Schedule of Charges January - June 2016 (Effective from January 01, 2016)

Similar documents
Schedule of Charges July - December 2017 (Effective from July 01, 2017)

CONTENT Sr. # Description Page General Banking E-Banking General Services Loans Important Notes

NRSP Microfinance Bank Limited. Schedule of Bank Charges

Schedule of Bank Charges

Schedule of Bank Charges

Schedule of Charges. For more information. sc.com/pk. Call July December (Abridged Version)

Schedule of Charges. 1st July st December (Abridged Version)

Schedule of Charges. January to June 2018

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

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

Schedule of Bank Charges

Schedule of Bank Charges

Samba Bank Limited Schedule of Bank Charges

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

Schedule of Charges 1 January June 2018

ISLAMIC BANKING - SCHEDULE OF CHARGES FOR THE PERIOD JANUARY - JUNE 2019

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

SERVICE CHARGES FOR NRI ACCOUNTS

July to December 2017

(B) EXPORT LETTER OF CREDIT

HIMALAYAN BANK LIMITED Schedule of Fees and Charges - November 2014 / Mangsir 2071 (Fiscal Year 2071 / 2072)

SCHEDULE OF CHARGES (SC 2012/2069)

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

NEPAL CREDIT AND COMMERCE BANK LTD.

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

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

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

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

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

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

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

STATE BANK OF SIKKIM ANNEXURE-A SERVICE CHARGES W.E.F

SCHEDULE OF BANK CHARGES

SERVICE CHARGES AND FEES (With effect from )

Mega Standard Charges

SCHEDULE OF BANK CHARGES

SCHEDULE OF CHARGES SUNRISE BANK LTD

Schedule of Bank Charges (Excluding FED)

INDEX. I) Fee Based Services. II) Other Services

Tariff Book Meethaq Islamic Banking bank muscat

SCHEDULE OF CHARGES. Retail Business Division United Commercial Bank Limited

QNB Tariff of Charges.

Schedule of Bank Charges

Priority Banking Tariff

QNB Tariff of Charges.

BURGUNDY FEES & CHARGES

Schedule of Charges 2018

Not Just Another Bank. SCHEDULE of Charges. Effective from March 23,

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

Prabhu Bank Limited. STANDARD TARIFF CHARGES (Summary) Rs.500/- flat (Free in case of payment to be made by the Bank itself)

SCHEDULE OF BANK CHARGES

Tariff of Charges FIRST

BURGUNDY FEES & CHARGES

EFFECTIVE FROM JAN UARY 01, 2018 TO JUNE 30, 2018

EFFECTIVE FROM JULY 01, 2018 TO DECEMBER 31, 2018

Revised Service Charges W.E.F. 01 st January 2016

Service Charges - (Updates up to 01/07/2017) : Rates in INR (I) SAVING DEPOSIT ACCOUNT A)OPENING & MAINTENANCE OF MINIMUM BALANCE IN THE ACCOUNT

QNB Tariff of Charges.

Service Charges (Effective from 15 th April 2014) (Service taxes as applicable will be collected extra) ACCOUNT RELATED. <=Rs.

Effective from January 1, 2014

Corporate Banking. Tariff of Charges

SERVICECHARGES IN RESPECT OF CASA ACCOUNTS W.E.F

SERVICE CHARGES AND FEES (With effect from )

1. Basic Banking Services. Ref. Description Charges Cheque book destruction fee NPR

Updated on May 10, 2016

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

SERVICE CHARGES AND INTEREST RATES AT A GLANCE RBI FORMAT. NATURE RATE OF INTEREST MINIMUM BALANCE Normal Sr. Citizen Rural Semi urban

Service Charges (Effective from 1 st April 2015) (Service taxes as applicable will be collected extra) ACCOUNT RELATED.

Schedule of Charges. 1 January June 2018

Schedule of Charges. 1 January June 2017

SHARIAH CERTIFICATE. And Allah knows the Best. Regards.

