|
|

|

|
|
Remittance Facility
The Bank is also
providing Remittance facility and the schedule of charges includes
International Banking (Imports, Exports, Remittances & Miscellaneous)
tariff rates. In Domestic Banking (Pay order, Inland letter of credit,
Bills, Financing, Standing instruction fee, ATM Card, Sale & purchase
of securities safe custody articles in deposit, Lockers, Guarantee,
Miscellaneous) and Initial deposit for opening of account.
Download Adobe Acrobat Reader
|