Service Charges - (Updates up to 01/07/2017) : Rates in INR (I) SAVING DEPOSIT ACCOUNT A)OPENING & MAINTENANCE OF MINIMUM BALANCE IN THE ACCOUNT

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Service Charges - (Updates up to 01/07/2017) : Rates in INR Particulars (I) SAVING DEPOSIT ACCOUNT A)OPENING & MAINTENANCE OF MINIMUM BALANCE IN THE ACCOUNT Service Charges Rs.10/- i) GREATER SWEEKAR SAVING DEPOSIT Rs.500/- SCHEME - without Cheque Book ii) GREATER SADHAN SAVING DEPOSIT Rs.1000/- SCHEME - With Cheque Book iii) GREATER SIMPLE SAVING DEPOSIT Rs.10/- SCHEME - SSS A/c - No frill SB Scheme B) PENALTY i) Charges for failure to maintain minimum Rs. 118/- per quarter balance (other than SSS A/c, Basic Savings A/c & Greater Premium SB A/c) ii) Greater Premium Saving Deposit Scheme, Rs. 266/- per quarter (failure to maintain average quarterly balance Rs.5,000/-) GB Gold Savings Account Scheme Rs. 1,570/- per quarter Greater Sampoorna Saving Deposit Scheme Rs. 523/- per quarter GB Premier Salary Savings Account Scheme Rs. 117/- per quarter iii) More than 50 withdrawals in six months and for SSS A/c s more than 18 withdrawals in six months. Basic Savings A/c: Monthly 4 withdrawals including ATM withdrawal; i.e. 48 withdrawals p.a. including ATM withdrawals. C) CLOSURE OF ACCOUNT (other than SSS A/c) i) If closed within one year Rs. 118/- ii) If closed after 1 year Rs. 59/- iii) Closure of inoperative a/c Rs. 59/- D) RETURN OF CLEARING CHEQUE/ECS i) For Outward Return charge Upto Rs 1 lacs: Handling Charges Rs.59/- + Actual Postage. Above 1 lacs: Rs 118/- + Actual Postage Charges ii) For Inward Return charge SB: Rs. 2.36 per 1,000/- minimum Rs. 130/- with maximum of Rs. 2,566/- E) ISSUE OF CHEQUE BOOKS i) Additional cheque book (Not applicable to co-op. Society) Rs. 3.10 per cheque 100 cheque instrument free in a year (25 in 1st Half & 25 in 2nd Half) F) ISSUE OF DUPLICATE STATEMENT/ PASS BOOK i) with present balance Rs59/-

ii) with previous entries per Ledger page Rs89/- (Note: In case of computer statements 30 entries or part thereof is treated as one ledger page). G) In-operative Account (other than SSS A/c s) (i) More than 2 years Rs. 59/- per half year Note: If available credit balance is not sufficient to recover the aforesaid charges the amount debited should be restricted to the balance available and close the account by sending intimation to the depositor. H) Charges for stop payment instructions perrs. 54/- instrument. I) Charges for issuance of Balance confirmation Rs. 59/- per certificate for all at the request of the customer. J) Allowing operations through mandate Rs. 89/- per mandate Allowing operations through mandate / Recording of fresh mandate / Change in Signatories (For Saving Bank Customers) K) Allowing operations in account through power of Attorney in Current Accounts Allowing operations in account through power of Attorney in Current Accounts Recording of fresh mandate / Change in Signatories L) Change of Authorized Signatory including reconstruction Rs. 259/- per mandate Rs. 259/- per mandate M) Cash Withdrawal/Deposit Charges:Home Branch Above 1 lacs to 5 lacs a) Saving Bank Rs. 0.59 per thousand. b) Current Rs. 0.59 per thousand. Above 5 lacs a) Saving Bank Rs. 0.89 per thousand. b) Current Rs. 0.89 per thousand. Note: For Non Home Branch Withdrwal Limit for Self will be Rs 100000/- & Other than Self: Rs 50000/- for SB & CA Accounts (II) Monthly Recurring Deposit A/c (MRD) a) MRD A/c opened with. In the MRD A/c, Penalty for non payment of installment on the due date Deposits up to 5 years Deposits over 5 years CURRENT \CC ACCOUNTS A) Greater Convenient Current Deposit Scheme Rs. 1.59 for every Rs 100/-p.m. Rs. 2.12for every Rs 100/-p.m.

