Charges related to your account |
Charges for Non-Maintenance (in Rs.) |
1000 if MAB>=50% & 1800 if MAB<50% |
Cash Deposit - Home & Non-Home Branch (Combined) Charges (Min 50 per txn,in Rs.) |
3.5/1,000 |
Monthly Service Charge (in Rs.) |
100 |
Business Classic Debit card issuance and annual fees (in Rs.) |
250 and 250 |
Business Platinum Debit card issuance and annual fees (in Rs.) |
500** and 500** |
Business Supreme Debit card issuance and annual fees (in Rs.) |
1000* and 1000* |
Cheque Returns (Inward) - Issued by Customer (in Rs.) |
750 per instrument |
Cheque Returns (Outward) - Deposited by Customer (in Rs.) |
100 per instrument |
BNA Convenience charges (Applicable on cash deposit in Cash Deposit Machines (CDM) post office hours on working days and entire day on holidays) |
Current Accounts maintaining Scheme MAB/AQB: Up to Rs. 10,000 - Rs. 25 per txn
Above Rs. 10,000 and up to 50,000 - Rs. 30 per txn Above Rs. 50,000
and up to 1,00,000 - Rs. 40 per txn Above Rs. 1,00,000 - Rs. 50 per txn
Current Accounts not maintaining Scheme MAB/AQB: Rs. 100 per txn |
ECS (Debit)Returns (in Rs.) |
750 per instrument |