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  • About Us
    • Board of Director
  • Financial Results
  • PMJDY and Financial Inclusions
  • Press Release
  • Tenders
  • Amalgamation
  • E-Syndicate
  • Announcements
  • Careers
  • Personal Banking
    • Savings & Deposits
    • Loan Products
    • Technology Products
    • Mutual Funds
    • Insurance Business
    • International Services
    • Card Services
    • Consultancy Services
    • Depository Services
    • Ancillary Services
    • Approved Housing Projects
  • Corporate Banking
    • Accounts & Deposits
    • Supply Chain
    • Loans & Advances
    • Syndication Services
    • IPO Monitoring Activity
    • Merchant Banking
    • TUF Schemes
    • Canara eTax
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    • Contact Us
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    • Deposit Products
    • Loans & Advances
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    • FAQs
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  • Priority Portal
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Toll Free Numbers

Canara Bank
1800 425 0018
1800 103 0018
1800 208 3333
1800 3011 3333


Non Toll Free Numbers
(if calling from outside India)

+91-80-22064232

Customers are requested to call on our
mentioned Toll Free Numbers only for any
complaints/issues. Bank shall not be
responsible for any consequences arising
out of customers calling any other
unverified numbers.

Service Charges

Service Charges

SERVICE CHARGES FOR OTHER THAN PRIORITY SECTOR ADVANCES

 

RATES AT A QUICK GLANCE – as per RBI format

1. Lockers


LOCKER SIZE IN INCHES

CLASSIFICATION

TYPE

PRESENT RENTALS PER ANNUM

05x06x21

SMALL

A

1250 + ST

05X07X21

SMALL

B

1500+ST

05X13X21

MEDIUM

C

1900+ST

07X09X21

MEDIUM

C

2000+ST

13X07X21

MEDIUM

F

2400+ST

06X16X21

MEDIUM

E

2800+ST

11X13X21

LARGE

F

3000+ST

07X20X21

LARGE

G

3700+ST

12X16X21

LARGE

H

5000+ST

16X20X21

VERY LARGE

L

6300+ST

* The above rates are confined to Branches under Bangalore metro only.
* The rentals vary from place to place, area to area depending upon size of the locker and demand in the area.
* For further details, please contact any of the nearest branches.
1. No of free locker operations (link to S/ No 29 a)
2. Delayed remittance of rentals (link to S/No 29 b)

 

 

1. a) Demand Drafts/TT Issue - OUTSTATION

Amount ranging 
From - To

OTHER THAN INDIVIDUAL

INDIVIDUALS

OTHER THAN RURAL

RURAL

Upto and inclusive of Rs. 1000/-

Rs. 40/-

Rs. 30/-

Rs. 25/-

Above Rs.1000/- upto Rs. 10000/-

Rs. 50/-

Rs. 40/-

Rs. 35/-

Above Rs. 10000/-

Rs. 4.00/- per Rs. 1000/- or part thereof minimum of Rs. 50/- Maximum Rs. 12000/- per DD

Rs. 3.50/- per Rs. 1000/- or part thereof minimum of Rs. 40/- Maximum Rs. 12000/- per DD

Rs. 3.50/- per Rs. 1000/- or part thereof minimum of Rs. 40/- Maximum Rs. 10000/- per DD

Note: 1. For multiple DDs issued in lieu of single DD, commission as applicable for the aggregate amount alone shall be collected. 2. Charges for funds transferred by student account holders, to Educational Institutions / colleges by way of RTGS & NEFT and / or issue of DDs for such institutions / colleges are waived.


1. b) LOCAL DEMAND DRAFT / PAY ORDER / BANKER’S CHEQUE ISSUE :

Amount ranging
From - To

OTHER THAN INDIVIDUAL

INDIVIDUALS

OTHER THAN RURAL

RURAL

Upto and inclusive of Rs. 1000/-

Rs. 40/-

Rs. 30/-

Rs. 25/-

Above Rs.1000/- upto Rs. 10000/-

Rs. 50/-

Rs. 40/-

Rs. 35/-

Above Rs.. 10000/-

Rs. 4.00/- per Rs. 1000/- or part thereof with minimum of Rs. 50/- Maximum Rs. 12000/- per DD

Rs. 3.50/- per Rs. 1000/- or part thereof with minimum of Rs. 40/- Maximum Rs. 12000/- per DD

Re. 3.50/- per Rs. 1000/- or part thereof with minimum of Rs. 40/- Maximum Rs. 10,000/- per DD


Note : 1. For multiple DDs issued in lieu of single DD, commission as applicable for the aggregate amount alone shall be collected. 
2. Charges for funds transferred by student account holders, to Educational Institutions / colleges by way of RTGS & NEFT and / or issue of DDs for such institutions / colleges.are waived.

1. c) Issue of DD / TT / PO / BC against tender of cash (both for local / Outstation)

Issue of DD / TT / PO / BC against tender of Cash

Up to Rs.1000/- - No additional charges.
Above Rs1000/- - Additional charges at 50%
Extra on applicable charges
Note: However Branch has the discretion to charge higher subject to maximum of 200% of applicable normal charges.

Retirement of bills against tender of cash

Additional charges of Rs.300/- flat per bill shall be collected in addition to bills collections charges.

 


1 . d) DEMAND DRAFT / PAY ORDER / BANKER’S CHEQUE CANCELLATION /REVALIDATION/DUPLICATE ISSUANCE.

Cancelation

up to 10lakhs- Rs.100/- per instrument
Above 10.lakhs: Rs.1000/- per instrument

Revalidation

up to 10lakhs- Rs.100/- per instrument
Above 10.lakhs: Rs.1000/- per instrument

Issuance of duplicate DDs.

up to 5lakhs- Rs.100/- per instrument
Above 5lakhs: Rs.1000/- per instrument

Note: For DDs cancelled, charges will be recovered to the extent of their value, if the amount is less than or equal to the SC in the 1st slab of the respective category.


