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SCHEDULE OF CHARGES
EFFECTIVE FROM 01-07-2017 TO 31-12-2017
(Federal Excise Duty (FED) and all other applicable Government levies on any specified service will be
charged in addition to the Service Charges as listed below, if not mentioned otherwise.)
DOMESTIC BANKING
PL Category
Sr. No. Description Rate of Charges
(T24)
A REMITTANCES
1 Issuance of Fresh Instruments
(a) Issuance of DDs/Allied Banker Cheque (ABC) Issued by Debit to Account: 52113
Payable at any Branch in Pakistan Upto Rs.500,000 Flat Rs.250/-
From Rs.500,001 to Rs.1,000,000 Flat Rs.400/-
Above Rs.1,000,000 Flat Rs.600/-
Note:
The charges for making the instrument for payment of fee dues in favour of
educational institutions, i.e HEC /Board etc. not to exceed 0.50% of fee /dues
amount or Rs.25/- per instrument (including FED) whichever is less.
(b) Issuance of Pay Order / Allied Banker Cheque Issued by Debit to Account: 52103
(ABC) Payable at Issuing Branch only. Rs.250/- Flat
Issued Against Cash
0.20% Min Rs.500/-
(Account Holders & walk-in-customer)
Note:
The charges for making the instrument for payment of fee dues in favour of
educational institutions, i.e HEC /Board etc. not to exceed 0.50% of fee /dues
amount or Rs.25/- per instrument (including FED) whichever is less.
(c) Issuance of Call Deposit Receipt Issued by Debit to Account: 52067
Rs.100/- Flat
Note:
The charges for making the instrument for payment of fee dues in favour of
educational institutions, i.e HEC /Board etc. not to exceed 0.50% of fee /dues
amount or Rs.25/- per instrument (including FED) whichever is less.
2 Cancellation of Instruments
Cancellation of Demand Draft/Pay Order/Call Issued by Debit to Account:
Deposit Receipt/Allied Banker Cheque (ABC) Rs.250/- (Flat)
Payable at any Branch or Payable at Issuing Issued Against Cash
branch Rs.500/- (Flat)
(Account Holders & walk-in-customer)
52114
Note:
The charges for cancellation of instruments issued for payment of fee dues in
favour of educational institutions, i.e., HEC /Board etc. not to exceed 0.50% of
fee /dues amount or Rs.25/- per instrument (including FED) whichever is less.
3 Issuance of Duplicate Instruments
Issuance of Duplicate Demand Draft/Pay Order/Call Issued by Debit to Account: 52115
Deposit Receipt/Allied Banker Cheque (ABC) Rs.300/- Flat
Payable at any Branch or Payable at Issuing Issued Against Cash
branch Rs. 600/- Flat
(Account Holders & walk-in-customer)
Note:
The charges for issuance of duplicate instrument issued for payment of fee dues
in favour of educational institutions, i.e., HEC /Board etc. not to exceed 0.50% of
fee /dues amount or Rs.25/- per instrument (including FED) whichever is less.
Note:
Recovery of charges under Cash Management or any other arrangement shall be subject to agreement.
4 Rupee Travellers' Cheques
(a) Issuance of Rupee Travelers' Cheques No Charge
(b) Issuance of Duplicate Rupee Travelers' Cheques. Rs.50/- per leaf 52066
5 Issuance of SBP/NBP Instruments & RTGS
Page 1 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(a) Issuance of SBP/NBP Cheque on Customer's
REMITTANCES Rs.500/- per cheque
Request. 52065
(b) Transfer of fund of Rs.1,000,000/- & above through FUNDS OUTFLOW
Real Time Gross Settlement (RTGS) System - MT
Days Receipt of RTGS Request Per Trans.Charges
103 Facility
Monday From 9.00 AM to 1.00 PM Rs.220/-
to From 1.00 PM to 3.00 PM Rs.330/-
Friday From 3.00 PM to 3.30 PM Rs.550/-
52121
FUNDS INFLOW
No Charge
Note:
RTGS charges payable to SBP are not Negotiable
(c) Transfer of fund of Rs.100,000/- & above through FUNDS OUTFLOW
Real Time Gross Settlement (RTGS) System - MT
102 Facility Days Receipt of RTGS Request Per Trans.Charges
Monday
Maximum 10 Payment Instructions in one MT 102 to From 9:00 AM to 3:30 PM Rs. 50/-
Friday
52121
FUNDS INFLOW
No Charge
Note:
RTGS charges payable to SBP are not Negotiable
6 Inter Branch Online Transactions
(a) Cash Withdrawal a) Within City - Free 52014
b) Inter City
Upto Rs.500,000 - Rs. 300/-
From Rs.500,001 to Rs.1,000,000 - 0.075%, Minimum Rs.375/-
Above Rs.1,000,000 - 0.10%, minimum Rs. 1,000/-
Maximum Rs. 3,000/-
(b) Cash Deposit a) Within City - Free 52015
b) Inter City
Upto Rs.500,000 - Rs. 300/-
From Rs.500,001 to Rs.1,000,000 - 0.075%, minimum Rs.375/-
Above Rs.1,000,000 - 0.10%, minimum Rs. 1,000/-
Maximum Rs. 3,000/-
Note:
No service fee shall be charged from the students depositing the amount of fee
directly in the fee collecting account of the educational institution.
(c) Account to Account Transfer a) Within City - Free 52112
b) Intercity - 0.05 %, Minimum Rs.250/- Maximum Rs.2,000/-
Note:
No service fee shall be charged from students depositing amount of fee directly
into fee collecting account of educational institutions.
(d) Cheque / Instrument deposit for Clearing / a) Within City - Free 52116
Collection by Remote Branch b) Intercity - 0.05% Minimum Rs.300/- Maximum Rs.2,000/-
Note:
No Charges on collection of ABL's Dividend Warrants on ABL's shareholders
maintain account with ABL.
