Mutual Trust Bank Ltd Schedule of Charges of Corporate Banking
|
|
- Marian Cannon
- 5 years ago
- Views:
Transcription
1 Mutual Trust Bank Ltd Schedule of of Corporate Banking No 1 Particulars Collection Nature of / Commission /Commission Collection of Local Cheque/Bill/Draft i) Where there is a Clearing House - ii) Where there is no Clearing House, Conveyance at actual or minimum Tk.50/- per case 2 Cheque Returned unpaid i)where there is a Clearing House, Tk.50/- (flat) per instance 3 Bounced Cheque drawn on us (Cash, Clearing or transfer) 4 Collection of outstation/ outside Cheque/Bill/Draft (Clean/Documentary including IBPs) ii)where there is no Clearing House, Tk100/- (flat) per instance Tk (Flat) per instance from the account of the Drawer of cheque. 1)Upto Tk. 0.20%, But minimum Tk. 40/- ii) Tk. 25,001/- to 0.20% but minimum Tk 75/- iii) Tk. 100,001/- to 0.15% But minimum Tk. 200/- iv) Above Tk. 0.10% But minimum Tk. 750/- and Maximum Tk. 3000/- 5 Postage (Registered/ Courier) At actual, but Minimim Tk. 25/- 6 Issuance of Cheque Books for 10 leaves/25 leaves/50 leaves CD/SND/SB Tk. 4.00/- per leaf including VAT for all types of accounts Issue of new cheque book in case of lost one Tk. 100/- Page 1 of 13
2 7 Issuance of Bangladesh Bank Cheque at the request of the client. 8 Account Closing Charge 9 Account Transfer Charge 10 Remittance (Inland) Issuance of DD* TK. 100/- Per Cheque i) SND/CD Tk. 300/- ii) Savings Tk. 200/- iii) No charge for Premature Encashment of Scheme Account SND/CD/SB/Scheme A/c Tk. 200/- But minimum Tk 100/-, Maximum Tk 1500/- Cancellation of DD Tk. 50/- (flat) Issuance of Pay Order* /Security Deposit Receipt (SDR) Commission i) Upto Tk. 10,000/- Tk. 25/- Cancellation of PO Tk. 100/- (flat) ii) Tk to Tk. 100,000 Tk. 50/- iii) Above Tk. 100,000/-Tk. 100/- Issuance of Duplicate Commission Tk. 50/- (flat) PO/SDR Issuance of Duplicate Commission Tk.100/-(flat) Instruments (Except PO/SDR) 11 Standing Instruction Tk. 100/- for execution of each instruction. No charge for transfer of fund from any Deposit Account to Scheme Account. 12 Issuance of Guarantee Commission 0.50% % per quarter or part thereof Minimum Tk. 1000/-. In case of 100% cash margin Tk.300/- 13 Account Maintenance Fee i) Current Account/SND account Maintenance Fee ii) Savings Account iii) All loan Accounts Maintenance Fee Maintenance Fee Tk. 500 /-half yearly on each account irrespective of balance. No fees up to Tk. 5000/ average balance. Tk. 100/- on half yearly basis up to Tk. 25,000/ average balance Tk. 300/- on half yearly basis above Tk. 25,000/ average balance Tk. 800/- half yearly on each Loan Page 2 of 13
3 14 15 Locker Service a) Annual Rent b) Refundable Security Deposit c) Replacement of Key (Lost/Damage) Purchase of Cheque & inland Bills Rent (Annual) i) Small Tk. 1,500/-+ Insurance Premium Tk.690/- Rent (Annual) ii) Medium Tk. 2,000/- + Insurance Premium Tk 920/- Rent (Annual) iii) Large Tk. 2,500/- + Insurance Premium Tk. 1,150/- Security i) Small Tk. 2,000/- Deposit Security ii) Medium Tk. 3,000/- Deposit Security iii) Large Tk. 5,000/- Deposit At actual plus Tk. 1,000/- Commission i) Upto Tk. 0.15%, Minimum Tk. 25/- ii) Tk. 25,001 to 0.15% Minimum Tk. 50/ iii) Tk. 100,001 to 0.10%, Minimum Tk. 200/- iv) Above Tk. 0.05% Minimum Tk. 500/- and Maximum Tk. 1500/- 16 Miscellaneous Services Issuance of Balance Confirmation Certificate i) Stop Payment instruction Tk. 100/- ii) (a) Issuance of certificate for the purpose of BO A/c Tk. 100/- (b) Issuance of any other certificate Tk. 200/- iii) Issuance of Balance Confirmation Certificate (half yearly free) * 17 Mail Charge At actual outside Bangladesh * As per Bangladesh Bank instruction Page 3 of 13
4 18 for Credit Operation * * A) Loan Processing Fee (Sanctions/Renewal/Enh ancement/extension ) Processing fee Upto Tk. 2,500,000 -Tk.1,000/- Tk /-to Tk 1,500/- to Tk. 2,000/- Tk /- to 10 Million - Tk 2,000/- to Tk 2,500/- Above 10 Million- Tk 2,500/- to Tk. 3000/- B) SME Loan i) Service Charge 1% on approved loan amount i) Risk fund Service ii) Charge for overdue installment in SME Loan C) Loan Documentation Fee Mortgage of landed property/ Creation of charge/other Banks FDR/shares etc. i) Upfront fees (Loan/ structure finance/syndicate ii) Commitment fee (for credit line) iii) Prepayment charges (term loan) iv) Price of loan application form(s) 1% on approved loan amount 2% of overdue installment At actual Tk. 0.25% -1.00% of loan amount Tk 0.25% on undisbursed amount Tk. Tk. 0.25% on outstanding amount iv) Tk. 200/- for loan under schemes (Except Hire Purchase/Lease Finance) v) To be fixed by the management. v) Others (not specified above) 19 Management Fee a) Approved excess over Fees 0.25% -1% limit b) Extension of time of Fees 0.25% -1% regular and overdue loans 20 Early Adjustment(Term Fees 1% - 2% (on present O/S) Loan, HBCRL,CHB) * * The authority to change (enhance/reduce/waive) the commission/charges will be on respective individual based on his credit approval delegation (CAD). For now, any change for any customer having limit upto TK 30 million will be under the discretion of DMD, Mr. Quamrul Islam Chowdhury and beyond that will be within the authority of MD & CEO. Page 4 of 13
