Schedule of Charges: January - June 2014
Schedule of Charges: January - June 2014
Schedule of Charges: January - June 2014
A. Remittances 02
B. Bills 03
C. Project Finance/Advances/UBL Business Line 04-06
D. Sale / Purchase of Securities, Custody of 06-08
Articles in Safe Deposit & Safe Deposit Lockers
E. Guarantees 08-09
F. Local Trade Business 09-11
G. Miscellaneous Charges 11-13
A. Imports 32
B. Exports 33-34
C. Remittances 35-36
D. Miscellaneous 36-37
DOMESTIC BANKING
01
DOMESTIC BANKING
Code
Particulars Charges GL SC
A. REMITTANCES
1) Cashier's Cheque/Corporate Bankers
Cheque - CBC
a) Issuance of Cashier's Cheque / CBC - 54200100 1009
Through Account Rs. 200/- (flat)
Through Cash (For non account holder) 54200110 1009
Up to Rs.100K Rs. 500/- (flat)
Above Rs.100K Rs. 1000/- (flat)
b) Cancellation of Cashier's Cheque /CBC 54200150 1010
For Account Holders Rs. 300/- (flat)
For Non Account Holders Rs. 500/- (flat)
c) Issuance of Duplicate Cashier's Cheque /CBC Same as 1(a) above 54200120 1011
d) Issuance of instrument for payment of 0.50% of fee/dues or Rs.25/- 54200100 1009
fees/dues in favor of Educational per instrument whichever is
Institution HEC/Board etc. less.(Charges are inclusive
of Sales Tax/FED)
2) Inter Branch Online Transactions-both Within
City & Intercity 54203670 1006
Note: No service fee shall be charged from
students depositing the amount of fee
directly in the fee collecting account
a) Cash Deposits (Charges are to be
recovered from the Depositor)
i) Within City Free
ii) Intercity 0.10% or Min Rs. 300/-
whichever is higher
54200200 1007
b) Online Funds Transfer in PKR (Account
to Account transfer within UBL)
(Charges are to be recovered from the
remitter)
i) Within City Free
ii) Intercity 0.10% or Min Rs. 350/-
whichever is higher
c) Inter Bank Funds Transfer - IBFT via Rs. 300/- (flat) 54200250 -
Branches and Contact Centre (through
1 Link within Pakistan only; charges are to
be recovered from the remitter)
d) Cash Withdrawals (Charges are to be 54203680 1008
recovered from the Beneficiary)
i) Within City Free 54200280
ii) Intercity 0.20% or Min. Rs. 350/- 1015
whichever is higher
e) UBL Cheque Deposit
(Charges are to be recovered from the
Presenter)
i) Same branch (within City) Free
ii) Different branch (Intercity) 0.10% or Min Rs. 350/-
whichever is higher
3) Inter Branch (A/c to A/c) Foreign Currency 54200240 1007
Funds Transfer (Charges to be recovered
from Remitter)
a) Within City Free
b) Intercity Minimum
USD 5/- GBP 3/-
EURO 4/- AED 20/-
SAR 20/-
or 0.10% whichever is higher
4) DD/MT/PO Cancellation Charges Rs. 500/- (flat) 54200150 1010
5) Issuance of SDR (Security Deposit Receipt) 54200300 1109
Through Account Free
Through Cash Rs. 1000/- (flat)
6) Duplicate SDR / TDR / FDR Issuance Charges Rs. 250/- (flat) 54200400 1111
7) Rupee Travelers Cheques
a) Issuance of Rupee Travelers Cheques 0.10%, Min. Rs. 150/- 54200450 1012
b) Refund in Lieu of Lost Rupee Travelers Rs. 500/- per application 54200450 1013
Cheques
Note:
The Inter Branch (account to account) Foreign Currency Funds Transfer facility is available in all CBS
branches.
02
DOMESTIC BANKING
Charges
Code
Particulars GL SC
In addition to above, commission/service charges, courier/postage / fax charges will also be recovered
according to prescribed tariff (wherever applicable)
In addition to the charges above, all applicable Government levies will also be recovered.
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
For
. Inter Branch Online transaction, OBC charges would not apply.
Where Online system is down, remittance may be sent by other means but Inter Branch Online
Transactions charges will be recovered
See Page 12 & 13 for waivers on Business Partner and Business Partner Plus Account.
ISB/Rwp, Chenab Nagar (Rabwah)/Chiniot and Khusab/Jahurabad are to be treated as twin cities &
all online transactions should be treated as within city.
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
B. BILLS
1) Clean (including cheques / dividend warrants/ 0.25%, Min. Rs. 250/- 54201450 1014
Bank Drafts/ beyond NIFT/ OBC Centers/ Max Rs. 10,000/-
APC etc).
Intercity Clearing Charges Rs. 300/- (flat) 54203660 1089
Note:
In case urgent collection of Local cheque of Rs. 0.500 mln and below, additional charges of
Rs. 200/- per collection and above Rs 0.500 mln, additional charge of Rs 300/- per collection is
to be recovered.
Postage / Courier charges are to be recovered on collection / realization of each instrument
(whether clean or documentary). However, in case where party has deposited more than 1
cheque instrument on particular date to be collected /drawn on the same branch of the bank,
postage / courier charges are to be recovered only once.
