| S.no | Type of Service | Existing Charges | Revised Charges |
| 1 | Savings A/C without cheque book minimum balance | Rs.1000/- | Rs.1000/- |
| 2 | Savings A/C with cheque book minimum balance | Rs.2500/- | Rs.2500/- |
| 3 | Current A/C opening minimum balance | Rs.3000/- | Rs.3000/- |
| 4 | Charges for non-maintenance of minimum balance in Savings Account | Rs.100+GST | Rs.100+GST |
| 5 | Charges for non-maintenance of minimum balance in Current Account | Rs.300+GST | Rs.300+GST |
| 6 | Closure of Saving accounts | Rs.200+GST | Rs.200+GST |
| 7 | Closure of Current accounts | Rs.300+GST | Rs.300+GST |
| 8 | Account maintenance Charges | *SB A/C Rs.200+GST | *SB A/C Rs.200+GST |
| *Current A/C Rs.300+GST | *Current A/C Rs.300+GST | ||
| 9 | More than 1 Cheque book if requested at the same time | Rs.75+GST | Rs.75+GST |
| 10 | Cheque collection Charges | Rs3.50 per Rs.1000+GST (Max. up to 1500 ) | Rs3.50 per Rs.1000+GST (Max. up to 1500 ) |
| 11 | Local cheque collection Charges | NIL(Discontinue) | |
| 12 | Cheque Bounce Charges | Savings A/C- Rs.100+GST Current A/C-Rs.200+GST | Savings A/C- Rs.100+GST Current A/C-Rs.200+GST |
| (Own Bank Inward) | |||
| 13 | Cheque return Uncollected | Upto 1.00 lakh-Rs.150+GST Above 1.00 lakh- Rs250+GST | Upto 1.00 lakh-Rs.150+GST Above 1.00 lakh- Rs250+GST |
| (Other Bank Outward) | |||
| 14 | Issue of Duplicate Passbook | Rs.50+GST | Rs.50+GST |
| 15 | Issue of Account Statement | Rs.100+GST | Rs.100+GST |
| ( Loan and Deposit A/C's) | |||
| 16 | Issue of No Due certificate | Rs.100+GST | Rs.100+GST |
| 17 | Issue of Duplicate TDR in case of Loss of TDR | Rs.200+GST | Rs.200+GST |
| 18 | Inoperative to Operative Charges | No Charges | |
| 19 | Specimen Signature Changes | NIL | |
| 20 | Debit Card Annual Charges | Rs.100+GST | Rs.100+GST |
| 21 | Debit Card Issue Charges | Rs.100+GST | Rs.100+GST |
| 22 | Postal Charges | Rs.50+GST | Rs.50+GST |
| 23 | SMS Alerts | Rs.50+GST | Rs 0.50 per SMS Max Rs 20+GST |
| 24 | Cash handling Charges | NIL | |
| 25 | Gold Loan Pre- Closure Charges (Minimum 30 days) | Closure Int + 500/- | NIL |
| NEFT/RTGS Charges | |||
| S.no | Type of Service | Existing Charges | Revised Charges |
| 1 | NEFT/ RTGS Charges | As Per CBS | |
| Service Charges on DD's and Bills | |||
| Type of Service | Category | Existing Charges | Revised Charges |
| Demand Draft/ Pay Order/ Bankers's Cheque issue | Rs.1/- to Rs.5,000/- | Rs.25/-+GST | Rs.25/-+GST |
| Rs.5,001/- to Rs.10,000/- | Rs.75/-+GST | Rs.75/-+GST | |
| Above Rs.10,000/- | Rs.75/- plus additional charges of Rs.2 per each Rs.1000/- and Max. of Rs.2000/-+GST | Rs.75/- plus additional charges of Rs.3 per each Rs.1000/- and Max. of Rs.2500/-+GST | |
| Demand Draft/ Pay Order/ Bankers's Cheque Revalidation and Cancellation | Rs.1/- to Rs.5,000/- | Equal to the Commission Collected at the time of issue | Equal to the Commission Collected at the time of issue |
| Rs.5,001/- to Rs.10,000/- | |||
| Above Rs.10,000/- | |||