January Premier Schedule of Services and Tariffs

Revised Service Charges W.E.F. 01 st May 2018

SERVICE CHARGES AND INTEREST RATES AT A GLANCE RBI FORMAT 1. DEPOSIT ACCOUNTS

SERVICE CHARGES & FEES ON BASIC BANKING W.E.F

SCHEDULE OF BANK CHARGES JAN-JUNE, 2019

Effective from January 1, Page 1 of 8

Standard Tariff of Charges 2019

SCHEDULE OF CHARGES (ISLAMIC BANKING) for January - June 2016

Tariff Guide - Non-Resident

SCHEDULE OF BANK CHARGES

SERVICE CHARGES WITH EFFECT FROM (Applicable GST presently 18% to be collected on and above the rate mentioned below) PART-A

Updated on

Collection of Outstation Cheques (refer to circular for max ceiling amount)

CENTRAL BANK OF INDIA Schedule of service charges (revised w.e.f 01/11/2018 Schedule-I BASIC BANKING SERVICES

Schedule of Charges of Retail Banking

MOST IMPORTANT LEVY OF FEDERAL EXCISE DUTY (FED) / SALES TAX

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

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

Retail Clients Schedule of Account Services / Charges 2015

PERSONAL BANKING SCHEDULE OF FEES. adcb.com

Schedule of Charges for all Current Accounts

Closure of a/c within 1 year Rs.200/- for SB a/cs. and Rs.500/- for CD a/cs. Closure after 1 year NIL 8 Cheques Return Charges Cheques drawn on us

Schedule of Bank Charges (Excluding FED and Sales Tax)

Schedule of Charges for Savings Accounts

Bank AL Habib Limited Schedule of Bank Charges ISLAMIC BANKING

Service Charges (Excluding GST) Statement (CA/CC/OD accounts): Once in a month - Free. Balance Certificate (SB/CD/CC/OD): Rs.150/- per occasion.

Schedule of Charges Effective from August 01, 2015

A range of everyday banking transactions, now made FREE

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

Transcription:

DESCRIPTIONS CHARGES CUSTOMER A/Cs Sahulat Current Account with Minimum Initial Deposit of Rs. 100/- Current Account Zarai Karza with Minimum Initial Deposit of Rs. 100/- Barhta Karobar Running Finance Current Account with Minimum Initial Deposit of Rs. 100/- Aitmaad Bachat Account with Minimum Initial Deposit of Rs. 100/- Asaan Account with Minimum Initial Deposit of Rs. 10/- Rozana Munafa Account with Minimum Initial Deposit of Rs. 1000/- Minimum Balance Requirement: For Sahulat Current Account Rs. 500/- Current Account Zarai Karza Barhta Karobar Running Finance Current Account Asaan Account For Aitmaad Bachat Account For Rozana Munafa Account Rs. 5000/- SERVICE CHARGES Service charges will be applicable if prescribed minimum balance requirement for each category is not maintained. For Sahulat Current Account* Rs. 43/- per Month For Aitmaad Bachat Account For Current Account Zarai Karza For Barhta Karobar Running Finance Current Account For Asaan Account For Rozana Munafa Account** Rs. 43/- per Month *All Sahulat current accounts having outstanding balance in Kamal Committees, TDRs or Loan facility accounts are exempted from service charges. **All Rozana Munafa accounts having outstanding balance in TDRs are exempted from service charges. FREE BANKING Applies if the Monthly Average balance of Current month is: Rs. 100,000/- or above in Current Account Rs. 1,000,000/- or above in Rozana Munafa Account Applies if Monthly Average balance of current month is: Rs. 10.0Mn or above (CASA+TERM) Upto 50 Cheque Leaves (Once in a year) PO Issuance/ Cancellation Outward Clearing Cheque Returns ATM transaction on FINCA's Machine Up to Three withdrawal transactions on other bank s Machine Medium Size One Locker CLEARING * Cheque Return Charges-Inward Clearing Cheque Return Charges-Outward Clearing Intercity Clearing Intercity Clearing Return Charges Same Day Clearing Same Day Clearing Return *(See important Note # 10 & 11) Rs. 300/- Per Instrument Page 1

