TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR RETAIL

Size: px
Start display at page:

Download "TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR RETAIL"

Transcription

1 Date of publication: Date of application: TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR RETAIL Banca Intesa ad Beograd Milentija Popovića 7b, Novi Beograd; call center: +381 (011) ; tekući račun:

2 GENERAL PROVISIONS Fees shall be collected for the services Banca Intesa ad Beograd (hereinafter: the Bank) provides in the country and abroad on the basis of banking operations, the level of which shall be determined in accordance with market business conditions, as well as depending on the transaction risk level, for the purpose of covering actual expenses of performed banking services and realized income on that basis. CONTENT: I RSD OPERATIONS.....Error! Bookmark not defined. II FX OPERATIONS 4 III REMITTANCES...4 IV TRANSFERS WITHIN THE COUNTRY - PURCHASE, SALE AND LEASE OF REAL ESTATES, LIFE INSURANCE AND CLEAN TRANSFER (AMONG THE OWN ACCOUNTS)...5 V FX OPERATIONS AND FOREIGN BANKS...5 VI TARIFF RATES REGARDING FINANCIAL INSTRUMENTS...6 VII L/G OPERATIONS...6 VIII LOANS...7 IX OTHER OPERATIONS...7 X ELECTRONIC BANKING...7 XI PAYMENT CARDS... 8 XII BROKER OPERATIONS...12 XIII SAFE-DEPOSIT-BOXES...13 XIV OTHER PROVISIONS...14 Page 2 of 16

3 I RSD OPERATIONS 1. OPENING CURRENT ACCOUNT AND RSD SAVINGS ACCOUNT 2. MAINTAINING RSD SAVINGS ACCOUNT 3. MAINTAINING CURRENT ACCOUNT Type of account 3.1. Basic account * RSD 195 per month 3.2.»Intesa Hit«account ** RSD 300 per month 3.3. Maintaining blocked current accounts 3.4. Maintaining other types of current accounts *** 3.5.»Intesa Magnifica«current account ** RSD 400 per month 3.6. Special purpose current account for Farmer RSD 195 monthly * Fee for Basic current account maintaining is charged in full only from the available funds, regardless of any financial transaction within the month. For current accounts that are changed to Basic current account for the settlement purpose, fee is not charged for maintenance of Basic current account * * Fee for maintaining Intesa Hit / Intesa Magnifica current account is charged: - on current accounts which recorded financial transaction within the month - on current accounts which didn t have financial transactions during the month, if the account balance is greater or equal to the monthly account maintenance fee. The financial transaction means any cash or non cash payment withdrawal. For Intesa Magnifica current account, financial transactions include also financial transactions made by credit cards. *** Other types of current accounts are type 8 (students), type 10 (specific-purpose current account for Laki Kes) 4. STATEMENT Type of statement 4.1. Statement from current account One statement a month - no fee, each subsequent RSD a month 4.2. Statement of purpose account for Farmers 4.3. Monthly fee, for sending to the home address confirmation of payment made electronically, at the request of client RSD CASH WITHDRAWAL FROM CURRENT AND DINAR ACCOUNT (FOR ANY REASON) 6. NON-CASH PAYMENTS BY TRANSFER FROM CURRENT ACCOUNT AND RSD SAVINGS ACCOUNT AND CASH PAYMENTS TO CURRENT ACCOUNTS OF LEGAL ENTITES Type of service Minimum % of amount Maximum 6.1. Transfer/payment by HIT / Intesa Magnifica current account owner RSD 60 0,8% RSD Transfer/payment by the owner of the Basic current account RSD 80 1,00% RSD Transfer/payment by other clients RSD 100 1,10% RSD Payments of liquiditi loans (by the founder) RSD 30 0,30% RSD Transfer/payment of special arrangments with legal entities RSD 15 0,20% RSD Transfer / payment by owner of special-purpose account for Farmer RSD 80 1,00% RSD ISSUING CHEQUES ACCORDING TO CURRENT ACCOUNTS Issuing chegue on current account RSD PAYMENT/TRANSFER TO ACCOUNT Page 3 of 16

4 9. PAYMENT BY CHEQUES AND BOOKLETS OTHER BANKS 3% 10. PAYMENTS AND TRANSFERS UNDER CHARITY DONATIONS 11. PURCHASE OF INVESTMENT UNITS OF INTESA INVEST FUNDS * Without fee for all channels II FX OPERATIONS 1. OPENING AND MAINTAINING FX SAVINGS DEPOSIT 2. DEPOSIT OF FX CASH TO FX SAVINGS ACCOUNT 3. CONVERSION AT REQUEST OF THE FX SAVINGS ACCOUNT HOLDER Type of service 3.1. For concrete payments (nostro remittance) * 0,4% 3.2. For FX cash withdrawal ** 3.3. For withdrawal or transfer, at the owner's request *** 0,4% 3.4. For payments of credit card expenditure * If client wants that the remittance is effected in the currency that he/she does not have at his FX savings deposit (conversion for nostro remittance is carried out according to purchase exchange rate of the BIB exchange list). ** If client wants that withdraw effective FX banknotes in the currency that he/she does not have at his FX savings deposit, and Bank cannot perform it (conversion is performed applying mid exchange rate of the NBS exchange list) *** If client wants that the payment off is effected in the currency that he/she does not have at his FX savings, or coverts FX within FX savings deposit from one currency to another (conversion is performed according to purchase exchange rate of the BIB exchange list) 4. WITHDRAWALS FROM FX SAVINGS ACCOUNT Currency 4.1. In RSD **** 4.2. in FX cash ***** **** Amounts of RSD paying-out transactions, exceeding RSD are to be announced to the branch at least 24 hours in advance **** Amounts of effective FX paying-out transactions exceeding countervalue of RSD , are to be announced to the branch at least 24 hours in advance. III REMITTANCES 1. NOSTRO REMITTANCES Type of service Minimum % of amount Maximum 1.1. Nostro remittances ordered by natural persons RSD ,7% RSD RSD Nostro remittances ordered by nonresidents on the account opened RSD with the Bank 1.3. RSD Nostro remittances ordered by nonresidents on the account opened RSD ,8% RSD with some other domestic bank 1.4. RSD Nostro remittances ordered by residents on the account opened with RSD 500 the Bank 1.5. RSD Nostro remittances ordered by residents on the account opened with some other domestic bank RSD ,7% RSD Page 4 of 16

5 1.6. Inquires and requests for reimbursement or amendment of nostro remittance 1.7. Nostro remittances in Eur with option OUR for actual foreign bank expenses up to 5.000, Nostro remittances in Eur with option OUR for actual foreign bank expenses from 5.000,01 to , Nostro remittances in Eur with option OUR for actual foreign bank expenses from ,01 to , Nostro remittances in Eur with option OUR for actual foreign bank expenses from , Nostro remittance in other currencies with option OUR for actual foreign bank expenses RSD actual foreign bank expenses RSD RSD RSD RSD RSD LORO REMITTANCES Type of service Minimum % of amount Maximum 2.1. Inflows from other domestic banks, based on charity donations 2.2. Loro remittances up to 100 RSD Loro remittances over 100,01 RSD 300 0,35% RSD Foreign pensions from Federal Republic of Germany 0,23% IV TRANSFERS WITHIN THE COUNTRY - PURCHASE, SALE AND LEASE OF REAL ESTATES, LIFE INSURANCE AND CLEAN TRANSFER (AMONG THE OWN ACCOUNTS) Type of service Minimum % of amount Maximum 4.1. Transfers within the bank * RSD 800 0,2% RSD Transfers to other domestic banks RSD ,3% RSD Return of funds per final calculation of business trip expenses to the RSD 600 0,2% account with other domestic bank 4.4. Inquires and requests for cancellation or amendment of transfers RSD Transfers under charity donations * If client terms deposits on the grounds of concluded purchase agreement or lease agreement for min. 1 month, the fee is not charged Note In case of transfers with charging option OUR, Bank will withhold RSD as the reservation for transfers in local currency, i.e. 0,1%, min.eur 30 (in RSD counter value on the bases of NBS middle exchange rate) for transfers in foreign currency V FX OPERATIONS AND FOREIGN BANKS Type of service Minimum % of amount 5.1. Purchase of effective FX banknotes 5.2. Sales of effective FX banknotes 5.3. Change of effective FX banknotes for smaller or bigger denominations RSD 80 0,5% 5.4. Change of damaged effective FX banknotes RSD 10 2% 5.5. Depositing and pay-off of loro cheques from FX saving deposit Vrsta čeka Minimum % of amount Banking cheque RSD 300 1,2% Traveler s cheque RSD 300 1,2% Pension cheque RSD 300 0,5% Private cheque RSD % Purchase of loro cheques through exchange operations RSD 300 1,2% Collection of inkaso cheques RSD % + real expenses 5.6. FOREIGN BANKS Type of service Minimum % of amount Maximum Page 5 of 16

