Welcome to
Pravara Sahakari Bank Ltd. (Scheduled Bank)
Head Office, Loni Bk. 413 736, Tal.Rahata, Dist.Ahmednagar
Service Charges (GST Extra) w.e.f. 01/06/2025
| No. | Type/Nature of Service | Service Charges | ||
| 1) | Saving Bank Account | Rs.100/- every year | ||
| 2) | Saving Bank Account BSBDA | Nil | ||
| 3) | Saving Bank Account with Cheque Book | 100/- | ||
| 4) | Current Account folio charges | 200/- every year | ||
| 5) | SMS Charges | Rs.0.15Ps. per SMS | ||
| 6) | Issue of Duplicate Statement | Saving A/c | Rs.50/- | |
| Current A/c | Rs.100/- | |||
| 7) | Issue of Duplicate Passbook | Rs.50/- per pass book | ||
| (for each financial year) | ||||
| Remittance facility through Own Bank | ||||
| 8) | Demand Draft Commission | Rs.2/- per 1,000/- Minimum | ||
| Rs.25/- and above Maximum Rs.15,000/- | ||||
| 9) | DD - Cancellation | Rs.100/- per draft | ||
| 10) | DD - Duplicate | Rs.100/- + Indemnity Bond | ||
| 11) | DD - Revalidation | Rs.100/- | ||
| 12) | NEFT/IMPS Charges Outward | (For Our Bank's A/c holders only) | ||
| Amount | ||||
| up to Rs.1,00,000/- | Rs.5/- | |||
| Above Rs.1,00,000/- | Rs.25/- | |||
| 13) | Pay Order / Inter branch Demand Draft | Up to Rs.1000/- Rs.20/- | ||
| and Rs.1.00 per thousand or part of it (Max Rs.2,500/-) | ||||
| 14) | RTGS - Outward | Amount | ||
| Above Rs.2 Lakhs to Rs.5.00 Lakhs | Rs.25/- | |||
| Above Rs.5.00 lakhs | Rs.50/- | |||
| 15) | PO - Cancellation | Rs.50/- per PO | ||
| 16) | PO - Duplicate | Rs.50/- per PO | ||
| 17) | PO - Revalidation | Rs.50/- per PO | ||
| Cheque Collection | ||||
| 18) | Local | NIL | ||
| 19) | Collection of Outstation cheques | Up to Rs.5,000/- | Rs.25/- | |
| Rs.5,000/- to Rs.10,000/- | Rs.50/- | |||
| Rs.10,001/- to Rs.1,00,000 | Rs.100/- | |||
| Above Rs.1,00,000/- | Rs.200/- | |||
| + Postage and Courier Charges | ||||
| 20) | A. Bouncing of cheques Inward (Non Finance Cheques) | Upto Rs.1,00,000/- | Rs.100/- | |
| Rs.1,00,001/- and above | Rs.200/- | |||
| B. ECS Return Charges and Finance Cheques Return Charges | Rs.200/- | |||
| 21) | Bouncing of cheques Local outward cheques | Up to Rs.1,00,000/- | Rs.50/- | |
| Rs.1,00,001/- & above | Rs.100/- | |||
| 22) | No Due Certificate | Rs.50/- per certificate | ||
| (Not applicable for Agricultural and other Govt. Scheme Loans) | ||||
| 23) | ATM Card issue charges | Rs.100/- (For duplicate card Rs.200/-) | ||
| Miscellaneous | ||||
| 24) | Interest Certificate | First Time NIL | ||
| For duplicate only Rs.50/- per certificate | ||||
| 25) | Accounts Closer | Savings | Current | |
| Before six months | Rs.100/- | Rs.200/- | ||
| After six months | Rs.50/- | Rs.100/- | ||
| 26) | Signature Attestation | Rs.25/- per form | ||
| 27) | Stop Payment Charges | Per instruction | Savings | Current |
| Rs.50/- | Rs.100/- | |||
| 28) | Inoperative Account (Pre intimation by IT deptt. before 1 month) | Yearly | Savings | Current |
| Rs.200/- | Rs.200/- | |||
| 29) | Folio charges (half yearly) | Type of Account | Rural Area | Urban Area |
| Saving | Rs.10/- | Rs.20/- | ||
| Current | Rs.20/- | Rs.50/- | ||
| Cash Credit | Rs.20/- | Rs.50/- | ||
| 30) | Collection of Cheques for Clearing under ABB | NIL | ||
| 31) | Cheque Book Issue Charges (Cheque Book of 30 pages) | Saving | Rs.60/- | |
| Current & Cash Credit | Rs.100/- | |||
| For Finance Purpose | Rs.200/- | |||
| 32) | Duplicate FDR/Gold Loan Receipt | Rs.100/- Indemnity Bond | ||
| 33) | Loan Recovery Notices to Borrower & Guarantors | Ordinary Post | Rs.300/- per A/c | |
| Registered A.D. | Rs.500/- per A/c | |||
| 34) | Recovery Inspection Charges (Post sanction follow up) | |||
| Up to 50 Kms. | 300/- | |||
| 51 to 100 Kms. | 500/- | |||
| Above 100 Kms. | 1,000/- | |||