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

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SERVICE CHARGES WITH EFFECT FROM 01.11.2017 (Applicable GST presently 18% to be collected on and above the rate mentioned below) PART-A GENERAL BANKING SERVICES ( DEPOSIT AND RELATED SERVICES) 1 Charges for Non-Maintenance of Minimum balance: (RBI has advised Banks to charge minimum balance charges to the extent of shortfall) Particulars Rural /semi urban Branches Urban Branches SB Account Current Account Shortfall < 50% Rs.40/- Shortfall < 50% Rs.70/- Shortfall > 50-75% Rs.50/- Shortfall > 50-75% Rs. 80/- Shortfall> 75% Rs.60/- Shortfall> 75% Shortfall < 50% Shortfall < 50% Shortfall > 50-75% Rs.125/- Shortfall > 50-75% Rs. 200/- Shortfall> 75% Shortfall> 75% Rs. 250/- These charges are not applicable to PMJDY, BSBDA, Small A/cs, Staff A/cs and Inoperative A/cs. 2 Minimum Balance Requirement Rural Branches Other Branches Particulars SB Account without Cheque facility Rs. 500/- Rs. 500/- SB Account with Cheque facility Rs.1000/- Rs.1000/- Current Account Rs.3000/- Rs.3000/- All branches located at NAC / Municipal centres are represented with the nomenclature of "Other Branches" and rest of the Branches are treated as Rural Branches for the purpose of calculation of service charges. 3 Charges for outward/inward Collection of cheques / instruments etc. (Local Clearing/ Outstation) Instrument Amount 1.Collection of Cheques Local Clearing 2.Collection of Outstation Cheques b.from Rs. 10001/- to Rs. 100000/- c.above Rs. 100000/- Upto Rs. 5000/- Upto Rs. 10000/- Collection Charges Rs.25/- a.up to Rs.10000/- Rs.50/- Rs.200/- Above 1 lac No service charges and postage expenses should be collected for collection of instruments issued by State/ Central Government for subsidy under any scheme and the instruments received for mobilisation of deposits for the Bank. So also no service charge should be levied for collection of instrument of Bank's staff. 4 Cheques return unpaid charges a. Cheque Return Local Clearing Inward Return (Cheque drawn on us - issued by our Upto 100000 customer) Rs.250/-

b. Cheque Return Local Clearing Outward Return (Cheque deposited by our customer and return by other bank) c. Cheque Return Outstation Cheque Inward Return (Cheque drawn on us issued by our customer) d. Cheque Return Outstation Cheque Outward Return (Cheque deposited by our customer and return by other bank) Upto 100000 Above 1 lac Upto 100000 Above 1 lac Upto 100000 Above 1 lac Outward RTGS Above Rs.200000/- and up to Rs. 500000/- Rs.250/- Rs.250/- Rs.200/- 5 Charges for Outward/Inward Collection of Bills (Clean, Documentary, Demand/Usance including supply bills) Instrument Amount Up to Rs. 5000/- Above Rs. 5000/- and up to Rs.10000/- Above Rs. 10000/- and up to Rs.1000000/- Above Rs. 1000000/- Collection Charges + Actual Postage + Actual Postage Rs.7/- per Rs.1000/- Min. and Max Rs.25,000/-. Rs.7/- per Rs.1000/- Min. and Max Rs.25,000/-. 6 Charges for Remittance through DD/MT/PAY ORDER / Banker's Cheque etc Instrument Amount Up to Rs. 5000/- Above Rs. 5000/- and up to Rs.10000/- Above Rs. 10000/- and up to Rs. 100000/- Above Rs.100000/- and up to Rs. 1000000/- Above Rs. 1000000/- Issue of Duplicate Instrument Collection Charges Rs. 30/- Rs. 60/- Rs. 5.00 per Rs. 1000/- or part thereof subject to minimum of Rs. 80/- Rs. 4.50 per Rs. 1000/- or part thereof subject to minimum of Rs. 500/-maximum of Rs. 15000/- Rs.125/-per instrument Revalidation of Instrument Cancellation of Instrument Abve Rs.1000/- Issue of DD/ Pay Order /Banker's Cheque tendered in cash is restricted to Rs.50000/- Rs. 4.50 per Rs. 1000/- or part thereof subject to minimum of Rs. 500/-maximum of Rs. 15000/- per instrument. Validation is restricted to one occasion only. No revalidation, which are less than 3 years old. Up to Rs.50/- above to Rs.1000/- Rs.80/- 7 Charges for NEFT / RTGS Outward NEFT Up to Rs. 100000/- Above Rs.100000/- and up to Rs. 200000/- Service Charges Rs.6/- Rs.17/- Rs.33/-

