$ J$ J$ J$ J$1, J$ J$1, J$ J$93.40 J$ J$ J$29.21 J$ J$ J$43.02 J$ J$ J$57.26 J$ J$ J$ J$ J$1, J$ J$2, J$2, J$ J$2, J$3, J$ J$3, J$3, J$ J$4, LARGE CASH DEPOSITS Cash Deposits (per J$1,000 ): Processed via Guardsman Armoured Limited Up to J$1,000,000 Above J$1,000,000 Processed via FirstCaribbean Branches (per group): Up to J$1,000,000 Above J$1,000,000 Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in Jamaican Dollars unless otherwise stated. J$2.15 J$0.35 J$2.50 J$2.58 J$0.42 J$3.00 Page 14 of 23

15 LENDING AND CARD SERVICES CREDIT REPORTS Credit Reference (fee for providing Credit reference for clients) J$2, J$ J$3, OVERDRAFTS Set up/annual Renewal Fee: ACA & Temporary Overdrafts 2.00% Min $5,150 Excess Overdraft Fee (in addition to encroachment 0.858% rate) Min $2, Unauthorized Overdraft Fee (in addition to 1.717% encroachment rate) Min $2, Note: Overdraft interest rates are charged separately. See rate bulletin. 2.33% 0.33% Min $ % 1.00% Min $2, % 2.00% Min $2, CREDIT CARDS See Credit Card Schedule of Charges VISA DEBIT CARD - LOCAL CURRENCY Annual Fees No Charge No Charge Fast Card Fees (Courier charges only) J$37.58 USD 6.20 USD ABM Balance Inquiry Fee At a local FirstCaribbean ABM No Charge No Charge At another bank s ABM J$37.58 J$6.20 J$43.77 ABM Withdrawals At a local FirstCaribbean ABM No Charge No Charge At another local bank s ABM $ J$31.00 J$ At International/Overseas bank s ABM $ J$37.20 J$ (Including FirstCaribbean ABMs in another country) Point of Sale Purchases No Charge No Charge Replacement & Additional Cards - Classic $ $62.00 J$ Replacement & Additional Cards - Platinum $ $62.00 J$ Stamp Duty No Charge No Charge Declined Transactions At a local FirstCaribbean ABM No Charge No Charge At another local bank s ABM J$37.58 J$6.20 J$43.77 At International/Overseas bank s ABM (Including FirstCaribbean ABMs in another country) J$50.10 J$8.27 J$58.37 Page 15 of 23

16 VISA DEBIT CARD -USD CURRENCY Annual Fees No Charge No Charge Fast Card Fees (Courier charges only) USD USD 6.20 USD ABM Balance Inquiry Fee: At a local FirstCaribbean ABM No Charge No Charge At another bank s ABM USD 0.42 USD 0.07 USD 0.49 ABM Withdrawals: At a local FirstCaribbean ABM No Charge No Charge At another local bank s ABM USD 2.51 USD 0.41 USD 2.92 At International/Overseas bank s ABM USD 2.51 USD 0.41 USD 2.92 (Including FirstCaribbean ABMs in another country) Point of Sale Purchases No Charge No Charge Replacement & Additional Cards - Classic USD 4.18 USD 0.69 USD 4.86 Replacement & Additional Cards - Platinum USD 8.35 USD 1.38 USD 9.73 Stamp Duty No Charge No Charge Declined Transactions: At a local FirstCaribbean ABM No Charge No Charge At another local bank s ABM USD 0.84 USD 0.14 USD 0.97 At International/Overseas bank s ABM (Including FirstCaribbean ABMs in another country) USD 0.84 USD 0.14 USD 0.97 Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in Jamaican Dollars unless otherwise stated. Page 16 of 23

17 CORPORATE SERVICES E-PAY - (Payroll, Supplier Payments, Direct Debits (where applicable) ) Set up Monthly Access Operational (per file run) J$ J$99.00 J$ Transaction Per credit to account at FirstCaribbean J$25.00 J$4.13 J$29.13 Per credit to account at another bank J$30.00 J$4.95 J$34.95 Emergency Processing (per file run) J$ J$66.00 J$ E-PAY (PAYROLL; SUPPLIER PAYMENTS; DIRECT DEBITS (where applicable) ) - USD Clients Set up Monthly Access Operational (per file run) USD USD 1.65 J$11.65 Transaction Per credit to account at CIBC FirstCaribbean USD 0.64 USD 0.11 USD 0.75 Emergency Processing (per file run) USD USD 2.83 USD MANUAL PAYROLL - PAPER LIST OPTION Set up Monthly Access Operational (per file run) J$ J$84.98 J$ Transaction Per credit to account at FirstCaribbean J$42.92 J$7.08 J$50.00 Per credit to account at another bank J$51.50 J$8.50 J$60.00 Emergency Processing (per list) J$ J$70.82 J$ MANUAL PAYROLL - CASH / ENVELOPE OPTION Set up Monthly Access Operational (per file run) J$ J$84.98 J$ Transaction Per credit to account at FirstCaribbean J$42.92 J$7.08 J$50.00 Per credit to account at another bank J$51.50 J$8.50 J$60.00 Emergency Processing (per file run) J$ J$70.82 J$ ONLINE BILL PAYMENT (where company signs up as an Online Biller) Set up Per payment received J$12.02 J$1.98 J$14.00 Page 17 of 23