2. a) Outstation cheque collection

Inward / Outward Collection of Outstation cheques / instruments such as DDs/ Dividend / Interest Warrants, Refund Orders, Income Tax Refund orders etc. (other than bills)

Up to Rs. 5,000/-

Rs. 25/- per instrument for SB Account and Rs.50/- per instrument for other accounts

Upto Rs. 10,000/-

Rs 50/- per instrument

Rs. 10,001/- to Rs. 1,00,000/-

Rs. 100/- per instrument

Rs. 1,00,001/- to Rs. 10,00,000/-

Rs. 200/- per instrument

Rs. 10,00,001/- and above

Rs. 250/- per instrument

NOTE : The above charges are per instrument fixed tariffs and all inclusive and NO courier or out of pocket expenses to be collected in addition. The charges are applicable to both individual and other than individual customers irrespective of the population group. Sharing of commission on 50:50 basis is applicable for cheques directly sent to Private Sector Banks/Foreign Banks/ Co-operative Banks/RRBs sponsored other Banks/any other Banks, for want of our branch at drawee cente. Commission levied by both the destination (paying) bank and collecting bank shall not exceed the maximum commission stipulated by RBI.

b) Collection of Dividend / Interest Warrants / Refund Orders for Individuals – concessions

Individual Rural

If value of instrument is up to Rs.500/-, No Charges, Only OPE# + Postage
For instruments above Rs.500/- -Normal collection charges

Individual non-rural

If value of instrument is up to Rs.500/-, No charges, only OPE# + Postage
For instruments above Rs.500/- Normal collection charges

Non-individual

Normal Charges - No concessions

 

Electronic Payment Services

 

 

RTGS Transactions:

Amount of RTGS Transaction

Service Charges
(Exclusive of GST)

Rs.2 lakhs & up to Rs.5 lakhs

Rs. 24.50

Above Rs.5 lakhs

Rs. 49.50

 

NEFT Transactions :

Amount of NEFT Transaction

Service Charges
(Exclusive of GST)

Up to Rs.10,000/-

 Rs. 2.25

Rs.10,001 and up to Rs.1 lakh

Rs. 4.75

Above Rs.1 lakh and up to Rs.2 lakhs

Rs.14.75

Above Rs.2 lakhs

Rs.24.75

 Note: SB customers if NEFT transaction initiated through online channel (viz. internet bank and/or mobile apps of the banks) : No Charges
Note :Against Cash only upto Rs.50,000 – Normal charges

     Bank has Waived NEFT charges for Savings Bank  Account holders for transactions which are

     Initiated online (viz. internet bank and/or mobile apps of the banks) w.e.f 01-01-2020

 

RTGS TRANSACTIONS-SETTLEMENT TIMING: 


DAYS

Customer Transactions

All Working Days

07.00  hours  to 18.00 hours


NEFT – TRANSACTIONS -  HALF-HOURLY SETTLEMENT TIMING: 


DAYS

TIMING

All Working Days

08.00 AM to 19.00 PM for Branches

24 x 7 basis, without holidays for Online Banking

                                                                      Forty Eight  Batches

RTGS/ NEFT/ SFMS - Inward

Nil

National Automated Clearing House(NACH) Mandate Charges

One Time Mandate Registration Charges Rs.150/-

ECS – Credit/Debit

Nil

ECS (DEBIT RETURN)

Charges as applicable to cheque return charges for different categories

Funds Transfer through Internet and Mobile Banking Services (IMPS transfer)

IMPS Funds Transfer through Mobile Banking and Internet Banking Services : 
Up to Rs. 5,000/- : NIL
Beyond Rs. 5,000/- to Rs. 25,000/- : Rs. 5/-
Beyond Rs. 25,000/- to Rs. 1,00,000/- : Rs. 10/-
Beyond Rs. 1,00,000/- to Rs. 2,00,000/- : Rs. 15/-

Immediate Credit of outstation cheques upto Rs.15000/-

(i) In the case of outstation cheques, our usual commission along with postage charges should be collected at the time of instant credit to the account.

(ii) In the case of local cheques, applicable commission is Rs.10/- per cheque
(iii) Applicable service taxes plus cess thereon shall be collected in addition to the above charges.
CHEQUE RETURN CHARGES

4. Cheque / Instrument return charges – LOCAL & OUTSTATION


PARTI CULARS

Outward Returns

Inward Returns

Return of Outward Instruments
( Outward Local  Cheques / instruments including Local Clearing Cheques / LOSCs etc., lodged by customers 
for collection and returned to us by other Banks / Branches ) – collected as handling charges.
Return of Outward Instruments (Outward Outstation Cheques / Instruments including OSCs lodged by customers for collection and returned to us by other Banks / Branches

Return of Inward Instruments (Inward Local Cheques / instruments received for payment but returned to other Banks / Branches) Only in case of the cheque / instruments being returned for want of funds/similar reasons (to be debited from our drawer customer's a/c)

Return of Inward Instruments (Inward Outstation Cheques / Instruments received for payment but returned to other Banks / Branches)

OTHER THAN INDIVI DUAL

INDIVIDUALS

OTHER THAN 
INDIVI DUAL

INDIVIDUALS

OTHER THAN RURAL

RURAL

OTHER THAN RURAL

RURAL

For Savings Accounts/
Current, OD / OCC Accounts

Upto 1 Cr 
Rs.500/- + GST
Above 1 Cr
Rs.5000/- + GST

Upto 1 Cr 
Rs.500/- + GST
Above 1 Cr
Rs.5000/- + GST

Upto 1 Cr 
Rs.500/- + GST
Above 1 Cr
Rs.5000/- + GST

Upto 1 Cr 
Rs.500/- + GST
Above 1 Cr
Rs.5000/- + GST

Upto 1 Cr 
Rs.500/- + GST

Above 1 Cr
Rs.5000/- + GST

Upto 1 Cr 
Rs.500/- + GST
Above 1 Cr
Rs.5000/- + GST

 ** In addition to the above, Interest at rate applicable for clean advances will be collected for the period Bank was out of Funds [ Funds Outlay for the Bank ]
** Other Bank Charges if any will be collected.
For Instant Credit upto Rs.15000/- :Rs.10/- per cheque  

5. Cheque Book Issue : SB / CA / OD / OCC Accounts

Particulars

OTHER THAN INDIVIDUAL

INDIVIDUALS

OTHER THAN RURAL

RURAL

Issuance of MICR/CTS Cheque Book

Rs. 5.00 per cheque leaf

Rs. 4.00 per cheque leaf

Rs. 4.00 per cheque leaf

Free Cheque leaves for SB Account in a calendar year

20 leaves free

20 leaves free

20 leave free

Note : Cheque book charges for SB accounts are to be levied only for the additional leaves issued in excess of the free entitlement.