5 for Forex 21 A. IMPORT L.C. Opening Commission * * * a. LC Cash (Sight) For each quarter 0.40 %. Min. Tk.1000/= In case of 100% cash margin For each quarter No charges b. Inland L.C. (Cash- As above As above Sight) c. BTB L.C. (Foreign + Local) For each quarter 0.40 %. Min. Tk.1000/= d. BTB LC (Under EDF) For each quarter 0.40 %. Min. Tk.1000/= e. LC (Cash-deferred For each quarter 0.50 %. Min. Tk.1000/= payment/usance) In case of 100% For each quarter 0.25 %. Min. Tk.1000/= cash margin f. Under AID / LOAN For each quarter 0.50 %. Min. Tk.1000/= /CREDIT / BARTER g. Under UPAS/Import Confirmation charges as under discounted applicable depending on bills through OBU or correspondent bank s Correspondent requirement. For MTB OBU confirmation 3% p.a. Discount charges not exceeding corresponding tenor s Libor rate or equivalent rate (as allowed by guideline for foreign exchange transaction) MTB mark up or spread on discount charges 2% p.a. * * * Commission to be realized on full amount of LC after adding the tolerance amount, if any. Incase of value amendment, corresponding LC opening commission will be applicable for the increased value- including tolerance amount, if any. In case of LC expiry extension, when the LC was opened under UPAS / import under discounted bills through OBU additional 0.30% p.q. will be charged as commitment fee, apart from LC extension commission (at the same rate as corresponding opening commission). Page 5 of 13
6 22 Transmission of LC by SWIFT Overseas 2.1 a. Transmission of L.C. Tk. 2,500/= b. Short - Message Tk. 500/= Local 2.2 Transmission of L.C. Tk. 1,000/= Short - Message Tk. 500/= F.C.C. (foreign correspondent charges) L.C. Amendment a) Where charges are on Applicant s A/C. b) Where charges are on Beneficiary s A/C Tk. 500/= At Actual (Incase of nonpayment of charges by beneficiary, actual charge to be realized from the importer as per UCP) a. Includes increase of value or Extension of Time When increase of value including extension of time by SWIFT UPAS/Import under discount of OBU Tk. 1,000/= If shipment date /LC expiry is extended by amendment from initial expiry, then 0.30% p.q. Commitment fee will be applicable for such extended shipment/validity b. Other than increase of value/ Extension of time only c. Amendment is intended to reduce the value & time By SWIFT Tk. 500/= By SWIFT Tk. 500/=, commission realized earlier not to be retuned Page 6 of 13
7 25 L.C. Cancellation when Expired Unutilized. L.C. Cancellation before expiry /Fee /Fee No Charge. Our charge: No Charge. Foreign Bank s charge, if any, at actual. 26 Collection Of Credit Report (Schedule of of Dun & Bradstreet Same ltd. is enclosed) 27 Interest on PAD. Intt./ exchange earning 28 SWIFT Tk. 500/= At actual as per schedule + service charge Tk.500/= Not exceeding 13% for the 1st 30 days LIM a Handling LIM documents. Com. Max 0.50 % on landed cost. b Interest in LIM facility. Interest As per lending rate fixed by bank from time to time. 29 Issuance of shipping guarantee Tk. 1,000/= in absence of original documents provided full value of documents is deposited by the client. 30 Inward documentary collection not under import L.C. (may be subject to URC-522 or not) Collection charge In case of D.P %. Min.Tk.1000/=,In Case of D.A % per quarter. Min. Tk.1000/=, Plus other charge, if applicable, at actual. 31 Add confirmation charges # Adding of confirmation (our side) For each quarter - management fee 0.20 %. Minimum Tk.1000/= Plus SWIFT Charge Tk. 1000/= # If cash collateral is provided by the bank for obtaining confirmation from third foreign bank, the importer will have to pay interest on the cash collateral amount at prevailing EURO dollar or LIBOR rate. 32 Confirmation of Local LC For each quarter 0.20 %. Minimum Tk.1000/= Plus SWIFT Charge Tk. 500/= Page 7 of 13
8 33 IRC Renewal Fee Govt. fee at actual +service charge Tk.500/= B. EXPORT 34 a. Advising of Export L/C. Tk.750/= flat b. Advising of amendment L/C Tk.750/= flat 35 L.C. TRANSFER a. Overseas LC For Our Clients only: 1. In-House Transfer (i.e. Transfer of LC fvg. another sister concern garments unit of same Group) of our Garments Clients: Tk.750/= 2. Transfer of LCs (MT720) at the request of our Buying House Clients who has license under Section 18A or 18B of FER Act, 1947 by Bangladesh Bank: Flat Tk.750/= + SWIFT Charge at Actual. Local LC Transfer As above + SWIFT Charge at actual, if any b. c. Cancellation of Transfer SWIFT/ postage Charge at actual, if any Transfer of amendment For Our Clients only: Overseas LC Amendment 1. In-House Transfer (i.e. Transfer of LC amendment fvg. another sister concern garments unit of same Group) of our Garments Clients: Tk.750/= 2. Transfer of LC amendment (MT707) at the request of our Buying House Clients who has license under Section 18A or 18B of FER Act, 1947 by Bangladesh Bank: Flat Tk.750/= + SWIFT Charge at actual. Local LC Amendment As above + SWIFT Charge at actual, if any d. Cancellation of Tr. Of amendment Com. SWIFT/ postage Charge at actual, if any Page 8 of 13