18 CORPORATE SERVICES DEPOSITORY Annual (Rental) Fee Disposable Bags J$3, J$ J$4, Canvas Wallets Small: J$4, J$ J$5, Medium: J$6, J$1, J$7, Large: J$7, J$1, J$8, Short Term Rental (30 days or less) Disposable Bags n/a n/a Canvas Wallets n/a n/a Cash Deposits (per J$1,000 ): Processed via Guardsman Armoured Limited J$2.15 J$0.35 J$2.50 Processed via FirstCaribbean Branches (per group): Up to J$1,000,000 Above J$1,000,000 J$2.58 J$0.42 J$3.00 Safekeeping (contents remain in bag): Small: J$2, J$ J$3, Medium: J$3, J$ J$4, Large: J$4, J$ J$5, **Refund of Annual Rental Fee (box closed before year end) Annual fee less outstanding charges & taxes Per Package of 50 Disposable bags Small: 9 x 12 J$2, J$ J$2, Medium: 12 x 16 J$2, J$ J$2, Large: 19 x 28 J$4, J$ J$4, Replacement and Repairs Canvas Bag (all sizes) J$3, J$ J$3, Canvas Bag Keys J$ J$ J$1, Trap Door Key J$3, J$ J$3, Additional Key J$3, J$ J$3, Annual fee less outstanding charges & taxes SWEEPS and ZBAs Set-upp Fee Standard Set Up J$2, J$ J$3, Additional Set Up J$1, J$ J$2, E-STATEMENT PRICING Statement Frequency Via Swift: Daily J$6, J$1, J$7, Monthly J$1, J$ J$2, Via Daily J$2, J$ J$3, Weekly J$1, J$ J$2, Monthly J$1, J$ J$1, Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in Jamaican Dollars unless otherwise stated. Page 18 of 23

19 BONDS, INDEMNITIES & GUARANTEES Guarantees or indemnities issued by Bank on behalf of customers including Letters of Undertaking Which would lead to a normal loan or mortgage: Which would lead to a normal loan or mortgage J$4, J$ J$4, Other than to providers of commercial paper: Cash secured 1.97% 0.325% 2.30% Minimum J$4, Min. J$ Minimum J$ Other 2.96% % 0.49% % 3.45% % Minimum J$4, Min. J$ Minimum J$ Guarantees issued in favour of Providers of Commercial paper Guarantees issued under National Ex-Im Bank administrated lines of credit including EDF Rehabilitation Fund, etc. for period outstanding where fully supported: Cash secured Other Bankers Acceptance Schedule of Charges TRADE SERVICES 6.87% -8.58% p.a. Min 90 days or J$5, % p.a. of amount for period outstanding. Min. $1, % 13.52% p.a. of amount for period outstanding. Minimum $2, Issuing Commission will be charged on the increase (additional amount) for the remaining validity 1.13% % Min. J$ % Min. J$ % % Min. J$ % % p.a. Min 90 days or $6, % p.a. of amount for period outstanding. Min. $1, % 15.75% p.a. of amount for period outstanding. Minimum $ Issuing Commission will be charged on the increase (additional amount) for the remaining validity Establishment fee: On first J$10M of face value of draft 0.43% 0.07% 0.50% On any additional amount 0.22% 0.04% 0.26% Credit information services J$ J$ J$ Verification of C.S.V of insurance policy J$ J$1000 plus charge from J$ insurance company Page 19 of 23

20 LETTERS OF CREDIT : EXPORT (Inward) CLEAN & DOCUMENTARY Schedule of Charges TRADE SERVICES Pre-Advising Commission USD USD 3.54 Acceptance Commission 0.50% per month after delivery. Minimum $1, % Min. J$ Advising credits Commission USD USD 7.22 Confirming Credits Amendments, Extensions and Increases: Extensions 1% per 90 days. Minimum $1, Issuing/Advising Commission will be charged on the amount for the extended / additional validity 0.17% Min. J$ US$25 eqivalent at Cheque buy rate 0.58% per month after delivery. Minimum $ US$51 eqivalent at Cheque buy rate 1.17% per 90 days. Minimum $2, Issuing/Advising Commission will be charged on the amount for the extended / additional validity Increases Issuing/Advising Commission will be charged on the increase for the remaining validity Issuing/Advising Commission will be charged on the increase for the remaining validity Other Amendments USD USD 7.22 Drawings under L/Cs Negotiation Commission 0.50% per month after delivery. Minimum $1, % Min. J$ US$51 eqivalent at Cheque buy rate 0.58% per month after delivery. Minimum $2, Issue of Transferable LC (Issue of new credit) Issuing/Advising Issuing/Advising Commission Commission Cancellation USD USD 2.13 USD Document Handling: Negotiation (Examination of documents) 0.21% 0.03% 0.25% Minimum J$1, Min. J$ Minimum J$1, Discrepancy Fee USD USD 3.54 USD Payment / Settlement / Reimbursement charges USD USD 3.54 US$25 + Transfer costs Deferred Payment / Acceptance commission 0.50% per month after 0.58% per month after delivery. 0.08% delivery. Minimum Minimum $2, Min. J$ $1, Communication and Mail Charges See Trade Communication and Sundry Services Section See Trade Communication and Sundry Services Section Page 20 of 23

21 TRADE SERVICES LETTERS OF CREDIT : IMPORT (Outward) CLEAN & DOCUMENTARY Pre-Advising Commission USD USD 3.54 USD Acceptance Commission 0.50% per month after delivery. 0.58% per month after delivery. Minimum $1, % Minimum $2, Min. J$ Letters of Credit established via Cable USD USD 6.66 USD Establishment Fee sight and acceptance, where FirstCaribbean provides foreign currency USD USD 6.37 USD Establishment Fee sight and acceptance, where applicant sources foreign currency: without full cash (or equivalent) collateral: For Validity of 1 Year: For Validity of less than 1 Year: Up to 90 days For Validity of less than 1 Year: Each additional quarter with partial cash (or equivalent) collateral 5.15 % p.a. (with or without renewal). Minimum J$ % per 90 days. Minimum $1, % Minimum J$ Calculated based on percentage of security clear and secured 0.85% Min. J$ % Min. J$ % Min. J$ % p.a. (with or without renewal). Minimum $2, % per 90 days. Minimum $2, % Minimum $2, Calculated based on percentage of security clear and secured with full cash (or equivalent) collateral Amendments, Extensions and Increases: Extensions 4.29% per quarter. Minimum J$ Issuing/Advising Commission will be charged on the amount for the extended / additional validity 0.71% Min. J$ % per quarter Minimum $2, Issuing/Advising Commission will be charged on the amount for the extended / additional validity Increases Issuing/Advising Commission will be charged on the increase for the remaining validity Issuing/Advising Commission will be charged on the increase for the remaining validity Other Amendments USD USD % per month after Drawings under L/Cs Negotiation Commission delivery. Minimum $1, LETTERS OF CREDIT : IMPORT (Outward) CLEAN & DOCUMENTARY - continued Interest on Letters of Credit Charged on the outstanding Foreign Currency amount at the applicable rate of interest based on the actual rate charged by the Correspondent Bank plus 5% computed from the date of payment until receipt of reimbursement 0.08% Min. J$ US$51 eqivalent at Cheque buy rate 0.58% per month after delivery. Minimum $2, Charged on the outstanding Foreign Currency amount at the applicable rate of interest based on the actual rate charged by the Correspondent Bank plus 5% computed from the date of payment until receipt of reimbursement Communication and Mail Charges See Trade Communication and Sundry Services Section See Trade Communication and Sundry Services Section Page 21 of 23