Collecting agent's charges, if the collecting bank is other than the bank, will also be recovered.
Communication charges will be recoverd, if fate of the instrument is asked for by telephone.
No charges, if branch is situated within a radius of 25 km as it will be treated as a local branch
or within catchment area of NIFT if clearing is handled as a local clearing.
OBC charges only to be collected where cheques are physically lodged in collection.
2) Purchase of Bills:
a) Documentary other than those drawn 0.40%, Min Rs. 800/- plus 54206300 -
against Letter of Credit mark-up from the date of
purchase to the date of
payment. (Plus
Communication Charges)
b) Other cheques / demand instruments 0.60%, Min Rs.250/- 54206300 -
(like Dividend Warrants) (Plus Communication
Charges)
c) i) Returning charges for documentary /clean 52700430 -
collections from payee account in case
the instruments are returned unpaid
For PKR Account Rs. 500/- per transaction
For FCY Account USD 10/- or equivalent
per transaction
ii) Returning charges for documentary / clean
collections from drawer account in case
the instruments are returned unpaid
For PKR Account Rs. 500/- per transaction
For FCY Account USD 10/- or equivalent
per transaction
d) Mark-up shall be applied as under on bills 54206300 -
purchased / negotiated
i) If retired upto 21st day from the date of 54 paisa per Rs.1,000/-
purchase per day on actual finance.
ii) If retired during next 210 days 54 paisa per Rs. 1,000/-
per day plus Bank’s
commission @10 paisa
per Rs. 100/-
e) Storage charges i) Free, if cleared within 3 54206300 -
days of its receipt by the
branch.
ii) Rs. 2/- per packet per
day, Min Rs.100/-
Note:
In addition to above, commission/service charges, courier/postage / fax charges will also be -
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
03
DOMESTIC BANKING
Particulars Charges
Code
GL SC
04
DOMESTIC BANKING
Particulars Charges
Code
GL SC
Note:
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
2022 (Form Credit / Loan), 2023 (Non Form Credit / Loan)
05
DOMESTIC BANKING
Code
Particulars Charges GL SC
Note:
These Charges are quoted by the vendor & are subject to change.
In addition to above, commission/service charges courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Govt. levies will also be recovered including
Sales Tax/ FED
6) Charges for collection of interest / return / dividend 0.30% on amount of interest 54208050 -
/return dividend collected/
paid Min Rs.20/- plus out of
pocket expenses Rs. 8,000/-
06
DOMESTIC BANKING
Particulars Charges
Code
GL SC
07
DOMESTIC BANKING
Code
Particulars Charges
GL SC
Note:
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
E. GUARANTEES
1) Guarantee issued to shipping companies in lieu Rs.1,500/- (flat) 54203000 SGT
of Bills of Lading / Endorsement of Airway Bills
2) Guarantees secured by cash margin / lien 0.50% per quarter or part 31501020 MO2 /
over deposits thereof, Min. Rs.500/- MO3
08
DOMESTIC BANKING
Code
Particulars Charges
GL SC
Note:
The Bank reserves the right to charge different rates on the basis of volume and security offered
subject to prior approval by concerned sanctioning authority.
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head /
Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
10
DOMESTIC BANKING
Particulars Charges
Charges negotiable from case to case basis under approval of relevant Business Head/ Division Head.
In addition to the charges above all applicable Government levies will also be recovered.
The Bank reserves the right to change different rates on the basis of volume and security offered
subject to prior approval by concerned sanctioning authority
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable government levies will also be recovered
G. Miscellaneous
1) a) Delivery of Statement of account (Mandatory) Free - -
b) Duplicate/On-Demand Statement of Account Rs. 35/- per statement 54203500 1005
(Charges are inclusive
of Sales Tax/FED)
2) Issuance of SBP/ NBP cheques / Special Clearing Rs.500/- per cheque 54203550 1026
3) 3rd Party Funds Transfer through Pakistan Real
Time Interbank Settlement Mechanism (PRISM/ - -
RTGS) System
Days Transaction Time Windows Per Transaction Charges (PKR)
9:00 am to 1:30 pm Rs. 220/-
Monday to Friday 1:30 pm to 3:00 pm Rs. 330/-
3:00 pm to 4:00 pm Rs. 550/-
9:00 am to 11:30 am Rs. 220/-
Saturday
11:30 am to 12:30 pm Rs. 330/-
4) Handling charges for issuance of Student Rs. 300/- per case 54203600 -
Exchange Remittance permit and maintenance
of record for subsequent remittances
5) Issuance of Balance/Account maintenance Rs. 300/- per certificate 54203500 1027
certificate on customer's request
6) Charges for same day collection/clearing Rs. 500/- (flat) per instrument 54203650 1030
cheque greater than Rs. 500 k through NIFT
7) Stop payment charges of Cheque /TT/RTC/ For PKR. A/c - Rs. 300/- 54202650 1004
PO/DD (flat) per instruction*
USD 10/- per instruction*
GBP 6/- per instruction*
Note: EURO 7/- per instruction*
