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Business Account Services Service and Price Guide with effect from 15-05-2017 Minimum Average Credit Balance AED USD GBP/EUR Business Current Account 25,000 10,000 10,000 Business Finance Account* 1 25,000 10,000 N/A Call Deposit Account 25,000 10,000 10,000 (No profit below minimum balance) Term Investment Deposits Account 25,000 10,000 10,000 *1. No profit will be paid if profit accrued is less than AED 10. Term Investment Deposit Early Redemption The applicable deposit weightage will be reduced by 50% to the nearest term for which the deposit has run. Monthly charges for not maintaining minimum average balance per month Business Finance Account 50* 2 50* 2 N/A* 2 Business Current Account 50* 2 50* 2 50* 2 *2. Minimum monthly average credit balance of AED 25,000 or equivalent at entity level. No charge for new to bank customers for first 3 months. No monthly charge for Call Deposit Accounts Other Services Teller Transaction Fee (Business Current Account & Business Finance Account)* 3 Transactions / Month 0 to 5 6 to 20 10 per transaction >= 21 25 per transaction Cheque Book Issuance (Business Current account & Business Finance Account)* 3 First cheque book Second cheque book (per leaf) 1 Request for physical statement delivery 10 per statement* 3 *3. Minimum monthly average credit balance of AED 100,000 required to be maintained at account level to avoid Teller Transaction fee, Cheque Book Issuance fee and Request for Physical Statement delivery fee. Request for e-statement Closing account within 6 months 200 Hold Mail facility 1,000 Annually Certificate for Trade Licence* 4 250 *4. External Government Charges will be additional. Valid Trade Licence not provided 250 Monthly for more than 60 days after expiry of existing Balance Confirmation Letter addressed to Self Through Digital Banking 50** Through Branches 100 Page 1 of 3 PPS-B0434/V122017

Business Account Services (Contd.) Other Services (contd.) Balance Confirmation Letter addressed to Auditor/Others Through Digital Banking 100** Through Branches 200 Duplicate Statement Previous cycle Statement Within 12 months prior to previous cycle Through Digital Banking 100** Through Branches 200* 5 Beyond a year from previous cycle Through Digital Banking 200** Through Branches 400* 5 *5. Per Account, Per Set Liability Certificate 500 No Liability Certificate 100 Financial / Reference / Letter for Real Estate 100 Copies of Cheques Up to 3 months old (per item) 25 Over 3-12 months old (per item) 75 Over 1 year old (per item) 200 Copies of letters / other documents / investigations Up to 3 months old (per item) 25 Over 3-12 months old (per item) 75 Over 1 year old (per item) 200 Post dated cheques held for collection (per item) 20 Withdrawal / Delayed presentation of post dated cheques held for collection (per item) 50 Dormant Account Charges* 6 100 Annually Charges apply in AED equivalent. *6. An account is termed dormant if there is no transaction over 1 year. Digital banking charges Corporate login 100 Reissuance of Token for Corporate login 50 Standing Orders Set up 50 Cancellation of Standing Order Amendment Balance Orders Set up Cancellation of Balance Orders Service and Price Guide with effect from 15-05-2017 Charges for failure of Standing Orders due to lack of funds 200 Charge towards approved charity payment ** This charge is also applicable for Wealth Management and Wholesale Banking clients availing this service through Branches. Page 2 of 3 PPS-B0434/V122017

Business Account Services (Contd.) Other Services (contd.) Direct Debit instruction Charges Registration of Direct Debit 25 Charges for failure of Direct Debit Authority due to lack of funds (Paying bank) 250 Stop payment of Direct Debit Authority Loan, Credit Cards and Other lending products* 7 Other cancellations *7. Note: This cannot be cancelled without the Originator Bank's confirmation WPS In house Outward Records < = 100 Records > 100 & < = 300 Records > 300 & < = 600 Records > 600 & < = 1000 Inward Service and Price Guide with effect from 15-05-2017 25 Per file 50 Per file 100 Per file 150 Per file 200 Per file GPSSA (General Pension and Social Security Authority) Outward Records < = 100 50 Per file Records > 100 and < = 300 100 Per file Records > 300 and < = 600 150 Per file Records > 600 and < = 1000 200 Per file RAKGoldInvest Charges Standing Order Set up Physical Gold Redemption 2% of the prevailing *8. At the buying price quoted by RAKBANK value of Gold* 8 ICCS Clearing, Special Clearing & Cheque Collection AED Cheques presented through ICCS Clearing Special Clearing Outward (Paid or Unpaid) 205 Special Clearing Inward (Paid or Unpaid) Collection Cheques Outward (Paid or Unpaid) 25 Collection Cheques Inward (Paid or Unpaid) For foreign currency cheques, please refer to the Remittances S&P Stop payment of a cheque* 9 100 *9. If cheques are stopped from different sets or series the charges will be applicable per set Cheque Returned Deposited into your account (outward cheque) 25* 10 Drawn on your account (inward cheque) 250 (lack of available balance) *10. Charges for return of outward cheque will apply only in case the return is due to insufficient funds For cheque returned for reasons other than insufficient funds a courier charge of AED 10 would apply In line with the UAE s Value Added Tax (VAT) implementation from 1 st January 2018, VAT at the rate of 5% will be levied on RAKBANK s fees and charges specified herein, wherever applicable and as per UAE law. Page 3 of 3 PPS-B0434/V122017