22 TRADE SERVICES Documentary Bills for Collections - (Import & Export) Exchange Charger Sight or Tenor Sight selling rate applies Sight selling rate applies Document Handling: Collection Commission: Documentary Collection Fee 1% Minimum $1, % Min. J$ % Minimum $1, Accelerated Collection Fee 0.5% Min J$ Max J$7, Holding accepted Bills Monthly Holding Commission : Sight Bills (commencing month after arrival of goods) J$ % Min. J$99.14 Max. J$ J$ % Min J$ Max J$ J$ Mature/Accepted Bills (commencing month after J$34.33 J$39.99 J$5.66 arrival of goods) Safe Custody Charge J$51.50 J$8.50 J$60.00 Documentary Bills for Collections - (Import & Export) - continued Shipping Guarantees re missing bills of lading: First 2 months or part thereof % Minimum $1, % Min. J$ % Minimum $1, Each additional month % Maximum $3, % Min. J$ % Maximum $4, Protest Charge J$ legal and out of pocket J$2, J$ expenses Overdue Items Administrative charge (On collections outstanding more than 2 months or 30 days after maturity) J$34.33 J$5.66 J$39.99 per month beginning month after goods arrive Tracers USD 4.29 J$0.71 US$5 + Cost Aval Commission (Guarantee Commission) Same as Import LC. Issuing commission date of Aval to maturity of the draft Same as Import LC. Issuing commission date of Aval to maturity of the draft Amendment J$1, J$ J$2, Payments to Agents J$ J$77.90 J$550 + transfer charges Return of Documents charges 1%. Min $ Max $1, % Min. J$ Max. J$ %. Min $1, Max $2, Storage of goods J$3, J$ J$ expenses Reshipping of Goods J$4, J$ J$ expenses Bills paid in installments USD USD 3.54 USD Endorsement of shipping documents as attorney USD USD 3.54 USD Endorsement of parcel post receipt USD USD 2.13 USD Certificate of transfer of title to goods USD USD 3.54 USD Statement of past due bill USD USD 2.13 USD Insurance of goods J$50.65 per $ per month J$43.48 J$7.17 or part thereof Delivery Orders J$ J$74.36 J$ Bills Discounted: Min applicable rate of interest on advances J$ J$87.46 J$ Min collection charge J$ J$80.87 J$ Communication and Mail Charges See Trade Communication and Sundry Services Section See Trade Communication and Sundry Services Section Page 22 of 23

23 Cheque Collection (Inward) and Issuance (Outward) Receive cheque for Collection (Inward) Cheque Issuance (Outward) Schedule of Charges TRADE SERVICES 1% Min $ Max $6, % Min $ Max $6, % Min. J$ Max. J$1, % Min. J$ Max. J$1, % Min $ Max $8, % Min $ Max $8, Tracers USD 4.29 USD 0.71 US$5 + Cost Stop payment charges J$300 + correspondent J$ J$42.49 charges Amendment J$1, J$ J$2, Trade Communication and Sundry Services Third party payments USD USD 3.54 US$25 + Transfer Cost Communication Charges" Registered Mail USD 4.29 USD 0.71 US$5 + Cost SWIFT - Establishing / Issuing LCs etc* USD USD 7.08 US$50 + Cost SWIFT - Other USD 4.29 USD 0.71 US$5 + Cost Courier - Local + International USD 4.29 USD 0.71 US$5 + Cost Notes: 1. * - Product/Service Not offered to new clients 2. All figures are quoted in Jamaican Dollars unless otherwise stated. Page 23 of 23

Schedule of Charges. BAHAMAS Corporate Banking. Effective: J u n e 20, Page 1 of 17

Schedule of Charges. BAHAMAS Corporate Banking. Effective: J u n e 20, Page 1 of 17 BAHAMAS Corporate Banking Effective: J u n e 20, 2017 Page 1 of 17 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES

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

Schedule of Charges Barbados Corporate Banking Effective: March 1, 2018

Schedule of Charges Barbados Corporate Banking Effective: March 1, 2018 Barbados Corporate Banking Effective: March 1, 2018 1 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY SERVICES

More information

Schedule of Charges BAHAMAS Business Banking Effective: March 1, 2018

Schedule of Charges BAHAMAS Business Banking Effective: March 1, 2018 BAHAMAS Business Banking Effective: March 1, 2018 Page 1 of 17 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING

More information

Schedule of Charges BAHAMAS Retail Effective: J u ly 1, 2018

Schedule of Charges BAHAMAS Retail Effective: J u ly 1, 2018 BAHAMAS Retail Effective: J u ly 1, 2018 Page 1 of 21 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING

More information

Schedule of Charges BAHAMAS Retail Effective: March 1, 2018

Schedule of Charges BAHAMAS Retail Effective: March 1, 2018 BAHAMAS Retail Effective: March 1, 2018 Page 1 of 21 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING

More information

Schedule of Charges. Barbados. Business Banking. Effect ive: F ebr u a r y 1, 2018

Schedule of Charges. Barbados. Business Banking. Effect ive: F ebr u a r y 1, 2018 Barbados Business Banking Effect ive: F ebr u a r y 1, 2018 1 1 DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING AND CARD