B) Charges for failure to maintain minimum balance i.e.rs.2,500/- i) Opening & Maintenance of minimum balance in the Account (other than Greater Premium Current Deposit Scheme) ii) Greater Premium Current Deposit Scheme (Penalty for failure to maintain average quarterly balance Rs.10,000/- ) C) Ledger Folio Charges for Operative Current Rs. 118/- per month Rs. 535/- per quarter Rs 59/- per page of 30 entries and part thereof Quarter whichever higher. Account D) CLOSURE OF CURRENT ACCOUNT i) if closed within 1 year Rs. 118/- ii) if closed after 1 year Rs. 59/- Note: Above Charges inclusive of Service Tax iii) closure of inoperative a/c or trf of a/c from inoperative to operative account Rs. 118/- E) a) ISSUE OF AD ON CHEQUE BOOK Rs. 3.54 per cheque where operations in the account exceed 50 per month i) Ad- on printing charges Rs. 0.30 paise per cheque. ( Printing of Logo, A/c Payee, Not Over Rs. in black and white.) ii) Printing of above details in colour iii) Additional plain slip with cheque number and others b) ISSUE OF COMPUTER CHEQUE BOOK (Courier/ Registered post actual charges for delivery of cheque books upon the request of A/c holder should be recovered immediately). F) ISSUE OF DUPLICATE STATEMENT OF ACCOUNT G) Charges for stop payment instructions per instruction. H) RETURN OF CLEARING CHEQUES i) for Outward Return charge (including for ECS outward) Rs. 1.18 per cheque Rs. 0.60 per cheque Rs. 2.41 per cheque with minimum of 5000 cheques For previous years Rs. 48/- per page of 30 entries CA/CC/OD Rs. 118/- Upto Rs 1 lacs: Handling Charges Rs118/- +Actual postage. Above 1 lacs Handling Charges Rs177/- +Actual postage irrespective of amount ii) for Inward Return charge (including for ECS inward) Note: Above Charges inclusive of Service Tax I) In-operative Account i) More than 2 years Rs. 118/- per half year* *Note: If available credit balance is not sufficient to recover the aforesaid charges, the amount debited should be restricted to the balance available and close the account by sending intimation to the depositor. Rs. 3.54 per thousand (Minimum Rs 257/- and Maximum of Rs. 10,261/-)

J) Opening of account with restrictive operation CC / OD K) Allowing operations in account through power of Attorney in CC /OD L) Change of Authorized Signatory including reconstruction M) Drawings against un-cleared effects in CA/ CC/ OD (Circular No.82 dt.27/09/04, S. No.9) This facility to be allowed up-to Rs. 2.00 lacs on any day per account TERM DEPOSITS A) ISSUE OF DUPLICATE RECEIPT Rs. 59/- B) MINIMUM DEPOSIT ACCEPTED i) Monthly Recurring Deposit ii) Fixed Deposit a) Regular Deposit b) Monthly Income Int. Scheme iii) R.B. Deposit C) Penalty for Pre-mature withdrawal of Term Deposit (conversion cost) D) Addition / Deletion of names in Joint Accounts / change in operational instructions including lockers Rs. 118/- per half year* Rs. 266/- per mandate Rs. 266/- per mandate Int.@ 16.5 % p.a. (min Rs. 20/- per transaction) Rs. 24 per accounts E) Premature closure of Recurring Deposit. F) Premature Closure due to death of Account Holder by the Nominee / Legal Heir LOANS & ADVANCES, CASH CREDIT A/C A) SUPPLY OF APPLICATION FORMS i) Loan/Bank Guarantee/L.C. Application Rs. 22/- per form B) PROCESSING CHARGES (i) New Applications Fund based limits / Non Fund based limits (LC s, Guarantees other than DPG) (a) New Commercial Loans (b) Greater Four Wheeler Loan Scheme (c) Renewal Proposal (d) Retail & Housing Loans 0.59% of applied loan amount 1.18% of applied loan amount.( minimum Rs. 1175/-) 0.30% of applied loan amount Upto Rs.2.00 lakhs - Rs.1,098/- Rs.2 lakhs to Rs.5 lakhs - Rs.2,196/- Above Rs. 5 lakh -0.59 % of the applied loan amount Note: i. No processing charges for considering advances against Bank's deposits. D) VEHICLES i) Issue of NOC to R.T.O. Rs30/- ii) Issue of HPTR to R.T.O. Rs.30/- E) ASSIGNMENT / REASSIGNMENT / ENCASHMENT OF LIC POLICY Rs.59/- plus Life Insurance policy +actual postage

