Operation Related Service Charges
S. No. | Particulars | Detail | Charges | |
1 | a) CHEQUE BOOK | Cheque Issuance | NIL (as per NRB provision) | |
Stop Payment (cheque) | NIL (as per NRB provision) | |||
Uncollected Cheque Book | Cheque book destroy charge Rs. 200/- at once after disposal of cheque book at 91 days. The charge shall be taken by system. | |||
Lost requisition slip charge | Rs. 500/- per instance | |||
b) WITHDRAWAL SLIP | Payment to Literate person | Rs. 300/- charge for instance | ||
2 | BANK STATEMENT | First Time/Audit Purpose | NIL (as per NRB provision) | |
Duplicate Statement | ||||
a) Saving | a) Rs. 10/- per leaf | |||
b) CA/CALL/OD | b) Rs. 50/- per leaf | |||
c) E-statement (statement through email) | Free (through email) | |||
3 | BALANCE CERTIFICATE | Account operated less than 1 months | NIL (as per NRB provision) | |
Account operated more than 1 month | NIL (as per NRB provision) | |||
Others | Free to institutions once in a quarter for audit purpose only). | |||
Reconfirmation | Rs. 500/- per request | |||
4 | ACCOUNT MAINTENANCE | NIL (as per NRB provision) | ||
4.1 | Account Close | NIL | ||
4.2 | Account Name Correction | Rs. 500/- per instance* | ||
*condition apply | ||||
4.3 | Account Transfer from one branch to another branch | Rs. 500/- | ||
5 | ABBS CHARGE | NIL (as per NRB provision) | ||
6 | BILLS FOR COLLECTION | |||
i) Outward Bills | Within Nepal | 0.15% or Min. Rs. 250/-+Courier Charge | ||
India | 0.15% or Min. Rs. 500/-+Courier Charge | |||
FCY | ||||
ii) Inward Bills | Inward documentary collection (not under LC) | 0.15% or Min. Rs. 250/-+courier charges | ||
Cheque/Documents returned | Doc. Returned unpaid/ unaccepted: Rs. 1000/- + postal charge | |||
7 | ELECTRONIC CHEQUE CLEARING | |||
7.1 | Local Cheque Up to Rs.200,000.00 | NIL | ||
7.2 | Local Cheque above Rs.200,000.00 | Rs. 15/- per cheque | ||
7.3 | FCY Cheque | Rs. 15/- per cheque | ||
7.4 | Express Session | Rs. 100/- per cheque | ||
7.5 | High Value Cheque Clearing | Rs. 100/- per cheque | ||
7.6 | Last minute presentment penalty | Rs. 200/- per cheque | ||
7.7 | Express Cheque transaction time out Charges | Rs. 200/- per cheque | ||
7.8 | Cheque Return Charge | Rs. 200/00 * Condition apply. | ||
7.9 | National Archive System Charge | Rs.200/00 | ||
8 | INTERBANK PAYMENT SYSTEM | |||
8.1 | NPR TRANSACTION | |||
i) IPS Charges | ||||
Upto Rs. 500/- | Rs. 2 /- | |||
>Rs. 500/- to =<Rs. 50,000/- | Rs. 5 /- | |||
>Rs. 50,000/- | Rs. 10/- | |||
ii) Provident Fund Saving (PFDS) and Provident Disbursement (PFSA) | Rs. 10/- per instance. | |||
iii) For Dividend payment the transaction fee will be waived for transaction amount upto Rs. 100/-. | ||||
8.2 | TRANSACTION in FCY | Rs. 10/- per instance. | ||
8.3 | IPS OTHER CHARGES | |||
Return fee | Rs. 100/- | |||
Cancellation/ | Rs. 100/- | |||
Roll over fee | 2 x Txn fee | |||
Auto Rejection Fees | As per transaction fee | |||
Archive fee | Rs. 200/- per transaction | |||
9 | FD PREMATURE | Premature withdrawal/ Cancellation of FDR for Natural person. | a) Premature cancellation of FD before 3 months, no interest shall be paid upto 29 days. | |
b) After 29 days, lowest interest rate on published card rate of Call A/c for deposit period till 3 months. | ||||
c) In other cases, 2% less than the contract date rate applicable for actual period of deposit held with the Bank. Above clauses shall be applicable to legal person also. | ||||