More information

Schedule of Charges. Barbados. Retail. Effective: July 1, 2018

Schedule of Charges. Barbados. Retail. Effective: July 1, 2018 Barbados Retail Effective: July 1, 2018 1 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING AND CARD

More information

Schedule of Charges. Cayman Islands. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Cayman Islands. Corporate Banking. Effective: March 1, 2018 Schedule of Charges Cayman Islands Corporate Banking Effective: March 1, 2018 1 Schedule of Charges CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION

More information

Schedule of Charges. Cayman Islands. Business Banking. Effect ive: F ebr u a r y 1, 2018

Schedule of Charges. Cayman Islands. Business Banking. Effect ive: F ebr u a r y 1, 2018 Cayman Islands Business Banking Effect ive: F ebr u a r y 1, 2018 1 1 SMALL BUSINESS DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 SMALL BUSINESS DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY

More information

Schedule of Charges. Dominica. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Dominica. Corporate Banking. Effective: March 1, 2018 Dominica Corporate Banking Effective: March 1, 2018 1 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3SUNDRY SERVICES

More information

Schedule of Charges. St. Kitts & Nevis. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. St. Kitts & Nevis. Corporate Banking. Effective: March 1, 2018 St. Kitts & Nevis Corporate Banking Effective: March 1, 2018 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY

More information

Schedule of Charges. Turks & Caicos Islands. Corporate Banking. Effective: J une 20, 2017

Schedule of Charges. Turks & Caicos Islands. Corporate Banking. Effective: J une 20, 2017 Turks & Caicos Islands 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

More information

Schedule of Charges. Dominica. Retail. Effective: March 1, 2018

Schedule of Charges. Dominica. Retail. Effective: March 1, 2018 Dominica Retail Effective: March 1, 2018 1 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING AND CARD SERVICES

More information

Schedule of Charges. Antigua. Retail. Effecti ve: Mar ch 1, Last updated June 7th, 2018

Schedule of Charges. Antigua. Retail. Effecti ve: Mar ch 1, Last updated June 7th, 2018 Antigua Retail Effecti ve: Mar ch 1, 2018 Last updated June 7th, 2018 1 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY

More information

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

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

Schedule of Charges. St. Lucia. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. St. Lucia. Corporate Banking. Effective: March 1, 2018 St. Lucia Corporate Banking Effective: March 1, 2018 1 2 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL 2 3 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY INTERNATIONAL BANKING

More information

Schedule of Charges. Antigua. Corporate Banking. Effective: Ma rch 1, 2018

Schedule of Charges. Antigua. Corporate Banking. Effective: Ma rch 1, 2018 Antigua Corporate Banking Effective: Ma rch 1, 2018 last Updated: December, 2018 1 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS -

More information

Schedule of Charges. The British Virgin Islands. Business Banking. Effective: March 1, 2018

Schedule of Charges. The British Virgin Islands. Business Banking. Effective: March 1, 2018 The British Virgin Islands Business Banking Effective: March 1, 2018 1 CONTENTS 1 DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY SERVICES 4

More information

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

Schedule of Charges. The British Virgin Islands. Corporate Banking. Effective: Februa ry 1, 2018 The British Virgin Islands Corporate Banking Effective: Februa ry 1, 2018 1 CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN

More information

Schedule of Charges. St. Vincent. Retail. E ffect ive: F ebr u a r y 1, 2018

Schedule of Charges. St. Vincent. Retail. E ffect ive: F ebr u a r y 1, 2018 St. Vincent Retail E ffect ive: F ebr u a r y 1, 2018 1 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING

More information

Schedule of Charges. St. Vincent. Business Banking. Effective: March 1, 2018

Schedule of Charges. St. Vincent. Business Banking. Effective: March 1, 2018 St. Vincent Business Banking Effective: March 1, 2018 1 CONTENTS 1 DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 DEPOSIT AND TRANSACTION ACCOUNTS FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING AND CARD

More information

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: March 1, 2018 Turks & Caicos Islands International Corporate Banking Effective: March 1, 2018 1 2 CONTENTS 1 INTERNATIONAL CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 INTERNATIONAL CORPORATE DEPOSIT

More information

Schedule of Charges. St. Maarten. Retail

Schedule of Charges. St. Maarten. Retail St. Maarten Retail Effect ive: Ma r ch 15, 2018 1 CONTENTS 1 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL 2 PERSONAL DEPOSIT AND TRANSACTION ACCOUNTS - FOREIGN CURRENCY 3 SUNDRY SERVICES 4 LENDING

More information

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

Schedule of Charges. St. Maarten. Corporate Banking. Effective: J une 20, 2017 Schedule of Charges St. Maarten Corporate Banking Effective: J une 20, 2017 1 Schedule of Charges CONTENTS 1 CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 CORPORATE DEPOSIT AND TRANSACTION

More information

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: Ma y 3, 2017

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: Ma y 3, 2017 Turks & Caicos Islands International Corporate Banking Effective: Ma y 3, 2017 1 CONTENTS 1 INTERNATIONAL CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS - LOCAL CURRENCY 2 INTERNATIONAL CORPORATE DEPOSIT AND

More information

Schedule of Charges Trinidad Platinum Banking. Effective: March 1, 2018

Schedule of Charges Trinidad Platinum Banking. Effective: March 1, 2018 Schedule of Charges Trinidad Platinum Banking Effective: March 1, 2018 Last updated: August 24, 2018 Schedule of Charges CONTENTS CURRENT & SAVINGS ACCOUNTS - TTD CURRENT & SAVINGS ACCOUNTS - Foreign Currency

More information

Schedule of Charges. Barbados. International Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Barbados. International Corporate Banking. Effective: March 1, 2018 Barbados International Corporate Banking Effective: March 1, 2018 1 CONTENTS 1 INTERNATIONAL CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 INTERNATIONAL CORPORATE DEPOSIT AND TRANSACTION

More information

Schedule of Charges. International Corporate Banking Cayman Islands. Effective: Ma rch 1, 2018

