Retail Banking Fees and Charges

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Transcription:

Retail Banking Fees and Charges 1 SGD SAVINGS ACCOUNT 1.1 CIMB FastSaver Minimum Amount to Earn Interest Monthly Account Fee Not applicable Counter Transaction S$5 ATM Card S$10 per new ATM Card or S$10 for linking of account to existing ATM Card 1.2 SGD StarSaver Savings Account Minimum Amount to Earn Interest 1.3 CIMB FastSaver-i Minimum Amount to Earn Profit Monthly Account Fee Not applicable Counter Transaction S$5 ATM Card S$10 per new ATM Card or S$10 for linking of account to existing ATM Card 1.4 SGD StarSaver Savings-i Account (based on Wadiah Yad Dhamanah) Minimum Amount to Earn Potential Hibah 1.5 SGD StarSaver Savings-i Account (based on Commodity Murabahah) Minimum Amount to Earn Profit PAGE 1 OF 9

1.6 CIMB Junior Saver Minimum Amount to Earn Interest 2 SGD CURRENT ACCOUNTS 2.1 SGD StarSaver Account Minimum Amount to Earn Interest Excess Limit Fee (for incidental overdraft charge for account without credit limits) SGD Prime Rate + 5% or minimum S$20, whichever is higher Internal Funds Transfer 2.2 SGD StarSaver-i Account (based on Wadiah Yad Dhamanah) Minimum Amount to Earn Potential Hibah Excess Limit Fee (for incidental overdraft charge for account without credit limits) Internal Funds Transfer 2.3 SGD StarSaver-i Account (based on Commodity Murabahah) Minimum Amount to Earn Profit Excess Limit Fee (for incidental overdraft charge for account without credit limits) Internal Funds Transfer 2.4 SGD Current Account (Non-Interest Bearing) (for average daily balance < S$3,000) S$3,000 S$20 per month Early Account Closure Fee (for account closed within 6 months) S$20 Excess Limit Fee (for incidental overdraft charge for account without credit limits) SGD Prime Rate + 5% or minimum S$20, whichever is higher Internal Funds Transfer PAGE 2 OF 9

3 FOREIGN CURRENCY ACCOUNTS 3.1 USD Interest Current Account (No longer offered w.e.f. 1 January 2017) (if average balance is < U) Monthly Account Fee Early Account Closure Fee (for account closed within 6 months) Deposit in Foreign Currency Notes Withdrawal in Foreign Currency Notes (subject to availability) U US$10 per month S$1 equivalent (waived if Opt Out of Paper Statements) US$20 3.2 USD Current Account (Non-Interest Bearing) (for average daily balance < U) Early Account Closure Fee (for account closed within 6 months) Deposit in Foreign Currency Notes Withdrawal in Foreign Currency Notes (subject to availability) U US$10 per month S$1 equivalent (waived if Opt Out of Paper Statements) US$20 3.3 CALL Accounts (Non-Checking and Non-Interest Bearing) USD1,000 AUD1,000 EUR1,000 GBP1,000 JPY500,000 (for average daily balance < minimum initial deposit balance) Early Account Closure Fee (for account closed within 6 months) Internal Funds Transfer (first-party) Deposit in Foreign Currency Notes Withdrawal in Foreign Currency Notes (subject to availability) USD10 / AUD10 / EUR7.50 / GBP5 / JPY1,000 S$1 equivalent (waived if Opt Out of Paper Statements) USD20 / AUD20 / EUR15 / GBP10 / JPY2,000 EXCESS LIMIT FEE Currency USD, AUD EUR, GBP Minimum USD10 / AUD10 + interest (USD / AUD Prime Rate + 5%) on amount overdrawn Minimum EUR7.50 / GBP5 + interest (EUR / GBP Prime Rate + 5%) on amount overdrawn JPY Minimum JPY1,000 + interest (JPY Prime Rate + 5%) on amount overdrawn PAGE 3 OF 9

4 CHEQUE CHARGES 4.1 Outward Return Cheque SGD Account FCY Account Due to Insufficient Funds S$30 per cheque US$20 per cheque Due to Other Reasons S$30 per cheque (at the Bank s discretion) US$15 per cheque 4.2 Stop Payment SGD Account USD Account S$30 per cheque US$20 per cheque S$50 per range US$30 per range 4.3 Inward Return Cheque SGD Account USD Account 4.4 Cheque Image Retrieval SGD Account USD Account 4.5 Marked Cheque SGD Account S$50 per cheque S$50 per cheque Direct Marking CIMB Cheques Other Banks Cheques S$50 per cheque (collect from presenting bank) S$100 per cheque + courier charges (if applicable) 4.6 Foreign Currency Cheques Collection Cleared Locally USD cheques drawn on local clearing participating banks Other currency cheques and USD cheques drawn on non-participating banks (For cheques drawn on non-participating banks, minimum cheque amount is USD200 for USD cheques and EUR300 for EUR cheques) Ringgit cheques drawn in Malaysia Free Credited to Payee s SGD Account: S$10 per cheque + postage Credited to Payee s Foreign Currency Account (inclu. Brunei Dollar): 0.125% commission (min. $10, max. $200) per cheque + postage S$10 per cheque + postage PAGE 4 OF 9