9 36 Negotiation of Export bill a. Negotiation of Export Bill drawn under LC issued by first class reputed foreign bank. /Com. b. In addition to a) Courier/ Charge 37 Discounting of Export bill drawn Com./ under local LC. 38 Processing of documents under collection Com. Postage Courier 0.15% on the bill amount.[od Sight rate to be applied for Sight Bill and Usance rate for Usance Bill] At actual Discount intt. for the applicable usance period of the bill for the outstanding period + Tk.400/= as Document processing fee + Postage at actual 0.15% on the bill amount, if there is no exchange gain Max Tk. 500/=, if there is exchange gain At actual. N.B. Instruction issued or to be issued from time to time by the Customs Commission rate /NBR regarding realization of Source Tax (Presently 0.50%) on realized value against export to be followed. 39 Acceptance comn. Against Usance bill under Cash (deferred)/ BTB L.C. 40 C BANK GUARANTEE For each quarter 0.40 % on the bill amount. Min. Tk. 1000/= FOREIGN BANK GUARANTEE a. Advising of guarantee to the beneficiary in original without any engagement on our part. b. Issuance of guarantee backed by 100 % counter guarantee of foreign bank. (If charges are on beneficiary s A/c.) c. Issuance of guarantee (under cash margin or Com. / charges collateral) not backed by any counter guarantee of foreign bank (If charges are on bene. A/C.) Com./charges Com. / charges Flat Tk.750/= 0.50 % per quarter or part there of.min. Tk.1500/= + cost of stamp, Tax, SWIFT etc. at actual, if any % per quarter or part there of. Min. Tk.2000/= + cost of stamp, Tax, SWIFT etc. at actual, if any. Page 9 of 13
10 41 d. Issuance of bid bond/ performance bond against foreign bank guarantee. (If charges are on beneficiary A/C.) D REMITTANCE (INWARD) Com % per quarter (Min. Tk.1500/= + cost of stamp, Tax, SWIFT etc. at actual, if any. a. Purchase of foreign bank draft, Com. Tk.0.20% per USD b. Payment of any foreign taka draft which are drawn on our bank c. Encashment of any foreign T.T. in Taka. at our counter Com. Com. 42 d. Encashment of F.C.Draft / M.T. Handling charge e. Issuance of FC Draft under remtt.arrangement drawn on Bangladesh Bank f. Issuance of FC Draft drawn on Bangladesh Bank E COLLECTION Com/ Com/ a. Collection of clean item (Inward) Postage & other charge Foreign Bank charges at actual plus service charge Tk.300/= Tk.500/= flat Postage at actual plus Tk.200/=handling charge b. For Outward documentary bills for collection (Under all type of L.C.) c. For Outward documentary bills for collection d. Collection of foreign currency draft from abroad Com %. Min.Tk.500/= + postage & SWIFT charge at actual, if any. Com %. Min.Tk.1000/=plus postage or SWIFT charge at actual, if any Com. Tk.300/= Processing fee at actual plus Postage /Courier/SWIFT/ Foreign Bank charges, if any. N.B.: Collection of Draft will be with recourse basis for our tested clients only. e Collection of proceeds of any F.C. draft from local Bank which are not primarily collected through clearing Tk. 300/= per instrument Page 10 of 13
11 43 F a. OUTWARD Issuance of F.C.draft on foreign correspondent b. Issuance of T.T. (F.C.) through foreign correspondent Com. / SWIFT charge Com. SWIFT charge i) Up to USD 1000= $5.00 ii)usd 1001 USD5000=$15.00 iii) USD5001 USD10,000=$25.00 iv) Above USD10,000 = $40.00 Min Tk. 350/= + SWIFT charges at actual, if any Tk.1,000/= per T.T. At actual c Cancellation of draft in F.C. Com. Tk.500/= per DD SWIFT charge At actual. G d Cancellation of T.T. in F.C. Charge Tk.500/= per TT SWIFT charge At actual. MISCELLANEOUS 44 a. Issuance of no objection Com. Tk.500/= for each case. certificate b. against issuance Tk.150/=for each item of L.C.A.Form / IMP /EXP Form c. Issuance of PRC. Tk. 500/= d. Handling Cash subsidy / duty drawback Processing fee For claim up to Tk.5.0 lac= Tk.2500/ Claim of Tk.5.0 lac above up to Tk.10.0 lac= Tk.3500/= Claim of Tk 10.0 lac above =Tk.5000/ Tk.500/ for each certificate e. Issuance of BTB LC Processing Fee certificate f. Issuance of C & F certificate Processing Fee Tk.500/ for each certificate g. Verification of BL and BG Processing Fee Tk.500/ for each item h. Case to Case LC Opening Processing Fee 200/- to 500/- Page 11 of 13
12 Schedule of Charge for Cash Management: Cheque Related Unit Issuance of Bangladesh Bank Per Cheque 200/- Cheque Stop Payment Instruction- BB Per Instruction 200/- Cheque Stop Payment Cancellation-BB Per Instruction 200/- Cheque Inward Clearing Cheque returned/ Per Cheque 500/- Unpaid due to insufficient fund Inward Clearing Cheque returned/ Per Cheque Unpaid due to other reasons Outward Clearing Cheque returned/ Per Cheque Unpaid due to insufficient fund Outward Clearing Cheque returned/ Unpaid due to other reasons Per Cheque PO/DD/TT Related Unit Issuance of Pay order Upto BDT 100, /- Above BDT 100, /- Issuance of 0.15% of DD amount; Minimum Tk 100/- Issuance of DD of DD amount; Minimum Tk 300/- Issuance of of TT amount; Minimum Tk 100/- Cancellation of Pay order For any Value 300/- /DD/TT (Lcy) Cancellation of Pay order /DD/TT (Fcy) For any Value 500/- Page 12 of 13