Schedule of Charges. International Corporate Banking Cayman Islands. Effective: Ma rch 1, 2018 International Corporate Banking Cayman Islands Effective: Ma rch 1, 2018 Last Updated: December 1, 2018 1 1 INTERNATIONAL CORPORATE DEPOSITS AND TRANSACTION ACCOUNTS 2 TRANSACTION BANKING SERVICES 3 GLOBAL,

More information

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: February

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: February Turks & Caicos Islands International Corporate Banking Effective: February 1 2017 1 2 CONTENTS 1 INTERNATIONAL CORPORATE DEPOSIT AND TRANSACTION ACCOUNTS LOCAL CURRENCY 2 INTERNATIONAL CORPORATE DEPOSIT

More information

Bank Fees and Charges

Bank Fees and Charges SAVINGS ACCOUNTS BOSVG Fees Monthly charge to maintain account $3.00 Charge to open account $0.00 Deposit received in foreign cheque Cheque converted at current exchange rate, commission $10.00 per cheque,

More information

SKNANB FEE SCHEDULE UPDATED 31/12/17

SKNANB FEE SCHEDULE UPDATED 31/12/17 SKNB FEE SCHEDULE UPDATED 31/12/17 Fees on this schedule are not VAT inclusive ADVANCES & LOANS Personal Overdrafts Application Fee Commission/ Commitment 1% Min $150 Exceeding limit fee (per item) $30.00

More information

Customer Fee Guide Schedule of Rates. THE BANK OF NOVA SCOTIA JAMAICA LIMITED Small Business and Corporate & Commercial Banking

Customer Fee Guide Schedule of Rates. THE BANK OF NOVA SCOTIA JAMAICA LIMITED Small Business and Corporate & Commercial Banking 2016-2017 Schedule of Rates THE BANK OF NOVA SCOTIA JAMAICA LIMITED Small Business and Corporate & Commercial Banking Customer Fee Guide Effective November 1, 2016 The information in this Schedule of Rates

More information

Effective November 15, 2013 SCHEDULE OF FEES AND CHARGES

Effective November 15, 2013 SCHEDULE OF FEES AND CHARGES Effective November 15, 2013 SCHEDULE OF FEES AND CHARGES GRENADA CO-OPERATIVE BANK LIMITED TABLE OF CONTENTS Deposit Services 1-2 Payroll.. 3 Payments 4 Telegraphic Transfer Service 5 Bills of Collection.

More information

Schedule of Charges. Table of Contents. Demand & Mortgage Loans 5-7 Overdrafts 7 Security Items 8 Guarantees 8

Schedule of Charges. Table of Contents. Demand & Mortgage Loans 5-7 Overdrafts 7 Security Items 8 Guarantees 8 Table of Contents Loans 4-8 Demand & Mortgage Loans 5-7 Overdrafts 7 Security Items 8 Guarantees 8 Savings 9-12 Major League 10 TimeSaver 10 Optimizer 11 RightStart 11 Foreign Currency Accounts 12-14 Foreign

More information

Effective June 1, 2016 SCHEDULE OF FEES AND CHARGES

Effective June 1, 2016 SCHEDULE OF FEES AND CHARGES Effective June 1, 2016 SCHEDULE OF FEES AND CHARGES Table of Contents 1. DEPOSIT SERVICES... 1 2. PAYROLL... 4 3. PAYMENTS... 5 4. TELEGRAPHIC TRANSFER SERVICES... 6 4.0 Outgoing Wires... 6 4.1 Incoming

More information

GRENADA CO-OPERATIVE BANK LIMITED SCHEDULE OF FEES AND CHARGES

GRENADA CO-OPERATIVE BANK LIMITED SCHEDULE OF FEES AND CHARGES SCHEDULE OF FEES AND CHARGES Effective December 31, 2018 Table of Contents 1. DEPOSIT SERVICES... 1 2. PAYROLL... 3 3. PAYMENTS... 4 4. TELEGRAPHIC TRANSFER SERVICES... 5 4.0 Outgoing Wires... 5 4.1 Incoming

More information

COMMERCIAL BANKS SCHEDULE OF FEES AND CHARGES AS AT 31 DECEMBER 2015 Pursuant to Section (4)(b)(viii) of the Banking Services Act

COMMERCIAL BANKS SCHEDULE OF FEES AND CHARGES AS AT 31 DECEMBER 2015 Pursuant to Section (4)(b)(viii) of the Banking Services Act 1.0 CURRENT ACCOUNTS 1.1 Personal: 1.1.1 Minimum Monthly Service Charge $320.00 Regular Chequing - $550.00; Chequing Plus - $500.00 $500.00 - $700.00 $795.89 Prime Chequing $1,000.00 ** 1.1.2 Charge per

More information

Schedule of Rates & Charges Effective October 19, 2017

Schedule of Rates & Charges Effective October 19, 2017 PRODUCTIVITY & ORGANIZATIONAL EFFICIENCY Page 0 of 15 SAVINGS - PERSONAL LOCAL CURRENCY In-Branch Deposit/Lodgment 0.34% of the deposit amount for deposits $1,000,000 & over 16.50% 0.40% of the deposit

More information

Schedule of Rates & Charges Effective June 6, 2018

Schedule of Rates & Charges Effective June 6, 2018 PRODUCTIVITY & ORGANIZATIONAL EFFICIENCY Page 0 of 15 SAVINGS - PERSONAL LOCAL CURRENCY In-Branch Deposit/Lodgment 0.34% of the deposit amount for deposits $1,000,000 & over 16.50% 0.40% of the deposit

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 FEES AND CHARGES

SCHEDULE OF FEES AND CHARGES SCHEDULE OF FEES AND CHARGES Effective August 1, 2016 1 Table of Contents 1. DEPOSIT SERVICES... 1 2. PAYROLL... 4 3. PAYMENTS... 5 4. TELEGRAPHIC TRANSFER SERVICES... 6 4.0 Outgoing Wires... 6 4.1 Incoming