5 REMITTANCES - OUTWARD 5.1 Banker s Cheques Payable to Own Name Payable to 3rd Party Account Holder S$10 per cheque 5.2 MEPS (MAS Electronic Payment System) Outgoing Payment for Local Beneficiary: SGD payment in Singapore Withdrawal from SGD / Foreign Currency Fixed Deposit (payable in own name): SGD payment in Singapore For Overseas Beneficiary: SGD payment overseas S$20 per payment for amount equal to or below S$10,000 S$30 per payment for amount above S$10,000 Free for first payment only Refer to charges listed under Outward Remittances - Telegraphic Transfer 5.3 Demand Draft Account Holder: Debit from SGD Account or payment by SGD cash Debit from Foreign Currency Account with foreign exchange Debit from Foreign Currency Account without foreign exchange + 0.125% commission-in-lieu of exchange (min. S$10, max. S$100) Withdrawal from Foreign Currency Fixed Deposit: Issue in own name Issue to third-party, with foreign exchange Issue to third-party, without foreign exchange First draft per day free, every subsequent draft at S$20 each + 0.125% commission-in-lieu of exchange (min. S$10, max. S$100) PAGE 5 OF 9

5.4 Telegraphic Transfers Debit from SGD Account or payment by SGD cash Debit from Foreign Currency Account with foreign exchange Debit from Foreign Currency Account without foreign exchange + cable charges (flat rate of S$30) + cable charge (flat rate of S$30 or equivalent) + 0.125% commission-in-lieu of exchange (min. S$10, max. S$100) + cable charge (flat rate of S$30 or equivalent) Withdrawal from Foreign Currency Fixed Deposit: Payable in own name Payable to third-party, with foreign exchange Payable to third-party, without foreign exchange Agent fee (if applicable) + cable charge (flat rate of S$30), subsequent payment is subject to handling fee of S$30 + cable charge (if applicable, flat rate of S$30 or equivalent) + 0.125% commission-in-lieu of exchange (min. S$10, max. S$100) + cable charge (if applicable, flat rate of S$30 or equivalent) Agent upfront charges USD 27 AUD* 20/40 EUR 26 GBP 15 HKD 300 IDR 30,000 MYR 15 NZD 25 PHP 500 THB 500 Other Currencies As per fees imposed by Overseas Banks *For telegraphic transfer within Australia, a charge of AUD20 will apply. For telegraphic transfer outside Australia, a charge of AUD40 will apply. 5.5 Cancellations Banker s Cheque Demand Draft / Telegraphic Transfer S$30 per Banker s Cheque S$30 handling fee + cable charge (if applicable) + agent fee (if applicable; Bank buys back at prevailing OD buying rate) 5.6 Stop Payment Banker s Cheque S$30 Demand Draft / Telegraphic Transfer S$30 + cable charge (if applicable) 5.7 Amendment / Tracer Amendment for Telegraphic Transfer Tracer for Telegraphic Transfer S$30 (excluding amendment fee from corresponding agent, if any) S$30 (excluding amendment fee from corresponding agent, if any) PAGE 6 OF 9

6 REMITTANCES - INWARD 6.1 Telegraphic Transfer In SGD In FCY Credit to a SGD account Credit to a FCY account Credit to a Fixed Deposit 6.2 MEPS (MAS Electronic Payment System) Credit to a SGD / FCY account Credit to a Fixed Deposit 7 GIRO Inward Return GIRO Outward Return GIRO (due to insufficient funds) S$10 per unsuccessful transaction 8 CASH DEPOSIT AND EXCHANGE SERVICES Bulk Cash Deposit (for denominations of S$50 and below) Coin Deposit And Withdrawal** Coin Exchange** First 1,000 pieces free per day per account Every subsequent 1,000 pieces or part thereof at S$20 Every 100 pieces or part thereof at S$5 ( for CIMB Junior Saver Account) S$5 for every $100 changed or part thereof per day **Coin services are only available on Tuesday and Thursday between 10.00am to 11.30am. 9 STANDING INSTRUCTION Giro Monthly Inward Funds Transfer Handling fee of S$20 for initial set-up only Free 10 GUARANTEES 10.1 Remisier Banker s Guarantee Issuance Commission Renewal Commission Tenure of Guarantee Claims Period 0.2% p.a. or minimum S$60, whichever is higher 0.2% p.a. or minimum S$60, whichever is higher 1 year Maximum 3 months (no charge) + Tenure of Guarantee 10.2 Other Types of Banker s Guarantee Issuance Commission Renewal Commission Tenure of Guarantee Claims Period 1.0% p.a. or minimum S$100, whichever is higher 1.0% p.a. or minimum S$100, whichever is higher Up to 3 years Maximum 3 months + Tenure of Guarantee PAGE 7 OF 9

