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Fees & Charges - Current Account for Trusts
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Key fees on your Account
Charges related to your account Home Branch Cash Deposit Charges (in Rs.) 4/1000 Non Home Branch Cash Deposit Charges (in Rs.) 4/1000 Cheque related charges Cheques Deposited at any Axis Bank branch for outstation collection Rs 100/- Per Instrument Cheque Return - Issued by Customer 1st two returns for the month – Rs 550/-;
3rd return onwards for the month – Rs 750/-Cheque Return - Deposited by Customer 1st return for the month – Rs 50
2nd return onwards for the month – Rs 100Cheque Return - Deposited by Customer for Outstation Collection Up to 10K - Rs. 50/- plus GST,
Above 10K - Rs. 100/- plus GST
Demand Draft related charges DD ( payable at Correspondent Bank locations under Desk Drawing arrangement) Re 1.00/1000 ; Min Rs 25 per DD DD purchased from other banks Actual + Rs 0.50/1000; Min Rs 50 per DD DD drawn on Axis Bank branches- Cancellation , Reissuance or Revalidation Rs 100/- per instance DD drawn on Correspondent Bank branches- Cancellation , Reissuance or Revalidation Rs 100/- per instance+ other bank's charges at actuals if any Miscellaneous Charges Account Statement - Duplicate statement from Branch Rs 100 per statement Retrieval of old records or query More than 1 year old : Rs 100 per record/ query *Debit Card Fees As per the applicable joining & annual fees *Other Debit Card Charges As applicable on the card Signature Verification Certificate Rs 50 per verification Stop Payment Charges Per Instrument: Rs 50, Per Series: Rs 100 Account Closure Charges Less Than 14 Days - NIL
Older Than 14 Days - Rs 500
Click here to know the detailed Schedule of charges.
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