More information

COMMERCIAL BANKS SCHEDULE OF FEES AND CHARGES AS AT 31 DECEMBER 2014

COMMERCIAL BANKS SCHEDULE OF FEES AND CHARGES AS AT 31 DECEMBER 2014 1.0 CURRENT ACCOUNTS 1.1 Personal: 1.1.1 Minimum Monthly Service Charge $320.00 N/A Regular Chequing - $550.00; Direct Banking - No charge; Chequing Plus - $500.00 $650.00 $795.89 Interest Advantage -

More information

A. DAY-TO-DAY TRANSACTIONS Service Charge Free / Low Price Potential

A. DAY-TO-DAY TRANSACTIONS Service Charge Free / Low Price Potential Charges include General Consumption Tax (GCT) of 16.5% unless otherwise stated All Fees are quoted in Jamaican Dollars unless otherwise stated A. DAY-TO-DAY TRANSACTIONS Service Charge Free / Low Price

More information

The Bank of Nova Scotia St. Kitts & Nevis. Schedule of Rates

The Bank of Nova Scotia St. Kitts & Nevis. Schedule of Rates Schedule of Rates The Bank of Nova Scotia St. Kitts & Nevis Revised July 2018 There are other charges the Bank imposes for services. On request, you can get from the Bank specific charges not listed. TM

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

GENERAL TARIFF - PERSONAL ACCOUNT

GENERAL TARIFF - PERSONAL ACCOUNT GENERAL TARIFF - PERSONAL ACCOUNT A. BRUNEI DOLLAR DEPOSIT ACCOUNT Minimum Opening Deposit BND 100 - Statement Savings for minor and student accounts BND 50 BND 1,000 - Fixed Deposit Account BND 1,000

More information

Effective FEBRUARY 20, Customer Fee Guide

Effective FEBRUARY 20, Customer Fee Guide Effective FEBRUARY 20, 2017 Customer Fee Guide Customer Fee Guide Personal Services Contents Day-to-Day Banking Services Personal Services Savings Accounts Current Accounts e-financial Services NCB Stored

More information

Effective FEBRUARY 20, Customer Fee Guide

Effective FEBRUARY 20, Customer Fee Guide Effective FEBRUARY 20, 2017 Customer Fee Guide Customer Fee Guide Business Services Contents Day-to-Day Banking Services Business Services Current Accounts Payroll Services Bills for Collection Letter

More information

BANK OF MONTSERRAT LIMITED CUSTOMER PRICE GUIDE

BANK OF MONTSERRAT LIMITED CUSTOMER PRICE GUIDE Effective January 1, 2018 BANK OF MONTSERRAT LIMITED CUSTOMER PRICE GUIDE PERSONAL CHEQUING: Monthly Maintenance/Service Charge 25.00 Accounts closed within 3 months 30.00 Cash Handling Fee - Deposits

More information

Schedule of Fees Effective 1 March 2012 This brochure contains a summary of fees and commissions charged for usual banking products and services. Please contact one of our Banking Centres for fees associated

More information

Cash and Trade Pricing Guide 2017

Cash 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

TARIFF 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 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 information

FIRSTCARIBBEAN INTERNATIONAL BANK (JA.) LTD. SCHEDULE OF FEES AND CHARGES

FIRSTCARIBBEAN INTERNATIONAL BANK (JA.) LTD. SCHEDULE OF FEES AND CHARGES 1.0 CURRENT ACCOUNTS 1.1 Personal: 1.1.1 Minimum Monthly Service Charge $475.00 - $500.00 $475.00 - $500.00 Regular Chequing - $550.00; Direct Banking - No charge; Chequing Plus - $500.00 $0.00 0% $0.00

More information

THE BANK OF NOVA SCOTIA (JA) LTD. SCHEDULE OF FEES AND CHARGES

THE BANK OF NOVA SCOTIA (JA) LTD. SCHEDULE OF FEES AND CHARGES 1.0 CURRENT ACCOUNTS 1.1 Personal: 1.1.1 Minimum Monthly Service Charge $300.00 $320.00 $320.00 $20.00 7% $0.00 0% 1.1.2 Charge per Entry/Cheque $50.00 Per processed cheque and $195.00 per in branch transactions;

More information

Retail Banking. Sch edule of Charges

Retail Banking. Sch edule of Charges Retail Banking Sch edule of Charges Effective 03 January 2017 Contents ACCOUNT SERVICES Chequing 2 Savings 3 Fixed Term Deposits 4 Butterfield Debit Cards & ATM Banking 4 Credit Reference 4 SAFETY DEPOSIT

More information

This pricing guide contains a list of charges for the most commonly used products and services offered by our branches in Hong Kong, namely,

This pricing guide contains a list of charges for the most commonly used products and services offered by our branches in Hong Kong, namely, This Pricing Guide is your quick reference to charges for products and services offered by United Overseas Bank (UOB) Hong Kong. This is only applicable to accounts maintained with UOB in the Hong Kong

More information

Rs 35 + VAT per month, i.e. Rs per month 4Debit interest on unauthorised overdrawn balances

Rs 35 + VAT per month, i.e. Rs per month 4Debit interest on unauthorised overdrawn balances Account Access Services Internet Banking 4Monthly subscription fee 4Security Token - First acquisition/ replaced device Rs 100 per company, irrespective of the number of signatories per device Accounts

More information

Schedule of Tariffs and Fees Retail Banking

Schedule of Tariffs and Fees Retail Banking Schedule of Tariffs and Fees Retail Banking Schedule of Tarrifs and Fees Eligibility Criteria Combined average monthly relationship balance Minimum monthly salary criteria Advantage Advantage by Deposit

More information

Bank Service Charges (Effective from 1 August 2013)

Bank Service Charges (Effective from 1 August 2013) Bank Service s (A) Current Account (HKD, USD & RMB) Mailing of Cheque Book Mailing by registered post - HKD account HK$25 per book - USD account US$3 per book - RMB account RMB25 per book Returned Cheque

More information

Service Tariffs Guide

Service Tariffs Guide Service Tariffs Guide Terms & Conditions Apply Subscribe in Al Ahly Murattabat programs & Enjoy numerous benefits and special offers Account Charges Current Accounts Opening an individual / joint account