6 Inflows when the ordering party covers expenses EUR 5 0,1% EUR 100 VI TARIFF RATES REGARDING FINANCIAL INSTRUMENTS 1. OPENING AND KEEPING OF DINAR AND FX SPECIFIC PURPOSES ACCOUNTS OF FINANCIAL INSTRUMENTS Clients 1.1. Clients of BIB Brokerage Dealing Unit 1.2. Clients of other brokerage institutions RSD CASH BALANCING FEE TRADING WITH FINANCIAL INSTRUMENTS Clients Minimum % of amount 2.1. Clients of BIB Brokerage Dealing Unit * RSD 20 0,1% 2.2. Clients of other brokerage institutions * RSD 20 0,2% * calculated according to the market value per transaction VII L/G OPERATIONS 1. REQUEST PROCESSING FEE P()900 * collection is conducted on one-off basis Minimum % of amount RSD ,1%* 2. L/G FOR PARTICIPATION AT TENDERS, PUBLIC BIDS, PUBLIC COMPETITION L/G % of amount Maximum 2.1. Issuing of L/G with 100% deposit 0,6%* RSD Issuing of L/G without deposit 1%* * collection is conducted on one-off basis 3. OTHER L/G L/G % of amount Maximum 3.1. Issuing of L/G with 100% deposit 0,8%** RSD Issuing of L/G without deposit 1,5%** ** calculation and collection are conducted on quarter basis, after each three-month-period. Each started three-month-period is considered the whole 4. CANCELLATION OF L/G ISSUING REQUEST Minimum % of amount RSD ,1% *** *** from amount 5. EXTENSION OF VALIDITY DATE OF THE ISSUED L/G Minimum % of amount RSD ,1% *** *** from amount 6. PROTEST OF L/G ( PREPARATION AND REALIZATION) *** from amount % of amount 0,2% *** Page 6 of 16

7 VIII LOANS Type of service 8.1. Loan disbursement fee 0% - 3% 8.2. Sending warning notice to the loan user RSD 200 per warning notice 8.3. Premature loans repayment fee contracts signed up to In case of precisely stated premature repayment fee the provisions of the signed contract have to be applied; Otherwise, 8.4. Request for change of the real estate that is the subject of the mortgage provisions of premature repayment fee won't be charged EUR 50 (in dinar counter value, according to the mid exchange rate of the NBS on the payment day) IX OTHER OPERATIONS Type of service 9.1. Request for return of FX payment order upon execution EUR Changes after the FX payment is effected, upon request of a client EUR Return of inflow abroad upon the request of the ordering party EUR Liquidity cash balancing of current account, a vista and term account 9.5. Issuing of various confirmations RSD Blocking of accounts 9.7. Sending default warning notice RSD 200 per warning notice 9.8. Canceling of partial and full amount term savings deposit, before expiry of the first term saving period 9.9. Issuing of confirmation - SWIFT message RSD Issuing of confirmations for the effected depositing of founding investment according RSD 300 per confirmation to the order of non-resident Registration of international credit operations (foreign borrowing transaction and foreign lending transaction) and registration of realization of international credit operations with NBS Type of service Preparation of forms and registration of foreign borrowing transaction or registration of Realization or foreign borrowing transaction with NBS when the creditor is member of Intesa SanPaolo group Preparation of forms and registration of foreign borrowing transaction or registration of Realizations or foreign borrowing transaction with NBS when the creditor is not member of Intesa SanPaolo group Preparation of forms and registration of foreign lending transaction or registration of Realization or foreign lending transaction with NBS Delivery of Statements with regard to international credit operations registered with NBS RSD Per each transaction RSD Per each transaction RSD Per each transaction RSD 500 Per Statement X ELECTRONIC BANKING 1. BANCA INTESA ONLINE Type of service 1.1. Activation of Banca Intesa Online Free of charge 1.2. Banca Intesa Online monthly fee Free of charge Page 7 of 16

8 2. SMS MO SMS Users 2.1. For TELENOR network users RSD 6,00 + VAT 2.2. For MTS network users RSD 6,00 + VAT 2.3. For VIP network users RSD 6,00 + VAT 3. Intesamob Type of service 3.1. Activation of IntesaMob service Free of charge 3.2. IntesaMob monthly fee for Intesa HIT, Intesa Magnifica and Basic current Free of charge account users 3.3. IntesaMob monthly fee for other users RSD 50 per month 4. NON-CASH PAYMENTS FOR CURRENT ACCOUNT USERS THROUGH BIB ON LINE AND / OR INTESAMOB SERVICES Users Minimum % of amount Maximum 4.1. "Intesa HIT" and Intesa Magnifica current account users Free of charge 4.2. Basic account users The first 3 transactions per month free of charge, and the rest will be charged RSD 45 1,00% RSD Other clients RSD 60 1,00% RSD XI PAYMENT CARDS 1. MEMBERSHIP FEE FOR BASIC CARD 1.1. Dina debit card no fee 1.2. MC within current account bundle (Standard ) no fee 1.3. MC Standard RSD 200 monthly 1.4. MC Gold RSD 500 monthly 1.5. Visa Electron no fee 1.6. Visa Electron Affinity Paraolimpik no fee 1.7. Banca Intesa Internet no fee 1.8. Visa Inspire no fee 1.9. Visa Platinum RSD monthly Visa Infinite RSD monthly Visa Classic RSD 200 monthly Visa Classic Affinity Paraolimpik RSD 160 monthly Visa Gold RSD 500 monthly AMEX Green RSD yearly, monthly billing AMEX Green Affinity LK* RSD yearly, monthly billing AMEX Gold** RSD yearly, monthly billing AMEX Blue RSD yearly, monthly billing AMEX Green with 100% deposit RSD yearly, monthly billing AMEX Blue within current account bundle no fee * No membership fee is charged in first year ** Amex Gold credit card users (main and additional users) with opened Intesa Magnifica current account 50% decrease of annual fee. 2. MEMBERSHIP FEE FOR SUPPLEMENT CARD 2.1. Dina debit card no fee 2.2. MC within current account bundle (Standard ) no fee 2.3. MC Standard RSD 100 monthly 2.4. MC Gold RSD 300 monthly 2.5. Visa Electron no fee Page 8 of 16

9 2.6. Visa Electron Affinity Paraolimpik no fee 2.7. Visa Inspire no fee 2.8. Visa Platinum RSD 975 monthly 2.9. Visa Infinite RSD monthly Visa Classic RSD 100 monthly Visa Classic Affinity Paraolimpik RSD 70 monthly Visa Gold RSD 300 monthly AMEX Green RSD yearly, monthly billed AMEX Green Affinity LK* RSD yearly, monthly billed AMEX Gold** RSD yearly, monthly billed AMEX Blue RSD 900 yearly, monthly billed AMEX Green with 100% deposit RSD yearly, monthly billed AMEX Blue within current account bundle no fee * No membership fee is charged in first year ** Amex Gold credit card users (main and additional users) with opened Intesa Magnifica current account 50% decrease of annual fee 3. BLOCKADE OF THE LOST OR STOLEN CARD, INCLUDING REPLACEMENT OF LOST OR STOLEN CARD 3.1. Dina debit card RSD Maestro card RSD MC within current account bundle (Standard ) RSD MC Standard RSD MC Gold RSD Visa Electron RSD Visa Electron Affinity Paraolimpik RSD Banca Intesa Internet RSD Visa Inspire RSD Visa Platinum RSD Visa Infinite RSD Visa Classic RSD Visa Classic Affinity Paraolimpik RSD Visa Gold RSD AMEX Green RSD AMEX Green Affinity LK RSD AMEX Gold RSD AMEX Blue RSD AMEX Green with 100% deposit RSD AMEX Blue within current account bundle RSD REQUEST FOR NEW PIN 4.1. Visa Infinite RSD Visa Platinum RSD AMEX Blue RSD AMEX Green RSD AMEX Green Affinity LK RSD AMEX Gold RSD AMEX Green with 100% deposit RSD CANCELLATION OF A CARD UTILIZATION 5.1. Debit cards 5.2. Credit cards 6. URGENT CARD PRODUCTION Page 9 of 16

