Effective June 1, 2016 SCHEDULE OF FEES AND CHARGES

Similar documents
Effective November 15, 2013 SCHEDULE OF FEES AND CHARGES

SCHEDULE OF FEES AND CHARGES

GRENADA CO-OPERATIVE BANK LIMITED SCHEDULE OF FEES AND CHARGES

Bank Fees and Charges

Schedule of Charges. Table of Contents. Demand & Mortgage Loans 5-7 Overdrafts 7 Security Items 8 Guarantees 8

Schedule of Charges. BAHAMAS Corporate Banking. Effective: J u n e 20, Page 1 of 17

Schedule of Charges BAHAMAS Retail Effective: J u ly 1, 2018

Schedule of Charges BAHAMAS Retail Effective: March 1, 2018

Schedule of Charges BAHAMAS Business Banking Effective: March 1, 2018

SKNANB FEE SCHEDULE UPDATED 31/12/17

Schedule of Charges. Barbados. Corporate Banking. Effective: J une 20, 2017

Schedule of Charges. Barbados. Business Banking. Effect ive: F ebr u a r y 1, 2018

Schedule of Charges Barbados Corporate Banking Effective: March 1, 2018

Schedule of Charges. Cayman Islands. Business Banking. Effect ive: F ebr u a r y 1, 2018

Schedule of Charges. Barbados. Retail. Effective: July 1, 2018

Schedule of Charges. St. Lucia. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Dominica. Corporate Banking. Effective: March 1, 2018

BOB SCHEDULE OF FEES. Effective August 2018

Schedule of Charges. St. Kitts & Nevis. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Cayman Islands. Corporate Banking. Effective: March 1, 2018

Schedule of Charges. Anguilla. Corporate Banking. Effective: J une 20, 2017

Schedule of Charges. Antigua. Retail. Effecti ve: Mar ch 1, Last updated June 7th, 2018

Schedule of Charges. Turks & Caicos Islands. Corporate Banking. Effective: J une 20, 2017

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: February

Schedule of Charges. Antigua. Corporate Banking. Effective: Ma rch 1, 2018

Schedule of Charges JAMAICA CORPORATE. Effecti ve: Apri l 9, Page 1 of 23

BANK OF MONTSERRAT LIMITED CUSTOMER PRICE GUIDE

Schedule of Charges. St. Maarten. Corporate Banking. Effective: J une 20, 2017

Schedule of Charges. St. Maarten. Retail

Schedule of Charges. The British Virgin Islands. Corporate Banking. Effective: Februa ry 1, 2018

Schedule of Charges. Dominica. Retail. Effective: March 1, 2018

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: March 1, 2018

INR 200 each additional request. previous year - INR 200 per month

The Bank of Nova Scotia St. Kitts & Nevis. Schedule of Rates

Schedule of Charges. St. Vincent. Business Banking. Effective: March 1, 2018

Schedule of Charges. St. Vincent. Retail. E ffect ive: F ebr u a r y 1, 2018

Schedule of Charges. The British Virgin Islands. Business Banking. Effective: March 1, 2018

Schedule of Charges. Turks & Caicos Islands. International Corporate Banking. Effective: Ma y 3, 2017

TARIFF GUIDE. Fees and Charges SCR3 per entry charged half yearly. Internal to third party External-Local

Schedule of Charges. Barbados. International Corporate Banking. Effective: March 1, 2018

The Bank of Nova Scotia St. Kitts & Nevis Schedule of Fees Revised October 2018

Schedule of Rates Revised March 2019

SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable).

GENERAL TARIFF - PERSONAL ACCOUNT

DISCLOSURE OF FEES AND CHARGES

Rs 35 + VAT per month, i.e. Rs per month 4Debit interest on unauthorised overdrawn balances

The Bank of Nova Scotia Grenada Schedule of Rates Revised October 2018

The Bank of Nova Scotia Barbados. Schedule of Rates

Mauritius Commercial Bank Limited Statement of Principal Interest Rates and Service Charges for domestic operations (Last updated

Cash and Trade Pricing Guide 2017

THE BANK OF NOVA SCOTIA BARBADOS SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable).