(e) Inter Bank Fund Transfer (IBFT) from branch Rs. 500/- Flat - for transfers from Account. 55523
counter (Maximum single transfer of Rs. 250,000)
Page 2 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
ILC Opening commission - Annual Business
REMITTANCES
(a) Upto Rs 50 Million 0.40% per quarter or part thereof
Exceeding Rs. 50 Million up to Rs 75 Million 0.35% per quarter or part thereof
Exceeding Rs. 75 Million up to Rs 100 Million 0.30% per quarter or part thereof 52328
Above Rs 100 Million Negotiable per quarter
Page 3 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(i) Commission - if Bill is paid on due date
REMITTANCES a) Commission Rs. 1000 Flat per bill. (if realized within
LC validity)
b) Commission @ 0.10% per month or part thereof.
Minimum Rs. 1000 per bill from the date of expiry 52343
of LC (if bill realized after LC validity)
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(ii) Mark Up - If Bill is paid on due date No Markup
(d) If bill is not paid on due date.
(i) Commission - If bill is not paid on due date Commission @ 0.40% Flat, Minimum Rs 1000 52358
i.e Finance Against Dishonoured Bill Plus extra commission @ 0.10% per month to be recovered from the date of
(FADB) expiry of LC
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(ii) Mark Up - If bill is not paid on due date, i.e, Mark up @20% p.a. from the due date of the bill till the date of adjustment. 52358
LC paid through Finance Against
Dishonoured Bill (FADB)
7 Bills Under ILC - Negotiating End
(a) Bills Under Sight ILC
(i) Commission 0.55% Minimum Rs. 800/- (irrespective of the amount of LC) 52343
Plus actual charges of other collecting Banks if any.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(ii) Markup a) Mark-up to be recovered as per terms of Approval
or Minimum @ 16% p.a.
b) If the bill is paid after 15 days from the date
of purchase /discounting, mark-up @ 20%
p.a. to be charged for the entire period.
(iii) Collection Charges for restricted LCs Rs.1000/- Flat 52342
(Where negotiation is restricted to other Plus actual charges of other collecting Banks if any.
bank and presented to us for forwarding) Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(b) Bills Under Usance ILC
(i) Commission Commission 0.40%, Minimum Rs 1000/-.
Plus correspondent banks charges at actual. 52358
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(ii) Mark-up to be recovered on Discounting/ In case of Approved Limit:
Negotiation: Mark-up at approved rate will be applied.
52358
In Absence of Approved Limit:
Mark-up @ minimum 16 % p.a
(iii) In case bill paid after due date Markup @ 20% p.a. to be charged from due date till the date of adjustment.
8 Purchase / Discounting of Bills - Documentary Bills Without ILC
(a) Documentary Bills purchased other than those a) Commission 0.40% - Minimum Rs.1000/-
drawn against Letter of Credits.
Plus actual charges of other collecting Banks if any.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
52344
b) Mark-up to be recovered as per terms of Approval.
c) If bill paid after due date, mark-up @ 20% p.a. to
be charged from due date till date of adjustment.
(b) Clean Bills (Cheques, Bank Drafts etc.) a) Commission 0.40% - Minimum Rs.100/-
Page 4 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(a) Advising charges of (inward) ILC or Amendment
REMITTANCES Rs 1500/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52328
(b) ILC Confirmation Charges @ 0.25% per month. Minimum Rs.1,500/- or as per agreed Pricing with Financial
Institution Division. 52328
(c) Handling of Discrepant documents under ILC. Rs.3,000/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52310
(d) Bills returned unpaid under ILC Rs 500/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52359
Plus correspondent banks charges at actual.
(e) If the documents are sent to other banks for Rs.1,100/- Plus applicable charges.
negotiation/collection under restricted ILC. Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52342
Plus correspondent banks charges at actual.
(f) Returning Charges for Documentary and Clean Rs.500/- Flat
collection (Clean Collection including cheques, Foreign Currency Account US$ 10/- Flat or equivalent FC
Bank draft etc.) Plus actual charges of other collecting Banks if any. 52359
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
C GUARANTEES
1 Issuance of Guarantees (General)
(a) Issuance of Guarantees to Shipping Companies / Rs.1,500/- Flat 52361
Airlines / Transport Companies in lieu of bills of
lading / Airway Bill / Truck Receipts / Railway Plus applicable Dispatch / Communication Charges as per tariff in Section I.
Receipts.
(b) Issuance of Guarantees favouring Collector of
Customs.
0.60% per quarter or part thereof. Minimum Rs.1500/-
Not issued against 100% Cash Margin / lien on
current account 52371
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
Minimum Rs.1500/- per annum per guarantee or Rs.500/- per quarter wherever
guarantee validity is less than one year.
Note: -
a) In case of Gurantees issued agains 100% cash Margin/ Lien on current account, no Commission will be charged except
applicable Dispatch/Communication charges as per tariff in Section I,
b)
(i) Commission to be charged on all Guarantess from the date of issue till expiry of the Guarantee including claim validity period
or till such time the bank is released from its libilities which ever is higher.
(ii) Rs. 2000/- per month or part thereof will also be charged after expiry date of LC till receipt of original Guarantee and release
of shipping documents under clause C(1)(a).
c) Negotiable Rates are approved by Chief CIBG/CRBG and RMG
d) Projected annual volume to be ascertained and approved by Chief CRBG/CIBG.
e) If business commitments are not documented in Credit Approval, separate commitment letter from customer for
paying difference in commission arising out of shortfall in business commitment should be obtained & placed on record . Any
difference in commission arising due to shortfall in business volume will be recovered at the end of the year. Any waiver in this
regard will be given by the CEO.
f) All out of pocket expense on Guarantees to be charged at actual, irrespective of lien or margin held.
2 Amendments in Guarantees (General)
(a) Without increase in amount /extension in period Rs.1,200/- Flat for PKR denominated guarantees.
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52381
(b) Involving increase in amount and/or extension in Issuance commission as in C(1) according to nature/type of guarantee.
period Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52372
3 Issuance of Guarantees (Back to Back)
Page 5 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(a) Issuance of Back to Back Guarantees, Including
REMITTANCES As per other Guarantees as mentioned at Sr. # C(1)(c)(ii) above. Minimum US $
Bid Bonds, Performance Bonds, Advance Payment 100/-
Guarantees issued against counter guarantees of (Above Commission subject to negotiations with clients & correspondent 52373
Foreign Banks. arrangements by Financial Institution Division)
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(b) Amendment in Back to Back Guarantees
(i) Without increase in amount /extension in US $ 60 Flat
period Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52381
(ii) Involving increase in amount and/or Commission as per Guarantees as mentioned at Sr. # C(3)(a) above.
extension in period Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52373
4 Claim Lodgment
(a) Handling Commission Rs. 2,500/- Flat
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52382
Plus charges for instrument issued for payment of claim to beneficiary.