6. No Due Certificate

OTHER THAN INDIVIDUAL

INDIVIDUALS

OTHER THAN RURAL

RURAL

Issue of No Due Certificate

Rs. 150/- per certificate

Rs. 100/- per certificate

Rs. 50/- per certificate

No charges for Government Sponsored Schemes.
Rs. 10/- for Agriculture and Priority Sector Advances;
SHG :  Rs. 10/- for each member

SAVINGS BANK ACCOUNTS


7. Minimum balance and Non-maintenance of Minimum balance charges:

Service/Product/Account

Particulars

Service charges

(I) CANARA BASIC SAVINGS BANK DEPOSIT ACCOUNT

Minimum balance charges for non maintenance thereof

NIL.

(II) CANARA SMALL SAVINGS BANK DEPOSIT ACCOUNT,

(III) NSIGSE, PMJDY, Staff, Pensioners, Senior citizen, Non-Resident, Jeevan Dhara, SB Power Plus, Pay Roll Account, GenY, SB Defence Account and canara champ account

Service/Product/Account

Minimum balance

  

Savings Bank account

Rural –Rs.500/-; Semi-Urban / Urban / Metro - Rs. 1000 (for both accounts with cheque book facility or without Cheque Book facility)

Non maintenance of Minimum balance charges

Modification in charges (Based on Minimum Average Monthly Balance-AMB)

 

a) METRO / URBAN / SEMI URBAN Branches

b) RURAL BRANCHES

AMB maintained in
the account against the stipulated
Rs. 1,000/-

Charges per
month for
violation of AMB

AMB maintained in
the account against the stipulated
Rs. 500/-

Charges per month for 
violation of AMB

Rs. 999/- to Rs. 700/-

Rs. 25/- + 
applicable Service Tax

Rs. 499/- to Rs. 350/-

Rs. 25/- + 
applicable Service Tax

Rs. 699/- to Rs. 400/-

Rs. 35/- + 
applicable Service Tax

Rs. 349/- to Rs. 200/-

Rs. 35/- + 
applicable Service Tax

Rs. 399/- and below

Rs. 45/- + 
applicable Service Tax

Rs. 199/- and below

Rs. 45/- + 
applicable Service Tax

Current Account

Rural/Semi-Urban- Rs.1000/-
Urban/Metro –Rs.5000/-

Rs.60/- per day. 
Max: Rs.400/- per calendar month.

Mode of calculation of minimum balance

Charges for non-maintenance of minimum balance on any day/any number of days during the month.

The above penal charges for non-maintenance of Minimum Balance in In-Operative CA/SB Accounts are waived.

  • Whenever the AMB falls below the required minimum AMB, SB customers will be notified by SMS/ email/ letter before 7th of the subsequent month.
  • In case of continuous default, SMS/e-mail/letter will be sent only for 2 consecutive months. In any of the subsequent months, if the account is set right by maintaining the required AMB, therefore notice will be sent as usual, in case of default.
  • If AMB falls below the stipulated amount in a particular month and the customer does not maintain AMB in the subsequent month even after sending SMS/ email/ letter, penal charges are as applicable will be levied.
  • Wherever mobile number or email is not provided by the customer and notice is sent ordinary charges + applicable GST towards notice charges will be charged by the system in addition to penal charges.
  • Charges will be debited to the account to the extent of available balance or penal charges whichever is less. If the account goes to zero balance, charges will not be further debited.
  • In respect of accounts where parties do not surrender cheque book and there is no response to the notice and the accounts are not found fit for revival, Branches shall close such accounts.

 

8. Charges for In-operative Accounts (Quarterly Service Charge)

i ) In-operative SB Accounts

 

 

a. No Charge

ii ) In-operative Current Accounts

 

 

a. No Charge

 

9. OUTWARD / INWARD COLLECTION OF BILLS :(Clean, Documentary, Demand / Usance including supply bills)


Particulars

Charges

Upto and inclusive of Rs. 10000/-

Rs. 100.00

Above Rs.10,000/-up toRs.10.00 lakh

Rs. 8/- per Rs. 1,000/- or part there of with a minimum of Rs. 100/-

Above Rs.10.00 lakhs

Rs. 8/- per Rs. 1,000/- or part thereof with a minimum of Rs. 8000/- and maximum of Rs. 15000/-

For Bills / Cheques returned unpaid, the following charges will be levied:

50% of applicable collection charges (as given above) with a minimum of Rs.100+postage

 

10. SAFE CUSTODY CHARGES / SAFE CUSTODY ARTICLES :

a) Sealed Cover / Packet

Rs.750/- min per cover p.a., or its multiples

b) Scrips

Rs.50/- per scrip with a minimum of Rs. 300/- p.a. or part there of

c) Sealed Box

10x10x10cc

Minimum Rs. 750 p.a. or its multiples

20x20x20cc

Minimum Rs.1500 p.a. or its multiples

30x30x30cc

Minimum Rs.2000 p.a. or its multiples

Note : The above charges are only indicative. Depending upon the size of the box/cover/packet Branch can charge higher in consultation with CO.

d) Safe Keeping Charges for Gold Loans above Rs. 25,000/-

  • Swarna Loan
  • AL Gold Loan for Crop purpose
  • Agri Gold Loan for Non Crop purpose
  • AL Term Loan against Gold Ornaments

Gold Loan to Staff

Rs. 100/- per month.
(To be charged after 30 days after the expiry of the prescribed tenure of gold loan)

11. Standing instruction charges (SB / CA / OD / OCC Etc.)

a) For transfer of funds within the same branch

One time Registration charges Rs.100/- per case Therafter Rs 35/- for every debit No charges for standing instruction to loan/ RD/ Deposit accounts of self.