iv) *Half yearly service charges to Operative Cash Credit / overdraft with cheque book facility Upto Rs. 5 Lacs Rs. 120/- Above Rs. 5 lacs to Rs.10 lacs Rs. 240/- Above Rs.10 lacs to Rs.25 lacs Rs. 361/- Above Rs.25 lacs Rs. 600/- Note:- i) In case of OD A/c. with cheque book facility only the said service charges are applicable. ii) If CC A/c. is having continuously credit balance throughout the respective half year, the said charges should not be debited. v) Exchange of pledged shares vi) Encashment of pledged shares (non demat shares) (Charges inclusive of Service Tax) vii) Assignment of NSCs / KVPs viii) Encashment of NSCs / IVP / KVP ix) Reassignment of NSCs (Charges Inclusive of Service Tax) MISCELLANEOUS SERVICES A) SHARE DEPARTMENT Rs. 22 per certificate+ actual travelling charges not exceeding Rs 50/-+actual postage Rs. 24 per certificate i) Issue of Duplicate Share Certificate Rs50/-per certificate ii) Transfer of Share Certificate Rs24- per certificate iii) Duplicate issue of Member ID Card Rs30/- per ID card B) Written fate enquiries from other Banks for the cheques sent in clearing i) Saving Account Rs. 24/- ii) Current / Cash Credit Account Rs30/- C) Charges to be collected for Loss of Token Rs118/- D) Requisition through ATM -cheque book, Rs.11/- or Actual courier charges, statement of A/c, Product information whichever is higher. E) Loss of cheque -book requisition slip Rs.12/- for request of SB. Rs.30/- in case of CA F) Standing instruction other than Term Deposit & Loan Installments & Locker Rent and MRD transfer Upto Rs. 3 lacs - Rs. 520/- G) Solvency Certificates Rs.3 lacs to Rs.5 lacs - Rs.782/- Rs.5 lacs to Rs.10 lacs - Rs.1564/- Rs.10 lacs to Rs.25 lacs - Rs.3128/- Rs.25 lacs to Rs.50 lacs - Rs.5213/- Above Rs.50 lacs to Rs.100 lacs - Rs.7820/-

Above Rs.100 lacs - Rs.10,425/- Note: For issuance of Capacity Certificate for obtaining visa for educational purpose for students only 50% charges as mentioned above. H) Safe Custody Charges Rs. 6.26 per scrip. Minimum Rs.58/-p.a. or part thereof.sealed cover Rs 115/- per cover per annum or part thereof. Banks own deposit rent no charge. I) Attestation of account holders signature Rs.13/- per authentication J) Issuance of No Dues Certificate Rs.59/- per occasion K) Providing Credit Report. Rs.117/- per occasion L) Enquiries relating to old records Entries for 3 to 12 months: Rs 59 maximum 5 transaction. Above 5 transaction: Rs 30 per transactions. Entries for Above 12 months: Rs 148 for 5 transactions. Above 5 transaction: Rs 59 per transactions M) Cash Transaction Charges (inclusive of Service Tax) are applicable to Cash Transaction (Deposit/Withdrwal) of Rs.1 Lac and above (excluding ATM withdrawal) or deposit of 10 bundles or more during the day in any branches N) DEMAT CHARGEs a) Account Opening Charges NIL b) Transaction Charges - Purchase / Credit NIL c) Transaction Charges - Sales / Debit 0.06 % (Subject ot minimum of Rs.25 per transaction) d) Demat Charges Rs. 3.54 per Certificate + Rs.36/- Courier (Per Form) e) Remat Charges 0.14% of Market Value (Subject to minimum of Rs.43/- per request ) f) Account Maintenance Charges (per annum) Rs. 425 for individuals Rs. 1180/- for others g) Pledge/Unpledge/Invocation Rs. 59/- per ISIN h) Freeze Charges Rs. 59/- per ISIN i) Custody Fees Nil Note:- a) Account maintenance and Demat Charges are payable up front b) Holding statement will be provided once a month if there are any transactions, else statement will be sent on quarterly basis (Additional statement Rs.17/-) c) Bills for transaction charges will be raised monthly. d) The delivery instruction has to be submitted one day prior to the Execution Date or as such guidelines laid down by SEBI from time to time f) All the Demat Charges / Service Tax of Demat charges are recovered at Demat Cell itself by debiting the respective accounts with the branches. O) ATM SERVICES (w.e.f. October 2009)

