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Fee Information Document Name of the account provider: EUROBANK CYPRUS LTD Account name: Current Account WITHOUT limit Date: 02/01/2019 This document informs you about the fees for using the main services linked to the payment account. It will help you to compare these fees with those of other accounts. Fees may also apply for using services linked to the account which are not listed here. Full information is available in the s & s table, which is available in the Banking Centers and on the Bank's website www.eurobank.com.cy. A glossary of the terms used in this document is available free of charge. Service Fee General account services Maintaining the account Payments (excluding cards) Quarterly charge for International Business customers (per account owner) Total Annual Quarterly charge for other customers (per account owner) Total Annual 15 60 Credit transfer SEPA 2.000 > 2.000 and 50.000 > 50.000 5 0,1% min 5, max 1

Credit transfer NON SEPA Outward Payments in EUR SWIFT 2.000 SWIFT > 2.000 and 50.000 SWIFT > 50.000 Outward Payments in Foreign Currency Same currency 2.000 equivalent Same currency > 2.000 equivalent Different currency 2.000 equivalent Different currency > 2.000 equivalent 5 15 16 16 From EUR 2.000 equivalent 2

From EUR > 2.000 equivalent 16 Standing order Direct debit Cards and cash Providing a debit card Providing a credit card Accounts in Euro Primary Debit Card Annual Secondary Debit Card Annual Debit Card Renewal Accounts in US Dollars Primary Debit Card Annual Secondary Debit Card Annual Debit Card Renewal Service not available (see Fee Information Document Credit Card ) 20 $30 $15 $0 Cash withdrawal Over the counter/ Banking Center EUR banknotes Up to.000 Over.000 0,1% Banknotes in currency other than EUR Up to 2.000 equivalent Over 2.000 equivalent 0,4% min 3 3

Coins Up to 200 Over 200 1% From Debit Card Accounts in Euro Cash Withdrawal from ATMs of Bank of Cyprus/ JCC in Cyprus Cash Withdrawal from ATMs of all other Banks in Cyprus and abroad 4 Accounts in US Dollars Cash Withdrawal from ATMs of Bank of Cyprus/ JCC in Cyprus Cash Withdrawal from ATMs of all other Banks in Cyprus and abroad $0 $5 Overdrafts and related services Overdraft Overrunning Service not available, excluding the debit interest rate for the amount and the duration of the excess Other services Provision of a cheque book Return cheque due to inadequate balance 20 Currency exchange services Copy of statement Sale of Foreign Currency Notes Debit Card - Handling fee on transactions in foreign currency 0,4% min 3 2,50% Note: In cases where a fee / charge appears in a different currency than the currency of the account, then the amount of the charge will be converted into the account currency on the actual debit date. 4

Glossary of the terms and definitions used in the Fee Information Document A/A TERM DEFINITION 1. Maintaining the account The account provider operates the account for use by the customer. 2. Providing a debit card The account provider provides a payment card linked to the customer's account. The amount of each transaction made using the card is taken directly and in full from the customer's account. 3. Providing a credit card The account provider provides a payment card linked to the customer's payment account. The total amount of the transactions made using the card during an agreed period is taken either in full or in part from the customer's payment account on an agreed date. A credit agreement between the provider and the customer determines whether interest will be charged to the customer for the borrowing. 4. Cash withdrawal The customer takes cash out of the customer's account. 5. Provision of a cheque book Issuance of a cheque book for payments by charging the customer s account. 6. Credit transfer SEPA The account provider tranfers money, on the instruction of the customer, from the customer s account to another account, through SEPA. 7. Credit transfer NON SEPA The account provider tranfers money, on the instruction of the customer, from the customer s account to another account, through a channel other than SEPA. 8. Standing order The account provider makes regular transfers, on the instruction of the customer, of a fixed amount of money from the customer's account to another account. 9. Direct debit The customer permits someone else (recipient) to instruct the account provider to transfer money from the customer's account to that recipient. The account provider then transfers money to the recipient on a date or dates agreed by the customer and the recipient. The amount may vary. 10. Return cheque due to inadequate balance 11. Currency exchange services Decline the payment of a cheque due to an insufficient balance of the account to be charged. Conversion of the currency of the account into the currency of the transfer/ withdrawal. 5

12. Overdraft The account provider and the customer agree in advance that the customer may borrow money when there is no money left in the account. The agreement determines a maximum amount that can be borrowed, and whether fees and interest will be charged to the customer. 13. Overrunning A tacitly accepted overdraft whereby a payment service provider makes available to a customer funds which exceed the current balance in the customer s payment account or the agreed overdraft facility. 14. Copy of statement Reissuance of an account statement. 6