*one instruction may include advice for series/ AED 35/- per instruction*
multiple instructions SAR 35/- per instruction*
8) Charges for cheque return unpaid PKR 400/- 54203700 1032/
USD 5/- 1033
GBP 3/-
EUR 4/-
AED 20/-
SAR 20/-
9) a) Cost of Issuance of all Currency Cheque Books
i) MICR 54203750 1003
For PLS Accounts Rs. 10/- per leaf (flat)
For All other Accounts Rs. 7/- per leaf (flat)
ii) NON - MICR Rs. 15/- per leaf 54203750 1079
b)Cost of issuance of customized cheque books Charges as in 9(a) above +
Note: actual cost of cheque book
UBL First Minor Account Cheque Book (25
Leaves) is Free and subsequent ones will be
charged
10) Minimum Balance/Service charges where the 54203800 -
amount of deposits are below the required
balance
*Charges per Month Monthly Average Balance
LCY Current A/c
Business Partner 50/- (including SalesTax/ FED) 10,000/-
1001
Business Partner Plus 50/- (including SalesTax/ FED) 25,000/-
FCY CASA & FCY Uniflex
USD 5/- 500/-
EURO 4/- 400/-
1002
AED 20/- 2,000/-
GBP 3/- 300/-
SAR 20/- 2,000/-
11
DOMESTIC BANKING
Code
Particulars Charges
GL SC
* Exemption to :
i) Students
ii) Mustahiqueen of Zakat
iii) Employees of Govt/Semi-Govt institutions for salary and pension purpose, including widows /
children of deceased employees eligible for family pension / benevolent fund grant etc.
iv) UBL Basic Banking Account (UBL BBA) holders.
v) Accounts related with Zakat Collection & Disbursement
vi) Unclaimed deposits after maturity of ten years.
vii) Earthquake affected areas (BPRD Letter No. 28 of October 10, 2008)
viii) All UBL Staff Accounts wherein salary are Credited.
ix) All singly operated accounts of retired staff of the bank wherein pension, benevolent grant,
medical bills reimbursed.
x) Dormant Accounts
xi) UBL First Minor Saving Accounts
xii) School Management Committee Account (Only for Sindh - BPRD Circular No. 02 of Jan 25,
xiii) 2010)
UBL E-Transaction Accounts for OMNI Agents.
xiv) UBL Wiz Cards
xv) All regular PLS Saving Accounts
11) a) Salary & Pension disbursement charges.** Rs.75/- per account from 54203850 1034
remitting organization’s main
account under agreement per
month where salary /
pension is credited.
b) Pay Partner-Salary (and other) disbursement. Min. Rs. 75/- per transaction 54208620 1081
Note: (or as per contractual terms)
** No charges to be recovered from Govt.
and Semi Govt. Organizations and their
employees / retired employees.
12) Photocopy of a paid cheque returned to
customer
Within 1 year Rs. 200/- Charges per 54203900 1036
Above 1 year }
Rs. 1,000/- Cheque 54203900 1037-
1038
13)
*1 locker free (any size) for 1st year, subject to availability in the branch where account resides.
Waiver to be reviewed by Branch Manager at the end of each banking cycle.
Note:
Waiver per month applicable on average monthly balance when the request is made.
This grid is applicable on Current Account /Business Partner balance of Rs. 250 K & above
above, on case to case on Branch Manager's discretion.
First time collection charges free for Business Partners customers having balance of Rs. 250 K
and above (after proceeds from collection are realized).
Minimum Balance /Services charge as per point No.10 above will be levied for non
maintenance of balance.
12
DOMESTIC BANKING
Code
Particulars Charges
GL SC
13
BLANK
14
UBL SIGNATURE - PRIORITY BANKING
PRIORITY BANKING
15
UBL SIGNATURE - PRIORITY BANKING
Note:
Apart from this, all banking service charges will be levied as per current SOC.
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
16
BANK CHARGES FOR GOVERNMENT BUSINESS
17
BANK CHARGES FOR GOVERNMENT BUSINESS
Code
Particulars Charges GL SC
A. IMPORT
1) Cash / reimbursable loans / barters expressed in 1/8% (0.125%) of the value 54206000 -
U.S. Dollar or any other foreign currency of the Letter of Credit.
including L/Cs under A.C.U. / arrangement
Less than
Rs.250,000/- and above 1/16% (0.0625%) of the
value of the Letter of Credit.
2) Non-reimbursable Letters of Credit under 3/8% (0.375%) irrespective 54206000 -
barter / aid / loans / authorization to pay of the value of the Letter of
Credit.
Note:
The Bank reserves the right to charge different rates on the basis of volume and security offered
subject to prior approval by concerned sanctioning authority. As per clarification given by the SBP
Foreign Exchange Department 6734/ FEP.9 (126-242)-95 dated 19-12-95 it is advised that in the
case of letter of credit or for that matter "Authorization to pay" opened by the Department of the
Federal or Provincial Governments whether routed through State Bank of Pakistan or not Letters
of Credit commission is to be charged at the rates given in Para 37
Chapter XIII of Foreign Exchange manual (8th Edition-2002). However for Letters of Credit
"Authorization to pay" opened by other public sector agencies in Federal/Provincial Government
including autonomous, semi autonomous bodies e.g., K.E.S.C. Limited, WAPDA, PTCL, etc., the
commission is to be charged from the openers by the banks as per their own schedule of charges.