13 Account Servicing Fees Unit Account Statement Upto two (each) More than two within 6 100/- months Balance Certificate General Certificate For status / nature of business ( Same day) For status / nature of business ( Next day) 100/- 50/- Duplicate Advice 500/- BO Certificate 100/- Sweep Sweep creation charges Sweep-In (charge for each execution) Sweep-Out (charge for each execution) Amendment of Sweep Standing Instruction Standing Instruction (SI) creation charge (any transaction) 100/- SI for Transfer of funds between accounts SI for Transfer of funds within MTB branchs Failure of SI due to Insufficient funds Amendment of SI Cancellation of SI 100/- Cash Management Nationwide Collection Service and Payment Transfer Service: will be fixed on piecemeal basis based on the mutual discussion with the client; Min. Charge will be 0.03% of the total Collection/Payment amount. Page 13 of 13
STANDARD BANK LTD. International Division, Head Office
Revised Schedule of Relating To Foreign Exchange Transactions has been prepared complying the BRPD Circular No. 19 Dt. 22.12.2009 & No. 09 Dt. 14.02.2010 with effect from 01.08.2013. A. IMPORT SL TYPES
More informationFOREIGN TRADE IMPORT
FOREIGN TRADE SCHEDULE OF CHARGES LC OPENING CHARGE & COMMISSION: LC (Cash) opening commission with 100% cash margin IMPORT 1 st qtr @ 0.10% To 0.25%, sub qtr. @ 0.10% To 0.25%, LC (Cash) opening commission
More informationSocial Islami Bank Ltd. Business Development & Marketing Department Head Office, Dhaka. Schedule of Charges for General Banking and others
Social Islami Bank Ltd. Business Development & Marketing Department Head Office, Dhaka. Annexure A 05. Schedule of for General Banking and others Type of s Nature of Revised Rate a. Account a. Half yearly
More informationSchedule of Bank Charges/Commission in respect of Inland & Online Transactions
Schedule of Bank /Commission in respect of Inland & Online Transactions Sl. No. Types of Service Nature of 1 Al-Wadiah Current Maintenance Deposit Account/ MSND Account Account Closing 2 Mudaraba Savings
More informationGeneral Service Corporate and SME Banking
General Service Corporate and SME Banking Schedule of s Deposit Accounts Current, Savings and Short Term Deposit (STD) Minimum Balance Fee/Incidental /Ledger Fee/Service SB & CD Account No Fee Account
More informationBASIC Bank Limited. " T~ [OI'lN(O SCiHOUlCO 8"NI< Treasury Division Head Office, Dhaka.
BASIC Bank Limited S r "In i ~P.0 p, i f et, p r et, T fj i " T~ [OI'lN(O SCiHOUlCO 8"NI< Treasury Division Head Office, Dhaka. Circular no: BASIC/HOrrD120 14/02 January 22, 2014 TO: ALL DIVISIONAL HEADS
More informationSCHEDULE OF CHARGES. 1.0 Account related Charges/Fees: Service Description
SCHEDULE OF CHARGES 1.0 Account related Charges/Fees: Service Description 1.1 Account Maintenance Fee Current Account/ Al-Wadiah Current A/c SND Account/ Mudaraba SND Account Charges Tk. 500.00 (1/2 Yearly)
More informationSchedule of Charges Effective from August 01, 2015
Schedule of Charges Effective from August 01, 2015 This schedule is focused on giving a clear idea of our charges, fees and commissions. For any queries about the fees charges or commissions in the manual,
More informationEffective from January 1, Page 1 of 8
Effective from January 1, 2014 Page 1 of 8 Manarah Current Account Minimum account opening balance A/C Maintenance fee Tk.10,000 Tk. 500 ½ Yearly Closing of account Tk. 300 Cheque Book issue fee Tk. 5
More informationSchedule of Bank Charges
(January- June) 2018 INLAND BANKING Pay-order 1 Issuance of PO upto BDT 1 lac BDT 100.00 2 Issuance of PO above BDT 1 lac BDT 200.00 3 Cancellation of PO BDT 500.00 4 Stop Payment of Cheques /PO/DD 1 Regular
More informationSchedule of Charges. for. Corporate Banking Division
Schedule of Charges for Corporate Banking Division Effective from 1 st March 2014 Cash & Trade CURRENT CLASSIC ACCOUNT Account Maintenance Fee BDT 500.00 Half yearly Cheque Book Issue fees BDT 250.00 SHORT
More informationSchedule of Charges. minimum Tk.=100/= per instrument (c)collection of outstation cheques/bills (clean/documentary) i) Commission
`SL. ITEM NATURE OF CHARGES SCHEDULE OF CHARGES Collection Service charge/commission (a) Collection of local cheques/instruments where there is clearing house (b)collection of local cheques/instruments
More informationSchedule of Charges of Retail Banking
Schedule of Charges of Retail Banking Particulars Charges / Commission Deposit Accounts Current, Savings, SND, MTB Senior, MTB Inspire and Scheme accounts Account Maintenance Fee 1 Current Account/ SND
More informationSchedule of Charges. for. Corporate Banking Division
Schedule of Charges for Corporate Banking Division Effective from 1 st March 2014 Cash & Trade CURRENT CLASSIC ACCOUNT Account Maintenance Fee BDT 500.00 Half yearly Cheque Book Issue fees BDT 250.00 SHORT
More informationSCHEDULE OF CHARGES. Average Balance Tk.25,000 + Nil Nil
SCHEDULE OF CHARGES 1.0 Account related Charges/Fees: Service Description 1.1 Account Maintenance Fee Current Account/Al-Wadiah Current A/c SND Account/Mudaraba SND Account Charges Tk. 500.00 (1/2 Yearly)
More informationUNITED COMMERCIAL BANK LIMITED Corporate Office Dhaka. Revised Schedule of Charges for various Services on inland transactions rendered by the Bank
UNITED COMMERCIAL BANK LIMITED Corporate Office Dhaka Revised Schedule of Charges for various Services on inland transactions rendered by the Bank Sl. Items Present rate of Charges 01. Acco unt Maintenance
More informationParticulars Nature of Charges Rate. Account Maintenance Fee (half yearly) Fees Tk VAT. Account Maintenance Fee (half yearly) Fees Tk.
