- Home
- Business Banking
- Current Account
- Current Account For Global Business
- Schedule Of Charges
Fees & Charges - Current Account for Global Business
-
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 1.00/1,000 ; Min Rs. 25 per DD DD purchased from other banks Actual + Rs. 0.50/1,000; Min Rs. 100 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 - By post and e-mail Free 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 Certificate of Balance Current Year : Free, Previous year: Rs. 200 Mobile Alerts Free
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 500Click here to know the detailed Schedule of charges.
Important Links
Open Access Blog
Benefits of FASTag and how to get one
Starting December 1st, all toll payments on national highways must be made via FASTag collection system, aimed to make...