OBC COLLLECTION Clean Collection (Cheques) Rs. 250/- Postage (Plus Other Bank Charges) OBC Return Rs. 500/- OUTWARD REMITTANCE PAY ORDER Pay Order Issuance Charges Pay Order Cancellation Charges Replacement / Re-issuance of Pay Order DEMAND DRAFT Rs. 100/- Flat Rs. 200/- Flat Rs. 200/- Flat Up to Rs. 10,000/- Rs. 25/- 10,001/- to Rs. 100,000/- 0.20% (Minimum Rs. 40/-) 100,001/- to Rs. 1,000, 000/- 0.10% (Minimum Rs. 200/-) 1,000,001/- to Rs. 2,000,000/- 0.075% (Minimum Rs. 1,000/-) Over Rs. 2,000, 000/- 0.060% (Minimum Rs. 2,000/-) Demand Draft Cancellation Charges Rs. 200/- Flat Duplicate Demand Draft Issuance Charges Rs. 300/- Flat CALL DEPOSIT RECEIPT Call Deposit Receipt Issuance Charges Call Deposit Receipt Cancellation Charges FUND TRANSFER Funds Transfer (Within City / Branch) Funds Transfer (Intercity) ONLINE BANKING CHARGES CASH DEPOSIT / WITHDRAWAL (Within City) Cash Deposit Cash Withdrawals Cheque Deposit CASH DEPOSIT / WITHDRAWAL (Inter City) Cash Deposit Cash Withdrawals Cheque Deposit ATM ATM Card Issuance Fee* Rs. 300/- ATM Card Replacement Charges Rs. 500/- ATM Card Renewal Fee Rs. 300/- Per Annum Withdrawal (FINCA Customer 1Link / Mnet) Actual (Charged by Other Banks) Withdrawal (FINCA Customer FINCA ATM) Balance Inquiry (FINCA Customer 1 Link / Mnet) Actual (Charged by Other Banks) Balance Inquiry (FINCA Customer FINCA ATM) Mini Statement Charges (FINCA Customer 1 Link / Mnet) Actual (Charged by Other Banks) Mini Statement Charges (FINCA Customer FINCA ATM) Fund Transfer (within FINCA Bank) Inter Bank Fund Transfer -IBFT (FINCA to Other Bank Customer) Rs. 50/- Flat * 25% discount will be offered to all loan customers on ATM card issuance charges. Page 2

CHEQUE BOOK CHARGES 10 Leaves Rs. 100/- 25 Leaves Rs. 250/- 50 Leaves Rs. 500/- 100 Leaves Rs. 1,000/- MISCELLANEOUS Stop Payment Charges Rs. 250/- Stop Payment (Series of Cheques) Rs. 500/- Requisition slip lost / not presented (Other than the first Rs. 50/- cheque book) Account Closure Charges (Aitmaad Bachat Account) Account Closure Charges (Current Account Zarai Karza) Account Closure Charges (Asaan Account) Account Closure Charges (Barhta Karobar Running Finance Current Account) Account Closure Charges (Sahulat Current Account) Rs. 200/- Per Request (All Borrowers are exempted from account closure charges) Account Closure Charges (Rozana Munafa Account) Rs. 200/- Per Request Certificate Issuance Charges Rs. 200/- Per Request Statement of Account / Advice Charges (Upon request)* Rs. 35/- Per Request Copy of Paid Cheque (Less than 6 Months) Rs. 200/- Copy of Paid Cheque (More than 6 Months & up to 5 years) Rs. 400/- Mailing Charges (Postage, Courier & Fax) Actual, Minimum Rs. 50/- Confirmation of Balance to 3 rd Party (Auditors) Hold Mail Charges Rs. 500/- Per Annum Standing Instruction Charges Rs. 100/- Per Transaction Institutional Salary Disbursement As per Agreement Mobile SMS Alert Charges Rs. 180/- Per Annum *(See Important Note # 15). DEPOSIT SERVICE CHARGES ON EARLY TERMINATION OF: Tahaffuz Deal Winspiration Deal Kamal Committee Muhafiz Deal (Reduced Rate will Apply According to the prevalent rate) (Reduced Rate will Apply According to the prevalent rate) (Reduced Rate will Apply According to the prevalent rate) (Reduced Rate will Apply According to the prevalent rate) LOCKER CHARGES Small Locker Rent Rs. 2,000/- P.A Medium Locker Rent Rs. 3,000/- P.A Large Locker Rent Rs. 4,000/- P.A Key Deposit Rs. 2,000/- Breaking Charges Rs. 4,000 + Actual Charges Late Payment Fee Rs. 200/- Per Month with grace period of one month *Currently this facility is available in New Garden Town Branch Lahore Only. Page 3