(b) Mark Up - In case Forced Liability is created for Mark-up @ 20% p.a. will be charged from the date of creation of the forced Regular
payment against invocation of guarantee liability till its complete adjustment. markup
category
D LOCKERS
1 Safe Deposit Lockers - Annual Fee to be recovered in advance in Calendar Quarter when locker is issued.
(b) From 0.41 to 0.80 cft & From 0.81 to 1.35 cft - Rs.4,000/- p.a. Rs.70,000/-
Medium 55511
(c) From 1.36 to 1.75 cft & From 1.76 to 2.00 cft - Rs.5,500/- p.a. Rs.100,000/-
Large
(d) From 2.01 to 2.50 cft & From 2.51 to 3.00 cft - Rs.7,000/- p.a. Rs.125,000/-
Extra Large
Note:
Security Deposit is inclusive of key deposit, which is refundable at the time of vacation of Locker.
2 Key Deposit Small Rs.3,000/- (Flat)
(refundable at the time of surrender of locker) Medium Rs.3,500/- (Flat)
Large/Extra Large Rs.5,000/- (Flat)
3 Locker Breaking Charges Rs. 6,000/- or actual which ever is higher
55512
4 Late Payment Charges on Locker Rent 10% of the applicable annual locker rent with grace period of 30 days from the
(If annual rent not paid on due date) due date. 55513
Page 6 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(b) One Time Transactions, Amendment, Temporary
REMITTANCES S.No Amount of Limit (Rs.) Processing Charges
Enhancements & EOLs i) From 0 upto 5 Million Rs. 1,000/-
ii) Above 5 upto 10 Million Rs. 2,000/-
iii) Above 10 upto 25 Million Rs. 3,000/- 52195
iv) Above 25 upto 50 Million Rs. 4,000/-
v) 50 Million & above Rs. 5,000/-
(c) Issuance of NOC for creation of charge on asset(s) Rs.10,000/- (Flat) or as negotiated with customer for limits exceeding Rs. 100
of the borrowing company in favor of other bank(s) / Million as approved by Chief CRBG. 52193
DFI (s)
3 Agricultural Finance
(a) Processing charges on CA of Agriculture for Fresh, a) For All Farm Loans
Renewals, Enhancements, Regular Proposals S.No. Amount (Rs.) Processing Charges
(Fund Based) i) 0 to 0.5 Million Rs.1,000/-
ii) Above 0.500 to 0.999 Million Rs.2,000/-
iii) for 1 Million and Above Rs.3,000/- 52031
Page 7 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(e) Vehicle Re-Possession Charges
REMITTANCES Actual incurred by the bank up to a maximum of Rs. 50,000/-
(f) Repossessed Vehicles Transportation Charges Actual incurred by the bank up to a maximum of Rs. 50,000/-
(g) Repossessed Vehicles valuation Charges Actual incurred by the bank up to a maximum of Rs. 25,000/-
(h) Monthly Warehouse Charges Actual incurred by the bank up to a maximum of Rs. 30,000/-
(i) Auction Charges Actual incurred by the bank up to a maximum of Rs. 100,000/-
(j) PO/DD/ABC Reissuance Charges Rs. 3,000/- per instance 52687
(k) NOC Issuance Fee Nil
(l) NOC Re-issuance Fee Rs. 1,000/- 52687
(m) Prepayment Charges Partial Pre-Payment
Up to 5% of the amount being prepaid up to a maximum of Rs. 50,000/-
52688
Full Pre-Payment
Up to 4% of principal outstanding up to a maximum of Rs. 50,000/-
8 Other Charges Relating to Advances
(a) Professional Fee for Valuation of Mortgaged / As per Actual Bill of evaluator 52153
Pledged Assets - Charges for evaluation of
securities and maintenance thereof
Note:
While recovering the above charges, the amount recovered from the borrowers shall not exceed the actual expense incurred.
Page 8 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(e) Cash Advance Fees
REMITTANCES Rs.500/- (per transaction) or 3% of the cash transaction amount whichever is
higher plus all the charges passed on by the acquiring bank, additionally
applicable withholding tax on the sum of all the transactions in a day exceeding 52704
Rs.50,000/-
(f) Balance Transfer Processing Fees Rs.500/- 52706
(g) Allied Easy Installments Processing Fees Rs.500/-
(h) PO / DD /ABC Issuance Fees Rs. 500/- or 3% of PO/DD/ABC amount whichever is higher plus PO/DD/ABC
issuance charges
(i) Voucher Retrieval Fees Local Rs.400/- per voucher
International Rs.1,000/- per voucher
(j) Arbitration Charges for disputed transaction At Actual 52710
(k) Cheque Return Charges / insufficient funds on auto Rs.1200/- per instance
debit 52711
(l) Duplicate Statement No Charge 52712
(m) E-Statements No Charge
(n) Card Replacement Fees Upto Rs 500/- 52713
(o) Foreign Transaction (International) : Upto 4% over prevailing market rate on all foreign currency transactions or as
per SBP directive. Any foreign currency transaction (other than US Dollars) will
be first converted into US dollar as per the rate quoted under arrangement with
VISA.