Schedule of, Fees & s Particulars Nature of s Rate A. General Banking Deposit Accounts Current Account Account Maintenance Fee (half yearly) Fees Tk. 500 + VAT Closing of Account Tk. 300 + VAT SND Account
More informationTariffs & Charges. Account Maintenance Fee. -BDT Accounts (SND) Avg balance 5,001 to 25,000/-
Deposit Accounts 1 Account Maintenance Fee -BDT Accounts (Savings) Avg balance up to 5,000/- Avg balance 5,001 to 25,000/- Tk. 100/- (Half Yearly) Avg balance above 25,000/- Tk. 300/- (Half Yearly) -BDT
More informationState Bank of India SCHEDULE OF CHARGES General Banking
State Bank of India SCHEDULE OF CHARGES General Banking SL Types of service Nature of charges Revised Charges No. 1.a Balance confirmation certificate Half-yearly/ Free Yearly 1.b Balance confirmation
More informationGeneral Banking. Savings Account
General Banking SCHEDULE OF CHARGES MDB Minimum initial deposit amount BDT 2,000.00 s Half Yearly Average Balance: Up to BDT 5,000.00- Nil, Above BDT 5,000.00 to BDT 25,000.00- BDT 100.00, Above BDT 25,000.00-
More informationSchedule of Charges & Commissions Effective from July 01, 2013 General
Schedule of & s Effective from July 01, 2013 General This guide is intended to give you a clear picture of our fees, charges and commission. If you have any queries about the fees, charges or commission
More informationIFIC Bank Limited Schedule of Charge, Fees & Commissions. Particulars Nature of Charges Rate. Fees
Schedule of, s & s A. General Banking Particulars Nature of s Rate Deposit Accounts Current Account Account Maintenance (half yearly) s Tk. 500 + VAT Closing of Account Tk. 300 + VAT SND Account Account
More informationSchedule of Charges. Account Maintenance Fee. Account Transfer Charge
1 2 Particulars Current Account/SND Account Schedule of Charges Account Maintenance Fee Regular Savings/Inspire/Ruby/Senior/NRB Saving/Other Saving Account (Waiver of A/C Maintenance Fee for Junior, Graduate,
More informationNRB Global Bank Limited Schedule of Charges for General Banking
General Banking 1.1 Collection 1.1(i) s NRB Global Bank Limited Schedule of for General Banking Collection of Local Cheque/Bill/Draft Nature of charge Rate of Commission/ i) Where there is a Clearing House
More informationEffective from January 1, 2014
Effective from January 1, 2014 Page 1 of 8 Updated on June 29, 2014 Deposit Accounts Current Accounts (Minimum account opening balance TK. 10,000) BDT account maintenance fee (including OD Account) TK.
More informationMercantile Bank Limited Head Office, Dhaka
Mercantile Bank Limited Schedule of s s s s. Collection..(i) Collection of Local Cheque/Bill/Draft s i) Where there is a Clearing House - Free ii) Where there is no clearing house - conveyance at actual,
More informationSERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2015.
SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2015. (All charges are inclusive of service tax) A. INWARD REMITTANCES: i) Execution of SWIFT remittances. Rs. 230/- per remittance.
More informationSCHEDULE OF CHARGES. Retail Business Division United Commercial Bank Limited
SCHEDULE OF CHARGES Retail Business Division United Commercial Bank Limited effective from January, 2018 Schedule of Charges, Retail Liability, Retail Business Division United Commercial Bank Limited Account
More informationSchedule of Charges. Charges / Commission/ Fees Account Maintenance Fee
1 2 Schedule of Charges Particulars Charges / Commission/ Fees Account Maintenance Fee Current Account/ SND Account BDT 500 Half Yearly Regular Savings / Inspire / Ruby / i) No fee up to BDT 5,000 on average
More informationUpdated on May 10, 2016
Updated on May 10, 2016 Page 1 of 8 Updated on May 10, 2016 Deposit Accounts Current Accounts (Minimum account opening balance TK. 10,000) BDT account maintenance fee (including OD Account) TK. 500 FCY
More informationSchedule of Charges, Fees & Commissions Effective from January 01, 2018 General
Schedule of, & Effective from January 01, 2018 General This guide is intended to give you a clear picture of our charges, fees and commissions. If you have any queries about the fees, charges or commissions
More informationUpdated on
Updated on 24-01-2019 Page 1 of 11 Updated on 24-01-2019 Deposit Accounts Current Accounts (Minimum account opening balance TK. 10,000) BDT account maintenance fee (including OD Account) FCY account maintenance
More informationTariffs & Charges. -BDT Accounts (SND) Avg balance 5,001 to 25,000/-
Tariffs & Charges Description Tariffs & Charges Deposit Accounts Account Maintenance Fee -BDT Accounts (Savings) Avg balance up to 5,000/- Avg balance 5,001 to 25,000/- Tk. 100/- (Half Yearly) Avg balance
More informationSCHEDULE OF CHARGES. 1.3 Account Maintenance Fee Personal Current Account Half Yearly Average Balance Urban branches Rural branches
SCHEDULE OF CHARGES 1.0 Account related Charges/Fees: Service Description 1.1 Account Maintenance Fee Current Account/Al-Wadiah Current A/c SND Account/Mudaraba SND Account Charges Tk. 500.00 ( Half Yearly)
More informationTk per instance excluding DPS & Loan Installment Payment No charge for Defence Personnel & TBL Employees
Sl Description Schedule of s - 2012 A A1 General Banking & Local Remittance Current Accounts/Al-Wadiah: A1-i Incidental A1-ii Account Maintenance Fee Tk.500 (Half Yearly) A1-iii Account closing charge
More informationTariffs & Charges. Deposit Accounts. Account Maintenance Fee. -BDT Accounts (SND) Avg balance 5,001 to 25,000/-
Tariffs & Charges Description Tariffs & Charges Account Maintenance Fee -BDT Accounts (Savings) Avg balance up to 5,000/- Avg balance 5,001 to 25,000/- Avg balance above 25,000/- -BDT Accounts (Current)
More informationSCHEDULE OF CHARGES & COMMISSION EFFECTIVE FROM: JUNE-2016
SCHEDULE OF CHARGES & COMMISSION EFFECTIVE FROM: JUNE-016 General Banking Services Item Type of Services Nature of s s / s 1 Standing Instruction Rent Small Size Medium Size Large Size Tk. 0/- to be realized
More informationNATIONAL DEVELOPMENY BANL PLC
NATIONAL DEVELOPMENY BANL PLC ISLAMIC BANKING TARIFF BOOKLET Version 02 November 2014 Islamic Banking Unit THE RATES AND CHARGES CONTAINED HEREIN ARE SUBJECT TO CHANGE Page 1 of 13 Contents General Information...