10 6.1. Master, Visa and Dina credit cards RSD Debit cards RSD MASTERCARD SECURECODE AND VERIFIED BY VISA 7.1. Issuing fee for Master SecureCode CAP (Chip Authentication Program) and Verified by VISA DPA (Dynamic Password Authentication) package (1 payment card reader) 7.2. Monthly fee for Master SecureCode and Verifed by VISA RSD 1,000 one-time fee Free of charge 8. COSTS OF SENDING NOTICES IN CASE OF 60-DAY-DEFAULT 8.1. AMEX Green RSD AMEX Green Affinity LK RSD AMEX Gold RSD AMEX Blue RSD AMEX Green with 100% deposit RSD COSTS OF SENDING NOTICES IN CASE OF 90-DAY-DEFAULT 9.1. AMEX Green RSD AMEX Green Affinity LK RSD AMEX Gold RSD AMEX Blue RSD AMEX Green with 100% deposit RSD TRANSACTION PROCESSING EXPENSES Cash withdrawals at the counters of BIB Dina debit card no fee Maestro kartice no fee MC within current account bundle (Standard) 3% (Min. RSD 150) MC Standard 3% (Min. RSD 150) MC Gold 3% (Min. RSD 150) Visa Electron no fee Visa Electron Affinity Paraolimpik no fee Visa Inspire no fee Visa Platinum no fee Visa Infinite no fee Visa Classic 3% (Min. RSD 150) Visa Classic Affinity Paraolimpik 3% (Min. RSD 150) Visa Gold 3% (Min. RSD 150) Cash withdrawal abroad Maestro Pre-paid 2% (Min. EUR 2) MC within current account bundle (Standard) 3% (Min. EUR 3) MC Standard 3% (Min. EUR 3) MC Gold 3% (Min. EUR 3) Visa Inspire* 2% (Min. EUR 2) Visa Platinum 2% (Min. EUR 2) Page 10 of 16

11 Visa Infinite 2% (Min. EUR 2) Visa Electron 2% (Min. EUR 3) Visa Electron Affinity Paraolimpik 2% (Min. EUR 3) Visa Classic 3% (Min. EUR 3) Visa Classic Affinity Paraolimpik 3% (Min. EUR 3) Visa Gold 3% (Min. EUR 3) AMEX Green 3% (Min. EUR 5) AMEX Green Affinity LK 3% (Min. EUR 5) AMEX Gold 3% (Min. EUR 5) AMEX Blue 3% (Min. EUR 5) AMEX Green with 100% deposit 3% (Min. EUR 5) AMEX Blue within current account bundle 3% (Min. EUR 5) * Cash withdrawals at ATM-s wihin the Intesa Sanpaolo Group without fee Cash withdrawal at the ATMs of BIB Dina debit card no fee Maestro Pre-paid no fee MC within current account bundle (Standard) 3% (Min. RSD 90) MC Standard 3% (Min. RSD 90) MC Gold 3% (Min. RSD 90) Visa Electron no fee Visa Electron Affinity Paraolimpik no fee Visa Inspire no fee Visa Platinum no fee Visa Infinite no fee Visa Classic 3% (Min. RSD 90) Visa Classic Affinity Paraolimpik 3% (Min. RSD 90) Visa Gold 3% (Min. RSD 90) AMEX Green 3% (Min. RSD 150) AMEX Green Affinity LK 3% (Min. RSD 150) AMEX Gold 3% (Min. RSD 150) AMEX Blue 3% (Min. RSD 150) AMEX Green with 100% deposit 3% (Min. RSD 150) AMEX Blue within current account bundle 3% (Min. RSD 150) Cash withdrawal at the ATMs and counters of other domestic principals Dina debit card 2% (Min. RSD 90) Maestro Pre-paid 2% (Min. RSD 90) MC within current account bundle (Standard ) 3% (Min. RSD 150) MC Standard 3% (Min. RSD 150) MC Gold 3% (Min. RSD 150) Visa Inspire 2% (Min. RSD 90) Visa Platinum 2% (Min. RSD 90) Visa Infinite 2% (Min. RSD 90) Visa Electron 2% (Min. RSD 150) Visa Electron Affinity Paraolimpik 2% (Min. RSD 150) Visa Classic 3% (Min. RSD 150) Visa Classic Affinity Paraolimpik 3% (Min. RSD 150) Visa Gold 3% (Min. RSD 150) Expenses of processing unfounded complaints Place Expenses of processing unfounded complaints in the country RSD Page 11 of 16

12 Expenses of processing unfounded complaints abroad EUR issuing fee for Banca Intesa Internet card RSD 800 (one-off payment) XII BROKER OPERATIONS 1. BROKERAGE FEE IN TRADING SHARES Kind of trading 1.1. Brokerage fee in trading shares at the MTP and regulated market 1.2. Provision for trade equity securities of issuing orders for depositing, acquisition and disposal, forced purchases and sales of dissenting shareholders 1% calculated on market value per transaction or sales agreement certificate 1% calculated on market value per transaction or sales agreement certificate 2. Brokerage fee for trading in debt securities (bills, bonds and other) in local currency the issuer of which is the Republic of Serbia, the NBS, municipality or other local government entities-for trading in debt securities (bills, bonds, etc.) whose issuer is the Republic of Serbia, the NBS and the municipality or other local units that are denominated in foreign currencies, brokerage fee is determined as a percentage of the market value of the transaction (per transaction or sales agreement certificate) translated into dinars at the mid exchange rate of NBS on the day of placing the order, unless otherwise agreed. Amount % of amount 2.1. RSD from % 2.2. RSD from ,8% 2.3. RSD ,6% 2.4. RSD ,4% 2.5. RSD ,2% 2.6. RSD ,17% 2.7. RSD ,16% 2.8. over RSD ,15% 3. TRADING DEBT SECURITIES BUSSINES ENTITIES Amount % of amount 3.1. Up to RSD % 3.2. RSD ,9% 3.3. RSD ,8% 3.4. Over RSD ,7% Type of service Minimum % of amount Maximum 4. CHANGE AND/OR REVORKING ORDERS RSD SUBSCRIPTION AND PAYMENT OF THE SECURITIES FOR BUYERS (INVESTITORS) RSD 500 per order 1% RSD per order 6. BORROWING OR MEDIATION IN BORROWING SECURITIES 1% calculated on nominal value of the lent securities 7. Services as a member of Central securities depositor and clearing house and corporete agent sevices Type of service 7.1. For opening proprietery account RSD For opening escrow account RSD For opening depo securities account RSD For opening securities deposit account RSD For opening emission account RSD For closing account RSD For closing depo securities account RSD For transfer of securities ownership from proprietry to custody account (per ISIN number) RSD For transferring securities from proprietary account opened through one member of the Central RSD Securities Registry proprietary account of the same owner to anather member of the Central Page 12 of 16

13 Securities Registry (change depositories, per ISIN number) For transfer of securities based on the contracts of gift and other contracts (per ISIN number) RSD For transfer of securities based on final court decision and requirements (inheritance and other RSD solution, per ISIN number) Subscription prohibition of disposal (per ISIN number) RSD Deleting prohibition of disposal (per ISIN number) RSD Enrollment of restriction (per ISIN number) RSD Assigning CFI code and ISIN number RSD Submission of a single shareholder book RSD Changes of ID Number for clients RSD Publication of the notice on the website of Central Securities Registry RSD XIII SAFE-DEPOSIT-BOXES 1. REPLACING OF LOCKS/ ELECTRONIC CARDS Type of replacement 1.1. Replacing lock on mechanical safe-deposit-box RSD 500+ actual expenses increased by the VAT 1.2. Replacing lost or damaged card of electronic self-service safe-deposit RSD 200 box 1.3. Replacing lock on electronic self-service for safe-deposit box RSD EUR 160 increased by the VAT 60X300X Replacing lock on electronic self-service for safe-deposit box RSD EUR 170 increased by the VAT 90X300X Replacing lock on electronic self-service for safe-deposit box RSD EUR 180 increased by the VAT 120X300X Replacing lock on electronic self-service for safe-deposit box RSD EUR 190 increased by the VAT 180X300X Replacing lock on electronic self-service for safe-deposit box RSD EUR 200 increased by the VAT 210X300X ELECTRONIC SELF-SERVICE SAFE DEPOSIT BOX Safe-deposit-boxes dimensions 1 month 3 months 6 months 12 months x300x400 RSD 600 RSD RSD RSD x300x400 RSD 800 RSD RSD RSD x300x400 RSD RSD RSD RSD x300x400 RSD RSD RSD RSD x300x400 RSD RSD RSD RSD MECHANICAL SAFE-DEPOSIT BOX Safe dimensions 1 month 3 months 6 months 12 months x240x330 RSD 400 RSD RSD RSD x300x x280x x300x x250x x280x x300x x300x x310x x250x x240x x240x330 RSD 500 RSD RSD RSD x250x x300x x300x x280x390 Page 13 of 16