(p) Credit Protector (Optional) Upto 0.35% of outstanding amount
(q) Allied Easy Installment Prepayment Penalty Upto 10% of the remaining amount
(r) Priority Pass Annual Fee No Charge
(s) Priority Pass per Visit Cost US$ 30/-
(t) Priority Pass Replacement Card Fee Rs.600/-
G ALLIED BANK - DIGITAL CHANNELS
1 Allied Cash + ATM Card
(a) Annual Fee Rs.600/- 52736
(b) Card Replacement Fee Rs.300/- 52737
2 Allied PayPak Debit Card Classic
(a) Annual Fee Rs. 750/- 52736
(b) Card Replacement Fee Rs. 400/- 52737
3 Allied Prepaid Debit Card
Standard Prepaid Card Issuance Fee 200 52731
(a) Card Replacement Fee 200
Re-load fee Free
Chip Enabled Prepaid Card Issuance Fee 500 52732
(b) Card Replacement Fee 400
Re-load fee Free
4 Allied Cash + Shop VISA Debit Card (VDC)
(a) Classic
(i) Annual Fees Rs.750/- 52736
(ii) Card Replacement Fee Rs.400/- 52737
(b) High Value Package (Sapphire)
(i) Annual Fees Rs.1,000/- 52736
(ii) Card Replacement Fee Rs. 500/- 52737
(c) Special Limit Package (Sapphire-200)
(i) Annual Fees Rs.2,000/- 52736
(ii) Card Replacement Fee Rs. 500/- 52737
(iii) Special Limit Allocation Service Fee Rs.1,000/- 52745
(d) Upgrade / Downgrade Fee for ATM / VDC
(i) Upgrade from Allied Cash + ATM Card to a) No Charge for upgrade. Chip issuance fee for a new chip based VDC will be
VDC applicable. 52747
b) Annual fee of upgraded package will apply from the next due fee cycle
(ii) Upgrade VDC to High Value Package a) No Charge for upgrade. Chip issuance fee will be applicable in case upgrade
(Sapphire) is requested on non chip card to chip card. 52748
b) Annual fee of upgraded package will apply from next due fee cycle
(iii) Downgrade to Any Lower Package - All Rs.200/-
cases
(iv) Chip Issuance Fee Rs. 150/-
Applicable only on the issuance of new chip based VDC 52749
(e) Other Charges - ATM / Debit Card
(i) Transaction Retrieval Fee Rs.300/- for domestic
Rs.900/- for international transactions 52738
Page 9 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(ii) Arbitration charges (in case of false charge At Actual
REMITTANCES
back - International) 52739
5 Point of Sale (POS)
(a) Charges on Purchase Transactions (Domestic) No Charge (On Net)
(b) Charges on Purchase Transactions (Domestic) No Charge (Off Net)
(c) Currency Conversion Fee (International POS Upto 4% over prevailing market rate on all foreign currency transactions or as
Transactions) per SBP directive. Any foreign currency transaction (other than US Dollars) will
be first converted into US dollar as per the rate quoted under arrangement with
VISA.
6 ATM Transaction Charges
(a) Charges on Cash Withdrawal Transactions No Charge from ATM of account holder branch
(Domestic) - On Net No Charge from ATM of same city branch
No Charge from ATM of Intercity branch
(Not applicable on Allied Basic Banking Account
holders)
(b) Charges on Cash Withdrawal Transactions Rs.15/- (Off net) or as applicable
(Domestic) - Off Net 55522
(c) Currency Conversion Fee (International ATM Upto 4% over prevailing market rate on all foreign currency transactions or as
Transactions) per SBP directive. Any foreign currency transaction (other than US Dollars) will
be first converted into US dollar as per the rate quoted under arrangement with
VISA.
(d) Charges on Balance Enquiry - On net No Charge 55572
(e) Charges on Balance Enquiry - Off net Rs.5/- per enquiry or as applicable 55528
(f) Charges on Balance Enquiry (International) Rs.200/- per enquiry 55524
(g) Inter Accounts Funds Transfer through ATMs Rs.50/- per transaction
(Domestic - Within ABL) 52744
(h) Inter Bank Funds Transfer through ATMs Rs.135/- per transaction
(Domestic) 52720
Note:
a) Annual Fee to be recovered in advance in Calendar Quarter when card is issued. No refund on account
closure. All charges/fees are applicable on per-card basis.
b) The exchange rate between the transaction currency and the billing currency used for processing
foreign currency transactions is a wholesale market rate selected by VISA from within a range of
wholesale rates in effect plus the percentage that Allied Bank charges on account of Foreign
Currency Conversion.
c) Free issuance of Allied PayPak Debit Card for Asaan Accountholders (First year Annual Fee waiver. Annual Fees apply as per
SOC from second year).
d) No Annual Fee for salary account of ABL Employee (one account only).
e) On Net means transaction carried out at ABL ATM network.
f) Off Net means a switch transaction carried out at other Bank ATM network (1Link/MNET).
7 Allied Internet Banking
(a) Allied Personal Internet Banking
(i) Internet Banking Registration Charges Free 55001
(ii) Internet Banking Annual Subscription Charges Free 55002
(iii) All financial transactions through Internet Banking Rs.10/- per transaction
including Inter Account Funds Transfer (excluding
Inter Bank Fund Transfer already covered under Sr. 55003
# G (5)(d). (Not applied on Allied Basic Banking
Account holders)
(iv) Inter Bank Funds Transfer through Allied Direct Rs.135/- per transaction
Internet Banking (Domestic)
55004
(b) Allied Business Internet Banking Charges to be agreed with client on a case to case basis.
8 IVR / Phone Banking
(a) Funds Transfer Own Account of Customer Rs. 50/- per transaction 55301
(b) Funds Transfer Any ABL Account Rs. 50/- per transaction 55302
9 Domestic Remittance Services (JazzCash)
(a) Money Transfer - Send Money to CNIC Charges will be levied as per prevalent JazzCash Service Charges 52785
10 Allied SMS Banking
(a) SMS Banking Registration Charges Free
(b) SMS Banking Annual Subscription Charges Free
(c ) All financial transactions through SMS Free
Note:
Customers may incur charges at their sole responsibility from the mobile service provider for sending &/or receiving SMS messages.
H MISCELLANEOUS CHARGES
Page 10 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
1 Issuance of Cheque Book
REMITTANCES Rs. 12/- Flat per leaf for PLS Accounts. 52003
Rs.10/- Flat per leaf for Current Account.
FCY Accounts, US $ 5 per cheque book of 25 leaf or equivalent in other Foreign
Currencies.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
Charges will be debited to the respective account at the time of cheque book
requisition.
2 Stop Payment Instructions Rs 400/- per instruction for Rupee Account 52002
US$ 10/- per instruction for FC Accounts (or equivalent in other Foreign
currencies) and FC Cheques / Drafts
3 Standing Instructions
(a) Standing Instructions Fee Rs.200/- per transaction except deduction of loan installments 52017
Plus all charges for transaction executed under these Standing Instructions as
per applicable rates of that relevant transaction.