More informationSCHEDULE OF CHARGES (SC 2012/2069)
SCHEDULE OF CHARGES (SC 2012/2069) SUNRISE BANK LTD 2012/2069 Table of Contents Page No. (A) Import Letter of Credit 3 (B) Export Letter of Credit 6 (C) Guarantee 9 (D) Clean Bills Purchase 11 (E) Clean
More informationSCHEDULE OF CHARGES February 15, 2015
SCHEDULE OF CHARGES February 15, 2015 PAYMENTS & CASH MANAGEMENT SERVICES Account Management Account Closing Fee Standing Instruction fees PRC (Encashment Certificate) fee BDT 200/- (or BDT 200/- Equivalent
More informationKenya Centre. Schedule of Service Charges w.e.f (Inclusive excise duty to be effective from )
Kenya Centre Schedule of Service Charges w.e.f. 01.11.2010 (Inclusive excise duty to be effective from 01.08.13) Item Description Non-customers Excise 10% Total GENERAL CHARGES 1.Cheque Book Ksh 15/- per
More informationSERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2013 A) INWARD REMITTANCES:
SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS w.e.f 01 st April, 2013 A) INWARD REMITTANCES: i) Execution of SWIFT remittances. ` 230/- per remittance ii) Inward remittances received and to be executed
More informationFOREIGN EXCHANGE RELATED SERVICE CHARGES STRUCTURE w.e.f
Sr. No. FOREIGN EXCHANGE RELATED SERVICE CHARGES STRUCTURE w.e.f. 01.07.2017 DESCRIPTION CHARGES Annexure-I A. EXPORT RELATED TRANSACTIONS 1) EXPORT BILLS PURCHASED / NEGOTIATED / DISCOUNTED a. Processing
More informationBNP PARIBAS MALAYSIA BERHAD. Tariff and Charges
BNP PARIBAS MALAYSIA BERHAD Tariff and Charges CASH MANAGEMENT CURRENT ACCOUNT Maintenance Fee RM 600 / month (per account) Note: capped at RM 1,200 / month in case of more than 2 accounts. Cheque Book
More informationSchedule of Charges. For Individual Accounts
Schedule of Charges For Individual Accounts Savings Account : Minimum Balance Requirement : Shukonna TK. 500.00 TK. 100.00 Account Maintenance Fee : Half Yearly Average Balance: Savings Account Up to TK.
More informationUNITED COMMERCIAL BANK LIMITED Head Office Dhaka
UNITED COMMERCIAL BANK LIMITED Head Office Dhaka Annexure B Revised Schedule of Charges for various Services on Foreign Exchange transactions rendered by the Bank. Sl. Period/Value Revised Rate of Charges
More informationINDUSTRIAL AND COMMERCIAL BANK OF CHINA (MALAYSIA) BERHAD FEES AND CHARGES
INDUSTRIAL AND COMMERCIAL BANK OF CHINA (MALAYSIA) BERHAD FEES AND CHARGES OCTOBER 2010 BANKING SERVICES RATE PER ITEM CURRENT ACCOUNT:. Half yearly service charge - All accounts with average daily balance
More informationMega Standard Charges
2016 Mega Standard Charges Mega Standard Charges Mega Standard Charges 2016 Page 1 of 17 1. Introduction 1.1 This document i.e. Mega Standard Charges 2016 (hereinafter called MSC 2016) supersedes all the
More informationSCHEDULE OF CHARGES SUNRISE BANK LTD
SCHEDULE OF CHARGES SUNRISE BANK LTD Contents (A) IMPORT LETTER OF CREDIT... 3 (B) EXPORT LETTER OF CREDIT... 6 (C) GUARANTEE... 9 (D) CLEAN BILLS PURCHASE... 11 (E) CLEAN BILLS COLLECTION... 12 (F) OUTWARD
More informationNovember, 2017 PUBLIC
November, 2017 GLOBAL LIQUIDITY AND CASH MANAGEMENT Account Management Account Maintenance Fee Account Closing Fee Standing Instruction Fee PRC (Encashment Certificate) Fee Current Account BDT 500/- (Half
More informationDOCUMENTARY CREDITS. Advising of Documentary Credits
DOCUMENTARY CREDITS No Description Charges on Issuance of Documentary Credit (for validity up to 6 months or part thereof) Sight LC i. above Usance LC i. above 1 ii. Usance of 0.0625% per month Revolving
More informationSchedule of Charges Effective from 1st August, 2018
Schedule of Charges Effective from 1 st August, 2018 Cash Management Services Account Services Account Maintenance Fee Stop Payment Account Closing Statement Rendition - Hard Copy Inward Remittance Inward
More informationSCHEDULE OF CHARGES AND FEES. Eighteenth Edition
Eighteenth Edition Effective 4 th September 2016 Dear Customer, We are pleased to detail herewith our standard Schedule of Charges & Fees which is applicable for transactions carried out by Bank of Maldives
More informationINR 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 informationIMPORTS Import Letter of Credit Issuance (LC) Irrevocable Documentary Letter of Credit - As per arrangement with customer Issuance
Trade Product tariff effective 1 st April 2017 PRODUCTS CHARGES IMPORTS Import Letter of Credit Issuance (LC) Irrevocable Documentary Letter of Credit - Issuance Standby LC issuance Commission Back to
More informationSchedule of Charges 1 January June 2018
Schedule of Charges 1 January 2018-30 June 2018 Notes a) All government excise duties / taxes / Zakat etc. are applicable in addition to fee / charges. b) Out-of-pocket expenses will be collected for all
More informationPrabhu Bank Limited. STANDARD TARIFF CHARGES (Summary) Rs.500/- flat (Free in case of payment to be made by the Bank itself)
Prabhu Bank Limited 1. CUSTOMER SERVICES NRB Cheque issuance/ NRB Swift Stop Payments of cheque Standing Instruction Good for Payment Cheques certified Good For Payment" Cancellation of Good For Payment
More informationCorporate 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 informationForex related Service Charges (Excluding GST)
Forex related Service Charges (Excluding GST) DESCRIPTION A. EXPORT RELATED TRANSACTIONS 1 PCFC Disbursal Charges: a. For domestic Inputs (Conversion into Rupee) b. For imported inputs (direct remittance
More informationREVISED SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS W.E.F. MAY 20, 2013
REVISED SERVICE CHARGES ON FOREIGN EXCHANGE TRANSACTIONS W.E.F. MAY 20, 2013 TYPES OF TRANSACTION 1 For each Foreign Currency and Rupee Bill Purchased/ Discounted/ Negotiated Collection/Bills under PCFC/
More information(Company No: U) TARIFFS AND CHARGES
(Company No: 302316-U) TARIFFS AND CHARGES SEPTEMBER 2018 ACCOUNT 1. SERVICE CHARGE ON CURRENT ACCOUNT (for minimum average of less than RM1,000) Waived 2. Cheque processing fee RM0.50 3. CHEQUE ENCASHMENT
More informationHIMALAYAN BANK LIMITED Schedule of Fees and Charges - November 2014 / Mangsir 2071 (Fiscal Year 2071 / 2072)
(A) IMPORT LETTER OF CREDIT 1 Industrial Raw Materials 0.12% per quarter and part thereof for subsequent quarter. Minimum Rs. 1,500.00,. Effective from: 29th December 2014 2 Trading Items 0.12% per quarter
More informationSchedule of Charges and Fees Twenty-Fourth Edition: Effective from 1st March 2019
Schedule of Charges and Fees TwentyFourth Edition: Effective from 1st March 2019 Terms & Conditions apply All charges are subject to change at the discretion of Bank of Maldives PLC. This is not an exhaustive
More informationSCHEDULE OF SERVICE CHARGES
SCHEDULE OF SERVICE CHARGES 1 Demand Draft Demand Draft- Issuance 1.1 Demand Draft DD Issuance-NPR 0.10% of DD amount with a minimum of NPR100/- 1.2 Demand Draft DD Issuance- INR i. Up to equivalent of
More informationUnited Overseas Bank Limited, Mumbai - Trade and Remittance Services
United Overseas Bank Limited, Mumbai - Trade and Remittance Services DOCUMENTARY LETTER OF CREDIT IMPORTS / INLAND LETTER OF CREDIT (LC) 1 Issuance of Sight/Usuance LC 1% p.a or Minimum Rs 4000 2 Usuance
More informationFEES AND CHARGES (CORPORATE NON SME)
FEES AND CHARGES (CORPORATE NON SME) 1 st April 2015 1.0 CURRENT ACCOUNT 1.1 Half Yearly Service Charges All accounts without banking facility with average daily balance
More informationSchedule of Charges and Fees Twenty-Second Edition: Effective from 1 st May 2018
Schedule of Charges and Fees TwentySecond Edition: Terms & Conditions apply All charges are subject to change at the discretion of Bank of Maldives PLC. This is not an exhaustive list of charges and there
More informationNot Just Another Bank. SCHEDULE of Charges. Effective from March 23,
Not Just Another Bank SCHEDULE of Charges R E T A I L B A N K I N G Effective from March 23, 2015 www.nrbbankbd.com DEPOSIT Current Account BDT 500 (Half Yearly) Account closing charge BDT 300 Foreign
More informationSTATE BANK OF INDIA, RETAIL BRANCH, KINGDOM OF BAHRAIN REVISED SERVICE CHARGES AND FEES W.E.F Deposit Accounts
STATE BANK OF INDIA, RETAIL BRANCH, KINGDOM OF BAHRAIN REVISED SERVICE CHARGES AND FEES W.E.F 01.08.2012 Savings Bank Account Monthly Minimum Weighted Average Balance Monthly charges for Non- Maintenance
More informationSCHEDULE OF SERVICE CHARGES w.e.f S.N. Nature of Transaction Details Charges & Commission
SCHEDULE OF SERVICE CHARGES w.e.f. 24.05.2017 S.N. Nature of Transaction Details Charges & Commission 1 Demand Draft Demand Draft- Issuance 1.1 Demand Draft DD Issuance-NPR 0.10% of DD amount with a minimum
More information(Company No: U) TARIFFS AND CHARGES
(Company No: 302316-U) TARIFFS AND CHARGES JUNE 2017 ACCOUNT 1. SERVICE CHARGE ON CURRENT ACCOUNT (for minimum average of less than RM1,000) Waived NIL 2. Cheque processing fee RM0.50 RM0.03 3. CHEQUE
More informationINTERNATIONAL DIVISION
I. EXPORTS 1. (A) Bills Purchased / Discounted / Negotiated (a) Processing Charges for Foreign Currency Export Bills (b) Processing Charges for each Rupee Export Bills (c) Forwarding Export Document on
More informationSchedule of Bank Charges (Excluding Applicable V.A.T)
Schedule of Bank Charges (Excluding Applicable V.A.T) From 1 st January 2018 Bank Alfalah Limited Dhaka-1212, Bangladesh. T: +8802-8833112-4 F: +8802-9896782 www.bankalfalah.com/bd Contents A. Customer
More informationSchedule 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 informationSchedule of Charges. January to June 2018
Schedule of Charges January to June 208 CONTENTS DESCRIPTION Page No. Foreign Currency Accounts & Remittances Outward Inward Collection and Clearing Domestic Banking Remittances 2 Online, Clearing & Collection
More informationRs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large
1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 2 2.1 3 3.1 3.2 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in
More informationRs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large
1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 2 2.1 3 3.1 3.2 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in
More informationNEPAL CREDIT AND COMMERCE BANK LTD.
Annexure 2 NEPAL CREDIT AND COMMERCE BANK LTD. Effective from 12 th November 2017 Page 1 / 8 S.no Services Min. Charges Revised Charges 1. Account Services a. Good for Payment Rs. 500/- Cancellation Rs.
More informationBASIC Bank Limited Serving people for progress
Serving people for progress Treasury Division Head Office, Dhaka Circular No.: BASICjHOjTDj2016j08 August 9, 2016 TO : ALL DIVISIONAL HEADS & BRANCH IN-CHARGE OF BASIC BANK LIMITED Subject: Circulating
More informationSERVICE CHARGES WITH EFFECT FROM TRANSACTION TYPE SAVINGS CURRENT / OD / CC
TRANSACTION TYPE SAVINGS CURRENT / OD / CC MINIMUM BALANCE Rs.1000/- Rs.5000/- Account Maintenance Fee (applicable in case of non-maintenance of MINIMUM BALANCE) Shortfall Amount Charges (Rs.) 1-250 35
More information(B) EXPORT LETTER OF CREDIT
(A) IMPORT LETTER OF CREDIT Effective from: 23rd July 2015 1 Industrial Raw Materials 0.12% per quarter and part thereof for subsequent quarter. Minimum Rs. 1,500.00, whichever is. 2 Trading Items 3 L/C
More informationTARIFFS AND CHARGES FOR ISLAMIC BANKING BUSINESS
(Company No: 302316-U) TARIFFS AND CHARGES FOR ISLAMIC BANKING BUSINESS NOVEMBER 2017 ACCOUNT 1. SERVICE CHARGE ON CURRENT ACCOUNT (for minimum average of less than RM1,000) Waived 2. Cheque processing
More informationRs 2,000 Rs 10,000 Medium. Rs 4,000 Rs 15,000 Large. Rs 6,000 Rs 20,000 Extra Large
1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 2 2.1 3 3.1 3.2 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in
More informationRs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large
1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in house cheque)
More informationRs 3,000 Rs 10,000 Medium. Rs 5,000 Rs 15,000 Large. Rs 7,000 Rs 20,000 Extra Large
1 1.1 1.2 1.3 1.4 1.5 1.6 1.7 1.8 Customer Service NRB cheque issuance charge (If requested by BFIs) NRB Cheque issuance (Other than BFIs) NRB Cheque cancellation charge Stop Payment (in house cheque)
More informationMAYBANK CHINA BRANCHES. (June 2016)
FEES & CHARGES FOR ACCOUNT SERVICE A) DEMAND DEPOSITS (CURRENT ACCOUNT) 1. Half-yearly Service Charge USD20.00 if minimum average balance during the half year is below USD10,000.00 Exemptions for:- i)
More informationMAYBANK CHINA BRANCHES. (March 2017)
FEES & CHARGES FOR ACCOUNT SERVICE A) DEMAND DEPOSITS (CURRENT ACCOUNT) 1. Half-yearly Service Charge USD20.00 if minimum average balance during the half year is below USD10,000.00 Exemptions for:- i)
More informationSUMITOMO MITSUI BANKING CORPORATION BANK S SERVICE CHARGES AND FEE
DEPARTMENT : DEPOSIT 1) Maintenance Fee: Current Account: - Monthly average balance is less than THB 1,000. - THB 50. - Per month - Any Current Account has no movement for 2 consecutive years THB 100.
More informationSchedule 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 informationUnion Bank of Colombo PLC- Tariffs - (w.e.f. 1st July 2017)
Union Bank of Colombo PLC- Tariffs - (w.e.f. 1st July 2017) No. DESCRIPTION DBU (in LKR) RETAIL 1.00 Minimum Deposit to open Accounts Ultra Saver LKR 1,000 NA Ultra Saver - Elite LKR 1000 Regular Saver
More informationRs 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 informationSchedule of. Charges. October Business Banking
Schedule of Charges October 2017 Business Banking General This Tariff applies to normal transactions. Stamp duty, correspondent charges and other out-of-pocket expenses, if any, may be added. The Bank
More informationDisclosure 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 informationFOREIGN EXCHANGE TRANSACTIONS
FOREIGN EXCHANGE TRANSACTIONS Sl Subject Page No. 1. General 2. Export bills purchased/ discounted/ negotiated: 2.1 Foreign Currency Bill 2.2 Rupee Bill 3 2.3 Bill sent to another bank in India 2.4 Indemnity
More informationREVISED FOREX SERVICE CHARGES. Schedule I Export Transactions
REVISED FOREX SERVICE CHARGES Annexure I Sr 01 02 Schedule I Export Transactions Particular Export Bills on collection/ s Purchase/ Discount/Negotiation Processing charges for granting Postshipment Advance
More informationSchedule 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 informationStandard Chartered Bank
Standard Chartered Bank (Hong Kong) Limited Trade Services Schedule of Standard Charges (Effective 1 st July 2018) Imports Opening Commission on Documentary Credits Irrevocable Documentary Credits Back-to-back
More informationBank AL Habib Limited Schedule of Bank Charges ISLAMIC BANKING
Bank AL Habib Limited Schedule of Bank Charges ISLAMIC BANKING (Excluding FED Charges) Effective From January 01, 2019 to June 30, 2019 Bank AL Habib Limited Page 1 of 10 I N T E R N A T I O N A L A. IMPORTS:
More informationSchedule 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 informationSchedule 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