Home Media centre News Changes to the fee schedule for Settlement and Cash Services for Business Clients
Changes to the fee schedule for Settlement and Cash Services for Business Clients
30.12.2011
On 16 January 2011 ProCredit Bank brings into effect a new version of fee schedule for Settlement and Cash Services for Business Clients.
The changes comprise the following:
1. Starting from 16 January 2012, the following services will no longer be provided under the “Basic” pricing package: opening a current account in foreign currency for customers taking out loans, and conducting foreign currency transactions.
2. Changing the service title of code 7.3 in packages “Basic”, “Universal”, and “Maximum” and of code 2.3 in packages “Classic”, “Active”, “Business” to "Internet Banking services with provision of a USB Token". which is charged in the event of loss, damage or provision of extra tokens, including for second signatures.
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