14 x300x x310x x250x x220x470 RSD 600 RSD RSD RSD x300x x300x x300x x310x x310x x250x x240x x240x x300x470 RSD 800 RSD RSD RSD x300x x300x x310x x310x x250x x300x470 RSD RSD RSD RSD x310x x300x x300x x350x x250x330 XIV OTHER PROVISIONS The Bank shall collect fee for the provided service by the service user or originator, unless otherwise stipulated by the agreement between the client and the Bank or between the clients themselves. The fee for provision of services which are not stipulated by this Tariff but appear in the Bank's operations and its level shall be determined by the agreement between the clients and the Bank, in accordance with the fee level for similar operations stipulated by this Tariff. Besides the service fees stipulated by this Tariff, the Bank shall also charge and collect the actual expenses arising in the country and abroad. The following outlays shall be deemed actual expenses: 1. postage for registered mail, express mail and airmail, with receipt and other special mail handling, package postage, as well as transport expenses; 2. telex, telegram and telephone call expenses, except for local telephone calls; 3. telephone, telex and telegraph transfer expenses; 4. special package material expenses; 5. expenses charged by other banks in the country participating in the execution of transaction; 6. commission and expenses charged by foreign banks; 7. dues and similar paid by the Bank for account of the service user; 8. legal representation expenses, court expenses and similar; Page 14 of 16

15 9. expenses of outsourcing for work at the request of service users; 10. outlays relating to the loan application when the loan has not been approved; 11. expenses relating to obtaining information at the request of domestic clients and foreign business partners; 12. expenses of special obligations in foreign transactions; 13. other actual outlays made at the service user's request; 14. expenses of representative's office in providing help to depositors for purchase of domestic goods, durable consumer goods and flats with in-country delivery, as well as in providing other services to the Bank depositors and our other citizens temporarily residing abroad. Postage for ordinary mail as well as postage for airmail destined for foreign countries shall not be deemed actual expense. Actual expenses shall also be collected when this Tariff stipulates that the relevant service shall be performed without charging a fee. Expenses may be determined and collected as lump sum for particular types of services that occur more frequently, and in the performance of which several different types of expenses arise, as well as when the expense level is directly dependent on the transaction value. The level of the lump sum expenses, minimum and maximum levels for the mentioned tariff rates shall be determined by the Bank's Executive Board by its decision, depending on the actual trend of expenses in the previous period (the rate of retail price increase and published minimum cost of labor). The Decision referred to in the previous paragraph shall be an integral part of this Decision. The fees for all services in FX transactions provided by the Bank to the users in the country shall be charged in RSD at middle price. If the FX transactions in the country are performed through several domestic banks, the fees shall be shared according to agreement between the participating banks, in proportion to their respective share in the transaction performed. For all its services, the Bank shall collect all fees that may arise from any change in current legal regulations or change in current NBS Tariff (the NBS transfer commission) in the manner and in the amount prescribed. The fees for the services the Bank provides to foreign correspondents shall be calculated in foreign currency according to current Tariff for services in transactions with foreign banks and other foreign entities. In particular cases of interest to the Bank, the Executive Board, or a person authorized by the Book of Authorization, may depart from this Tariff and agree on lower or higher tariff rates in agreement with the clients. In case of any change in the circumstances material for determining the elements from this Decision, when the Bank's interest requires so, the Executive Board or the person authorized by the Book of Authorization may change this Decision temporarily or amend it, the final decision on which shall be made by the Board of Directors at its first following ordinary meeting. The clients, affected by the implementation of this decision in the way that the previously agreed terms and conditions for using Bank products are changed, are hereby informed on the changed terms and conditions in the manner prescribed by the General operating terms and conditions. This Decision shall come into force as of the day of its adoption and apply after the expiry of the fifteenth day from the day of its posting in the Bank's business premises. Page 15 of 16

16 President of the Board of Directors Giovanni Boccolini Page 16 of 16

TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD (REVISED TEXT)

TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD (REVISED TEXT) Date of publication: 12.04.2016. Date of application: 27.04.2016. TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD (REVISED TEXT) Banca Intesa ad Beograd Milentija Popovića 7b, 11070 Novi Beograd;

More information

TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR LEGAL ENTITIES AND ENTREPRENEURS

TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR LEGAL ENTITIES AND ENTREPRENEURS Date of publication: February 14, 2019 Date of application: March 17, 2019 TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR LEGAL ENTITIES AND ENTREPRENEURS Banca Intesa ad Beograd Milentija

More information

TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR LEGAL ENTITIES AND ENTREPRENEURS

TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR LEGAL ENTITIES AND ENTREPRENEURS Date of publication: 18.05.2018. Date of application: 23.07.2018. TARIFF OF FEES FOR SERVICES OF BANCA INTESA AD BEOGRAD FOR LEGAL ENTITIES AND ENTREPRENEURS Banca Intesa ad Beograd Milentija Popovića

More information

T A R I F F of fees for retail services

T A R I F F of fees for retail services T A R I F F of fees for retail services Retail clients are private persons who are not engaged in any activity (hereinafter: private person and private persons engaged in agricultural activity (hereinafter:

More information

T A R I F F. for legal entities with annual turnover up to EUR 3,000, September 2016.

T A R I F F. for legal entities with annual turnover up to EUR 3,000, September 2016. T A R I F F for legal entities with annual turnover up to EUR 3,000,000 01. September 2016. 1 I ELEGANT PACKAGE 1. BANK ACCOUNT MAINTENANCE 1.1. Opening and maintenance of dinar business accounts 1.2.

More information

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST CORPORATE DIVISION

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST CORPORATE DIVISION Announcement date: 01.11.2017. Validity date: 16.11.2017 SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST CORPORATE DIVISION Societe Generale Banka Srbija AD Beograd Zatvoreno akcionarsko društvo Sedište:

More information

TARIFF FOR FEES AND COMMISSIONSS FOR SERVICES PERFORMED BY SILK ROAD

TARIFF FOR FEES AND COMMISSIONSS FOR SERVICES PERFORMED BY SILK ROAD TARIFF FOR FEES AND COMMISSIONSS FOR SERVICES PERFORMED BY SILK ROAD BANK AD SKOPJE 1 1. CONTENTS 1 GENERAL TERMS 2 2 BANK ACCOUNTS 3 3 CASH TRANSACTIONS 5 4 DOMESTIC PAYMENT OPERATIONS 6 5 WEB BANKING

More information

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST RETAIL DIVISION SMALL BUSINESS DEPARTMENT

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST RETAIL DIVISION SMALL BUSINESS DEPARTMENT Announcement date: 21.11.2017. Validity date: 22.01.2018. SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST RETAIL DIVISION SMALL BUSINESS DEPARTMENT Societe Generale Banka Srbija AD Beograd Zatvoreno akcionarsko

More information

TARIFF FEES FOR GENERAL BANKING SERVICES FOR CORPORATIVE CLIENTS

TARIFF FEES FOR GENERAL BANKING SERVICES FOR CORPORATIVE CLIENTS TARIFF FEES FOR GENERAL BANKING SERVICES FOR CORPORATIVE CLIENTS GENERAL BUSINESS CONDITIONS FOR COMPANIES OPENING AND MAINTENANCE FEE FOR ACCOUNTS Opening of account Account maintanance LCY account RSD

More information

CATALOGUE OF PRODUCT, CHARGES AND SERVICE FEES OF TELENOR BANKA FOR INDIVIDUALS

CATALOGUE OF PRODUCT, CHARGES AND SERVICE FEES OF TELENOR BANKA FOR INDIVIDUALS CATALOGUE OF PRODUCT, CHARGES AND SERVICE FEES OF TELENOR BANKA FOR INDIVIDUALS CURRENT ACCOUNTS AND PAYMENT CARDS STARTER PROGRESIV PROGRESIV + USER Multicurrency account Monthly current account maintenance

More information

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST RETAIL DIVISION INDIVIDUALS

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST RETAIL DIVISION INDIVIDUALS Announcement date: June 15 th, 2017. Validity date: June 15 th, 2017. 1 SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST RETAIL DIVISION INDIVIDUALS 1 Change regarding cancelation of one product CONTENT I.