Above Rs.500000/- Inward NEFT/ RTGS (Irrespective of Amount). 8 ECS MANDATE Description 1.ECS Registration of Mandate 2.ECS Inward & Outward 3.ECS failed Mandate Rs.61/- Charges Rs.2/- per transaction Rs. 200/- per transaction 9 Ledger Folio Charges from Cash Credit/ Overdraft/ Current Account PARTICULRS Charges per ledger folio (40 entries in computer consist of one ledger folio) Rs.65/- subject to availability of free folios as details below Accounts with Average Balance Up to Rs. 25000/- Above Rs. 25000/- and up to Rs. 50000/- Above Rs. 50000/- and up to Rs.100000/- Above Rs. 100000/- and up to Rs.200000/- Above Rs. 200000/- Free Folios Available Three Folios Five Folios Ten Folios No folio Charges 10 Charges for Stop payment instruction on SB /Cash Credit / Current Account Charges SB Account Current Account & Cash Credit Account Loss of SB cheque book Loss of Cash Credit / Current Account cheque book Rs. 60/- per instrument max. 300/- per occasion Rs. 150/- per instrument max. 1000/- per occassion Rs. 250/- per cheques Book Rs. 500/- per cheques Book 11.Charges for Issue of Duplicate Pass Book Particulars With latest balance entry only With previous entries per ledger page or part thereof Individual Account Rs.30/-(additional) 12.Charges for other Services provided in Deposit accounts Particulars of Service to be provided Maintenance of Inoperative SB Account Maintenance of Inoperative Current Account Issue of Duplicate Deposit Receipt Issue of Duplicate Account Statement (Loans and Deposits) Rs.30/- per half year(to be collected in September and March every year) per half year(to be collected in September and March every year) per Receipt rs.40/-for each 40 entries.

Carrying out Standing Instruction intra Bank for. credit to loan, RD Deposits. NIL Failed standing Instruction due to insufficient fund Carrying out Standing Instruction for other than the above(inter Bank) Issue of Cheque Books(Savings Bank) Issue of Cheque Books(Current Bank) Closure of SB A/c upto 14 days of opening and if closed after 1 year Closure of SB Account without cheque facility after 14 days of opening up to 12 months Closure of SB Account with cheque facility after 14 days Closure of Current Account Rs.50/- per transaction Rs.3/- per leaf of cheque Rs.3/- per leaf of cheque NIL Rs.500/- 0.20% of amount involved min Rs.1000/- max Rs.20000/- Rs.50/- Change of operational instruction and addition or deletion of names in deposit accounts in SB Account and in Current Account Closure charges free for PMJDY A/cs, BSBD A/cs and Deceased Customer's a/c 13. Charges for Miscellaneous Services Enquiry of old records (except enquiry of records under RTI Act) and Old record means matter relating to previous years of the continuing year. Verification / Attestation of signature of Account holder Penalty for loss of Token Rs.200/- per item up to 2 years and thereafter additional per year for each item. per instance Rs.200/- per token. Issue of credit worthiness /Solvency Certificate Discount for late deposit of Recurring Deposit Instalments At Rs.1.20 for each of RD instalment per month of default which will be deducted automatically by the system at the time of closure. PART-B SERVICE CHARGES APPLICABLE FOR GENERAL ADVANCES 14. Charges for Services under Loans and Advances Section Issue of No-dues Certificate / Credit Reports on Parties to other Banks except under Government sponsored schemes / Agricultural Finances per certificate 15.PROCESSING FEE

TL/CC against Bank's TDR / Jewel Loans TL/CC under Priority Sector up to Rs.25000/- TL/CC under Government Sponsored Programmes Loans to bank staffs TL / CC to JLGs/SHGs Fees TL/CC to JLGs/SHGs if per member borrowing exceeds Rs.25000/- KCC limits up to Rs 300000/- KCC limit above Rs.300000/- Loans against NSC /KVP/LIC Policy Term Loans under Priority Sector above Rs 25000/- and up to Rs 200000/- Term Loans under Priority Sector above Rs 200000/- (other than Housing Sector) Housing Loan up to Rs 25.00 lacs Housing Loan above Rs 25.00 lacs 0.50% of the loan/cc account 0.20% 0.50 % of the loan amount subject to minimum of 1.00 % of the loan amount subject to minimum of Rs.1000/- and maximum of Rs.20000/- 0.50 % of the loan amount subject to minimum of Rs.2000/- and maximum of Rs.12500/- Term Loans under Non Priority Sector Working Capital (CC,MCC & NFB etc.) Rs.25000/- upto Rs. 2 Lacs ( For both Fresh & Renewal accounts) Working Capital (CC,MCC & NFB etc.) above Rs. 2 Lacs (for Both Fresh & Renewal accounts) OGB Car Loan 1 % of the loan amount 0.50 % of the loan amount subject to minimum of Rs.12500/- and maximum of Rs.25000/- Rs.500/- 0.50% of the limit. 0.50 % of the loan amount 16. Mortgage Charges(for Equitable Mortgage and each subsequent supplementary narration) For TL/CC up to Rs. 500000/- For TL/CC above Rs. 500000/- 0.50% of the loan amount maximum Rs.10000/- 17.CERSAI FEE For TL/CC up to Rs. 500000/- For TL/CC above Rs. 500000/- Rs.50/- per khata per Khata 18.CIBIL