INDUSTRIAL AND COMMERCIAL BANK OF CHINA (MALAYSIA) BERHAD FEES AND CHARGES

Bank Service Charges (Effective from 1 August 2013)

Customer Fee Guide Schedule of Rates. THE BANK OF NOVA SCOTIA JAMAICA LIMITED Small Business and Corporate & Commercial Banking

TA R I FF GUIDE SME BANKING

Schedule of Fees Revised October 2018

The Bank of Nova Scotia St. Vincent Schedule of Fees Revised October 2018

The Bank of Nova Scotia St. Lucia Schedule of Fees Revised October 2018

CBA Bank Tariff Guide

THE BANK OF NOVA SCOTIA ST. VINCENT SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable).

FEES AND CHARGES MAY 2012

TARIFF GUIDE CHARGES AND VALUE DATES APPLICABLE AS OF 15 June 2018 TABLE OF CONTENTS

1 Brokerage Fee Waived 2 Replacement fee for loss of savings passbook

THE BANK OF NOVA SCOTIA ST. MAARTEN SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable).

Banco Nacional Ultramarino, S.A. Pricing List

The Bank of Nova Scotia Antigua Schedule of Fees Revised October 2018

COMMERCIAL BANKS SCHEDULE OF FEES AND CHARGES AS AT 31 DECEMBER 2015 Pursuant to Section (4)(b)(viii) of the Banking Services Act

THE BANK OF NOVA SCOTIA ST. LUCIA SCHEDULE OF RATES. Trademarks of The Bank of Nova Scotia, used under licence (where applicable).

Disclosure of HFC Bank

Schedule of Charges. International Corporate Banking Cayman Islands. Effective: Ma rch 1, 2018

CHARGES CATALOGUE. 4 working days including deposit date

Disclosure of Fees and Charges Customer Banking Services

Rs 10 + VAT per month, i.e. Rs per month 4Debit interest on unauthorised overdrawn balances

Effective from January 1, Page 1 of 8

Corporate Pricing Guide (Effective 28 September 2018)

Pricing Guide Personal 2017

(Company No: U) TARIFFS AND CHARGES

General Tariff. Issue Date: April 2017

Corporate Banking. Tariff of Charges

FEES AND CHARGES (CORPORATE NON SME)

Corporate Banking. Sch edule of Charges

TABLE OF COMMISSIONS AND CHARGES

(Company No: U) TARIFFS AND CHARGES

THE BANK OF NOVA SCOTIA (JA) LTD. SCHEDULE OF FEES AND CHARGES

FEES AND CHARGES (CORPORATE NON SME)

SAGICOR BANK JAMAICA LTD. SCHEDULE OF FEES AND CHARGES

CONTENTS. JustOne Savings Account 1-2. Brunei Dollar Current Account 3. Foreign Currency Current Account 4-5. Fixed Deposit Account 5

Service Charges. Effective 1 April Enquiry Hotline: WMD-076(O)( )

NATIONAL DEVELOPMENY BANL PLC

NEW JERSEY AND NEW YORK SCHEDULE OF FEES FOR BUSINESS ACCOUNTS

Bank of Mauritius Template on Fees, Charges and Commissions

Lending. Cash Withdrawal. Change Fee s and soiled notes. Service Fees. Current Accounts. Auditors Certificates. Fixed from time to time by Alco 10%

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

Corporate Pricing Guide (Effective 1 September 2017)

Lending. Cash Withdrawal. Change Fees and soiled notes. Service Fees. Current Accounts. Auditors Certificates. Fixed from time to time by the ALCO 8%

TA R I F F RETAIL BANKING

General Tariff for Fusion Customers Issue Date: August 2018

Schedule of Rates & Charges Effective October 19, 2017

SCHEDULE OF CHARGES. 1.0 Account related Charges/Fees: Service Description

SCHEDULE OF CHARGES (SC 2012/2069)

Transcription:

Effective June 1, 2016 SCHEDULE OF FEES AND CHARGES

Table of Contents 1. DEPOSIT SERVICES... 1 2. PAYROLL... 4 3. PAYMENTS... 5 4. TELEGRAPHIC TRANSFER SERVICES... 6 4.0 Outgoing Wires... 6 4.1 Incoming Wires... 6 5. BILLS OF COLLECTION... 7 6. LETTERS OF CREDIT (OUTWARD)... 8 7. LETTERS OF CREDIT (INWARD)... 9 8. LENDING... 10 9. BONDS AND GUARANTEES... 12 10. SECURITY SERVICES... 13 11. SAFE DEPOSIT BOXES... 14 12. CARD SERVICES INTERNATIONAL DEBIT CARD (IDC)... 15 13. CARD SERVICES CREDIT CARD... 16 14. MERCHANT CHARGES... 17 15. E-COMMERCE... 18 16. ELECTRONIC BANKING... 19 16.0 New E-Banking Service Fees and Charges... 19 16.1 Business/Corporate/Small Business... 19 17. CITIZENSHIP BY INVESTMENT PROGRAMME... 20 18. PAYING AGENT ORDERS... 21 19. BROKERAGE FEES... 22 19.0 Trade... 22 19.1 Administrative Services... 22 20. SHARE TRANSACTIONS... 23