More information

T E R M S А N D C O N D I T I O N S

T E R M S А N D C O N D I T I O N S T E R M S А N D C O N D I T I O N S November 2013 www.piraeusbank.bg Terms and Conditions of Piraeus Bank Bulgaria AD 2 / 23 CONTENTS 1. GENERAL PROVISIONS... 3 2. PAYMENTS IN BGN... 3 3. PAYMENTS IN FOREIGN

More information

I. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 4

I. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 4 I. PAYMENT ACCOUNTS... 2 CURRENT ACCOUNTS... 2 DEPOSIT ACCOUNTS... 2 CUMULATIVE/SPECIAL ACCOUNTS... 2 TRUST/ESCROW ACCOUNTS...2 II. BANK TRANSFERS... 2 PAYMENT OPERATIONS IN BGN... 2 PAYMENT OPERATIONS

More information

T E R M S А N D C O N D I T I O N S

T E R M S А N D C O N D I T I O N S T E R M S А N D C O N D I T I O N S February 2012 www.piraeusbank.bg Terms and Conditions of Piraeus Bank Bulgaria AD 2 / 23 CONTENTS 1. GENERAL PROVISIONS... 3 2. PAYMENTS IN BGN... 3 3. PAYMENTS IN FOREIGN

More information

TARIFF FOR FEES AND COMMISSIONS OF CIBANK JSC APPLICABLE TO INDIVIDUALS

TARIFF FOR FEES AND COMMISSIONS OF CIBANK JSC APPLICABLE TO INDIVIDUALS TARIFF FOR FEES AND COMMISSIONS OF CIBANK JSC APPLICABLE TO INDIVIDUALS от 0 SECTION I: ACCOUNTS Current accounts Savings accounts: with differentiated interest accrual / Beneficial Account Term deposits

More information

CATALOGUE OF PRODUCTS AND SERVICES AND TARIFF CHARGES OF TELENOR BANKA FOR INDIVIDUALS

CATALOGUE OF PRODUCTS AND SERVICES AND TARIFF CHARGES OF TELENOR BANKA FOR INDIVIDUALS CATALOGUE OF PRODUCTS AND SERVICES AND TARIFF CHARGES OF TELENOR BANKA FOR INDIVIDUALS CURRENT ACCOUNTS AND PAYMENT CARDS STARTER PROGRESIV PROGRESIV + USER Multicurrency account Monthly current account

More information

I. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 3

I. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 3 Valid from 24.03.2018 I. PAYMENT ACCOUNTS... 2 CURRENT ACCOUNTS... 2 DEPOSIT ACCOUNTS... 2 CUMULATIVE/SPECIAL ACCOUNTS... 2 II. BANK TRANSFERS... 2 PAYMENT OPERATIONS IN BGN... 2 PAYMENT OPERATIONS IN

More information

Tariff. for fees and commissions. June 2015

Tariff. for fees and commissions.  June 2015 Tariff for fees and commissions June 2015 www.piraeusbank.bg Tariff for fees and commissions 2 / 26 CONTENTS 1. GENERAL PROVISIONS... 3 2. PAYMENTS IN BGN... 4 3. PAYMENTS IN FOREIGN CURRENCIES... 4 4.

More information

Pensions from the Republic of Croatia, Federation of BiH, Republic of Montenegro and payment of disability benefits from Republic of Srpska

Pensions from the Republic of Croatia, Federation of BiH, Republic of Montenegro and payment of disability benefits from Republic of Srpska OVERVIEW OF TARIFF OF FEES APPLICABLE TO BANK'S RETAIL OPERATIONS AS OF 28.10.2015. Number of tariff X RETAIL OPERATIONS 1. FX SAVINGS ACCOUNTS /SAVINGS BOOKS 1.1. Opening and maintaining Free of charge

More information

TARIFF FOR FEES AND COMMISSIONS OF CIBANK JSC APPLICABLE TO INDIVIDUALS

TARIFF FOR FEES AND COMMISSIONS OF CIBANK JSC APPLICABLE TO INDIVIDUALS TARIFF FOR FEES AND COMMISSIONS OF CIBANK JSC APPLICABLE TO INDIVIDUALS dated 9 SECTION I: ACCOUNTS Current Accounts Savings Accounts: with Differentiated Interest Accrual / Beneficial Account Term Deposits:

More information

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST OF FEES AND EXPENSES OF RETAIL DIVISION - DEPARTMENT OF SMALL COMPANIES AND ENTREPRENEURS

SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST OF FEES AND EXPENSES OF RETAIL DIVISION - DEPARTMENT OF SMALL COMPANIES AND ENTREPRENEURS Announcement date: 01.04.2019 Validity date: 03.05.2019 SOCIETE GENERALE BANKA SRBIJA A.D. PRICELIST OF FEES AND EXPENSES OF RETAIL DIVISION - DEPARTMENT OF SMALL COMPANIES AND ENTREPRENEURS Societe Generale

More information

I. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 3

I. PAYMENT ACCOUNTS... 2 II. BANK TRANSFERS... 2 III. CASH OPERATIONS... 3 IV. MONEY REMITTANCE... 3 I. PAYMENT ACCOUNTS... 2 CURRENT ACCOUNTS... 2 DEPOSIT ACCOUNTS... 2 CUMULATIVE/SPECIAL ACCOUNTS... 2 II. BANK TRANSFERS... 2 PAYMENT OPERATIONS IN BGN... 2 PAYMENT OPERATIONS IN FOREIGN CURRENCY... 3

More information

Product Catalogue of NLB Banka Price List

Product Catalogue of NLB Banka Price List CURRENT ACCOUNT PACKAGES Basic Package - Private Individual Basic Package Legal Entities Basic Package Political Party NGO Package Savings account opening debit card SMS notification (Notifications for

More information

FEES AND COMMISSIONS TARIFF FOR BANKS

FEES AND COMMISSIONS TARIFF FOR BANKS FEES AND COMMISSIONS TARIFF FOR BANKS I. ACCOUNTS II. CASH OPERATIONS III. TRANSFERS IV. COLLECTION OF DOCUMENTS AND COMMERCIAL PAPERS V. LETTERS OF CREDIT VI. CHEQUES VII. OPERATIONS WITH CORPORATE SECURITIES

More information

FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity

FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity Annex 1 FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity Name of the payment service provider: Societe Generale Banka Srbija a.d. Beograd Name (package) of a payment

More information

OVERVIEW OF TARIFF OF FEES APPLICABLE TO BANK'S RETAIL OPERATIONS AS OF

OVERVIEW OF TARIFF OF FEES APPLICABLE TO BANK'S RETAIL OPERATIONS AS OF Date of publishing: 16.03.2018 OVERVIEW OF TARIFF OF FEES APPLICABLE TO BANK'S RETAIL OPERATIONS AS OF 01.04.2018. X RETAIL OPERATIONS 1. FX SAVINGS ACCOUNTS /SAVINGS BOOKS 1.1. Opening and maintaining

More information

Inflows via Komercijalna banka AD Budva and Komercijalna banka AD Banja Luka

Inflows via Komercijalna banka AD Budva and Komercijalna banka AD Banja Luka OVERVIEW OF TARIFF OF FEES APPLICABLE TO BANK'S RETAIL OPERATIONS AS OF 28.08.2017. X RETAIL OPERATIONS 1. FX SAVINGS ACCOUNTS /SAVINGS BOOKS 1.1. Opening and maintaining Free of charge 1.2. Incoming payments/deposits

More information

Standard List of Fees and Commissions for Corporate Clients

Standard List of Fees and Commissions for Corporate Clients Standard List of Fees and Commissions for Corporate Clients Expobank CZ a.s., Vítězná 126/1, Prague 5, PSČ 150 00, IČ: 14893649 (hereinafter only Bank) Valid from 31. 12. 2015 I. Opening, maintaining and

More information

REVIEW OF TARIFF OF FEES APPLIED IN RETAILTRANSACTIONS OF THE BANK AS OF AMOUNT OF FEES, PROVISIONS AND SERVICE tariff item

REVIEW OF TARIFF OF FEES APPLIED IN RETAILTRANSACTIONS OF THE BANK AS OF AMOUNT OF FEES, PROVISIONS AND SERVICE tariff item REVIEW OF TARIFF OF FEES APPLIED IN RETAILTRANSACTIONS OF THE BANK AS OF 17.03.2015 Number of tariff X RETAIL TRANSACTIONS 1. FX SAVINGS ACCOUNTS/BOOKS 1.1. Opening and keeping 1.2. In payments 1.2.1.