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

Retail Clients Schedule of Account Services / Charges 2015

Retail Clients Schedule of Account Services / Charges 2015 Retail Clients Schedule of Account Services / Charges 2015 Liability and Wealth Lending Products SME Banking Segment Priority Banking Retail/TG/2015/04/01 The Bank retains the right to include charges

More information

CBA Bank Tariff Guide

CBA Bank Tariff Guide CBA Bank Tariff Guide Effective 1st August 2015 www.cbagroup.com CBA is regulated by the Central Bank of Kenya ABBREVIATIONS CBA - Commercial Bank of Africa ATM - Automated Teller Machine US$ - United

More information

Corporate Banking. Sch edule of Charges

Corporate Banking. Sch edule of Charges Corporate Banking Sch edule of Charges Effective 01 February 2016 Contents ACCOUNT SERVICES Chequing 2 Savings 3 Fixed Term Deposits 3 Butterfield Debit Cards & ATM Banking 4 Credit Reference 4 SAFETY

More information

SAVINGS SERVICE CHARGES

SAVINGS SERVICE CHARGES A LOCAL CURRENCY RELATED CHARGES 1. Local Cheque Withdrawal $350.00 US$3.00 CAN$4.00 2.00 Per cheque. 50% Discount to Premier Club Members/Senior Citizens. 2. Special Delivery Instructions $1,400.00 US$11.00

More information

Lending Fees and Charges. Effective from 12 November 2016

Lending Fees and Charges. Effective from 12 November 2016 Lending Fees and Charges Effective from 12 November 2016 2 Suncorp Bank About this brochure These fees and charges are applicable at the time of printing and are subject to change. We recommend you confirm

More information

Corporate Banking. Sch edule of Charges

Corporate Banking. Sch edule of Charges Corporate Banking Sch edule of Charges Effective 02 January 2018 Contents ACCOUNT SERVICES Chequing 2 Savings 3 Fixed Term Deposits 3 Butterfield Debit Cards & ATM Banking 4 Credit Reference 4 SAFETY DEPOSIT

More information

TARIFF GUIDE. Fees and Charges SCR3 per entry charged half yearly. Internal to third party External-Local

TARIFF GUIDE. Fees and Charges SCR3 per entry charged half yearly. Internal to third party External-Local TARIFF GUIDE 15th September, 2018 - Effective 1st October to 31st December, 2018 Current Accounts Minimum balance for opening - Personal 00 Business/Corporate 00 Minimum balance to maintain account Business/Corporate

More information

Thank you for being a part of the VM Family and we take pride in providing you with the best service.

Thank you for being a part of the VM Family and we take pride in providing you with the best service. FEES ADVISORY Dear Valued Member Effective August 15, 2016, we have made adjustments to some of our Service Fees. These changes have been made in line with our commitment to provide you with the highest

More information

Retail Banking. Sch edule of Charges

Retail Banking. Sch edule of Charges Retail Banking Sch edule of Charges Effective 02 January 2018 Contents ACCOUNT SERVICES Chequing 2 Savings 3 Fixed Term Deposits 4 Butterfield Debit Cards & ATM Banking 4 Credit Reference 4 SAFETY DEPOSIT

More information

The Bank of Nova Scotia Grenada Schedule of Rates Revised October 2018

The Bank of Nova Scotia Grenada Schedule of Rates Revised October 2018 The Bank of Nova Scotia Grenada Schedule of Rates Revised October 2018 There are other charges the Bank imposes for services. On request, you can get from the Bank specific charges not listed. TM Trademarks

More information

Corporate Pricing Guide (Effective 1 September 2017)

Corporate Pricing Guide (Effective 1 September 2017) Corporate Pricing Guide (Effective 1 September 2017) ACCOUNT SERVICES Current Account SGD FCY Minimum Initial Deposit SGD8,000 AUD1,000 / CNH15,000 EUR1,000 / GBP1,000 HKD5,000 / JPY500,000 USD1,000 Account

More information

SAGICOR BANK JAMAICA LTD. SCHEDULE OF FEES AND CHARGES

SAGICOR BANK JAMAICA LTD. SCHEDULE OF FEES AND CHARGES 1.0 CURRENT ACCOUNTS 1.1 Personal: 1.1.1 Minimum Monthly Service Charge $314.55 - $512.60 depending on product chosen Interest Advantage - $466.00/Ultra Preferred $699.00 Interest Advantage - $524.25/Ultra

More information

FEES AND CHARGES UPDATED AS AT: 1st June 2018

FEES AND CHARGES UPDATED AS AT: 1st June 2018 FEES AND CHARGES UPDATED AS AT: 1 st June 2018 1 (a) Half yearly service charge on all accounts with average daily balance less than RM1,000.00 during the half year (b) Closure of Account - Within 3 months

More information

Corporate Pricing Guide (Effective 28 September 2018)

Corporate Pricing Guide (Effective 28 September 2018) Corporate Pricing Guide (Effective 28 September 2018) ACCOUNT SERVICES Current Account SGD FCY Minimum Initial Deposit SGD8,000 AUD1,000 / CNH15,000 EUR1,000 / GBP1,000 HKD5,000 / JPY500,000 USD1,000 Account

More information

* Transfers. * Letters of credit : - Import letters of credit : - Incoming Transfer Collected by the branch. - Outgoing transfers

* Transfers. * Letters of credit : - Import letters of credit : - Incoming Transfer Collected by the branch. - Outgoing transfers * Transfers Incoming Transfer Minimum Limit Zero $ Collected by the branch Maximum Limit 10 $ Outgoing transfers Foreign transfer Transfer charges (0.1%) SWIFT charges Correspondent bank charges RTGS Minimum

More information

Pricing Guide Personal 2017

Pricing Guide Personal 2017 Pricing Guide Personal 2017 Effective from 12th November 2017 1 Introduction We would like to help you make the most of your money. This pricing guide will help you understand how your bank fees are charged