(b) Failed Standing Instructions due to error on Rs.200/- per attempt 52009
the part of the customer
4 Cheque Returned Charges
(a) Cheque returned Inward Clearing: Rs. 450/- per cheque from Issuer (Local Currency) 52058
(If returned due to fault on the part of respective US$ 5/- per cheque from Issuer (or equivalent in other Foreign currencies)
account holder i.e. balance insufficient in account,
drawer's signatures incomplete /differ/ required,
cheque contain extraneous matter, payment
stopped by drawer, revenue stamp required/
insufficient & mutilated cheque etc.
(b) Cheque returned on counter No Charges
5 Clearing Charges
(a) Same day clearing (at the time of Lodgment) Rs.500/- (including NIFT Charges) 52056
(b) Intercity clearing (at the time of Lodgment) Rs.400/- (including NIFT Charges) 52057
(Rawalpindi-Islamabad are considered as one city)
6 Balance confirmation certificate required by Rs. 250/- per certificate 52029
Customers other than auditors.
7 Bank Certificate for the purpose of Visa Rs. 300/- per certificate 55559
Note
No charges on Bank Certificate for Tax Purposes.
8 Account closing processing charges
(a) Local Currency Account. Rs. 300/-or whatever minimum balance available in Account. 52001
No Charges if closed by the Bank.
No Charges for regular Saving Accounts
(b) Foreign Currency Account: US$ 12/- or whatever minimum balance is available in Account. 52001
No Charges if closed by the Bank.
9 Account Maintenance Charges
(a) Service Charges on all Accounts where minimum
monthly average balance falls below:
i) ABA Accounts Rs. 50,000/- i) Rs. 100/- p.m. (Inclusive of all taxes)
ii) Current Accounts Rs. 25,000/- ii) Rs. 50/- p.m. (Inclusive of all taxes) 52022
iii) Saving Products iii) Rs. 50/- p.m. (Inclusive of all taxes)
(other than Regular
Saving Accounts) Rs.10,000/-
(b) Foreign Currency Account
Page 11 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(c) Service charges on "Allied Basic Banking
REMITTANCES
Accounts" at Parent branch only.
i) Accounts maintained by employees of Govt./Semi-Govt.Institutions for Salary, Pension and Benevolent Funds purpose
including widows/children of deceased government employees eligible for receiving family pension/benevolent funds
grant etc. in any manner what so ever.
ii) Mustahqeen Zakat
iii) Zakat Accounts Maintained for collection & disbursement of Zakat Funds
iv) Students
v) ABL employees Salary Account.
vi) Deceased Accounts.
vii) Any account specially exempted by the Bank under Cash Management or under any other special arrangement.
10 eCIB Charges. Rs. 50/- flat 52152
(No eCIB Charges to credit card holders, customers of Allied Business Finance,
Allied Personal Finance and Channel Finance-OMC)
11 Printing of duplicate /additional Statement of Rs.30.17 plus FED Rs.4.83 = Rs.35/- per statement 52016
Account For FCY Accounts, rupee equivalent of charges will be deducted from FCY
Account
12 Photocopy of paid Cheques provided to Upto one year old: Rs. 200/- per cheque 52663
customer. Above one to five year old: Rs.500/- per cheque
Above five year old: Rs. 750/- per cheque
13 Investors Portfolio Account (IPS)
(a) IPS Maintenance Account Charges No Charges 52023
(b) IPS Transaction Charges Free 52023
Note:
RTGS charges to be recovered as per SoC.
14 Transactional Alert Facility Rs.60/- per month for each account. 52714
15 Charges from employer on Salary Rs. 50/- per salary account per month 52008
Disbursement service (without any formal
arrangement with Bank).
Note
17 Dividend Warrant
(a) Charges on Dividend Warrants (to be recovered 0.30% of disbursed amount - Minimum Rs. 10,000/- 52104
from dividend declaring companies)
Note:
a) Dividend Warrant (DW) charges are negotiable
with the Customers depositing full Dividend
amount in advance or Rs.50 Million, whichever
is less in Dividend Account (Current) for
payment of Dividend Warrants.
b) In case DWs are not printed through a Printer
referred by the Bank and subsequently it is
found that the DWs are rejected by NIFT while
processing for payment, actual charges of
NIFT applicable on Non-Standard Instruments
will be recovered from the Dividend declaring
Company.
I DISPATCH / COMMUNICATION CHARGES
1 Postage - Ordinary
(a) Local - Within City Rs. 30/- Flat - Per Item 52691
(b) Inland - Inter City Rs. 50/- Flat - Per Item 52691
Page 12 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
2 Postage - Registered
REMITTANCES
(a) Local - Within City Rs. 50/- Flat - Per Item 52691
(b) Inland - Inter City Rs. 70/- Flat - Per Item 52691
(c) Foreign Rs. 200/- Flat - Per Item 52691
(d) For Inland LC Rs. 200/- Flat - Per Item 52357
(e) For Foreign Import LC Rs. 1,200/- Flat - Per Item 52356
3 Courier
(a) Local - Within City Rs. 100/- Flat - Per Item 52357
(b) Inland - Inter City Rs. 250/- Flat - Per Item 52357
(c) Foreign Foreign Rs.2,000/- per instance for every 0.5 KG of weight or part thereof, or
actual which ever is higher
52356
4 SWIFT
(a) Full Text LC / Guarantee Messages Rs. 2,000/- Flat - Per Item 52356
(b) LC / Guarantee Amendment Messages Rs. 700/- Per Message 52356
(c) All other SWIFT Messages Rs. 700/- Per Message 52357
5 FAX / Other Communication Charges
(a) FAX Message Rs. 100/- Flat - Per Message 52357
(b) Communication Expense Rs. 100/- Flat - Per Item 52205
Note:
These charges will not be applicable on internal communication from trade factory to branches and vice versa.
INTERNATIONAL BANKING
J IMPORTS
1 Cash Letter of Credit - Issuance
(a) Cash Letters of Credit Opening Commission -
Annual Business First quarter or Each subsequent quarter
part thereof or part thereof
Upto Rs.25 Million 0.40% 0.25%
Above 25 Million upto Rs.50 Million 0.35% 0.20%
Above Rs. 50 Million upto Rs. 100 Million 0.30% 0.20% 52306
Above Rs 100 Million Negotiable
Page 13 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
3 Revalidation (Extension in period after LC
REMITTANCES Commission to be recovered from the date of last expiry of LC until new expiry 52306
expiry) date of LC at rates applicable in case of opening of fresh LC as mentioned in Sr.