i) Use of Greater Banks ATM s NIL ii)use of NFS ATM s across the country a) Cash Withdrawal Upto 3 withdrawals no charge and beyond that Rs 21/- per withdrawal b) Balance Enquiry Rs.11/- First 3 transactions will be free for Saving Account Holders in a month iii) Annual Charges - RuPay Debit Card Rs. 118/- p.a. iv) Re-PIN Charges - ATM / RuPay Debit Card Rs. 60/- v) Issue of Duplicate ATM / RuPay Debit Card Rs120/- P) Franking Charges Rs.10/- per Document BANK GUARANTEE (FRESH/RENEWAL) A) PARTLY SECURED BY TERM. DEPOSIT i) Less than 50% of Bank Guarantee amount 30 paise per Rs 103/- per month ii) 50% and above of Bank Guarantee amount 24 paise per Rs 103 per month B) FULLY SECURED BY TERM DEPOSIT 8 paise per Rs103/- per month C) Refund of commission on premature cancellation of Bank Guarantee (BG) ISSUE OF INLAND LETTER OF CREDIT I] (a) Commitment charges 18.18 Paise per Rs.100 per quarter or part thereof (b) Usance Commission i) Bill upto 7 days sight 18.18 Paise per Rs.100 per quarter or part thereof ii) Bill over 7 days to 3 month sight 24.07 Paise per Rs.100 per quarter or part thereof iii) Bill over 3 month sight 24.07 Paise per Rs.100 per quarter or part thereof II] (a) Simple Amendment Rs.118/- (b) Enhancement Commitment charges (c) Extension (d) Postage etc. BILLS AND CHEQUES SENT FOR COLLECTION (Charges inclusive of Service Tax) A) (IBC/OBC) Usance Comm. as above on amt. by which L/C is enhanced sub. to minimum of Rs116/- (inclusive of GST) Usance Comm. as above on amt. by which L/C is enhanced sub. to minimum of Rs.118/- (inclusive of GST) Actual postal charges

Upto Rs.1000/- Rs.1,001/- upto Rs.5,000/- Rs.5,001/- upto Rs.10,000/- Rs.10,001/- upto Rs.1 Lakhs Above Rs.1 lakh Handling charges for Bills / Cheques returned unpaid (Local) Rs. 18 for Bills+Actual postage; Cheques-Rs 37/- per instrument for SB & Rs 52 for CA Bills-Rs37/=+actual postage; Cheques-Rs 37/- per instrument for SB& Rs 52/- for CA Bills-Rs. 60/-+ actual postage; Cheques-Rs 52/- per instrument for SB & CA Bills - Rs. 7-per Rs. 1000/- + actual postage; Cheques-Rs 103/- per instrument for SB & CA Bills- Rs.7 per 1,000/- subject to maximum of Rs.4180/- Plus Actual postage ; Cheques- Rs150/- per instrument for SB& CA +actual postage Bills- Local-Rs37/- per instrument ; Cheques- Rs 19 /-per cheque+actual postage ; Bills--Outstation :- 75% of the charges initially collected or Rs. 35/- whichever is higher; Cheques Rs 18/- per cheque+actual postage B) OUTWARD NATIONAL CLEARING CHEQUE Rs.12 per instrument C) COLLECTION OF OUTSTATION BILLS IBC / OBC / BD UNDER L/C Upto Rs.1,000/- Rs.18 Plus Actual postage Above Rs.1,000/- upto Rs.5,000/- Rs.37/- Plus Actual postage Above Rs.5,000/- upto Rs.10,000/- Rs. 60/- Plus Actual postagers.10/- or Actual courier charges, whichever is higher. Above Rs.10,000/- Rs. 3.00/- per Rs.1,000/- or part thereof Plus Actual Postage D) Collections of Deposits from other Banks on Out of pocket expenses Rs. 120/- (min) + maturity actual postage E) Charges for presentation of usance bills Rs. 60/- per bill a] E-TDS commission TDS Amt Slab (Rs.) Min 1-10,000 Rs. 177 10,001 Rs. 354 100,001 Rs. 708 500,001 Rs. 1,062 1,000,001 Rs. 1,416 Note: Above charges inclusive of Service Tax