18
BRANCHLESS & E-BANKING
19
BRANCHLESS & E-BANKING
Particulars Charges
Package Subscription
Package Type Validity (In Days) Customer Fee (Rs.) Free Transaction
Omni Monthly 30 Rs. 150/- 1. UBL Omni A/c to Omni
A/c Fund Transfer.
2. View Bill.
Omni Semi Annual 180 Rs. 500/- 3. Balance Inquiry.
Money Transfer From Omni Account (SMS & Omni Mobile App)*
A/c to Person Transfer UBL Omni A/c
Slab Start Slab End to A/c Transfer
Customer Fee (Rs.) Customer Fee (Rs.)
1 1,000 51/- 42/-
1,001 2,500 102/- 84/-
2,501 4,000 153/- 126/-
4,001 6,000 204/- 168/-
6,001 8,000 255/- 210/-
8,001 10,000 298/- 245/-
10,001 13,000 340/- 280/-
13,001 15,000 383/- 315/-
15,001 20,000 434/- 360/-
20,001 25,000+ 485/- 405/-
* Insurance is optional and free for Omni account holders.
Note: All mentioned amounts in PKR, Fee are inclusive of all Taxes.
20
BRANCHLESS & E-BANKING
Particulars Charges
UBL Omni ATM Debit Card
Card Name Issuance/Replacement Fee (Non Refundable) Daily Withdrawal Limit**
UBL Omni ATM 250/- 40,000/-
Debit Card
Other Financial Transactions
Customer Fee (Rs.)
Transaction Type SMS Omni Mobile App
Bill Payments Free Free
Voucher Purchase Free Free
Mobile Top Up Free Free
Loading amount from linked UBL account Free Free
Unloading amount to linked UBL account Free Free
21
BRANCHLESS & E-BANKING
Code
Particulars Charges GL CRC
A.UBL Netbanking
UBL Netbanking
Package Name Monthly Debit Limit Monthly Subscription Fee
Basic Free (View only) Rs.0/-
Bronze Upto Rs. 5,000/- Rs. 25/-
Silver Upto Rs. 50,000/- Rs. 45/-
54204400 ECM004
Gold Upto Rs. 100,000/- Rs. 75/-
Platinum Upto Rs. 500,000/- Rs. 150/-
Premium Upto Rs. 1,000,000/- Rs. 300/-
Transaction Fee
Door step cheque through Netbanking Rs. 150/- per transaction
(Sales Tax/ FED Included)
Inter-Bank Fund Transfer Rs. 150/- per transaction 54200200 ECM004
International Cheque Clearing Charges 0.6% of the initial deposit 54207550 ECM004
(OFBC etc.) or USD 7 whichever is
higher
International Mailing Charges Rs. 2,500/- 57800200 ECM004
Note:
In addition to above, commission/service charges, courier/postage / fax charges will also be recovered
according to prescribed tariff (wherever applicable)
In addition to the charges above, all applicable Government levies will also be recovered.
22
CONSUMER BANKING
CONSUMER BANKING
23
CONSUMER BANKING
d) Internet Usage
i) Activation Charges Free - -
ii) Per Session Charges Rs.100/- 54204420 1085
(Free for UBL Wiz Internet
Card & ACCA Card)
e) Charge on Declined POS Transaction
i) For Local - Incase of Low Balance and Rs. 5/-
Excess Over Limit 54204410 1083-
1084
ii) For International - Incase of Low Balance Rs. 35/-
and Excess Over Limit
f) Funds Transfer through ATM Within UBL Rs. 50/- per 54200230 1149
transaction.
Outside UBL Rs. 100/- per 1049
transaction.