More information

Sr No. Charge Type Charge Particulars Charge Amount BANK CHARGES

Sr No. Charge Type Charge Particulars Charge Amount BANK CHARGES BANK CHARGES 1 DEPOSIT PRODUCTS 1 Savings Account 1.1 Ledger Fees 1.2 Interest 2 Current Account 2.1 Ledger Fees Per month (if balance falls below 0) No charges shall be levied under this head if the account

More information

CONTENTS. JustOne Savings Account 1-2. Brunei Dollar Current Account 3. Foreign Currency Current Account 4-5. Fixed Deposit Account 5

CONTENTS. JustOne Savings Account 1-2. Brunei Dollar Current Account 3. Foreign Currency Current Account 4-5. Fixed Deposit Account 5 CONTENTS JustOne Savings Account 1-2 Brunei Dollar Current Account 3 Foreign Currency Current Account 4-5 Fixed Deposit Account 5 Flexi Fixed Deposit 6 Inward / Outward Remittances Draft and Telex Service

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

TA R I F F RETAIL BANKING

TA R I F F RETAIL BANKING TA R I F F GUIDE RETAIL BANKING Contents TABLE OF FEES & CHARGES ACCOUNTS & DEPOSITS 2 SERVICES 6 WITHDRAWALS & TRANSFERS 9 CARDS 10 E-BUSINESS 13 LOANS & FACILITIES 14 GUARANTEES 18 IMPORTS & EXPORTS

More information

TABLE OF CHARGES AND COMMISSIONS

TABLE OF CHARGES AND COMMISSIONS TABLE OF CHARGES AND COMMISSIONS Of ex-usbbank PLC Accounts / Transactions Physical Persons and Legal Entities CONTENTS Page 1. SALE AND PURCHASE OF FOREIGN CURRENCY NOTES. INCOMING PAYMENTS (SEPA, SWIFT)

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

INTERNATIONAL SERVICES

INTERNATIONAL SERVICES INTERNATIONAL SERVICES Fees & Charges FOREIGN CURRENCY ACCOUNTS Foreign Currency Cheque Account Minimum Opening Balance $1,000 or JPY 20,000 Base Maintenance Fee $15 or JPY 750 per month Activity Fee $0.40

More information

TARIFF FOR CORE BANKING BUSINESS

TARIFF 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 information

Mauritius Commercial Bank Limited Statement of Principal Interest Rates and Service Charges for domestic operations (Last updated

Mauritius Commercial Bank Limited Statement of Principal Interest Rates and Service Charges for domestic operations (Last updated A INTEREST RATES (per annum) 1 Deposits Savings 1.80% Call Term (MUR) 7 days 0.10% 0.10% 03 months 0.30% 0.30% 12 months S + (0.250% - 0.265%) (1) S + (0.250% - 0.265%) (1) 24 months S + (0.375% - 0.425%)

More information

i. Charges on Cedi Transactions

i. Charges on Cedi Transactions A. SERVICE CHARGES i. Charges on Cedi Transactions Returned Cheques Personal Account Debit Turnover in a month Variable Fee/Charge Returned by us Returned By Us (Insufficient Funds) 0-1,999 5.00 Returned

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

TA R I FF GUIDE SME BANKING

TA R I FF GUIDE SME BANKING TA R I FF GUIDE SME BANKING Contents TABLE OF FEES & CHARGES ACCOUNTS & DEPOSITS 2 SERVICES 4 CASH DEPOSITS, WITHDRAWALS & TRANSFERS 7 CARDS 8 E-BUSINESS 10 LOANS & FACILITIES 10 GUARANTEES 13 IMPORTS

More information

General Tariff. Issue Date: April 2017

General Tariff. Issue Date: April 2017 Current and Savings Accounts Cheques returned unpaid by us Refer to Drawer 25.00 per cheque Any other reason 5.00 per cheque Stopped Cheques (applicable whether stop instructions are for one cheque or

More information

January Premier Schedule of Services and Tariffs

January Premier Schedule of Services and Tariffs January 2013 Premier Schedule of Services and Tariffs General Conditions: 1- The Bank reserves the right to levy additional charges for services and change the fees and charges at its sole discretion.

More information

A clear commitment to you

A clear commitment to you A clear commitment to you In order to make the best decisions about your finances, you need to be informed. Always. That s why we are committed to being open and transparent about what we charge. This

More information

HL BANK PRICING SCHEDULE HLBS/OPS/17 1

HL BANK PRICING SCHEDULE HLBS/OPS/17 1 HL BANK PRICING SCHEDULE HLBS/OPS/17 1 PRICING SCHEDULE CURRENT ACCOUNT (SGD) Minimum Balance Fee Personal Account Corporate Account Interest Overdraft Incidental Overdraft S$10 per month if average balance

More information

Rs 10 + VAT per month, i.e. Rs per month 4Debit interest on unauthorised overdrawn balances

Rs 10 + VAT per month, i.e. Rs per month 4Debit interest on unauthorised overdrawn balances Account Access Services Internet Banking 4Subscription fee 4Security Token - First acquisition/ replaced device per device 4Dispatch charges Rs 550 Mobile Banking 4Mobile Internet Banking 4SMS ReFill service

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 Fees Revised October 2018

Schedule of Fees Revised October 2018 The Bank of Nova Scotia Anguilla Schedule of Fees Revised October 2018 There are other charges the Bank imposes for services. On request, you can get from the Bank specific charges not listed. TM Trademarks

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

The Bank of Nova Scotia St. Kitts & Nevis Schedule of Fees Revised October 2018

The Bank of Nova Scotia St. Kitts & Nevis Schedule of Fees Revised October 2018 The Bank of Nova Scotia St. Kitts & Nevis Schedule of Fees Revised October 2018 There are other charges the Bank imposes for services. On request, you can get from the Bank specific charges not listed.

More information

THE BANK OF NOVA SCOTIA ST. MAARTEN SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable).

THE BANK OF NOVA SCOTIA ST. MAARTEN SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable). THE BANK OF NOVA SCOTIA ST. MAARTEN SCHEDULE OF RATES Trademarks of The Bank of Nova Scotia, used under licence (where applicable). Contents Page Personal Deposit Accounts 3-7 Small Business & Commercial

More information