# J-1 above (LC commission will be calculated on the amount of liability as per
Exchange rate prevailing on the date of revalidation).
Revalidation commission will be charged on acceptance by the applicant to
submission of documents against expired LCs negotiating /opening bank's
counters.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
4 Cancellation charges. Rs.2,000/- per LC 52346
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
5 Transfer Commission Transfer commission at the rates applicable in case of opening of fresh LC. (Sr. 52306
# J-1 above).
Plus LC revalidation charges (Sr. # J-3), if the expired LC is revalidated along
with its transfer to a new beneficiary
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
6 Import Bills Under Sight LC - Payment
Against Documents (PAD net of Cash
Margin)
(a) Service Charges 0.15% on bill amount or Minimum Rs.1200/- 52348
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(b) Commission
(i) If bill is retired (paid) within 15 days from the No commission
date of negotiation appearing on covering
schedule/value date (which ever is
applicable) or from date of
lodgment/remittance by the branch till date
of payment.
(ii) Commission - If bill is retired (paid) during 0.25% on purchase price 52352
16-30 days from the date of lodgment.
(c) Mark-up to be recovered on PAD amount (NET OF
CASH MARGIN - held since opening of LC or
before negotiation of documents):
(i) In case of Special Approval: Mark-up at approved rate to be applied from the debit to NOSTRO Account or Markup
PAD Lodgment whichever is earlier till the date of retirement, after adjustment of relevant
cash margin, if any.
code will be
used
(ii) In case of No Special Approval: Mark-up will be charged @ 3 Month KIBOR plus 5 % p.a. Markup
relevant
code will be
used
(d) Past Due Obligations (PDO) - If bill is not adjusted
within 30 days
(i) Commission on Transfer to PDO 0.35% on purchase price. 52352
(ii) Mark Up after transfer to PDO @ 20% p.a to be charged for PDO period
For PDO cases against FE-25 finance, markup rate will be charged with addition 52352
of 4% over and above the advised /agreed lending rate where exception approval
is not available with branch.
(iii) Mark-up on import bills under Forced FIM, a) Markup to be charged @ 20% p.a.
(Bill not retired and party has no sanctioned b) Plus Bank commission @ Rs.0.40% on purchase price .
FIM facility)
7 Import Bills Under Usance LC - Acceptance
(a) Service Charges 0.15% or Minimum Rs.750/-
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52348
(b) Commission
(i) If Bill is paid within due date a) Commission Rs. 1000 Flat per bill. (if adjusted within
LC validity) 52358 Inland
b) Commission @ 0.15% per month or part thereof. Import
Minimum Rs. 1000 per bill from the date of expiry
Foreign
of LC (if bill adjusted after LC validity)
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
52306
(ii) If bill is not paid within due date, i.e., LC Commission @ 0.40% Flat, Minimum Rs 1000 plus extra commission @ 0.10%
paid through Finance Against Dishonored per month to be recovered from the date of expiry of LC
Bill (FADB) Plus Mark up as per Sr. # J (7)(c) below 52352
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(c) Markup
(i) If Bill is paid within due date No Markup
Page 14 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(ii) If bill is not paid within due date, i.e., LC
REMITTANCES Mark up @20% p.a. from the due date of the bill till the date of adjustment.
paid through Finance Against Dishonored
Bill (FADB)
8 Collection Charges
(a) Service Charges 0.15% or Minimum Rs.750/-
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52348
(b) Commission a) Rs.1000/- (Flat) per collection if charges are on
drawer's Account.
b) US$ 20/- if charges are on Principal Account. 52350
Plus applicable Dispatch / Communication Charges
as per tariff in Section I.
9 Other Charges On Import Transactions
(a) Contract Registration
(i) Contract Registration for import on 0.10% Minimum Rs.2,000/-
consignment basis (Annual Basis) 52307
(ii) Contract Amendment a) Without increase in amount /extension in period -
Rs. 700/- Flat per amendment
b) Involving increase in amount and/or extension 52306
in period - Charges as per Sr. # J (9)(a)(i) above.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(b) Payment to suppliers against imports for which 0.10% Minimum Rs.1,000/-
contract has not been registered and/or documents Plus correspondent bank charges at actual 52307
directly received by Importers. Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(c) Import against advance payment to suppliers 0.15%, Minimum Rs.1,700/-
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52349
(d) Handling of discrepant documents under import LC. US $100/- (Flat) + Swift charges USD 20/-
52347
(e) Import Bills returned unpaid US$ 100/- (Flat) or its equivalent in other currencies from remitting bank.
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52354
Plus correspondent banks charges at actual.
(f) Re-imbursement charges (payable to re-imbursing At Actual
Banks). 52353
(g) Issuance of freight certificate for import on FOB Rs.1,000/-
basis. 52309
(h) Obtaining credit reports on behalf of customers Rs. 500 plus Actual charges of Credit Rating Agency.
from Credit rating agencies Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52006
(i) In case Foreign Exchange cover provided by the 0.10% Plus handling charges Rs. 800/- Flat
client is through another bank 52304
(j) Obtaining approval from SBP Rs. 1,000/- flat per transaction 52305
K EXPORTS
1 Letters of Credit
(a) Advising
(i) In case Charges are on Beneficiary Account Rs 1,500/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52368
(ii) In case Charges are on Applicant Account US $ 50/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52368
(b) Amendment Advising
(i) In case Charges are on Beneficiary Account Rs.1,000/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52368
(ii) In case Charges are on Applicant Account US $ 35/- (Flat)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52368
(c) Negotiation of Rupee Bills under LC 0.25%, Minimum Rs. 475/- 52368
(d) Confirmation of LC 0.25% per quarter or minimum Rs 1100/- per quarter or part thereof.
Subject to availability of country limits/cross border risk(s) or as approved by
Financial Institution and RMG. 52368
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(e) Transfer of L/C. Rs 1,500/- (Flat) - If without substitution of documents.
Rs. 15,000/- (Flat) - if with substitution of documents 52368
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
2 Collections
(a) Clean Bills (Cheque/Bank Draft etc.) Rs.125/- per collection Plus applicable charges (Reimbursement portion)
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52364
(b) Documentary Bills
Page 15 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(i) Commission
REMITTANCES Rs.250/- per collection Plus applicable charges (Reimbursement portion).