Commercial Individual All other loans/cc above Rs200000/- Rs.700/- 19.INSPECTION CHARGES Jewel Loans, Loans against TDR/ NSC/ KVP/ LIC Policy, Government Sponsored Programmes,SHGs, KCC, Clean loan to salaried persons, Staff Loans, all priority sector loans up to Rs.25000/- All other loans/cc up to Rs 25000/- All other loans/cc above Rs25000/- and up to Rs200000/- per quarter Rs.200/- per quarter per lac per quarter max Rs.2000/- p.a. 20.Commission for Issue of Bank Guarantee Upto Rs.5.00 Cr Above RS.5.00 Cr 0.75 % per quarter minimum Rs.600/- 0.50 % per quarter LGs secured by 100 % margin by term deposit Upto Rs.2.00 lac-100% of the applicable charges Above Rs.2.00 Lacs-25 % of applicable charges with a minimum of Rs.1400/- per quarter 1.LG Charges will be recovered in multiple of months for the actual period of LG liability outstanding in Bank's books, with a minimum period of one month. For this purpose, broken days in a month will be treated as full month for recovery of commission. 2.The guarantee commission should be collected for the full specified period of liability at the time of issuing the guarantee. 3.The specified period of liability shall mean the actual validity period of the guarantee plus additional period, if any, during which claim can be made on the bank under the guarantee Refund of Guarantee Commission For guarantees refunded for cancellation before the date of expiry, only a portion of the guarantee commission already recovered may be refunded to the customer. Accordingly, an amount computed at half of the original rate for the unexpired period of guarantees less three months may be refunded. 21. PRE PAYMENT/PRE-CLOSURE CHARGES

Jewel Loans, Loans against TDR/ NSC/ KVP/ LIC Policy, Government Sponsored Programmes, SHGs, JLGs, KCC, Staff Loans, All Priority Sectors Loans Upto Rs. 25000/- Loans granted with floating rate of Interest 22.DOCUMENTATION CHARGES All other loans Jewel loans up to Rs 25000/- Jewel loans above Rs 25000/- Loans against TDR/NSC/KVP/LIC Policy /Government Sponsored Programmes/KCC/SHG/JLG/Staff Loans All other Loans / CC limits 1 % of the prepaid amount only in case of loans taken over by other Banks Rs.50/- Up to Rs.200000/- 0.25 % of the loan/limit subject to min. and Max.Rs.500/- Above Rs.200000/- to 1000000/- Rs.500/- Above Rs.1000000/- to Rs.1.00cr Rs.750/- Above Rs.1.00cr to Rs.10.00cr Rs.2000/- Above Rs.10.00cr Rs.5000/- 23. Miscellaneous Charges on Loans CC accounts Cancellation of Bank's lien on NSC/KVP/ LIC Policy pledged in favour of Bank Issue of Demand Notice to Defaulters Expenditure incurred for Recovery Rs.120/- per instance Rs.50/- per instance+actual postage Actual expenditure incurred PART-C 23.Locker Charges Chargeable annual- in advance for the period from April to March each year on 1st april Locker size in cubic inch Locker Type For Bank's For General Public own Staff Small Medium Large On vacating the lockers, only the unexpired quarterly rent will be refunded. 450-535 1100 750 536-880 1500 1000 881-1350 2000 1400 24.Other Related Locker Charges Items of Service Charges per visit/ operation Penalty for late payment of locker rent Free 12 operation per calendar year. Rs.50/- per operation over and above 12 free operation in a calendar year. 1st Quarter - 10% of the annual rent in addition to locker rent. 2nd Quarter - 20% of the annual rent in addition to locker rent. 3rd Quarter - 30% of the annual rent in addition to locker rent. 4th Quarter - 40% of the annual rent in addition to locker rent.

For loss of Locker keys Rs. 500/- per instant plus actual breaking charges 25. ATM cum Debit Card Charges a. EMV Card Issuance Charge Annual Maintenance Charge from second b. year Replacement Charge at Customer Request c. for EMV Card Replacement Charge at Customer Request d. for Mag Stripe Card e. Re-PIN Charges f. SMS Alert Charges Rs. 100/- Rs. 100/- Rs. 200/- Rs. 100/- Rs. 50/- As per actual uses 26 ATM Transations a. 10 transactions per month at OGB ATMs in a month Free b. 5 transactions (Both financial & non-financial) at other Bank's ATMs including Metro Cities in a month Free c. After free transactions per financial transaction per non-financial transaction The above ATM charges are also applicable to staff accounts. Rs.22/- Rs.5/- 27 OTHER CHARGES not included earlier a. Registration of Nomination First time Registration For Subsequent Registration (Modification/Change) b. Rephasement of Loan c. Substitution of collateral Security/ Personal guarantee General Guidelines: Free Rs.50/- per occasion 0.05% of limit Min Rs.2000/--Max Rs.10000/- 0.05% of limit Min Rs.2000/--Max Rs.20000/- a. So far as any banking service to the Non-Customers is concerned, Branches are advised to collect additional amount of 50% of the service charges over and above the service charges fixed/prescribed for the customers of the Bank. b. GST @ 18% should be collected in addition to the service charges in all cases. c. Actual Postage Expenditure and other out of pocket expenses, telephone bills, if any incurred, should also be recovered in addition to the service charges.