2. UBL MegaWallet Debit Card & UBL First - Pocket Money Debit Card
a) Annual Charges
Card Type Basic Supplementary
UBL MegaWallet Card/Proprietary Card 500/- 300/- 54204750 1044-
1046
UBL First Pocket Money Card Free Free - -
(with basic ATM Withdrawal Insurance Coverage)
b) Value added ATM withdrawal insurance Rs. 1,000/- per annum - -
coverage (optional)
c) Card Replacement Fee (upon request) Rs. 300/- per card 54204750 1046
3) UBL Wiz Prepaid Visa Debit Cards
a) i) Card Issuance (One time fee) i) Free on deposit of 54204950 -
(with basic ATM withdrawal insurance Rs. 10,000/- & above
coverage) ii) Rs. 150/- for deposit of
less than Rs.10,000/-
ii) Value added ATM withdrawal insurance Rs. 1,000/- per annum - -
b) Re-Load Fee
i) From Branch Free - -
ii) From UBL ATM Free - -
(From Wiz Card to Wiz Card & From
A/c to Wiz Card)
iii) From UBL Net banking Free - -
(From A/c to Wiz Card)
c) Wiz Refund Charge Rs. 100/- 54204950 -
Note:
No joining fee. Annual fee to be recovered in advance. No refund on account closure
In addition to above, commission/service charges, courier/postage /fax charges will also be recovered
according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval from relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
24
CONSUMER BANKING
Code
Particulars Charges GL SC
4) UBL Premium Debit Master Card
a) Annual Fee
(with basic ATM withdrawal insurance coverage)
i) Basic Rs. 500/- 54204750 1059
ii) Supplementary Rs. 300/- 54204750 1060
b) Value added ATM withdrawal insurance Rs. 1,000/- per annum - -
coverage (optional)
c) Card Replacement Fee (upon request) Rs. 300/- per card 54204750 1061
5) UBL Pardes Cards
a) i) Card Issuance Free - -
(with basic ATM withdrawal insurance
coverage)
ii) Value added ATM withdrawal insurance Rs. 1,000/- per annum 54204750 -
(optional)
iii) Re-Load Free - -
b) Switch Transaction Fee
Withdrawals on 1 Link ATMs other than UBL Rs. 15/- 54204750 -
Withdrawals on other switches Rs. 15/- 54204750 -
c) Balance Inquiry 54204750 -
i) Within Pakistan from non 1 Link ATMs Rs. 5/-
d) Cancellation / Card Replacement Charge Rs. 100/- 54204950 -
(upon request)
B. UBL GO GREEN
a) SMS Alert Charges
i) Basic Service Monthly Charges of Rs.50/-* 54204570 -
(For first 50 SMS) Re. 1 per
SMS thereafter
ii) Premium Service Monthly Charges of Rs.100/-* 54204570 -
Note: (For first 150 SMS)
*Mandatory monthly deduction irrespective of Re. 0.5 per SMS thereafter
number of SMS
b) E-Statement
i) Statement of Account through E-mail Free - -
c) Internet Merchant Acquiring 54302350 -
i) Membership Fee Rs. 50,000/- per merchant 54302350 -
per annum
ii) Merchant Setup Fee (one time) Rs. 40,000/- 54302400 -
iii) Discount Rate 3.50% per transaction 54300150 -
iv) Refund/Charge Back Processing 0.78% per transaction 54302650 -
Note:
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
25
CONSUMER BANKING
Code
Particulars Charges GL SC
7) Monthly Warehouse Charges As per the loan documents, 57800800 -
or Rs. 5,000/- per vehicle,
if not specified
8) Auction Charges Rs. 5,000/- 57800800 -
9) Insurance Charges* As per the rate quoted by 57800800 3018
the Insurance Company
10) Re-issuance of NOC Upto Rs. 1,000/- - -
Note:
*These charges are quoted by the vendor & are
subject to change.
D. i) UBL CASHLINE
1) Processing Fee As per the loan documents, 54202200 3001/
or Salaried Rs. 3,000/- & 3023/
3024/
SEB/ SEP Rs. 4,000/- if not 3025
specified
2) Annual Charges (Renewal fee) As per the loan documents, 54202200 3002
or Rs. 2,000/- if not specified
3) Value added ATM Withdrawal Insurance Rs. 1,000/- per annum 54202200 -
Coverage (optional)
4) Late Payment Fee As per the loan documents, 54202200 3003
or Rs. 1,000/-or 10% which
ever is higher, if not specified
5) Insurance Charges (Credit Protector) 0.2% of total monthly 54202200 3004
principle outstanding
6) SMS Alert Fee 54202200 -
Basic Service Monthly charges of Rs.
50/-* (for first 50 SMS)
Rs.1 per SMS thereafter
Premium Service Monthly charges of Rs.
Note: 100/-* (for first 150 SMS)
*Mandatory monthly deduction irrespective of Rs.0.50 per SMS
number of SMS thereafter
7) Limit Enhancement Fee Rs. 2,000/- 54202200 3029
Note:
All regular Branch Banking charges will be applied for the transaction through branches
In addition to the above, commission / service charges, courier / postage / fax charges will also
be recovered according to prescribed tariff (wherever applicable)
In addition to the charges above, all applicable Govt. levies will also be recovered.
All rates are subject to change.
26
CONSUMER BANKING
Code
Particulars Charges GL SC
F. UBL ADDRESS
1) Processing Charges As per the loan documents, 54202200 3017
or Rs. 5,000/- (non-refundable),
if not specified
2) Appraisal Charges* As per the loan documents, 54202200 -
or Rs. 4,000/- (non-refundable),
if not specified
Note:
In addition to above, commission/service charges courier/postage / fax charges will also
be recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head /
Divisional Head.
In addition to the charges above, all applicable Govt. levies will also be recovered
including Sales Tax/ FED.