Business - Remittances Service and Price Guide with effect from 15-5-2017 Drafts / Manager s Cheques Account Holders 10 Cancellation fee 100* * Plus SWIFT/Telex and other bank charges. Foreign Currency Cheques Cheques purchased 0.125% + profit at applicable rate (Min. 100, Max. 1000) Cheques purchased returned unpaid 100* * Plus correspondent bank and courier charges, if any. Cheques for collection payable within UAE 25 Cheques for collection 0.125% payable overseas/payable by us (Min. 100, Max. 1000)* * Plus correspondent bank and courier charges, if any. For any USD collection cheque, the correspondent bank charges are approximately USD 200/- Cheques for collection returned unpaid 100* * Plus correspondent bank and courier charges, if any. Electronic Fund Transfers - Inward Dirham Payments within UAE AED 1 In USD paid in USD* In foreign currency paid in AED* In foreign currency paid in foreign currency* * for inward EFT representing Salary / EOSB / Pension / Allowances. Electronic Fund Transfers - Outward Through Digital Banking Dirham Payments within UAE 5* Through Branches Dirham Payments within UAE 25* Dirham Payments Outside UAE and Foreign currency payments within/ outside UAE (Through Digital Banking) 25** Dirham Payments Outside UAE and Foreign currency payments within/outside UAE via Swift (Through Branches) 50** * Plus additional charge of AED 1/- for outward EFT within UAE (Including Standing Instructions), other than Salary/EOSB/Pension/Allowances where all charges are remitters account. ** Plus beneficiary bank charges, if any (including Standing instructions). Additional charges will apply where payment is to be sent with charges on remitter depending on the country/currency of payment. PPS-B0436/V122017 Page 1 of 2

Business - Remittances (Contd.) Service and Price Guide with effect from 15-5-2017 Amendment/Cancellation/Fate enquiry of Electronic Fund Transfers sent via swift Account Holders 25* * Plus overseas bank charges, if any. Foreign Currency Notes Debit or credit account in same currency In USD 1.5% In other currencies (GBP or EURO) 1.5% In line with the UAE s Value Added Tax (VAT) implementation from 1 st January 2018, VAT at the rate of 5% will be levied on RAKBANK s fees and charges specified herein, wherever applicable and as per UAE law. PPS-B0436/V122017 Page 2 of 2

Business Account Services Service and Price Guide with effect from 01-03-2018 Minimum Average Credit Balance AED USD GBP/EUR Business Current Account 25,000 10,000 10,000 Business Finance Account* 25,000 10,000 N/A Call Deposit Account 25,000 10,000 10,000 (No profit below minimum balance) Term Investment Deposits Account 25,000 10,000 10,000 * No profit will be paid if profit accrued is less than AED 10. Term Investment Deposit Early Redemption The applicable deposit weightage will be reduced by 50% to the nearest term for which the deposit has run. Monthly charges for not maintaining minimum average balance per month Business Finance Account 50* 50* N/A Business Current Account 50* 50* 50* * Minimum monthly average credit balance of AED 25,000 or equivalent at entity level. No charge for new to bank customers for first 3 months. No monthly charge for Call Deposit Accounts Monthly Account Maintenance Fee Business Current Account & Business Finance Account 50* * Minimum monthly average credit balance of AED 250,000 or equivalent to be maintained at entity level to avoid monthly maintenance fee. No charge for new to bank customers for first 3 months. Other Services Teller Transaction Fee (Business Current Account & Business Finance Account)* 1 Transactions / Month 0 to 5 6 to 20 10 per transaction >= 21 25 per transaction Cheque Book Issuance (Business Current account & Business Finance Account)* 1 First cheque book Second cheque book (per leaf) 1 Request for physical statement delivery* 1 10 per statement *1. Minimum monthly average credit balance of AED 250,000 required to be maintained at account level to avoid Teller Transaction fee, Cheque Book Issuance fee and Request for Physical Statement delivery fee. Request for e-statement Closing account within 6 months 200 Hold Mail facility 1,000 Annually Certificate for Trade Licence/ Share Certificate/MOA* 250 * External Government Charges will be additional. Valid Trade Licence not provided for more than 60 days after expiry of existing Profile Change 100 Page 1 of 3 250 Monthly PPS-B0434/V012018