1. DEPOSIT SERVICES Certificate of Balance/Bank Statement $34.00 A/c Closed Within 3 Months A/c Closed Within 6 Months $43.00 (A/C s <$300.00 Exempted) $41.00 (A/C s <$300.00 Exempted) Cheques Certified at Drawer s Request $19.00 Cheques Certified at Payee s Request $23.00 Replacement Passbook $21.00 Dormant Notices $7.00 Third Party Withdrawal $15.00 Withdrawal Without Passbook $11.00 ATM Transactions All Transactions Except Loan Payments, Deposits and Balance Enquiry $0.73 Over The Counter Transactions That Can Be Done At The ATM s (primarily transfers and withdrawals less than $2,500.00) $1.47 Request For Transfer $25.00 Statement Request Fee (for other banks) $25.00 Audit Confirmations $65.00 Duplicate Statements $25.00 Returned Cheques NSF $60.00 1

Returned Cheques (Other) $21.00 Stop Payment Local and Foreign $30.00 Cheque Book (24 Leaves) Cheque Book (Current/Business Accounts) 24 leaves $24.00, 48 leaves - $48.00, 60 leaves - $60.00 $0.10 per leaf (stamp duty) Ledger Fees (Current/Business Accounts) $1.50 per transaction min. $20.00. For overdrafts - $1.50 per transaction min. $25.00 Overdrawn PCA s Interest Min. $5.00 Credit Report $39.00 Not-On-Us Cheques Deposited Subsequently Returned $25.00 Search For Vouchers: Physical $87.00 Search For Vouchers: Electronic $21.00 Electronic Video Image Search $200.00 Sundry Copy Fee $3.50 per sheet Certificate of Interest for Income Tax Purposes $49.00 Cash Management Service $2.50 2

Bulk Cash Purchase 0.3% on all bulk cash $30,000.00 and over, plus 15% V.A.T. Account Maintenance Fees $2.04 per month applied quarterly 3

2. PAYROLL Deposits to Employee s Accounts With Deposit Slips or From Lists Making Payments in Cash in Bank From List Supplied by Employer Nil Nil 4

3. PAYMENTS Local Draft Foreign Draft Replacement Draft - Local Replacement Draft - Foreign $10.00 plus stamp $15.00 plus stamp Stop payment charge - $30.00 plus cost of new draft - $17.00 plus stamp duty Stop payment charge - $30.00 plus cost of new draft - $21.00 plus stamp duty Standing Orders Set-Up (One off charge) $10.00 Standing Orders (Internal Transfer) No Charge Standing Orders (External Transfer Local) $12.00 Standing Orders (External Transfer Foreign) $29.00 Letters of Instruction to Pay Third Party (Swift, Manager s Cheques etc.) $17.00 5

4. TELEGRAPHIC TRANSFER SERVICES 4.0 Outgoing Wires Bank of America (USD) $114.26 Bank of Montreal (CAD) $95.00 Lloyds TSB Bank (Sterling and Euro) $105.00 Royal Bank of Trinidad and Tobago $45.00 plus 0.3125% of the EC Equivalent of the transfer (a minimum of $1.50) Barbados National Bank $45.00 St. Kitts-Nevis-Anguilla National Bank Ltd. $45.00 Wire transfers from US Accounts 0.5% of the transaction amount 4.1 Incoming Wires USD CAD GBP EURO ECD $20.00 USD $20.00 CAD $10.00 GBP $10.00 EURO No charge 6