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52374
(ii) Service Charges Upto Rs.150 Million - 0.13% Minimum Rs.1000/-
Above 150 Million - 0.10% Minimum Rs. 2000/- 52345
3 Other Charges under Export Transactions
(a) Handling of compensatory Rebate 0.25% per claim minimum Rs.500/-.
Applications/Duty draw back /R&D cases 52367
applications/claims.
(b) Commission on Advance Inward Export payment Upto 0.13% per transaction
Minimum Charges Upto Rs.1,000/- per transaction
If more then one document is involved against same advance payment, 52374
Commission should be recovered for each document separately
(c) Export Bills Negotiated/ Discounted (i.e., Mark-up a) Mark-up to be recovered as per terms of Approval.
on late realization of Sight Usance Bills). b) For over due period, Mark-up @ 20% p.a. will be
charged from due date till its adjustment.
C ) For PDO cases against FE-25 finance, markup rate will be charged with
addition of 4% over and above the advised /agreed lending rate where exception
approval is not available with branch.
(d) Reimbursement payment to other local banks from Rs. 1,000/- Flat
N.R. Pak. Rupee A/c. 52368
(e) If the documents are sent to other banks for Rs.1,100/- Plus applicable charges (Reimbursement portion)
negotiation under restricted Letters of Credit. 52368
(f) Export Bill Realized through FCY 0.12% Min Rs 1500 52345
(g) Charges of Export against Surrender of FCY Rs. 1,000/- Flat per case
notes/deposits for Afghanistan 52345
(h) Transfer of Export Proceeds to other Bank received 0.13% of bill amount
in our NOSTRO 52345
(i) In lieu of exchange earnings where exporter sells Rs. 1,200/- Flat
foreign exchange to some other bank where as
documents were sent for collection through our 52345
bank
(j) Preparation of substitution case in ERF-Pre Rs.2,000/- Flat
shipment 52345
(k) ERF Part 1, where pre-shipment is obtained from Rs. 2,000/- per shipment
us and export is routed through other bank 52345
(l) EE-Certification Rs.500/- per case 52334
(m) Export LC Cancellation Rs. 1,500/- Flat.
Plus applicable Dispatch / Communication Charges as per tariff in Section I 52368
(n) Handling of Clean and Discrepant documents Rs. 1,000/- Clean
negotiation Rs. 2,000/- Discrepant 52367
(o) Export Documents Returned Un-Paid Rs. 600/- Flat per documents + Correspondence charges 52345
(p) ERF - II - NOC for Entitlement Rs. 1,000/- per NOC 52345
L FOREIGN REMITTANCES
1 Outward Remittances
(a) Foreign Traveler Cheques. 1% of amount TC sold Minimum Rs 200/-.
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52321
(b) Remittance abroad through F.C. Account (including a) Flat US$ 5/- per item upto value of US $ 1000 or its
FDD / FTT) equivalent.
b) 0.25% per item for value of over US $ 1000 or its
equivalent, Minimum US$ 10/-, Maximum US $ 100. 52324
Plus Additional Charges @ 0.25%, Minimum US $ 5 (or equivalent currency) to
be recovered where remittance is effected within 15 days of cash deposits.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(c) Remittance abroad other than through Foreign
Currency Account (including FDD / FTT)
(i) To Universities/Educational Institutions on Rs. 400/- Flat
behalf of students (for education purpose) (Correspondent charges to be recovered by the correspondent while paying to
beneficiary) 52325
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(ii) Other Remittances abroad 0.10% per item. Minimum Rs. 500/-
(Correspondent charges to be recovered by the correspondent while paying to
beneficiary) 52325
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(d) Commission / Handling charges on deposits of
Foreign Currency Notes for the credit of FC
Account in respective currencies.
Page 16 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
(i) In Case deposit remains in the FC Account No Charges
REMITTANCES
for 15 days.
(ii) In Case deposit remains in the FC Account 0.25%, Minimum US $ 5 (or equivalent currency)
for less than 15 days. 52763
(e) Remittance abroad under specific approval of SBP Rs. 1500/- flat
(Correspondent charges to be recovered by the correspondent while paying to
beneficiary) 52325
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(f) FDD/FTT Cancellation charges Flat Rs.500/-
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52323
(g) Issuance of Duplicate FDD Flat Rs.500/-
Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52322
2 Inward Remittances
(a) Home Remittances No charges to be recovered, if the funds are remitted to branch of our bank or to
other bank. 52761
(b) Other than Home Remittance No Charges, if the proceeds are credited to an account with any branch of our
bank.
In other cases, DD/PO Charges as well as dispatch / communication charges (as 52762
applicable) would be recovered
(c) (i) Local USD cheques & drafts/ Collection and a) If credit to Pak. Rupees Account Rs.500/- per
settlement charges instrument including NIFT & collecting bank charges.
b) If credit to Foreign Currency Account, USD 5/- 52054
including NIFT & collecting Bank Charges.
(ii) Return Cheque Charges a) Pak. Rupees Account:
Rs.600/- per returned cheque inclusive of NIFT
charges. 52055
b) Foreign Currency Account:
USD 6/- or equivalent inclusive of NIFT charges
Page 17 of 20
SCHEDULE OF CHARGES EFFECTIVE FROM JULY - DECEMBER 2017
PL Category
Sr. No. Description Rate of Charges
(T24)
6 Standing Instructions Fee in Foreign
REMITTANCES US$ 5 per transaction or its equivalent in other currencies
Currency Accounts. Plus correspondent Bank Charges. (Permissible to new - FC Account &
Incremental deposits). 52017
Plus all charges for transaction executed under these Standing Instructions as
per applicable rates of that relevant transaction.
7 Collection for Foreign Currency Account
(a) For US $ denominated instrument drawn outside i) US $ 5/- for collection upto USD1000/-
United States & Instruments in other currencies like ii) US $ 15/- for collection of above USD 1000/- (or equivalent currency)
GBP, EUR, JPY etc.) All correspondent banks charges to be recovered at actual. 52751
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
(b) Collection for foreign currency A/c (collection of i) USD 5/- for collection upto USD 499/- (under Cash Letter)
USD denominated instruments drawn in United ii) USD 20/- for collection of USD 500/- & above
States) (under Secured Collection). 52752
All correspondent banks charges to be recovered at actual.
Plus applicable Dispatch / Communication Charges as per tariff in Section I.
8 Collection of FEBCs, FCBCs, DBCs and 0.20% Minimum Rs. 200/- Maximum Rs.500/- per collection.
profit coupons from SBP/NBP etc. Plus applicable Dispatch / Communication Charges as per tariff in Section I. 52753
1) The entire Schedule of Charges may be negotiated /discounted in % age terms for any customer / borrower
with permission of Chief CRBG/CIBG based on existing/ prospective relationship, except as specifically
mentioned hereunder:
a) Section I of schedule of charges.
b) Charges of Correspondent Banks at Actual.
c) Any clause where charges are to be negotiated or any waiver has been specifically mentioned therein.
2) The Charges under note 1(a),(b) or (c) above can only be discounted or waived by the CEO.
3) Where negotiable rate / charge is jointly approved by Chief CIBG/CRBG along with Chief RMG as mentioned in SOC,
based on business commitment, any further change in such approved rates will also be approved jointly by Chief
CIBG/CRBG along with Chief RMG.
4) The rates of charges for any customer / borrower will not exceed the rates given in Schedule of Charges.
5) This will supersede all previous instructions, Circulars and Schedule of charges.
6) Rawalpindi and Islamabad are treated as one city for the purpose of Schedule of Charges.
Page 18 of 20
FEE EXEMPTION GRID
ALLIED
PRODUCT NAME BUSINESS CURRENT ACCOUNT
ACCOUNT
Eligibility Requirement No Minimum Balance Average Balance of the Month
requirement. Rs.250,000 Rs.500,000 to less than Rs.750,000 Rs.750,000/- and
to less than above
Rs.500,000
Online Cash Deposit FREE 2 FREE 4 FREE TRANSACTION PER FREE UNLIMITED
TRANSAC MONTH
TION PER
MONTH
Online Cash Withdrawal FREE 2 FREE 4 FREE TRANSACTION PER FREE UNLIMITED
TRANSAC MONTH
TION PER
MONTH
Online A/C to A/C Transfer FREE 4 FREE 8 FREE TRANSACTION PER FREE UNLIMITED
TRANSAC MONTH
TION PER
MONTH
Cheque / Instrument deposit for clearing / FREE 2 FREE 4 FREE TRANSACTION PER FREE UNLIMITED
collection by Remote Branch TRANSAC MONTH
TION PER
MONTH
Issuance of Demand Drafts / Allied FREE 3 FREE 6 FREE PER MONTH FREE UNLIMITED
Banker Cheque (Payable at any branch) / PER
Pay Order / Allied Banker Cheque MONTH
(Payable at Issuing branch) Call Deposit
Receipt
Cancellation of Demand Drafts / Allied FREE 1 FREE 2 FREE PER MONTH FREE UNLIMITED
Banker Cheque (Payable at any branch) / PER
Pay Order / Allied Banker Cheque MONTH
(Payable at Issuing branch) Call Deposit
Receipt
Duplicate Issuance of Demand Drafts / FREE 1 FREE 2 FREE PER MONTH FREE UNLIMITED
Allied Banker Cheque (Payable at any PER
branch) / Pay Order / Allied Banker MONTH
Cheque (Payable at Issuing branch) Call
Deposit Receipt
ALLIED
PRODUCT NAME REGULAR SAVING ACCOUNT ALLIED
EXPRESS
RISING STAR
ACCOUNT
Eligibility Requirement Average Balance of the Month No Minimum Balance requirement. No Minimum
Rs. Rs. Rs. Balance
1,000,000 2,500,000 5,000,000 requirement.
to less than to less than and above.
Rs. Rs.
2,500,000 5,000,000
Online Cash Deposit 2 FREE 4 FREE FREE As per SOC As per SOC
TRANSAC TRANSAC UNLIMITE
TION PER TION PER D
MONTH MONTH
Online Cash Withdrawal 2 FREE 4 FREE FREE As per SOC As per SOC
TRANSAC TRANSAC UNLIMITE
TION PER TION PER D
MONTH MONTH
Online A/C to A/C Transfer 4 FREE 8 FREE FREE As per SOC As per SOC
TRANSAC TRANSAC UNLIMITE
TION PER TION PER D
MONTH MONTH
Cheque / Instrument deposit for clearing / 2 FREE 4 FREE FREE As per SOC As per SOC
collection by Remote Branch TRANSAC TRANSAC UNLIMITE
TION PER TION PER D
MONTH MONTH
Issuance of Demand Drafts / Allied 3 FREE 6 FREE FREE As per SOC As per SOC
Banker Cheque (Payable at any branch) / PER PER UNLIMITE
Pay Order / Allied Banker Cheque MONTH MONTH D
(Payable at Issuing branch) Call Deposit
Receipt
Cancellation of Demand Drafts / Allied 1 FREE 2 FREE FREE As per SOC As per SOC
Banker Cheque (Payable at any branch) / PER PER UNLIMITE
Pay Order / Allied Banker Cheque MONTH MONTH D
(Payable at Issuing branch) Call Deposit
Receipt
Duplicate Issuance of Demand Drafts / 1 FREE 2 FREE FREE As per SOC As per SOC
Allied Banker Cheque (Payable at any PER PER UNLIMITE
branch) / Pay Order / Allied Banker MONTH MONTH D
Cheque (Payable at Issuing branch) Call
Deposit Receipt
Account Maintenance Charges (Service As per SOC No Charges for Both Principal and No Charges
Charges) Linked Account
Issuance of Cheque Book FIRST FREE OF 10 Leaves First Free Cheque book of 10 leaves First Free Cheque
for Both Principal and Linked Account book of 10 leaves
Other Free facilities to remian available in 1. Issuance of Duplicate 1. Free ATM Card
following one month based on Relationship Card Rs.50/- issuance
ligibility criteria (average balance) per request 2. Free Internet
which will be reassessed on each
2. Issuance of Duplicate Certificate Banking
month end on the basis of Average
Balance in the Account.
of 1 Bank Account Rs.50/- 3. Free 24/7
per request telephone
Banking