10 | FCY note deposit in FCY Account | Less than 50 denomination: 0.5% of the face value (as per NRB) | ||
11 | Standing Instruction | Rs. 200/- p.a. per instruction. | ||
12 | NRB/Manager’s CHEQUE | Issuance | Rs. 500/- per instrument | |
Cancellation | Rs. 500/- per instrument | |||
13 | GOOD FOR PAYMENT | NIL (as per NRB provision) | ||
14 | REMITTANCE | Remittance Cancellation | Rs. 250/- per instrument | |
14.1 | DRAFT ISSUANCE | Local | 0.1% or Min. Rs. 100/- | |
INR: | 0.25% or Min Rs. 350/- | |||
FCY | 0.25% or Min Rs. 350/- | |||
Duplicate draft Issuance | Rs. 500/- per draft | |||
Cancellation | Rs. 100/- per draft | |||
Revalidation | Rs. 100/- per draft (half year) | |||
Stop Payment | Rs. 100/- per one leaf + (swift charge if required). Rs. 200/- for multiple leafs + (swift charge if required). |
|||
14.2 | TT/SWIFT | Outward Remittance/TT/Swift | Local: Rs. 250/- | |
INR : 0.2% or Min. Rs. 100/-+swift charge | ||||
FCY: 0.25% or Min. Rs. 350/-+swift charge | ||||
Inward Remittance | NIL (as per NRB provision) | |||
Intermediary bank charge for funds routed through SCBLUS33 | USD 5 equivalent NPR | |||
“OURS” charges | JPY: NPR 7500 per transaction | |||
Other FCY: As per the corresponding bank’s charge | ||||
14.3 | Inward Swift | Return Charge (INR) | INR 2,500/- | |
Return Charge (Other CCY except INR) | USD 50 eqv NPR as on the day of return | |||
Amendment Charge (INR) | INR 500/- | |||
Amendment Charge (Other CCY except INR) | USD 10 eqv NPR as on the day of amendment received | |||
Cancellation charges | NA | |||
14.4 | Third Bank Transfer Charge (where beneficiary account maintained with other Banks in Nepal | Indo Nepal Remittance | INR 312.5 (eqv NPR 500/-) | |
Other Inward Transfers | INR 500/- | |||
14.5 | Bi.BI.Ni, Change/Cancellation | Rs. 500/- per instance | ||
14.6 | SPEED REMIT | Saving/Current A/c Holder | 0.25% or min. Rs. 300/- | |
OD/Loan Account holder | 0.20% or min. Rs. 200/- | |||
14.7 | RTGS (International) | Saving/Current A/c | 0.25% or Min. Rs. 300/-+RTGS charge Rs. 350/- | |
OD/Loan Account Holder | 0.20% or min. Rs. 200/-+RTGS charge Rs. 350/- | |||
Re-Processing Charge | As per revised Speed/RTGS Remit Charge issued from time to time. | |||
14.8 | RTGS (Domestic) | Morning Exchange | 10/- | |
Afternoon Exchange | 20/- | |||
Evening Exchange (Institution) | 100/- | |||
15 | LOCKER | Locker Rent | Annual Charges | Security Deposit |
Size A | Rs. 3000/- | Rs. 15000/- | ||
Size B | Rs. 4000/- | Rs. 20000/- | ||
Size C | Rs. 5500/- | Rs. 22000/- | ||
Size D | Rs. 8000/- | Rs. 25000/- | ||
Size E | Rs. 9000/- | Rs. 30000/- | ||
Size F | Rs. 10000/- | Rs. 30000/- | ||
Locker Overdue Charge | Rs. 300/- per overdue quarter | |||
Breakage Charge | Locker Break Open Charge + Newspaper Publication Charge + Other incurred charges + additional charge Rs. 2500/- (flat) | |||
Locker goods safe custody charge | Double of locker where goods are kept | |||
Locker Misc. Charge (like padlock breakage charge to recover from locker lessee if padlock is found locked in other’s locker & same type of other incidental cases). | Rs. 500/- | |||
16 | ASBA/CASBA | Rs. 5/- per application | ||
17 | COMMUNICATION | |||
17.1 | SWIFT | Domestic | Rs. 500/- | |
International | Rs. 1500/- | |||
17.2 | COURIER | Domestic | Rs. 100/- or actual charge whichever is higher | |