b] REMITTANCES I) PAY ORDERS Upto Rs.10,000/- Rs.10,001 upto Rs.1.00 Lakhs Rs.1,00,001 Lakhs and above II) CONCESSIONAL RATE FOR STUDENTS EXAM FEES / PAYMENT TO COLLEGE / UNIVERSITY/ PHYSICALLY HANDICAPPED III) SENIOR CITIZEN Rs47/- Rs.47/- plus Rs.2.40/- per Rs.1,000/- above Rs. 10000/-Maximum Rs.263/- Rs.263- Plus Rs1.20 per Rs.1,000/-above Rs 1 lac, Maximum Rs.6964/- Free 50% of the above charges IV) RE-ISSUE OF PAY ORDER Rs59/- V) CANCELLATION OF PAY ORDER Rs.24/- VI) RTGS Charges(above Rs 2,00,000/-) Rs 30/- i) for payments through account (Outward) Rs.2,00,001 to Rs. 5,00,000 = Rs. 29/- Rs.5,00,001 & above Rs. 58/- ii) for receipts and crediting (Inward) VIII) i) NEFT Outward ii) NEFT Inward IX) EFT/ECS Charges- Inward EFT/ECS Charges- Outward c] Commission to be charged while issuing at par instruments (H.D.F.C / ICICI/ other Banks DD) Upto Rs.1,000/- Nil Upto Rs.1,00,000/- = Rs.5/-, Rs.1,00,001 to 2,00,000/- = Rs18/- & above Rs 2,00,000/- Rs 29/- Rs36/- Rs.1,001/- to Rs.5,000/- Rs47/- Rs.5,001/- to Rs.10,000/- Rs59/- Rs.10,001/- to Rs1,00,000/- Rs. 3.53 per thousand +HO commission Rs. 21 Rs.1,00,001/- to Rs.10.00 Lakhs Rs.353/- plus Rs. 2.35 per thousand above Rs.1 lacs (Max. Rs.2,470/-) +HO CommissionRs.21/- Above Rs.10.00 Lakhs Cancellation of Draft Note: No refund of earlier commission already charged Duplicate Draft Revalidation of Draft SAFE DEPOSIT LOCKERS A) OPENING OF LOCKER (i) Key Deposit Nil Nil Nil Rs 2,470/- plus Rs 2.35 per thousand above Rs 10 lakh. + HO Commission Rs 20/- Rs11/- Rs22/- Rs11/- Rs.5,000/- (At the time of let out) (ii) Service Charges Rs. 240/- plus Stamp charges B) DELAY IN PAYMENT OF RENT Rs.11.80 per thousand per month or part thereof (inclusive of GST) C) BREAK OPEN OF LOCKER IN CASE OF Rs. 354/- + actual Breaking charges paid to

LOSS OF KEY / NON PAYMENT RENT Godrej/ Steelage D) SURRENDER OF LOCKER The branch should immediately write to locker Locker holder who have completed i) more than three years & above no charges are manufacturer for replacement of locker and key levied. ii) Less and the new key should be given to new allottee than three years the charges are Rs. 177/- to in a company sealed pack. be adjusted from key deposits. E) If number of locker operations exceed 30 in a year. Rs.59/- per visit in excess of 30 visits per year. F) RENT FOR YEAR (* w.e.f. 1 st July 2017.*Rent is inclusive of Service Tax. Locker Rent : Rates in INR Locker Type Locker Size Locker Rent per annum including GST A A 1030 B B 1610 C 2A+ 2,140 D D 2,355 H1 2B+ 3,215 E 2B+ 3,215 F 4A+ 4,620 G 2D+ 4,720 H 4B+ 6,425 L2 4D- 9,650 L/J/K 4D+ 11,800