Business Account Services (Contd.) Other Services (contd.) Balance Confirmation Letter addressed to Self** Through Digital Banking 50 Through Branches 100 Balance Confirmation Letter addressed to Auditor/Others** Through Digital Banking 100 Through Branches 200 Duplicate Statement** Previous cycle Statement Within 12 months prior to previous cycle Through Digital Banking 100* Through Branches 200* Beyond a year from previous cycle Through Digital Banking 200* Through Branches 400* * Per Account, Per Set Liability Certificate 500 No Liability Certificate 100 Financial / Reference / Letter for Real Estate 100 Copies of Cheques Up to 3 months old (per item) 25 Over 3-12 months old (per item) 75 Over 1 year old (per item) 200 Copies of letters / other documents / investigations Up to 3 months old (per item) 25 Over 3-12 months old (per item) 75 Over 1 year old (per item) 200 Post dated cheques held for collection (per item) 20 Withdrawal / Delayed presentation of post dated cheques held for collection (per item) 50 Dormant Account Charges* 100 Annually Charges apply in AED equivalent. * An account is termed dormant if there is no transaction over 1 year. Digital banking charges Corporate login 100 Reissuance of Token for Corporate login 50 Standing Orders Set up 50 Cancellation of Standing Order Amendment Balance Orders Set up Cancellation of Balance Orders Service and Price Guide with effect from 01-03-2018 Charges for failure of Standing Orders due to lack of funds 200 Charge towards approved charity payment ** This charge is also applicable for Wealth Management and Wholesale Banking clients availing this service through Branches. Page 2 of 3 PPS-B0434/V012018

Business Account Services (Contd.) Other Services (contd.) Direct Debit instruction Charges Registration of Direct Debit 25 Charges for failure of Direct Debit Authority due to lack of funds (Paying bank) 250 Stop payment of Direct Debit Authority Loan, Credit Cards and Other lending products* Other cancellations * Note: This cannot be cancelled without the Originator Bank's confirmation WPS In house Outward Records < = 100 Records > 100 & < = 300 Records > 300 & < = 600 Records > 600 & < = 1000 Inward Service and Price Guide with effect from 01-03-2018 25 Per file 50 Per file 100 Per file 150 Per file 200 Per file GPSSA (General Pension and Social Security Authority) Outward Records < = 100 50 Per file Records > 100 and < = 300 100 Per file Records > 300 and < = 600 150 Per file Records > 600 and < = 1000 200 Per file RAKGoldInvest Charges Standing Order Set up Physical Gold Redemption 2% of the prevailing * At the buying price quoted by RAKBANK value of Gold* ICCS Clearing, Special Clearing & Cheque Collection AED Cheques presented through ICCS Clearing Special Clearing Outward (Paid or Unpaid) 205 Special Clearing Inward (Paid or Unpaid) Collection Cheques Outward (Paid or Unpaid) 25 Collection Cheques Inward (Paid or Unpaid) For foreign currency cheques, please refer to the Remittances S&P Stop payment of a cheque* 100 * If cheques are stopped from different sets or series the charges will be applicable per set Cheque Returned Deposited into your account (outward cheque) 25* Drawn on your account (inward cheque) 250 (lack of available balance) * Charges for return of outward cheque will apply only in case the return is due to insufficient funds For cheque returned for reasons other than insufficient funds a courier charge of AED 10 would apply In line with the UAE s Value Added Tax (VAT) implementation from 1 st January 2018, VAT at the rate of 5% will be levied on RAKBANK s fees and charges specified herein, wherever applicable and as per UAE law. Page 3 of 3 PPS-B0434/V012018