India | Rs. 1,500/- | |||
Other SAARC countries | Rs. 2,500/- | |||
Other Countries | Rs. 3,000/- | |||
17.3 | POSTAL | Domestic | Same as courier charge except for postal charges for domestic which shall be Rs. 50/-. | |
India | ||||
Other SAARC countries | ||||
Other Countries | ||||
18 | ACCOUNT BLACKLISTING | Listing & De-listing of the borrower with loan/facility above 10 million | Rs. 3,390.00 + Courier / Postal charge (if applicable). | |
Listing & De-listing of the borrower with loan/facility below 10 million | Rs. 2,260.00 + Courier / Postal charge (if applicable). | |||
MFI Listing & De-listing of the borrower | Rs.1,130.00 | |||
19 | OTHER MISCELLANEOUS | CCTV footage retrieval charge | a) Rs. 500/- per request- view only (required HO approval) | |
b) Rs. 1000/- per request- for footage (required HO approval) | ||||
No Charge, if request received is from law enforcement agencies (subject to disposal byelaws) | ||||
Old document/Record Retrieval Charges | a) Rs. 200/- after 6 months | |||
b) Rs. 500/- after 1 year | ||||
No Charge, if request received is from law enforcement agencies (subject to disposal byelaws) | ||||
DR/CR advice (duplicate) | Rs. 50/- per advice. | |||
20 | Certificates | Advance Payment Certificate | Rs. 300/- per certificate | |
FDI Certificate | Rs. 1000/- per certificate | |||
CMS/ECMS | Case to case basis upon HO approval | |||
Any other certificate | Rs. 500/- per certificate | |||
21 | Bank Guarantee Charges | |||
21.1 | Bid Bonds | 0.10%pm or Rs.1200.00 per quarter whichever is higher | ||
21.2 | Performance Bonds (other than mentioned below in (a) and (b) | 0.15%pm or Rs. 1500.00 per quarter whichever is higher | ||
(a) For Exim Code | ||||
(i) Issuance | 0.15%pm or Rs.1200.00 per quarter whichever is higher | |||
(ii) Amendment | 0.15%pm or Rs.2000.00 per quarter whichever is higher | |||
(b) For the submission of Court/Revenue Tribunal/Legal Dispute | 0.25% pm or Rs. 2500.00 per quarter whichever is higher | |||
21.3 | Advance payment Guarantee | 0.20% pm or Rs 1,500.00 per quarter whichever is | ||
higher | ||||
21.4 | Financial Guarantee | 0.20% pm or Rs. 3,000.00 per quarter whichever is higher | ||
21.5 | Counter Guarantee | |||
(i) Issuance on behalf of EBL customers | 0.10% pm or Rs.1500.00 + correspondent bank’s charges +SWIFT charge | |||
(ii) Issuance on behalf of Foreign Banks | 0.10% pm or Rs.1500.00 per quarter whichever is higher+other incidental charges | |||
21.6 | Shipping Guarantee | 0.20% pm. or Min. Rs. 5,000.00 per quarter | ||
21.7 | Supply Credit Guarantee | 0.10% pm or Rs.1,500.00 per quarter whichever is higher | ||
21.8 | Amendments | |||
(i) Amendments in guarantee not affecting value & expiry | Rs. 1,000.00 per amendment | |||
(ii) Amendment in Value and Time | Same as issuance charge | |||
(iii) Other amendment i.e. extension within same quarter or clauses of guarantee text | Rs. 1,500.00 per amendment | |||
(iv) Amendment of Counter Guarantee (EBL Charge only) | Same as issuance charge | |||
21.9 | Claim Handling Charge | Rs.1,000.00 flat per claim | ||
21.1 | Claim lodged but withdrawn on mean time within maturity of Guarantee | |||
21.11 | Claim Settlement charge | Rs.5,000.00 flat per settlement | ||
21.12 | Guarantee Claim Holding Charge / Miscellaneous Charge | Rs. 1,500.00 per instruction | ||
22 | E-CMS Charges 0.10% of transfer amount |