27
CONSUMER BANKING
Code
Particulars Charges GL SC
15) Over Limit Fee 2% of the over limit amount 54300850 Silver
or Rs. 1,000/- (whichever Gold
54300950 Platinum
is higher)
16) Credit Guardian - Optional 0.79% of the monthly 54302150 -
outstanding balance
17) Family Security Plan Plan A - Rs. 63/- per month 54302200 -
Plan B - Rs. 105/- per month
Plan C - Rs. 210/- per month
Plan D - Rs. 315/- per month
18) Child Education Plan Plan A- Rs. 49/- per child 54302200 -
per month
Plan B - Rs. 98/- per child 54302200 -
per month
Plan C - Rs.125/- per child 54302200 -
per month
19) a) Hospital Cash Plan - Executive 21-35 years: Rs. 220/- 54302200 -
per month
36-50 years: Rs. 360/-
per month
51-60 years: Rs. 824/-
per month
Each Child 1-20 years:
Rs. 215/- per month
21) Booking Charges - Lite Installment Plan Rs. 250/- per transaction 54301150 Silver
or 1% of transaction Gold
amount (whichever is 54301250 Platinum
higher)
28
CONSUMER BANKING
Code
Particulars Charges GL SC
Note:
Markup will be charged on unpaid principal amount.
In addition to above, commission / service charges, courier/postage/ fax charges will also be
recovered according to prescribed tariff (wherever applicable).
In addition to the charges above, all applicable Government levies will also be recovered.
29
BLANK
30
INTERNATIONL BANKING
INTERNATIONL BANKING
31
INTERNATIONAL BANKING
Code
Particulars Charges GL SC
A. IMPORTS
1) Cash Letters of Credit:
a) Issuance of Letter of Credit Upto 0.40% for 1st Qtr or 54206000 LOC
part thereof, Upto 0.25%,
for subsequent Qtr,
Min Rs. 2,200/-
2) Revalidation commission Revalidation Commission 54206050 AMC
to be charged from the date
subsequent to the date of
expiry of LC at rates
applicable in case of
opening of fresh LC.
3) Transfer Commission-Commission on account Transfer commission will 54206000 -
of change in the beneficiary / country of advising be charged as applicable
in case of fresh Letter of
Credit
4) a) Non reimbursable L/C under Barter Aid / 1.0% on 1st Qtr and 0.30% 54206000 -
Loans and Authorization to pay for each subsequent Qtr or
part thereof,
Min. Rs.1,500/-
b) L/C, L/G under "Suppliers / Buyers Credit" Pay Commission @ 0.40% per 54206000 -
As You Earn Scheme (PAYES) and deferred Qtr or part thereof, -
payment L/Cs for period over one year Min. Rs.2,500/-
c) In case of L/G undertaking to be issued Commission @ 1.6% per 54203150 -
favoring any bank for providing forward annum,
cover exchange risk under Suppliers / Min. Rs.2,000/-
Buyers Credit behalf of applicant
d) L/C cancellation charges Rs. 2,000/- plus swift 54206100 LCN
charges Rs. 1000/- flat &
communication charge (at
actual)
-
5) Registration of contract with SBP in respect of Handling charges 54206150
Private Foreign Currency Loans obtained by Rs.7,500/- (flat)
borrowers in Pakistan from Foreign Lenders
Rs.1,000/- per application 54208800 -
6) Issuance of Certificate regarding opening of
L/C or registration of contract to another bank (flat)
for booking of forward exchange at importer’s
request
7) Bills are drawn at a Usance under the Letter a) Rs.1,500/-per bill (flat) 54206750 HDC
of Credit other than Pay As You Earn Scheme 54206000 LEC
b) Extra Commission
and Supplier / Buyer Credit and Deferred @ 0.10% per month or part
Payment Letters of Credit on yearly thereof from any period
beyond the L/C validity till
maturity of the bill.
Note
In case forced PAD is created due to non payment on maturity against DA LC, commission @ 0.50%
is to be charged (once only) on the amount (net of margin) for which FPAD is created in addition to
mark-up @ 60 paisa PTPD (or as revised from time to time) from the date of maturity till the date of
payment.
a) Mark-up in case of Import bills under Import 54 paisas per Rs.1,000/- 52700430 -
Letters of Credit per day from the date of
negotiation till the date of
retirement (on the amount
for which PAD is created)
b) In addition to mark-up as per (12) (a), 52700430 -
Bank’s commission on the amount (net of
margin) for which PAD is created, as under:
i) If retired within 10 days from the date of No Commission
lodgment
ii) If retired during 15 days subsequent to 25 paisas per Rs.100/-
the period at item (i) above
iii) If retired during next 15 days after the 30 paisas per Rs.100/-
period mentioned in (i) and (ii) above
iv) If retired during next 190 days after the 40 paisas per Rs.100/-
period mentioned in item (i) (ii) and (iii)
above
13) Import bills returned unpaid Handing charges USD 54206750 RTC
100/- (flat) or equivalent
plus courier charges Rs.