Exemptions : The above charges under standing instructions within the same branch are not applicable in the following cases : 1. Guardian’s a/c to minor’s a/c. 2. Between a/cs of parents and children. 3. Between the accounts of the spouses. 4. From Co-obligant’s account to the credit of Borrower’s account 5.
5. Standing Instruction to Loan / RD/ Deposit accounts of self.

b) For transfer of funds to other branches and outside agencies

One time Registration charges Rs.100/- per case Therafter Rs 40 for every debit PLUS Actual remittance charges+OPE

c) Failed/ non execution of SI due to insufficient funds

Rs.100 per instance (above charges are not applicable for delay in EMI/ Failed installment of loan)

 

12. LEDGER FOLIO CHARGES - CURRENT A/C / OD / OCC / KCC / PL/ KCCS

40 entries or part thereof shall be treated as one page. Rs.125/- per ledger page shall be collected on quarterly basis ( jun/sep/dec/mar) in case of CA/OD/OCC/PL/KCC/KCCS (i.e. all credit limits other than single transaction limits and bills / cheque limits).
Number of free folios per Quarter in case of operative CA/OD/OCC/PL/KCC/KCCS accounts available are as under:

If Quarterly Average Credit Balance in the account is

Number of folios free

Upto Rs. 25000/-

NIL

Above Rs. 25000/- up to Rs. 50000/-

3 ledger page

Above Rs.50000/-

No folio charges.

Note: For SB accounts, no folio charges.

13. Issue of duplicate Deposit Receipt

Rs. 100/- per instance

14. Issue of Call Deposit Receipt

Rs. 500/- per instance

15. Signature/ Photo Verification/Certificate for passport purpose :
Signature Verification Including attestation of customers signature/photos /issue of Certificate for Passport purpose

Rs.150/- per attestation / Verification/Certificate

16. Parcels / Post Parcels received under ISC / IBC. (Applicable both for individuals and other customers)

For parcels not cleared on presentation, a charge of Rs.5/- per day should be levied from the due date of payment till clearance / payment. The minimum charge per parcel is Rs.20/-.

17. Instruments Directly received by post in unsolicited covers sent by organizations / institutions(To be collected from the beneficiary if no arrangement with the sender company)

Rs. 20/- per credit / instrument (Existing guidelines apply)

18. Deletion of deceased name, merger of companies, change in the name of companies etc (including reconstitution of accounts)

No charges for individual customers.
For other than individuals: Rs. 150/- per occasion

19.Change in authorised signatories of companies (CA/OD/OCC) including clubs, Co-operative Societies.

Rs. 250/- per instance

20.Loss of Token

Rural branches

Rs. 30/- per token

Other branches

Rs. 60/- per token

21.Registering Power of Attorney/Operations by power of Attorney/Mandate 

  • Savings Bank Accounts
  • CA/OD/OCC

Rs. 500/-  p.a + GST
Rs. 700/-  p.a + GST

22. Holding Bills for collection for every quarter beyond 3 months after due date

Additional 25% of normal collection charges. Minimum Rs. 100/- per quarter.

@ At the request of drawer / customer and subject to other applicable conditions

23. Change of original instructions in respect of Outward / Inward bills for collection such as extension of time, waiver of C form etc.

Rs. 100/- per request plus Out of Pocket expenses.

24. Loss of locker key

Rs. 1000/- (in addition to actual break open charges).

25. Locker Operations

a) Locker Registration charges (One Time)

 

Rs. 400 /- one Time

 

b) Locker Rent [ Financial year ]

Size        Metro        Urban/Semi Urban       Rural
Small       2000/-             1500/-                 1000/-
Medium   4000/-              3000/-                 2000/-
Large       7000/-             6000/-                 4000/-
Very Large 10000/-          8000/-                 6000/-
* Synd Supreme/Canara Power Plus account holders – 25 % concession on Small/Medium sized lockers only
** The above rates are Minimum. Circles can charge higher charges based on locality / locker demand etc.

 

c) Locker Security Deposit

Size       Metro        Urban/Semi Urban         Rural
Small     12000/-          10000/-                   8000/-
Medium  15000/-          14000/-                 10000/-
Large      20000/-          20000/-                 15000/-
Very Large 25000/-        25000/-                20000/-

 

d) Insta Locker [ renting for shorter period of 1 day to 60 days ]

Locker Deposit – Rs.5000/- for All Branches
Size     Days    Metro    Urban/Semi Urban    Rural
Small   1 – 3    500.00         500.00              500.00
4-15     700.00        600.00              500.00
16-30    1000.00       700.00              600.00
31-60    1200.00       800.00              700.00
Medium 1 – 3    600.00       600.00               600.00
4-15    1000.00      700.00               600.00
16-30   1500.00     1000.00              900.00
31-60   1700.00      1200.00            1100.00

 

e) service charges for locker operation

Up to 12 operations per annum: No charges
Beyond 12 operations: Rs. 100/- per operation + GST.