11 OTHER SERVICES 11.1 Document / Statement Retrieval Charges For Document Retrievals For Statement Retrievals S$10 per document S$10 per statement 11.2 Personal Data Retrieval Charges Access Request S$10.70 per request Mailing of Retrieved Personal Data: Normal Mail Registered Mail Free S$5 (or its equivalent) 11.3 Audit Confirmations Non-borrowing customers Borrowing customers S$30 per request (or its equivalent) S$50 per request (or its equivalent) 11.4 Other Services Letter of Financial Standing Tracers / Investigations Cable Charges Courier Charges Registered Mails CIMB Clicks Internet Banking Security Device Replacement Fee S$50 per request Cable charges (flat rate of S$30 or its equivalent) S$30 or its equivalent At cost, per request (subject to min. S$10 or equivalent) S$5 (Local and within Malaysia) S$10 (Overseas) S$20 Information correct as of 6 December 2017. Note: 1. Commission-in-lieu of exchange is applicable when there is no foreign 2. For non-account holder, payment in foreign currency is subject to Bank s approval. 3. Withdrawal of SGD or Foreign Currency Fixed Deposit by means of outward remittance (Banker s Cheque, Demand Draft or Telegraphic Transfer) is subject to the fee structure as stipulated in the respective sections. Earnings on foreign currency deposits are dependent on the exchange rates prevalent at the time of maturity or withdrawal, as the case may be; and that adverse exchange rate movements could erase interest earnings completely and reduce the principal amount. Disclaimer: Unless otherwise stipulated, all out of pocket expenses including cost of postage, telecommunication, transportation, correspondences, goods & services tax or agent s charges are for customers account. Agents interest will be collected from date of purchase to approximate date of payment. Deposits Insurance Scheme Singapore dollar deposits of non-bank depositors and monies and deposits denominated in Singapore dollars under the Supplementary Retirement Scheme are insured by the Singapore Deposit Insurance Corporation, for up to S$50,000 in aggregate per depositor per Scheme member by law. Foreign currency deposits, dual currency investments, structured deposits and other investment products are not insured. PAGE 8 OF 9

Retail Banking Fees and Charges CIMB PREFERRED FEES AND CHARGES Multi-Currency Account Monthly Account Fee Early Account Closure Fee (for account closed within 6 months) Internal Funds Transfer (first-party) Deposit in Foreign Currency Notes Withdrawal in Foreign Currency Notes (subject to availability) Not applicable EXCESS LIMIT FEE Currency USD Minimum USD10 + interest (USD Prime Rate + 5%) on amount overdrawn Remittances - Outward Outward Telegraphic Transfers with foreign exchange Outward Telegraphic Transfers without foreign exchange S$20 + Agent upfront charges^ or Agent fee (if applicable) S$50 + Agent upfront charges^ or Agent fee (if applicable) Outward MEPS S$20 Remittances - Inward Inward TT Crediting into SGD or FCY Account Inward MEPS in SGD or FCY or FD Account Information correct as of 6 December 2017. ^Please refer to page 6 of 9 for the agent upfront charges. Note: 1. Commission-in-lieu of exchange is applicable when there is no foreign 2. For non-account holder, payment in foreign currency is subject to Bank s approval. 3. Withdrawal of SGD or Foreign Currency Fixed Deposit by means of outward remittance (Banker s Cheque, Demand Draft or Telegraphic Transfer) is subject to the fee structure as stipulated in the respective sections. Earnings on foreign currency deposits are dependent on the exchange rates prevalent at the time of maturity or withdrawal, as the case may be; and that adverse exchange rate movements could erase interest earnings completely and reduce the principal amount. Disclaimer: Unless otherwise stipulated, all out of pocket expenses including cost of postage, telecommunication, transportation, correspondences, goods & services tax or agent s charges are for customers account. Agents interest will be collected from date of purchase to approximate date of payment. Deposits Insurance Scheme Singapore dollar deposits of non-bank depositors and monies and deposits denominated in Singapore dollars under the Supplementary Retirement Scheme are insured by the Singapore Deposit Insurance Corporation, for up to S$50,000 in aggregate per depositor per Scheme member by law. Foreign currency deposits, dual currency investments, structured deposits and other investment products are not insured. V2017 DEC PAGE 9 OF 9