2,000/-
14) a) Collections Rs.1,500/- (flat), per 54206750 RTC
collection
b) Import against advance payment to Rs. 1,500/- (flat), plus 54206750 -
suppliers service charges @15 paisa 54206400 -
57800400 -
per Rs.100/-,
Min Rs 1,500/- plus swift
charges Rs. 1,000/-
15) Service charges on L/cs retirement of
Import bills under L/c's / Contracts
a) Opened by us where Fx conversion @ 15 paisa per Rs.100/- 54206400 DEC
forward is done by us Min. Rs.1,500/-
b) Opened by us where Fx conversion / @ 18 paisa per Rs.100/- 54206400 HDC
forward is done by other banks Min. Rs.1,800/-
16) Reimbursement charges (payable to At Actual 57800500 -
Reimbursement Bank)
17) Handling of discrepant documents under USD 75/- or equivalent plus 54206850 HDC
Import L/Cs swift charges Rs. 1,000/- flat
& communication charges
18) Issuance of freight certificate for Imports on Rs 1,500/- per certificate
FOB basis
19) Extension in maturity of Usance Bills under 1,500/- (flat) per bill 54206750 -
LC / Bank Contract
20) Expense Recovery Protest/ Legal Charges Actual + USD 25/-
or equivalent
21) Handling of Imports Documents against PAD Rs. 1,500/- (flat) 54206750 -
Bills (Sight Bills)
22) Duplicate advice issuance Rs.350/- per duplicate 54206850 -
advice
23) FED invoice certificate Rs.1,000/- per certificate 54206850 -
24) Issuance of business performance certificate Rs.3,000/- per certificate 54206420 -
of previous years at the customer request
B. EXPORTS
1) Processing charges for Export Registration Rs.200/- (flat) 54206600 -
2) Letter of Credit
a) Advising
(i) Beneficiary in Pakistan Rs.1,800/- (flat) 54206450 ADC
(ii) Beneficiary outside Pakistan USD 60 (flat) 54206450 ADC
b) Amendment Advising
(i) Beneficiary in Pakistan Rs.1,000/- (flat) 54206450 ADA
(ii) Beneficiary outside Pakistan USD 30 (flat) 54206450 ADA
c) Negotiation of bills against issued under 0.30%, Min. Rs.250/-
barter / remittance from SBP (rupee bill)
d) Confirmation 0.25% per quarter or part 54206550 ELC
thereof, Min. Rs.300/-
e) Transfer of Export Rs.1,300/-(flat) 54206550 ADC
f) Reimbursement payment to other local Rs.500/-(flat) - -
from non-resident rupee A/c
33
INTERNATIONAL BANKING
Code
Particulars Charges GL SC
3) Advance Payment
a) Service charges 0.15% Min Rs. 400/- 54207850 4024
b) Commission Rs. 200/- (flat) 54206650 4023
c) Export Development Surcharge As per prevailing SBP 41800800 EDS
regulations (as and when
the shipment is effected).
4) EDS handling charges Rs. 80/- (flat) per transaction 54206750 HCH
5) If the documents are sent to other banks for Rs. 400/-(flat) 54206600 -
negotiation under restricted Letter of Credit
6) Collections
a) Clean cheques / Drafts / FTCs Rs.100/- 54206800 -
b) Documentary (on which bank does not earn Rs. 200/- per collection (flat)
any exchange difference)
7) Duty Drawback Claim 0.25% of the amount of claim, 54206850 -
Min. Rs. 250/- per case
8) Service charges against export documents 13 paisas per Rs.100/- 54206600/ ESC/
sent for collection basis where payment cover 54206850 SCH
is already received to our Foreign Currency
A/c
9) NOC Issued Document transferred against Rs. 500/- per bill 54206600 EBC
Export document
10) Freight Subsidy Rs. 400/- per case 41400700 -
11) Research & Development Surcharge - R&D 0.25% of the amount of claim, 54206600 -
handling charges Min Rs. 250/- per case
12) Any Certificate issued in current Financial 54206600 -
year including withholding tax certificate
a) Original Rs.1,000/- per certificate
b) Duplicate Rs. 2,000/- per certificate
13) Trade Development Authority Registration Rs. 200/- per certificate 54206600 -
certificate verification
14) Duplicate advice issuance Rs.300/- per duplicate -
advice
15) a) Negotiation of documents drawn under Mark-up rate @ 54 paisa 52600330 EMU
sight Letter of Credit (Delayed Realization) per Rs.1,000/- per day to
If proceeds not realized / credited to our be charged
customer's a/c within 12 days than
mark-up is applicable to customer.
NICF facility will be charged for any delay
beyond
b) Negotiation (Usance) (Delayed Realization) Mark-up rate @ 54 paisa 52600330 EMU
If payment of Foreign / Local Bills realized per Rs.1,000/- per day to
within 03 days, no mark-up to be charged. be charged
Incase proceeds not realized/credited to our
a/c within 03 days from the date of the
maturity till its adjustment than mark-up is
applicable to our customer's NICF facility or
as per special approval by the competent
authority. In case of no NICF facility is
available to the customer than mark-up will
be charged
16) Issuance of business performance certificate Rs.2,500/- per certificate 54206600 -
of previous years at the customer request
17) Sales Tax / FED invoice certificate Rs.1,000/- per certificate 54206600 EBC
Note:
The Bank reserves the right to charge different rates on the basis of volume and security offered
subject to prior approval by concerned sanctioning authority.
In addition to above, commission/service charges, recovery of courier/postage / fax charges will
also be recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered.