LOANS KAMYAB KAROBARI KARZA Min. Rs. 1,125/- & Max. Rs. 5,900/- (As per prevailing Product Pricing Circular) Min. Rs. 625/- & Max. Rs. 3,800/- (As per prevailing Product Pricing Circular) EXPRESS LOAN Documentation & Processing Fee (For Fresh & Repeat Clients) Min. Rs. 550/- & Max. Rs. 625/- (As per prevailing Product Pricing Circular) Rs. 100/- per day, For each day of overdue (Delinquency)/ instance or Rs. 500/- whichever is lower. 5% of outstanding loan amount. SAWARI One Time Processing Fee (For Fresh Clients) One Time Processing Fee (For Repeat Clients) Rate of Insurance RAQAM BARWAQT SUNEHRI KARZA Rs. 1,500/- or 2% of the Lease Amount whichever is Higher Rs. 1000/- or 1.5% of the Lease Amount whichever is Higher 3.5% to 5.5% of the Price of the Bike Rs. 100/ Per Day, For Each Day of Over Due (Delinquency) or Rs. 1500/- whichever is lower. If a customer has completed 75% of the total lease tenure and is interested to rebook the loan, No service charges will be charged otherwise in all other scenarios 5% of the outstanding loan amount. Min. Rs. 2,525/- &Max. Rs. 3,675/- (As per prevailing Product Pricing Circular) Min. Rs. 2,025/- & Max. Rs. 3,175/- (As per prevailing Product Pricing Circular) Rs. 400/- per Month will be charged after due date Rs. 500/- Flat on each Early Settlement charges at actual directly to the goldsmith. In case of internal goldsmith the customer will not pay any amount directly to goldsmith but deposit Rs. 500 as gold valuation fee over and above of processing fee. Min. Rs. 1,100/- & Max. Rs. 4,580/- (As per prevailing Product Pricing Circular) Min. Rs. 710/- & Max. Rs. 4,180/- (As per prevailing Product Pricing Circular) Rs. 100/- Per day on every overdue day/instance up to max Rs.500 per Installment. charges at actual directly to the goldsmith. In case of internal goldsmith the customer will not pay any amount directly to goldsmith but deposit Rs. 500 as gold valuation fee over and above of processing fee. Page 4

ZARAI KARZA Min. Rs. 2,000/- & Max. Rs. 2,850/-(As per prevailing Product Pricing Circular) Min. Rs. 1,250/- & Max. Rs. 2,050/- (As per prevailing Product Pricing Circular) FINCA will charges Rs. 500/- for delay of (1-4 days). From Fifth day onwards Client will be charged Rs. 100/- per day delay (Including Rs. 500/-) up to max Rs.2500/-. Rs. 500/- Flat but if loan maturity period is less than 30 days than no early settlement charges will be charged. charges at actual directly to the goldsmith. In case of internal goldsmith the customer will not pay any amount directly to goldsmith but deposit Rs. 500 as gold valuation fee over and above of processing fee. MAAL MAWAISHI KARZA Min. Rs. 1,250/- & Max. Rs. 5,900/-(As per prevailing Product Pricing Circular) Min. Rs. 750/- & Max. Rs. 3,800/- (As per prevailing Product Pricing Circular) KAMYAB KASHTKAR KARZA Min. Rs. 1,625/- & Max. Rs. 3,000/-(As per prevailing Product Pricing Circular) Min. Rs. 1,600/- & Max. Rs. 2,975/- (As per prevailing Product Pricing Circular) Rs. 500/- for the delay of 1-4 days. From fifth day onwards late payment charges of Rs. 100 shall be charged on every overdue day (including Rs. 500/-) up to max Rs. 2,500/- plus STS. Rs. 500/- Flat but if loan maturity period is less than 30 days than no early settlement charges will be charged. VALUE CHAIN FINANCING Min. Rs. 1,125/- & Max. Rs. 4,700/-(As per prevailing Product Pricing Circular) Min. Rs. 625/- & Max. Rs. 2,700/- (As per prevailing Product Pricing Circular) Page 5

BARHATA KAROBAR (ENTERPRISE LENDING) CLEAN LOAN Min. Rs. 3,600/- & Max. Rs. 14,500/- (As per prevailing Product Pricing Circular) Min. Rs. 3,100/- & Max. Rs. 15,000/- (As per prevailing Product Pricing Circular) GOLD EMI Min. Rs. 3,600/- & Max. Rs. 16,250/- (As per prevailing Product Pricing Circular) Min. Rs. 3,100/- & Max. Rs. 15,200/- (As per prevailing Product Pricing Circular) Rs. 100/- Per day, For Each day of Overdue (Delinquency) instance or Rs. 1,000/- whichever is lower. charges at actual to the goldsmith. In case of internal goldsmith customer will deposit Rs. 500 as gold valuation fee over and above of processing fee. If Loan tenure passed is less than or equal to 50% of Loan term, FINCA will charge 5% as early settlement charges. If Loan tenure passed is greater than 50% of the loan term but more than one month is due in its original maturity date, FINCA will charge 2% as early settlement charges. If less than or equal to one month remains in Loan tenure, no early settlement charges will apply. RUNNING FINANCE (RF) Min. Rs. 4,800/- & Max. Rs. 10,550/- (As per prevailing Product Pricing Circular) Min. Rs. 4,300/- & Max. Rs. 10,050/- (As per prevailing Product Pricing Circular) Rs. 600/- plus any applicable taxes per month will be charged after due date along with monthly bill. After 4days of billing date account will freeze in case of non-payment of bill. charges at actual to the goldsmith. In case of internal goldsmith customer will deposit Rs. 500 as gold valuation fee over and above of processing fee. Rs. 1,000/- Flat Page 6

Important Notes / Exceptions 1. Staff is exempted from all charges except the actual which the bank has to reimburse to a third party. 2. Minimum balance service charges not applicable on Sahulat Current Accounts or Rozana Munafa Account maintained by Employees of Govt., Semi Govt. Institutions of salaries, pensions benevolent fund purpose including widows, children of deceased employees eligible for family pension/benevolent fund grant etc, in any manner what so ever, Mustahqeen Zakat, Zakat account maintained for collection and disbursement of Zakat funds, Students, FINCA employees and their spouse, outsourced Service Providers staff at FINCA. 3. FINCA shall not demand more than Rs. 100/- as an initial amount for opening of regular saving accounts i.e., Aitmad Bachat Account. However, no initial deposit would be required for opening of accounts by (i) Mustakeen of Zakat, (ii) Students, (iii) Employees of Govt. or Semi Govt. Institutions for salary and pension purposes (including widows/children of deceased employees eligible for family pension/benevolent fund grant, etc.) and other similar types of accounts. 4. No service fee shall be charged from the students depositing the amount of fee directly in the fee collecting account of the educational institution. 5. The charges for making Pay Order/Demand Draft for payment of fee/dues in favor of educational institutions, HEC/Board etc may not exceed 0.50% of fee / dues or Rs. 25/- per instrument whichever is less. 6. All new SMS alert Applications will be entertained for Annual subscription only, however those who have already subscribed for monthly SMS alert service in past will continue to enjoy SMS alert services @ Rs. 15/- per month. 7. The charges mentioned in SOC can be waived, reversed or negotiated by CEO/CFO/COO and Head Business Banking on recommendation of concerned Regional / Functional Head, except Late Payment Charges waiver can be given, reversed or negotiated by CEO/COO/HBB. 8. Bank management reserves the right to recover additional charges on those accounts which involves any additional / unusual work. 9. All types of government levies from time to time including excise duties, sales taxes, zakat, etc. on customers account will be deducted in addition to the bank charges. 10. Any out of pocket expenses related to the bank transactions, not covered above, will also be charged to the clients. 11. Correspondent bank / postage and courier charges (if any) will be recovered at actual, in addition to our charges as per schedule of charges. 12. Clearing return charges will not be charged in case of outward clearing, where cheque is returned due to any overlook of FINCA staff. 13. Banking Category charges deducted from any account will be reversed automatically after month end, if the account holder qualifies for free banking category at any time till the end of current month, however excise duties, sales taxes, zakat, etc. will not be reversed in any case. 14. Bank management reserves the right to change mark up rates at any time. 15. Accounts having average daily balance below Rs. 5,000/-, free of charge statement of account will be issued on customer request in the branch once in a year. Page 7