5. BILLS OF COLLECTION Collection Commission Holding Commission 1% on first $25,000.00 Min. $67.00. 0.75% over 25,000.00 $75.00 per month or part thereof Delivery Orders $40.00 Shipping Guarantees $78.00 Payment to Agents $27.00 local, $35.00 Foreign Altering Tenure of Bill Extending Due Date $47.00 Bills Paid by Installment Endorsing of Shipping Goods Certificate of Transfer of Title of Goods Insurance of Goods Protesting Fees $257.00 per installment $83.00 per set $37.00 per set $3.00 per $100.00 per month $127.00 plus solicitors fees Discharged Bills $107.00 Cheques Sent for Collection $53.00 Air Freight Guarantee $63.00 Providing Schedule of Outstanding Bills $27.00 Statement of Past Due Bills $27.00 Reshipping of Goods $127.00 plus out of pocket expenses Return Charge $59.00 7

6. LETTERS OF CREDIT (OUTWARD) Establishment Fee Commercial, Clean and Documentary Credits, Sight and up to Three Days Sight Term 1% on first $100,000 Min. $153.00. 0.75% over 100,000.00 For the first three months or part thereof 1% for the first 100,000. Min. $153.00. ¾ of 1% on amounts in excess of $100,000. For each succeeding month or part thereof add ¼ of 1% max. Period (1) year For the first three months or part thereof 1% for the first $100,000. Min $153.00. 3/4 of 1% on amounts in excess of $100,000 plus an additional 1/4% per thirty days or part thereof add 1/4 of 1% Max. Period one (1) year Amendments-Extensions 1/4% per month or part thereof. Min, $107.00. Max. period one year from date credit originally established Increases in the Amount During Validity $62.00 Other Amendments $107.00 Correspondent Bank Charges Any charge, commission, expenses etc. claimed by correspondents in connection with outward letters of credit are to be collected from the client. $107.00 plus foreign bank charges Cancellation of Credit $107.00 plus foreign bank charges 8

7. LETTERS OF CREDIT (INWARD) Confirmation of Irrevocable Letters of Credit Established 1/2% per month. Min $107.00. This includes the flat $77.00 charge mentioned below for advising of credit but does not include the flat $77.00 charge mentioned below for advising of amendments Advising of Inward Credits and advising of Amendments to Inward Credits $77.00 Charge for Acceptance Under Inward Letters of Credit Negotiation Charge Sight Tenor Term Drawings 1/2% per month. This charge is for the account of the issuing bank in addition to any other charges levied on the credit. Min $63.00 1% on bills up to ECD $30,000. Min. $107.00. 1/4% on bills in excess of $30,000. These charges are to be added to the drawings, unless otherwise instructed The interest charged should be at the rate applicable to the client, discounting the drawings, unless otherwise instructed Amendments to Credit $83.00 9

8. LENDING New Loans: Minimum $1,000 and Upwards 1% of the loan amount or a min. of $325.00 Addition to Loan as a Result of the Payment of Insurance Premium 1% of the additional disbursed. Min. $325.00 Addition to Loan as a Result of Scheduling of a Valuation 0.5% of the full valuation fee. Min. $200.00 Consolidation and Restructuring of Facilities that are Current Restructuring, Rehabilitation or Modification of Delinquent Facilities 0.5% of the full amount 0.5% of the full loan amount Statement of Interest Paid $49.00 0.5% of any undrawn portion of an approved Commitment Fees loan (commitment loan) Photocopy of Security Documents $22.00 per document Searches in Security File $27.00 Loan Statements $27.00 Excess of O/D Limit Unauthorized Excess Overdraft Limit $25.00 per cheque plus 2% interest, min. $27.00 2% minimum over the prevailing rate Stamp Duty (e.g. guarantee and hold funds forms) $1.50 Late Payment Fee $50.00 10

Late Financial Statement Fee Early Loan Repayment Penalty 4 months after the end of the financial year $273.00 per month for every month outstanding For mortgage loans only. Three (3) months interest payable on the scheduled amortized balance at the point of pay-off. 11

9. BONDS AND GUARANTEES Guarantees/Performance and Custom Bonds 2% per annum for the first $50,000.00 and 1% on excess. Min. $277.00 Non Production of Bill of Lading $123.00 Guarantees/Bonds, Indemnities (without full cash collateral Guarantees/Performance and Customs Bonds (with full cash collateral) 2% per annum for the first $50,000.00 and 1% on excess. Min. $177.00 2% per annum for the first $50,000.00 and 1% on excess. Min. $177.00 12

10. SECURITY SERVICES Lost/Broken Key $117.00 Disposable Wallets $0.97 per bag plus $167.00 annually 13

11. SAFE DEPOSIT BOXES 10 1.5 *5 $125.00 per annum 3 *5 $150.00 per annum 5 *5 $200.00 per annum 10 *10 $250.00 per annum Replacement of Lock/Key $117.00 plus cost of repairs Lost/Broken Key $117.00 Drilling of Box Visits $167.00 plus cost of drilling 4 free visits per annum. $17.00 per additional visit 14

12. CARD SERVICES INTERNATIONAL DEBIT CARD (IDC) Connex Transactions ATM Connex Transactions - POS $0.73 per transaction No Charge Not-On-Us Transactions ATM $7.87 Not-On-Us Transactions - POS $0.73 NSF Charge $3.58 Annual Fee $21.36 Replacement Charge $33.00 Charge Back Fee $19.49 Online Charge $0.73 Rush Order IDC Cards $25.00 15

13. CARD SERVICES CREDIT CARD Cardholder Fee Annually Standard Card $100.00 - Principal Cardholder Additional Standard Card $50.00 for each additional card Cardholder Fee Annually- Premium Card $150.00 Principal Cardholder Additional Premium Card Cardholder Fee Annually Corporate Card Cash Advances $75.00 for each additional card $400.00 first employee for the first year, EC $200.00 thereafter. $200.00 for each additional employee 2% of the amount of the advance is subject to a minimum of $10.00 Charges in Excess of Credit Card Line $25.00 per occurrence Late Payment Fee 1.5% of minimum due for any billing period. Subject to a minimum of $15.00 Replacement Cards $33.00 16

14. MERCHANT CHARGES Merchant Discount Fee -IDC 3.00% - 4.50% of the transaction value charged to the merchant for each debit card transaction completed at their POS Machine Merchant Transaction Charge Credit Card 3.35% on each transaction POS Terminal User Fee (Manual) $250.00 POS Terminal User Fee (Wireless) $450.00 17

15. E-COMMERCE Registration Fees: Merchant Set-Up and Parameter Entry $385.00 One time set-up merchant account Authorization Fee Authorization Fee Waived Merchant Rate 4.0% - 5.75% of card transaction value Annual Fee $100.00 annual charge for merchant account Merchant Chargeback $5.20 Charged per item 18

16. ELECTRONIC BANKING 16.0 New E-Banking Service Fees and Charges Alerts by E-mail Only No Charge Alerts by Text Only No Charge Alerts by Both E-Mail & Text Availability Fee Rush Order Premium /Same Day Delivery e.g. Cheque Book Bill Payment (utilities and other merchants) Budgeting Analytics No Charge No Charge $5.20 per order No Charge No Charge 16.1 Business/Corporate/Small Business One (1) Service Package Including Alerts, Stop Payments, Payroll Processing, Budgeting and Analytics, Cash Management Services Rush Order Premium /Same Day Delivery e.g. Cheque Book Bill Payment (Utilities and Other Merchants) No Charge $5.20 per order 2% or flat fee per account or invoice 19

17. CITIZENSHIP BY INVESTMENT PROGRAMME Deposits to Accounts Outgoing Wire Transfers, Drafts etc. 1% on every deposit made to Citizenship by Investment Programme Accounts Regular bank charges apply for these transactions. Customer exempted from 0.5% commission charged for outgoing wire transfers from USD Accounts Closing of Accounts No Charge 20

18. PAYING AGENT ORDERS Payments totaling up to EC 3 Million (per year) Payments totaling between EC 3 Million 10 Million (per year) Payments totaling above EC 10 Million (per year) $1,500.00 per annum $1,800.00 per annum $2,100.00 per annum 21

19. BROKERAGE FEES 19.0 Trade Value of Trade Less than $1,250.00 Rate $25.00 flat $1,250.00 to $50,000.00 2% $50,001 to $500,000.00 0.25% - 0.50% Over $500,000.00 0.20% Over 1 Million 0.10% 19.1 Administrative Services Complete and Submit Registry Forms $25.00 Letters to ECSE on Behalf of Clients $20.00 Request for Additional Confirmation Statement $20.00 22

20. SHARE TRANSACTIONS Change of Address $15.00 Change of Name of Existing Shareholder $15.00 Addition of a Shareholder $20.00 Removal of a Shareholder $20.00 Dividend Payment History $25.00 Collateral/ Security Usage of Shares $60.00 Share Transfers $25.00 Replacement Certificate $25.00 Please note that persons executing a share transfer must pay a stamp duty charge of $1.50. 23