34
INTERNATIONAL BANKING
Code
Particulars Charges GL SC
19) Export Proceeds Transfer Flat charges Rs. 500/- 54206600 EBC
only on Out-Bound Export
proceeds in FCY only
C. REMITTANCES
1) Outward
a) Foreign Travelers Cheques 1% of the amount of 54207500 4001
travelers cheques sold,
Min. Rs. 400/-
b) i) Remittance abroad through Foreign Commission @ 0.25% per 54207550 4002
Currency Account (Issuance of US$ 1,000 or part thereof,
FDD / FTT) equivalent for other
currencies, Min USD 10,
Max USD 100/- or equivalent
for other currencies
iii) Foreign Currency cash deposited in CFC In addition to commission 54207550 4004
A/c for realization of Export proceeds mentioned at (b) (i) above,
plus service charges
@0.25% to be charged in
case of realization of Export
proceeds against cash
deposited in FCY A/c
iv) Collection /Local Clearing for F.C. A/c 0.6%, Min USD 7, Max USD 15 54206760 4005
v) A/c to A/c Funds Transfer of Foreign Commission @ USD 1 54200240 4006
Exchange Companies in Foreign Currency per 1000 or part thereof,
A/c (having same title of A/c) within UBL equivalent for other
Branches (Locally) currencies, Min USD 8,
Max USD 75, or equivalent
for other currencies
c) Remittance abroad other than through Foreign
Currency A/c
i) Students (for education purpose) Rs. 200/- 54207600 4007
ii) Commission against issuance of FMT/ @ 15 paisas per Rs.100/-, 54207660 4008
FDD/TC From PKR Account Min. Rs. 400/-
(Not Applicable on Advance payment
imports)
iii) Commission against issuance of MT/FDD @ 15 paisas per Rs.100/-, 54202450 -
against Export Min. Rs. 500/-
d) i) FDD / FTT cancellation charges Rs. 500/- per item 54207750 4010
ii) Under general permission or specific Rs. 250/- 54207750 4011
approval of SBP
iii) FDD / FTT cancellation charges against Rs.500/- per cancellation 54207750 4012
Export
e) i) Issuance of duplicate FDD Rs.500/- (flat) 54207700 4013
ii) Issuance of duplicate FDD under Export Rs.500/- (flat) 54207700 4014
2) Inward
a) Home Remittance Free - -
35
INTERNATIONAL BANKING
Code
Particulars Charges GL SC
d) Inward cheques expressed in Foreign Currency 0.15%, Min. Rs.400/- 54207850 -
drawn on Foreign Currency A/c received
from local / upcountry bank's branches for
payment in Pak Rupees after conversion at
authorised dealers buying TT clean rates
e) Clean Collection-Using Foreign
Correspondent arrangements
i) Collection for Foreign Currency A/c or 0.6%, Min USD 7, Max 54207600 -
Rupee A/c USD 15 or Equivalent 54207550 -
Rupees per collection (in
Addition to foreign
Bank charges)
ii) Cheque/Draft/FTCs Returned unpaid Rs. 500/- (flat) 54203710 -
iii) Postage Rs. 200/- (flat) 57800200 -
Note:
Whenever SWIFT message is sent, SWIFT/Communication charges will be recovered from
customer.
In addition to above, commission/service charges, courier/postage / fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered
D. MISCELLANEOUS
1) Correspondent Banking charges At Actual 54208000 -
2) Foreign bills sent for collection returned unpaid Rs.500/- (flat) 54203700 -
3) Inward collection/Local Clearing received USD 5 per USD 1,000 or 54203700 -
relating to Foreign Currency A/c from abroad part there of and Max.
or local banks / branches and where the USD 15
payment is demanded in Foreign Currency
4) Inward Foreign Currency cheque, received Commission @ 0.10%, 54203700 -
from local branches, upcountry branches or Min. Rs.200/-
local banks for payment in Pak Rupees
(convert the relevant Foreign Currency at the
TT Buying rate)
5) Issuance of proceeds certificate beyond one year Rs.500/- (flat) per certificate 54206850 -
6) Credit check at customer's request Rs.300/- 54206850 -
7) Service charges for verification of test / Rs.500/- per instance 54206850 -
signature and mail L/Cs
8) Standing instructions charge in Foreign USD 5/- or equivalent per 54206850 -
Currency A/c transaction
9) a) Negotiation of documents drawn under If proceeds not realized / 52600301 -
sight letter of credit credited to our customer's
account within 12 days then
markup @ applicable to our
customer NICF facility to be
charged for any delay
beyond 12 days. Incase no
NICF facility to the customer
then mark up @ 54 paisa per
Rs. 1,000/- per day to be
charged.
b) Negotiation (Usance) If payment Foreign/Local 52600301 -
bills realized within 3 days,
no markup to be charged.
Incase proceeds not
realized/credited to our
account within 3 days
from the date of maturity
then markup to be charged
from the date of maturity till
its adjustment @ applicable
to our Customer's NICF
facility or as per special
approval by the competent
authority. Incase of no NICF
facility is available to the
customer then markup
@54 paisa per Rs.1,000/-
per day to be charged.
36
COMMUNICATION CHARGES - GENERAL
Code
Particulars Charges GL SC
Note:
In addition to above, commission/service charges, courier/postage/ fax charges will also be
recovered according to prescribed tariff (wherever applicable)
Charges negotiable on case to case basis under approval of relevant Business Head / Divisional Head.
In addition to the charges above, all applicable Government levies will also be recovered
IMPORTANT NOTES: