| ANNEX-
I |
| Name
of bank |
Pravara
Sahakari Bank Ltd. |
| Savinf
Bank A/c – no frills A/c |
|
| Minimum
Balance |
Rs.
25/- |
| Charges
for non maintenance thereof |
0 |
| Saving
bank a/c with cheque facility |
|
| Minimum
Blance |
Rs.
500/- |
| Charges
for non maintenance thereof |
|
| Minimum
balance |
Rs.
200/- |
| Charges
for non maintenance thereof |
Rs.
0/- |
| Other
saving bank a/c facility |
|
| Issue
of duplicate statement |
Rs.
5/- per pafe |
| Issue
of loose cheque leaves |
Rs.
1/- per leaf |
| Issue
of duplicate pass book |
Rs.
10/- |
| Mode
of calculation of minimum balance |
Monthly |
Remittance
facilies through own bank |
| DD-
issueminimum |
Rs.
2/- upto Rs. 1000/- for next.10ps
per 100/- |
| DD-
cancellation |
Na |
| DD-duplicate |
Na |
| DD-revalidation |
Na |
| Po
issue |
Rs.
2/- upto Rs. 1000/-for next.10ps per
100/- |
| Po
cancellation |
Na |
| Po
duplicate |
Na |
| Po-revalidatio |
Na |
| Tt
issue |
Rs.
2/- upto Rs. 1000/-for next.10ps per
100/- |
| Tt-cancellation |
Na |
| Ttduplication |
Na |
| TT
REVALIDATION |
NA |
| EFT
charges inwards |
Na |
| EFT
charges outwards |
Na |
| RTGS
charges outwards |
Na |
| RTGs charges inwards |
Na |
| Collection
of cheques |
Rs.2/-
upto Rs. 1000/-for next.10ps per
100/- |
Remittance
facility through other bank |
DD
issue |
1)
minimum Rs. 2/- upto
Rs. 1000/-and above Rs. 1000/-
@10%
2)
under MA scheme
upto
Rs. 1000/- Rs.
5/-
Rs.
1000/- to 2500/- Rs. 10/-
Rs.
2501 to 5000/- Rs. 15/-
Rs.
5001 to Rs. 10000/- Rs.
20/-
above Rs.10000/- Rs.
2/- per thousand and minimum Rs. 1500/- |
| DD-
cancellation |
Na |
| DD-duplicate |
Na |
| DD-revalidation |
Na |
| Po
issue |
Rs.2/-
upto Rs. 1000/-for next.10ps per
100/- |
| Po
cancellation |
Na |
| Po
duplicate |
Na |
| Po-revalidatio |
Na |
| Tt
issue |
Rs.2/-
upto Rs. 1000/-for next.10ps per
100/- |
| Tt-cancellation |
Na |
| Ttduplication |
Na |
| TT
REVALIDATION |
NA |
| EFT
charges inwards |
Na |
| EFT
charges outwards |
Na |
| RTGS
charges outwards |
Na |
| RTGs charges inwards |
Na |
| Collection
of cheques |
Rs.2/-
upto Rs. 1000/-for next.10ps per
100/- + postage charges |
Forigen
exchange transactions |
Na |
Remittance
outwards |
Na |
Remittance
inwards |
Na |
TCs-
selling |
Na |
TCs
encashing |
Na |
TCs
forign currency |
Na |
Cheque
collection |
Na |
Locak
|
Rs.2/-
upto Rs. 1000/-for next.10ps per
100/- + postage charges |
Outstation
through own bank |
Na |
Outstation
through another bank |
Na |
Bouncing
of cheques local |
Na |
Bouncing
of cheques oustation through own
bank |
Na |
Bouncing
of cheques oustation through another
bank |
Na |
|
|
| ANNEX-
I |
a.
Service rendered free of charge :-
b. Others |
| Minimum
balance to be maintained in SB account |
Rs
200/- |
| Charges
livable for non maintained of minimum balance in SB a/c |
0 |
| Charges
for collection of outstation cheques |
Rs. 2/-
upto Rs. 1000/-for next.10ps per 100/- |
| Charges
to issue of Demand Draft |
Rs. 2/-
upto Rs. 1000/-for next.10ps per 100/- |
| Charges
to issue of cheque book if any |
Saving
Rs. 25/- current Rs. 50/- |
| Charges
for a/c statement |
Rs. 5/-
per page |
| Charges
for a/c closure if any |
Na |
| Charges
for deposit/withdrawal at ATM location if any |
Na |