 

f) Penal Charges on delayed remittance of locker rentals

Penal charges to be collected in addition to actual rentals : If the delay is –
Up to and inclusive of one Quarter – 10% of applicable annual rental
Up to and inclusive of two Quarters – 25% of applicable annual rental
Up to and inclusive of three Quarters – 40% of applicable annual rental
Up to and inclusive of four Quarters – 50% of applicable annual rental
one year and above – 100% of applicable annual rental
Note: Fraction of a quarter is to be treated as a full quarter of delay. First quarter delay will be reckoned from 16th April onwards and thereafter 1st of every calendar quarter (1st July, 1st Oct and 1st Jan respectively for 2nd, 3rd and 4th Quarters and 1st April for one year and above)

26. Current Account maintained by other Bank with us: (Remittance by Banker’s cheques/ other instrument)

 

? Fund transfer among member banks for meeting adverse clearing positions

? Funds transfer for reasons other than clearing instruments

? Discounting DD/ Outstation cheques for meeting clearing adverse or otherwise

? Discounting TTs for raising of funds.

? Remittance by Cash for meeting adverse clearing position or otherwise

 

No charges

 

0.06% of actual remittance amount

 

Actual discounting charges + interest + OPE as applicable to customers

 

As advised by Integrated Treasury Wing

 

120% additional to actual remittance charges

27.Phone banking service charges for sending statement / certificate as per request under physical delivery

up to including Rs.5000/- = Rs.25/- for SB ,
Rs.50/- for others
above Rs.5000/- to Rs.10000/- : Rs.50/- per instrument
Above Rs.10001 to Rs.1 lakh :Rs.100/- per instrument
Above 1 lakh :Rs.150/- per instrument

 

28 FACILITIES / CONCESSIONS IN SERVICE CHARGES FOR CERTAIN CATEGORY OF CUSTOMERS

a). Collection of instruments favouring Physically challenged persons / blind

For instruments up to Rs. 10000/-, No charges.

b). Collection of charges for scholarships amount payable to SC / ST students

Waived

29. ISSUE OF PASS BOOK / E-STATEMENT / BALANCE CERTIFICATE / INTEREST CERTIFICATE

Issue of Pass Book/ Pass Sheets/E-statement

      a) SB Accounts

                i) Pass Sheets : First set free of charges in a month for all categories

               ii) Computerised Pass Books : No Charges

      b) Current / OD / OCC Accounts

Pass Sheets : First set free of charges in a month

30. ISSUE OF BALANCE CERTIFICATES / INTEREST CERTIFICATES


Particulars

OTHER THAN INDIVIDUAL

INDIVIDUALS

OTHER THAN RURAL

RURAL

Interest Certificates (Interest Paid / Interest Collected Certificates)

1st Certificate : Free extra Copy : Rs. 150/- per certificate

1st Certificate : Free extra Copy : Rs. 75/- per certificate

1st Certificate : Free extra Copy : Rs. 50/- per certificate

31.. ISSUE OF DUPLICATE PASS BOOK OR STATEMENT / PASS SHEET

a) Duplicate Pass Book / Pass sheet / Statement

Rs. 100/- with latest balance, additional Rs.50/- per page, for previous entries

Rs. 100/- with latest balance, additional Rs.50/- per page, for previous entries

Rs. 100/- with latest balance, additional Rs.50/- per page, for previous entries

Note : 40 entries or part thereof is treated as one page / sheet

32. STOP PAYMENT : (Stop payment instructions / revocation of instruction)

  • For Instructions : ( Stop payment instructions including for range of Cheques / blank cheques / cheque book lost etc).

i. SB Accounts

Rs. 250/- per cheque. (Maximum Rs. 1000 per occasion)

Rs. 150/- per cheque. (Maximum Rs. 750 per occasion)

Rs. 100/- per cheque. (Maximum Rs. 500 per occasion)

ii. CA / OD / OCC

 

Rs. 200/- per cheque.(Maximum Rs. 600 per occasion)

Rs. 100/- per cheque. (Maximum Rs. 500 per occasion)

Rs. 100/- per cheque. (Maximum Rs. 500 per occasion)

b. Noting of  Loss of Cheque Book/ leaf for all accounts

Rs.5 per leaf with a Minimum of Rs.50, Maximum of Rs.1000+ GST

Rs.5 per leaf with a Minimum of Rs.50, Maximum of Rs.1000+ GST

Rs.5 per leaf with a Minimum of Rs.50, Maximum of Rs.1000+ GST

c) Revocation of Stop Payment

SB: Rs.50/- Plus GST per revocation
CA/ OD/ OCC: Rs.100 + GST per revocation

SB: Rs.50/- Plus GST per revocation
CA/ OD/ OCC: Rs.100 + GST per revocation

SB: Rs.50/- Plus GST per revocation
CA/ OD/ OCC: Rs.100 + GST per revocation

33. ENQUIRY OF OLD RECORDS

a) Entries up to six months :

SB / CA / OD (All type of Accounts)

Free of Charge

Free of Charge

Free of Charge

b) Entries above 6 months up to 1 yr old :

SB / CA / OD (All type of Accounts)

Rs. 100/- per request.

Rs. 100/- per request.

Rs. 100/- per request.

c) Entries Beyond 1 yr :

SB / CA / OD (All type of Accounts)

Rs. 250/- per request.

Rs. 250/- per request.

Rs. 250/- per request.

Note: For entries above one year old, Branch manager has discretion to levy extra charges to (b) above, based on time spent / work involved. Copies of documents / cheques etc at customer's cost.

34.ACCOUNT CLOSURE :

a. Closure of SB / CA before one year

      SB Accounts -

Rs. 200/- per account

Rs. 200/- per account

Rs. 200/- per account

       Current  
       Accounts

Rs. 750/- per account

Rs. 750/- per account

Rs. 750/- per account

b.ACCOUNT CLOSURE : (Closure of SB / CA beyond one year) -

      SB Accounts -

Rs. 100/- per account

Rs. 100/- per account

Rs. 100/- per account

       Current 
       Accounts

Rs. 375/- per account

Rs. 375/- per account

Rs. 375/- per account

*No Charges for closure of A/C within 14 days of opening.

  • Transfer of entire Balance in account to other Bank at the time of Account closure and Transfer of  Funds: Actual Remittance Charges + Out of  Pocket Expenses.

RECURRING DEPOSIT
(for premature closure of RD account within one year of its opening)

Rs.100/- Per RD Account

Rs.100/- Per RD Account

Rs.100/- Per RD Account

Exemptions: 1) BSBD Account 2) Opening of account in joint names.
3) Death of the account holder. 4) Transfer from branch to branch.

 

 

35. INTERCITY TRANSACTIONS : (Outstation Branches)

   Type of Transaction

Charges for CBS branches

 OSC

Up to and including Rs. 5000/ 


Above Rs 5000/ - and up to and including Rs 10,000/ -
 
Rs. Rs 10,001/ - to Rs 1,00,000/ - 

Rs 1,00,001/ - and above

25/ - for SB account 50/- For other than SB account 
Rs 50 per instrument


Rs 100 per instrument 

Rs 150 per instrument

NOTE: The above OSC charges are per instrument fixed tariffs and all inclusive charges applicable to both individual and other than individual customers irrespective of the population group. No additional charges such as courier charges, out of pocket expenses etc., should be collected from the customers.


 36. CASH HANDLING CHARGES

FOR CASH REMITTANCE TO SAVINGS BANK ACCOUNTS

FOR CASH REMITTANCE TO CA/OD/OCC ACCOUNTS

  • Up to Rs.50000/-

a) 3 Cash Remittance free in a month.
b) 4th Remittance onwards: Re.1 per thousand or part thereof with a minimum of Rs.50 and maximum of Rs.5000/- per transaction Plus GST.

  • Above Rs.50000/-

Re.1 per thousand or part thereof with a minimum of Rs.50/-  and maximum Rs.5000/- per transaction plus GST.

  • Up to Rs. 1,00,000/- remittance : FREE

 

  • For cash deposits above Rs. 1,00,000/- , cash handling charges at Re. 2/- per Rs. 1,000/- or part thereof;
  • With a minimum of Rs. 100/- per transaction and a maximum of Rs.5,000/- per transaction.
  • The charges are uniformly applicable to all branches.
  • If a customer makes two or more remittances of cash in a day, cash handling charges shall be collected, if the total remittance during the day exceeds the exempted limit of Rupees One Lakh.

Cash remitted at Cash Deposit Machine / Kiosks / Alternative Channels :

  • Regular cash handling charges shall be applied to SB and CA/OD/OCC accounts as applicable.
  • Cash remittances made at home and non-home branches, Cash Deposit Machines, Kiosks (even if remitted on previous holidays) would be clubbed together to arrive at the free entitlement and levy suitable charges as above.

Cash Remittance of Small Denominations (Rs.50 and below) - SB/CA/OD/OCC

  • Up to 1000 pieces/10 packets: No charges.
  • Beyond 1000 pieces/10 packets: Rs.10/- per packet or part thereof with a minimum of Rs.10/- and maximum of  Rs.10,000/-plus GST.

NOTE: SB/CA/OD/OCC - This is in addition to existing Cash Handling Charges.

 

37. Cash Withdrawal at Branches SB/CA/ OD/ OCC

  • i.Savings Account :
    •          Up to 5 Cash Withdrawals in a month:  No charges.
    •          Beyond 5 Withdrawals: Rs.100/- per transaction+ GST.
  • Ii.CA/OD/OCC Accounts :
    •             Up to Withdrawal of Rs.5,00,000/- in a month: No Charges.
    •             Beyond Rs.5,00,000/-  :  Rs.1/- per 1000, with a minimum of Rs.100/- and
    •                                          maximum of Rs.10,000/- + GST.

NOTE:  IT IS EXCLUDING ATM CASH WITHDRAWAL or other Alternate Banking Channel.

38. Excess Number of Withdrawals in SB Account

50 Debit Entries free per half year (excluding Alternate Channels).
If Debit entries exceeds 50 per half-year, either by cheques or otherwise, charges at Rs.10/- per Debit.

39.Change of Nomination Facility

Noting Nomination first time: Free
Thereafter Rs. 100/- for every change of Nomination

40.Failed Standing Instruction 
(Due to Insufficient Funds)

w.e.f. 05/11/2018
Rs 100/- per instance)
(Above charges are NOT applicable for Delay in EMI / failed Installment of loan repayment)

41.Addtion / Deletion of names

Rs 50/- per case / instance

42. Charges for recording reconstitution
of account

Rs 150/- per case / instance in case of
non-individuals

43. Copy of the paid cheque

Rs 50/- per cheque/instrument with minimum of Rs.100/-

44. TRANSFER OF SB / CA ACCOUNTS TO
any of our Branches

Flat Rs. 50/- plus Out of Pocket Expenses (OPE) for both SB Current Accounts.

45.Charges for SMS Alert Per Quarter

Savings Bank :: Rs.15/- per quarter
CA/OD/OCC :: Rs.25 /-per quarter
Exemptions :: PMJDY,BSBD, Other Financial Inclusion accounts

46. POSTAL TARIFF / OUT OF POCKET EXPENSES
Postal Tariff should be collected in all cases wherever applicable, including where at par facilities are granted, as follows:

a) Ordinary Post

Rs. 15/- per envelope or Actual whichever is higher

b) Regd / Courier

Rs. 50/- per envelope or Actual whichever is higher

c) Telegram / Fax / Telephone $ $ Only at the request of customer

Rs. 50/- per  whichever is higher

Note :: 1) Postages / Out of Pocket expenses are in addition to service charges applicable. 2) If two or more instruments favouring a single party are sent to the same branch / office of a bank together, in common single cover by post, in such cases postal tariff mentioned above as applicable to single cover / instrument may be collected. 3) If a single instrument is collected and credited to number of accounts actual / minimum postage may be shared amongst beneficiaries subject to minimum of Re.1/- per credit / customer.

Note 1) :: GST PLUS CESS THEREON SHALL BE COLLECTED IN ADDITION, WHEREVER APPLICABLE, AS PER CIRCULARS / COMMUNICATIONS ISSUED BY ET & T SECTION, FINANCIAL MANAGEMENT WING, HO.

Note 2) :: CHARGES ARE TO BE COLLECTED INVARIABLY FOR INDIVIDUALS & OTHER CUSTOMERS AND BOTH BY RURAL & OTHER BRANCHES UNLESS SPECIFICALLY MENTIONED.

LOAN PROCESSING CHARGES

Sl/No

SCHEMES

Processing Charges

Minimum(Rs.)

Maximum(Rs.)

01

Housing Loan

0.5%

1500.00

10000.00

02

Home Improvement Loan

0.5%

1500.00

10000.00

03

Canara Mobile (four wheelers)

0.25%

1000.00

5000.00

04

Canara Mobile (two wheelers)

0.25%

250.00

1000.00

05

Canara Budget

0.5%

1000.00

5000.00

06

Canara Rent

0.5%

5000

50000

07

Canara Mortgage

1%

5000

50000

08

Canara Trade/Trader’s Scheme

Workg Capital – Rs.100/- per lac (Max Rs 1 lac) Term Loan – 1% of the loan amt (No Max)

09

Canara Cash

0.1%

100.00

250.00

10

Teachers’ Loan

1%

50.00

NA

11

Swarna Loan

1%

1000.00

5000.00

12

Canara Site

As applicable to Housing Loan Scheme

13

Canara Pension

No Processing Charges

14

Doctors’ Choice

Up to Rs. 25000/- - NIL 
– Above Rs. 25000/- Working Capital – 0.1% of the loan amount with a minimum of Rs. 250/-. Term Loan – 1% of the loan amount

HOUSING LOAN WITH FIXED RATE OF INTEREST

Prepayment Charges


Solvency Certificate

 

 

 

Capacity/ Capability Certificate

 

 

 

For obtaining VISA for education purpose:

2% on the outstanding liability in case of take over of the loan by other bank / FI
Rs.300 per lakh.
Minimum Rs.1500+ GST
Maximum Rs.25000+ GST.

Rs.300 Per lakh.
Minimum Rs.1500+ GST
Maximum Rs.25000/- + GST

 

50% of the charges as mentioned above, Max Rs.2500/-+ GST.

 

Charges for late payment of EMI

NIL - only penal interest collected.

 

 

Disclaimer:

  • All the charges mentioned below are exclusive of GST and other applicable taxes.
  • All the charges mentioned are subject to change. Kindly refer the latest guidelines released for applicable charges from time to time. T&C apply

 

                        Modified Service Charges/ fees for Credit Cards w.e.f 01.04.2020

Sl No

Description

Fees Description

Service Charges/Fees

1

 VISA Credit Card - Classic

Issuance Fee

NIL

2

 VISA Credit Card Gold

Issuance Fee

NIL

3

 RuPay Select Credit Card

Issuance Fee

NIL

4

VISA Credit Card - Classic (Main & Add on):

Annual Fee

NIL

5

  VISA Credit Card - Gold (Main & Add on):

Annual Fee

NIL

6

 RuPay Select Credit Card

Annual Fee

NIL

7

Charges on Revolved Amount:
Where the cardholder has been permitted Revolving Credit facility, the cardholder needs to pay only the minimum due amount indicated in the bill.
The unpaid portion will only attract service charges:

Revolving Facility

2.5% p.m. (30% p.a.) From the due date

8

Mark up in case of Transaction in foreign currency  (Applicable to cards enabled for Global Usage)

Markup Fee

Up to 3%

9

Duplicate Statement

Service Request

Rs.10/-  per page

10

Cheque dishonor charges or unsuccessful payment instructions:

Penalty

Rs. 50/-

11

Cash Withdrawal Charges 
Transaction fee for cash withdrawal against your Credit account at our ATMs and branches

Charges

3% of the transaction amount subject to a minimum of Rs.30/-

12

Cash Withdrawal Charges

Charges

3% of the transaction amount subject to a minimum of Rs.30/-

*Use of other Bank ATMs attracts extra charges levied by the respective banks.

13

Cash Withdrawal Charges
Transaction fee for cash withdrawal against your Credit account at Overseas ATMs and branches.

Charges

3% of the transaction amount subject to a minimum of Rs.30/-

*Use of other Bank ATMs attracts extra charges levied by the respective banks.

14

Hot listing charges

Charges

Rs. 150/-

15

Copy of charge slip:

Service request

Domestic Rs. 100/- International US $10/- or equivalent

16

Original Charges slip: If processed by our Bank

Service request

USD 2.00*

17

If Procured from other Bank (any Bank)

Service request

USD 6.00 * * Approximate rupee equivalent is charged

18

Collection charges for outstation cheques

Charges

Rs. 100 per instrument + other banks charges if any

19

Charges in respect of notices / reminders sent to cardholders having over dues

Charges

Rs. 50/- per notice

20

Over the Credit Limit Usage limit

Charges

NIL

21

Limit Enhancement

Charges

NIL

22

Late Payment Fee

Charges

NIL

23

Replacement Card issue charges in case of Hotlisted Cards due to default in payment

Charges

NIL

24

PIN Replacement

Service Request

NIL

25

Minimum Payment Due

Dues

5% of the Billed Amount Subject to a minimum of Rs.100/-

26

Petrol Transaction Charges

Charges

2.5% of transaction amount with a minimum of Rs. 10/- (presently charged by the acquiring banks)
Maximum of Rs.100/- for the billing month would be reimbursed in the following cases

*Card should have been used for a minimum amount of Rs. 2500/- for purchase transactions during the billing month

*Minimum purchase of petrol and petroleum products per occasion (ticket size) for reckoning under this scheme is RS.400/-Note: Purchase of Petroleum products would not be reckoned for reward points

27

Minimum Payment Due for Staff

Dues

5% of the Billed Amount Subject to a minimum of Rs.100/-

28

Reward Point

Reward Point

Every Spent of Rs.100/-  =
2 Reward Points

1 Reward Point is equal to Rs.0.25 Paisa

 *Inactivity fee will be levied on cards if not used for a minimum threshold amount based on card variant. 

 

*Use of other Bank ATMs attracts extra charges levied by the respective banks.

General

Hot listing charges

Rs.150/-

 

Copy of charge slip:

Domestic Rs. 100/- International US $10/- or equivalent

Original Charges slip: If processed by our Bank

USD 2.00*

 

If Procured from other Bank

USD 6.00 * * Approximate rupee equivalent is charged

Collection charges for outstation cheques

Rs. 100 per instrument + other banks charges if any

Charges in respect of notices / reminders sent to cardholders having over dues

 

Rs. 50/- per notice

SERVICE CHARGES FOR DELAYED PAYMENT:

 

Delayed payment beyond due date For Revolving facility: - For Non revolving facility:-

2% Minimum - Rs. 10/-. Maximum - Rs. 150/- 2% Minimum Rs. 20/- Maximum - Rs. 300/-

*All other out of pocket expenses incurred for any services rendered will be collected in addition to the fees/charges mentioned above.

FUEL SURCHARGE:

 

 

 

 

Fuel Surcharge on purchase of petroleum products

 

2.5% of the Transaction Amount, with a Min. Rs.10/- (presently charged by the acquiring Banks) Maximum of Rs. 100/- for the billing month would be reimbursed in the following cases:

Card should have been used for a minimum amount of
Rs.2,500/- for purchase transactions during the billing month.

Minimum purchase of petrol & petroleum products per occasion (ticket size) for reckoning under this scheme is Rs 400/-

 

DEBIT CARDS

CLASSIC/STANDARD DEBIT CARD

PLATINUM DEBIT CARD

BUSINESS DEBIT CARD

Enrolment Fee

NIL

NIL

NIL

Activation/Membership Fee

NIL

NIL

NIL

Annual Fee

Rs.120/-

Rs.200/-

NIL

Hotlist / duplicate card on account of loss of card

Rs.150/-

Rs.150/-

Rs.150/-

Replacement Card

NIL

Rs.50/-

Rs.50/-

Transaction charges at Canara Bank ATM

NIL

NIL

NIL

 

Where the total number of financial & non-financial transactions at other Bank ATMs exceed 3* in a calendar month (for SB account holders), charges applicable: (The cap in number of transactions is 3 in six metros viz Bangalore, Chennai, Delhi, Kolkata, Mumbai & Hyderabad)
For non financial transaction, charges :
Financial transaction, charges:

 

 

 

Rs 10/-

 

 

Rs 20/-

 

 

 

Rs 10/-

 

 

Rs 20/-

 

 

 

Rs 10/-

 

 

 

Rs 20/-

 

ATM Service Declined charges : Only for insufficient funds (when used in other bank ATMs)

 

Rs. 20/-.

 

Rs. 20/-.

 

Rs 20/-

Charges for request for copy of charge slips: For transaction at our Merchant Establishments

For transactions at other Bank Merchants

Actual cost with a
minimum of Rs 100

Actual cost with a minimum of Rs 125

Actual cost with a
minimum of Rs 100

Actual cost with a minimum of Rs 125

Actual cost with
a minimum of Rs 100

Actual cost with a minimum of Rs 125

 

For transactions abroad Charge Slip Retrieval: Charged when a customer requests a copy of sales draft in order to substantiate a transaction.

 

Rs. 300/- for retrieval.

 

Rs. 300/- for retrieval.

 

Rs 300/-

Charges for SMS Alerts
/message sent to customers

(The above charges shall not be applicable to Jan Dhan accounts, Canara Basic Savings Bank deposit account and other financial inclusion SB accounts)

 

 

Rs.15/- per quarter per customer

 

 

Rs.15/- per quarter per customer

 

 

Rs.15/- per quarter per customer

Debit card inactivity fee

NIL

NIL

Rs 300

Cash Withdrawal at PoS

1% of the transaction amount

1% of the transaction amount

1% of the
transaction amount

 

GREEN PIN

1ST TIME PIN GENERATION

FREE

REGENERATION OF PIN

Rs 50/-

 

Mobile Banking & UPI Management Section

IMPS Charges

Charges (*)

Up to Rs.5000/-

Free

Above Rs.5000/- to Rs.25000/-

Rs.5/-

Above Rs.25000/- to Rs.100000/-

Rs.10/-

Above Rs.100000/-

Rs.18

(*) Excluding GST.

 

 

                                            Schedule of fee for Canara Gift card                                          

Gift Card Issue & refund fee:

 

Fee Type

 

Fee (applicable taxes extra)

Issue Charges

Rs. 50.00

Load charges

Rs. 20.00

Cancellation/Refund

Rs. 50.00

 

Schedule of Charges

BHIM Aadhaar PoS and UPI Merchant Section

BHIM Aadhaar PoS

 

Charges

MDR Charges

 

 

Time Period

Transaction Value

MDR Charges

 

01.01.2018 to 31.12.2019

 

Up to Rs.2000/-

 

Nil*

 

Above Rs.2000/-

 

@0.25% of Transaction Value

Rental Charges

Rs. 50/- + GST per month

 

BHIM QR

 

 

MDR Charges

 

 

Time Period

Transaction Value

MDR Charges

01.01.2018 to 31.12.2019

 

Up to Rs.2000/-

 

Nil*

Above Rs.2000/-

@0.65% of Transaction Value*

 

(*min. MDR is Rs. 1/- per txn)

Rental Charges

Nil

 

 

Disclaimer:

  • All the charges mentioned are exclusive of GST and other applicable taxes.
  • All the charges mentioned are subject to change. Kindly refer the latest guidelines released for applicable charges from time to time.
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Toll Free Numbers

Canara Bank
1800 425 0018
e-Syndicate
1800 208 3333
1800 3011 3333


Non Toll Free Numbers
(if calling from outside India)

+91-80-22064232

Customers are requested to call on our
mentioned Toll Free Numbers only for any
complaints/issues. Bank shall not be
responsible for any consequences arising
out of customers calling any other
unverified numbers.
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