More information

FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity

FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity Annex 1 FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity Name of the payment service provider: Societe Generale Banka Srbija a.d. Beograd Name (package) of a payment

More information

Valid as of Eurobank a.d., Vuka Karadžića 10, Beograd, Srbija, MB , PIB , SWIFT EFGBCSBG

Valid as of Eurobank a.d., Vuka Karadžića 10, Beograd, Srbija, MB , PIB , SWIFT EFGBCSBG Eurobank a.d. Beograd Number: 01-8601/16 Date 12.05.2016 Eurobank a.d., Vuka Karadžića 10, 11000 Beograd, Srbija, MB 17171178, PIB 100002532, SWIFT EFGBCSBG TARIFF OF CHARGES OF THE BANK A. RETAIL BANKING

More information

Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna

Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna Enclosure to Ordinance no. Korp/85/2017 of the President of the Management Board of ING Bank Śląski S.A. of 15 th of February 2017 Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna For residents

More information

LIST OF CONDITIONS AND ANNOUNCEMENT FOR VDCS TOP PRIVATE CUSTOMERS OF THE BANK

LIST OF CONDITIONS AND ANNOUNCEMENT FOR VDCS TOP PRIVATE CUSTOMERS OF THE BANK Effective from 1 st of Aug 2018 (1811) Disclosed on 2 nd of June 2018 For a company group s 1 employees 2 if at least 1500 employees of the group open an account with the bank within 1.5 years if the group

More information

Effective from: 1 st of November 2017 (1712) Published on 31 th of October 2017

Effective from: 1 st of November 2017 (1712) Published on 31 th of October 2017 Effective from: 1 st of November 2017 (1712) Published on 31 th of October 2017 For a company group s 1 employees 2 if at least 1500 employees of the group open an account with the bank within 1.5 years

More information

CENTRAL COOPERATIVE BANK PLC / Our Clients Feel Important T A R I F F. On the interest rates, fees and commissions, Applied by CCB Plc

CENTRAL COOPERATIVE BANK PLC / Our Clients Feel Important T A R I F F. On the interest rates, fees and commissions, Applied by CCB Plc CENTRAL COOPERATIVE BANK PLC / Our Clients Feel Important T A R I F F On the interest rates, fees and commissions, Applied by CCB Plc CONTENTS GENERAL PROVISIONS I II III IV V OPENING AND SERVICING OF

More information

TARIFF OF DOMESTIC PAYMENT OPERATIONS - PI

TARIFF OF DOMESTIC PAYMENT OPERATIONS - PI TARIFF OF DOMESTIC PAYMENT OPERATIONS - PI - 22.06.2016. METHOD OF PAYMENT TYPE OF TRANSACTION CURRENCY % min max Disbursements from PI account Disbursement of other Banks citizens checks 3.00% 5 Payments

More information

FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity

FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity Annex 1 FEE INFORMATION DOCUMENT for a payment service user an entrepreneur and a legal entity Name of the payment service provider: Societe Generale Banka Srbija a.d. Beograd Name (package) of a payment

More information

LIST OF TERMS AND CONDITIONS OF BACB APPLICABLE FOR CUSTOMERS - INDIVIDUALS VALID AS OF OCTOBER 18, 2018

LIST OF TERMS AND CONDITIONS OF BACB APPLICABLE FOR CUSTOMERS - INDIVIDUALS VALID AS OF OCTOBER 18, 2018 LIST OF TERMS AND CONDITIONS OF BACB APPLICABLE FOR CUSTOMERS - INDIVIDUALS VALID AS OF OCTOBER 18, 2018 I. ACCOUNTS LEVA FOREIGN CURRENCY 1. Opening A) Current accounts 2 BGN 1.50 EUR B) Time deposits

More information

Effective from: 30 th April 2014 (1404) Published on 30 th April 2014

Effective from: 30 th April 2014 (1404) Published on 30 th April 2014 Effective from: 30 th April 2014 (1404) Published on 30 th April 2014 For a company group s 1 employees 2 if at least 1500 employees of the group open an account with the bank within 1.5 years if the group

More information

TARIFF. For Individuals

TARIFF. For Individuals TARIFF For Individuals 2 CIBANK follows the principles of responsible banking and tries to build long-term relationships with its clients. The mission of the Bank is to do business in a responsible and

More information

Effective from: 15 th April 2015 (1502) Published on 14 th Ápril 2015

Effective from: 15 th April 2015 (1502) Published on 14 th Ápril 2015 Effective from: 15 th April 2015 (1502) Published on 14 th Ápril 2015 For a company group s 1 employees 2 if at least 1500 employees of the group open an account with the bank within 1.5 years if the group

More information

Effective from: 13 th of August 2017 (1701), Disclosured on the 14 th of June 2017

Effective from: 13 th of August 2017 (1701), Disclosured on the 14 th of June 2017 Effective from: 13 th of August 2017 (1701), Disclosured on the 14 th of June 2017 1. This List of Conditions forms an integral annex of the Bank s General Business Terms and Conditions 2. Fees of HUF

More information

Table of Fees and Commissions of. ING Bank Śląski Spółka Akcyjna

Table of Fees and Commissions of. ING Bank Śląski Spółka Akcyjna Enclosure to Ordinance no. Korp/338/2015 of the President of the Management Board of ING Bank Śląski SA of 29.05.2015 Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna For residents and non-residents

More information

List of Fees and Commissions

List of Fees and Commissions List of Fees and Commissions 1/1 1/5 1/6 1/8 Current Product or Service 1. Cards Fees Issue/Renew Visa Classic Card Credit 0 Issue/Renew Visa Classic Card Charge 0 Issue/Renew Visa Gold Card Credit KD

More information

for CIB ECO Plus bank accounts of private individuals

for CIB ECO Plus bank accounts of private individuals PRODUCTS AND SERVICES AVAILABLE AT A DISCOUNT Specification of products and services Extent of discount Name of product / service / transaction Type of fee affected by the discount CIB ECO Plus bank account

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

for CIB ECO Plus bank accounts of private individuals

for CIB ECO Plus bank accounts of private individuals PRODUCTS AND SERVICES AVAILABLE AT A DISCOUNT Specification of products and services Extent of discount Name of product / service / transaction Type of fee affected by the discount CIB ECO Plus bank account

More information

TERMS AND CONDITIONS FOR INDIVIDUALS

TERMS AND CONDITIONS FOR INDIVIDUALS TERMS AND CONDITIONS FOR INDIVIDUALS TERMS AND CONDITIONS FOR INDIVIDUALS A. ACCOUNTS 1. Current Accounts Individuals ALL, EUR, USD, GBP, CHF 1.1 Account Opening Free of Charge 1.2 Initial deposited amount

More information

Broker-dealer Company Tesla Capital a.d. Belgrade TARIFF RULEBOOK

Broker-dealer Company Tesla Capital a.d. Belgrade TARIFF RULEBOOK Broker-dealer Company Tesla Capital a.d. Belgrade TARIFF RULEBOOK Pursuant to Article 163, Paragraph 1 of the Law on the Capital Market ("The Official Gazette of the Republic of Serbia" No. 31/2011, 112/2015

More information

List of Fees. Inactive Products and Services INDIVIDUALS

List of Fees. Inactive Products and Services INDIVIDUALS List of Fees Inactive Products and Services INDIVIDUALS Valid from 3/1/2018 Table of Contents 1. Day-to-Day Banking 02 1.1 Current Accounts 02 1.2 Domestic Payments 04 1.3 Routing Key 04 1.4 Debit Cards

More information

T A R I F F. for fees and commissions. of UniCredit Bulbank AD. applicable to INDIVIDUALS. in force since September 12th, 2018

T A R I F F. for fees and commissions. of UniCredit Bulbank AD. applicable to INDIVIDUALS. in force since September 12th, 2018 T A R I F F for fees and commissions of UniCredit Bulbank AD applicable to INDIVIDUALS in force since September 12th, 2018 TABLE OF CONTENT: Chapter І. Accounts. ІІ. Cash operations.. ІІІ. Transfers..

More information

STANDARD TARIFFS OF PJSC ROSBANK* FOR CLIENTS - LEGAL ENTITIES (NON-CREDIT ORGANIZATIONS) AND INDIVIDUAL ENTREPRENEURS

STANDARD TARIFFS OF PJSC ROSBANK* FOR CLIENTS - LEGAL ENTITIES (NON-CREDIT ORGANIZATIONS) AND INDIVIDUAL ENTREPRENEURS STANDARD TARIFFS OF PJSC ROSBANK* FOR CLIENTS - LEGAL ENTITIES (NON-CREDIT ORGANIZATIONS) AND INDIVIDUAL ENTREPRENEURS BELONGING TO CORPORATE SEGMENT SERVICED AT HEAD OFFICE AND STRUCTURAL UNITS OF PJSC

More information

Effective from: 30 th April 2013 (1304), Disclosured on the 15 th of April 2013

Effective from: 30 th April 2013 (1304), Disclosured on the 15 th of April 2013 Effective from: 30 th April 2013 (1304), Disclosured on the 15 th of April 2013 1. This List of Conditions forms an integral annex of the Bank s General Business Terms and Conditions. 2. Fees of transfers

More information

Nordea Bank AB Lithuania branch Price List For private customers

Nordea Bank AB Lithuania branch Price List For private customers Nordea Bank AB Lithuania branch Price List For private Valid from 1 st of February 2016 Daily Banking Package Gold Monthly fee for the Daily Banking Package 3 2.00 Payment cards ( Maestro / IKI PREMIJA

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

Regulations on Corporate Payment Cards of mbank S.A.

Regulations on Corporate Payment Cards of mbank S.A. Regulations on Corporate Payment Cards of mbank S.A. Warsaw, October 2016 mbank.pl Table of contents: Chapter I. General Provisions...3 Chapter II. Application for a Card...4 Chapter III. Approval of the

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

TABLE OF COMMISSIONS AND CHARGES

TABLE OF COMMISSIONS AND CHARGES TABLE OF COMMISSIONS AND CHARGES International Business Units Customers Table of Contents 1. Loans 2 2. Accounts 2 3. Cheques 4 4. Payments and Foreign Exchange 5 5. Cards 8 6. Trade Finance Services 12

More information

LIST OF CONDITIONS FOR PRIVATE CUSTOMERS OF THE BANK

LIST OF CONDITIONS FOR PRIVATE CUSTOMERS OF THE BANK Effective from: 9 th of April 2018 (1802), Disclosured on the 6 th of April 2018 1. This List of Conditions forms an integral annex of the Bank s General Business Terms and Conditions 2. Fees of HUF transfers

More information

TABLE OF COMMISSIONS AND CHARGES

TABLE OF COMMISSIONS AND CHARGES TABLE OF COMMISSIONS AND CHARGES International Business Units Customers Table of Contents 1. Loans 2 2. Accounts 2 3. Cheques 4 4. Payments and Foreign Exchange 5 5. Cards 8 6. Trade Finance Services 12

More information

GUIDELINES FOR IMPLEMENTING THE DECISION ON TERMS AND CONDITIONS OF PERFORMING FOREIGN PAYMENT TRANSACTIONS

GUIDELINES FOR IMPLEMENTING THE DECISION ON TERMS AND CONDITIONS OF PERFORMING FOREIGN PAYMENT TRANSACTIONS RS Official Gazette, Nos 24/2007, 31/2007, 41/2007, 3/2008, 61/2008, 120/2008, 38/2010, 92/2011, 62/2013, 51/2015, 111/2015 and 82/2017 Pursuant to Articles 21 and 45 of the Law on the National Bank of

More information

PRICE LIST OF PRODUCTS AND SERVICES FOR CORPORATE CUSTOMERS 1

PRICE LIST OF PRODUCTS AND SERVICES FOR CORPORATE CUSTOMERS 1 PRICE LIST OF PRODUCTS AND SERVICES FOR CORPORATE CUSTOMERS 1 PRODUCTS & SERVICES FEES 2 This price list is effective as of 16.1.217 EUR USD GBP CHF Account Opening Initial deposit and minimal balance

More information

Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna

Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna Enclosure with Ordinance No. Korp/329/2018 of the President of the Management Board of ING Bank Śląski S.A. 7 th June 2018 Table of Fees and Commissions of ING Bank Śląski Spółka Akcyjna for residents

More information

PRICE LIST BUSINESS CLIENTS

PRICE LIST BUSINESS CLIENTS PRICE LIST BUSINESS CLIENTS BANK ACOUNTS CASH TRANSACTIONS CASHLESS TRANSACTIONS CREDIT FACILITIES BANK GUARANTEES AND LETTERS OF CREDIT ADDITIONAL COMMISSIONS 1. BANK ACCOUNTS TRANSACTIONS ACCOUNT Opening

More information

List of Fees INDIVIDUALS

List of Fees INDIVIDUALS List of Fees INDIVIDUALS Valid from 7/2/2019 Table of Contents 1. Day-to-Day Banking 02 1.1 Current Accounts 02 1.2 Basic Account 02 1.3 Escrow Accounts and Mortgage Escrow Accounts 02 1.4 Domestic Non-Cash

More information

Service Charges for Branch Tatra banka, a. s., Provided to Individuals

Service Charges for Branch Tatra banka, a. s., Provided to Individuals Service Charges for Branch Tatra banka, a. s., Provided to Individuals 1 I. Service Packages TatraClassic TB SKK 49 per month in SKK without minimum balance Account statement per month delivered by post

More information

CHARGES AND FEES on issuance of payment cards by the International Bank of Azerbaijan

CHARGES AND FEES on issuance of payment cards by the International Bank of Azerbaijan 5-Feb-2018 USD 1.7001 CHARGES AND FEES on issuance of payment by the International Bank of Azerbaijan Annual fees for issuance of payment (manat) Internet Card 1 / MC Web-Card 1 Electron 1 / Debit MC Standard

More information

STANDARD LIST OF FEES AND COMMISSIONS

STANDARD LIST OF FEES AND COMMISSIONS STANDARD LIST OF FEES AND COMMISSIONS Expobank CZ a.s., Vítězná 126/1, Prague 5, PSČ 150 00, IČ: 14893649 (hereinafter only Bank) Individual Banking Entrepreneurs and Small Business Corporate Clients Valid

More information

Price List of Nordea Bank Private customer Effective from 1 June 2015

Price List of Nordea Bank Private customer Effective from 1 June 2015 CONTENT ACCOUNTS... 2 Opening a current account... 2 Account statements... 2 PAYMENTS... 2 Domestic payments... 2 Cross-border payments... 3 Cash payments... 4 DAILY BANKING PACKAGE... 4 BANK CARDS...

More information

PRICE LIST KOMERČNÍ BANKY, A. S., pobočky zahraničnej banky

PRICE LIST KOMERČNÍ BANKY, A. S., pobočky zahraničnej banky PRICE LIST KOMERČNÍ BANKY, A. S., pobočky zahraničnej banky Valid as of December 29, 2017 CONTENT Content 2 Banking services 3 Direct banking 8 Payment cards 9 Documentary business 10 Loans and bank guarantees

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

Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s.

Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 9. 10. 2017 Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 9. 10. 2017 Contents 1. Accounts

More information

TARIFF for Fees and Commissions of Raiffeisenbank (Bulgaria) EAD for Individual clients In force as of

TARIFF for Fees and Commissions of Raiffeisenbank (Bulgaria) EAD for Individual clients In force as of TARIFF for Fees and Commissions of Raiffeisenbank (Bulgaria) EAD for Individual clients In force as of 05.09.2018 Table of contents: Chapter One: Services in local currency 1. Current Accounts, Term Deposits

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

Nordea Bank AB Lithuania branch Price List For private customers

Nordea Bank AB Lithuania branch Price List For private customers Nordea Bank AB Lithuania branch Price List For private Valid from 1st of July 2015 Daily Banking Package Gold Monthly fee for the Daily Banking Package 3 2.00 Payment cards ( Maestro / IKI PREMIJA Maestro):

More information

Effective from: 15 th of December 2015 (1509) Disclosured on the 14 th of December 2015

Effective from: 15 th of December 2015 (1509) Disclosured on the 14 th of December 2015 Effective from: 15 th of December 2015 (1509) Disclosured on the 14 th of December 2015 1. This List of Conditions forms an integral annex of the Bank s General Business Terms and Conditions 2. Fees of

More information

Fee amount Tariff. Based VISA. VISA VISA position. on: PREPAID DEBIT 1. Initial card issuance for nonresidents Amount

Fee amount Tariff. Based VISA. VISA VISA position. on: PREPAID DEBIT 1. Initial card issuance for nonresidents Amount Bank shall acrue the following fee for card products Valid from 10.02019. Fee amount VISA VISA VISA BUSINESS DEBIT PREPAID DEBIT 1 Initial card issuance for residents 10 2 Initial card issuance for nonresidents

More information

LAW ON FOREIGN CURRENCY TRANSACTIONS ("Official Herald of the Republic of Serbia", Nos. 62/2006, 31/2011 and 119/2012)

LAW ON FOREIGN CURRENCY TRANSACTIONS (Official Herald of the Republic of Serbia, Nos. 62/2006, 31/2011 and 119/2012) LAW ON FOREIGN CURRENCY TRANSACTIONS ("Official Herald of the Republic of Serbia", Nos. 62/2006, 31/2011 and 119/2012) The present Law shall govern: I GENERAL PROVISIONS Article 1 1) Payments, collections

More information

TARIFF FEES AND COMMISSIONS

TARIFF FEES AND COMMISSIONS TARIFF FEES AND COMMISSIONS Corporate Clients Effective as of 01.01.2018 ALL IN Business Packages E-banking Other TRANSFERS AND PAYMENTS PAYMENTS BGN Foreign currency PAYMENTS BGN Foreign currency Outgoing

More information

TABLE OF COMMISSIONS AND CHARGES

TABLE OF COMMISSIONS AND CHARGES TABLE OF COMMISSIONS AND CHARGES Physical Persons Table of Contents 1. Loans 3 2. Accounts 4 3. Cheques 5 4. Payments and Foreign Exchange 6 5. Cards 10 6. Other Services 15 1. Loans (Hire purchase loans

More information

FOREIGN EXCHANGE ACT CHAPTER I. Basic Provisions. Subject Matter of the Act. Article 1. Residents and Non-Residents. Article 2

FOREIGN EXCHANGE ACT CHAPTER I. Basic Provisions. Subject Matter of the Act. Article 1. Residents and Non-Residents. Article 2 FOREIGN EXCHANGE ACT CHAPTER I Basic Provisions Subject Matter of the Act Article 1 (1) This Act governs: 1. transactions between residents and non-residents in foreign means of payment and in kuna; 2.

More information

Price List. Corporate Banking

Price List. Corporate Banking Price List Corporate Banking Content 04 I. Account Related Services 05 II. Payment Services 08 III. Electronic Banking - Global Payment Plus (GPP) 08 IV. Electronic Banking - Commerzbank MultiCash 09 V.

More information

a) Forint sight account interest 0% p.a. 0% p.a. a) Foreign currency sight account interest for all currencies 0% p.a. 0% p.a.

a) Forint sight account interest 0% p.a. 0% p.a. a) Foreign currency sight account interest for all currencies 0% p.a. 0% p.a. Corporate Payment Account List of Conditions Part I. Effective from 1st of January 2014 General Conditions This List of Conditions is an inseparable part of the General Business Conditions and the General

More information

TABLE OF COMMISSIONS AND CHARGES

TABLE OF COMMISSIONS AND CHARGES TABLE OF COMMISSIONS AND CHARGES Physical Persons Table of Contents 1. Loans 3 2. Accounts 4 3. Cheques 5 4. Payments and Foreign Exchange 6 5. Cards 10 6. Other Services 15 1. Loans (Hire purchase loans

More information

CORPORATE CUSTOMER'S TERMS & CONDITIONS

CORPORATE CUSTOMER'S TERMS & CONDITIONS PROUCTS & SERVICES ALL EUR US GBP CHF Account Opening Initial deposit and minimal balance no minimum Account maintenance (Monthly) 15 1 1 1 1 Account statements (Monthly) - at the bank's counters( period

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

TARIFF FEES AND COMMISSIONS

TARIFF FEES AND COMMISSIONS E-banking Insurances TARIFF FEES AND COMMISSIONS Individual Clients Effective as of 27.07.2016 Debit Credit s Transfers and Payments Cash Transactions Loans, BANK PACKAGES monthly fees DEBIT CARD START

More information

KOMERCIJALNA BANKA AD BEOGRAD EXECUTIVE BOARD No Belgrade, October the 4 th 2012

KOMERCIJALNA BANKA AD BEOGRAD EXECUTIVE BOARD No Belgrade, October the 4 th 2012 KOMERCIJALNA BANKA AD BEOGRAD EXECUTIVE BOARD No. 21673 Belgrade, October the 4 th 2012 R U L E S ON THE TARIFF OF FEES OF KOMERCIJALNA BANKA AD BEOGRAD CUSTODY DEPARTMENT Belgrade, October 2012 - 2 -

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

TARIFF FEES AND COMMISSIONS

TARIFF FEES AND COMMISSIONS E-banking Loans Insurances TARIFF FEES AND COMMISSIONS Individual Clients Effective as of 24.02.2016 Debit Credit Transfers and Payments Cash Transactions, CARDS DEBIT CARDS free opening monthly fees

More information

TARIFF. for Fees and Commissions of Raiffeisenbank (Bulgaria) EAD for Individual clients

TARIFF. for Fees and Commissions of Raiffeisenbank (Bulgaria) EAD for Individual clients TARIFF for Fees and Commissions of Raiffeisenbank (Bulgaria) EAD for Individual clients In force as of 15.03.2019 Notice: Raiffeisenbank (Bulgaria) EAD hereinafter referred to as the Bank 1 I. SERVICES

More information

Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s.

Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 1. 7. 2017 Price list Corporate UniCredit Bank Czech Republic and Slovakia, a.s. Valid from 1. 7. 2017 Contents 1. Accounts

More information

Valid as of January 1 st, Price List. Corporate Banking

Valid as of January 1 st, Price List. Corporate Banking Valid as of January 1 st, 2018 Price List Corporate Banking Content I. Account Related Services II. Payment Services III. Internet Banking - Global Payment Plus (GPP) IV. Electronic Banking - Commerzbank

More information

TARIFF FEES AND COMMISSIONS

TARIFF FEES AND COMMISSIONS E-banking Insurances TARIFF FEES AND COMMISSIONS Individual Clients Effective as of July 1, 2017 Debit Credit s Transfers and Payments Cash Transactions Loans, BANK PACKAGES monthly fees DEBIT CARD START

More information

List of Fees INDIVIDUALS

List of Fees INDIVIDUALS List of Fees INDIVIDUALS Valid from 3/1/2018 Table of Contents 1. Day-to-Day Banking 02 1.1 Current Accounts 02 1.2 Basic Account 02 1.3 Escrow Accounts and Mortgage Escrow Accounts 02 1.4 Domestic Non-Cash

More information

TERMS AND CONDITIONS FOR BUSINESS ACCOUNTS MAINTENANCE AND OPERATIONS IN RUSSIAN RUBLES AND IN FOREIGN CURRENCIES Effective from October 26, 2018

TERMS AND CONDITIONS FOR BUSINESS ACCOUNTS MAINTENANCE AND OPERATIONS IN RUSSIAN RUBLES AND IN FOREIGN CURRENCIES Effective from October 26, 2018 SDM-Bank PJSC General License of the Bank of Russia No.1637 www.sdm.ru TERMS AND CONDITIONS FOR BUSINESS ACCOUNTS MAINTENANCE AND OPERATIONS IN RUSSIAN RUBLES AND IN FOREIGN CURRENCIES Effective from October

More information

Tariffs (Base and Reduced) for Retail Business Transactions

Tariffs (Base and Reduced) for Retail Business Transactions Approved by Minutes of the Management Board of Subsidiary VTB Bank JSC (Kazakhstan) No.24 dated June 12, 2018 As amended and revised under no.1, approved by the Minutes of the Bank Management no.34 dated

More information

TARIFF. For fees and commissions of Raiffeisenbank EAD for corporate clients. In force as of

TARIFF. For fees and commissions of Raiffeisenbank EAD for corporate clients. In force as of TARIFF For fees and commissions of Raiffeisenbank EAD for corporate clients In force as of 17.09.2012 Table of contents: Chapter One: Services in local currency 1.Current Accounts, Term Deposits and Special

More information

Banco Nacional Ultramarino, S.A. Pricing List

Banco Nacional Ultramarino, S.A. Pricing List Banco Nacional Ultramarino, S.A. Pricing List July, 2012 Table of Contents 1. GENERAL SERVICES... 3 1.1 ALL ACCOUNTS... 3 1.2 CURRENT ACCOUNTS... 7 1.3 SAVINGS ACCOUNTS / STATEMENT SAVINGS ACCOUNTS...

More information

LARGE CORPORATE AND CORPORATIONS

LARGE CORPORATE AND CORPORATIONS List of Fees LARGE CORPORATE AND CORPORATIONS Turnover over 1,2 billion FINANCIAL INSTITUTIONS Valid from 15 May 2017 Contents 1. Current accounts and deposits 03 1.1 Current accounts 03 1.2 Special accounts

More information