Sadzobník poplatkov. Schedule of Bank Charges. Citibank Europe Plc, pobočka zahraničnej banky Bratislava

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1 Sadzobník poplatkov Schedule of Bank Charges Citibank Europe Plc, pobočka zahraničnej banky Bratislava

2 Citibank Europe plc., so sídlom Dublin, North Wall Quay 1, Írsko, registrovaná v registri spoločností v Írskej republike, pod číslom , prevádzkujúca svoju podnikateľskú činnosť v Slovenskej republike prostredníctvom Citibank Europe plc., pobočka zahraničnej banky, Dvořákovo nábrežie 8, Bratislava, Slovenská republika, IČO: (ďalej Banka ) / Citibank Europe plc, with its seat at Dublin, North Wall Quay 1, Ireland, registered in the Irish Register of Companies No , conducting its business activity in the Slovak Republic through Citibank Europe plc, pobočka zahraničnej banky, Dvořákovo nábrežie 8, Bratislava, Slovak Republic, business number (hereinafter as the,,bank ) I. BEŽNÉ ÚČTY A SÚVISIACE BANKOVÉ PRODUKTY / CURRENT ACCOUNTS AND RELATED BANK PRODUCTS Bežné účty všeobecná časť Poplatok Current Accounts General Charge Vedenie účtov Account Maintenance Zriadenie účtu Account opening Vedenie účtu mesačne Account maintenance monthly Vedenie účtov rezervného a sociálneho fondu Social Fund & Reserve Fund accounts Zrušenie účtu Account closing Výpisy Poskytnutie elektronického výpisu vo formáte PDF Poskytnutie prístupu k elektronickému výpisu Poskytnutie výpisu v listinnej forme Poskytnutie výpisu v neštandardnom formáte 0,50 EUR za každý výpis Account Statements Providing of electronic statement in PDF format 0,50 EUR per statement Providing access to electronic statement 2,00 EUR za každý výpis podľa dohody Providing of paper statement Providing of non-standard statement format 2 EUR per statement as agreed Ďalší výpis z účtu na požiadanie 3 EUR Additional account statement on request 3 EUR Výpisy zaslané SWIFTom (MT 940,MT 942, MT 950) Automatické prevody Automatické prevody medzi účtami v Banke Automatické prevody medzi účtami v rámci skupiny Citi 80 EUR mesačne 30 EUR mesačne 40 EUR mesačne SWIFT messages (MT 940, MT 942, MT 950) Automated sweeps Domestic Target Balancing (within the Bank) Cross border Target Balancing (within the Citi group) 80 EUR monthly 30 EUR monthly 40 EUR monthly Úroková realokácia mesačne Interest reallocation monthly Internet banking CitiDirect BE Poplatok Internet banking CitiDirect BE Charge Inštalácia a školenie vykonané Bankou telefonicky alebo om Inštalácia na mieste určenom klientom vykonaná osobou poverenou Bankou 200 EUR Installation and training provided by the Bank via telephone or Installation performed by a person authorized by the Bank on client site 200 EUR Testovanie a implementácia 100 EUR Testing and implementation 100 EUR Technická podpora Help-desk support Poplatok za SafeWord kartu 15 EUR / karta / mesačne SafeWord card charge 15 EUR / card / monthly Odblokovanie SafeWord karty 80 EUR Enable SafeWord card 80 EUR Zdieľaná administrácia 35 EUR / žiadosť Shared administration 35 EUR / request Prístup k účtom pre zahraničný subjekt 35 EUR mesačne Access to accounts to a foreign entity 35 EUR monthly Sprístupnenie informácií o transakciách/online reporty / Access to information about transactions /Online reports 1

3 SEPA platby Poplatok SEPA Payments Charge Prichádzajúce SEPA platby Spracovanie platobného príkazu - Prichádzajúca SEPA platba Odchádzajúce SEPA platby 0, Incoming SEPA payments Processing of payment order - Incoming SEPA payment Outgoing SEPA payments 0, SEPA platba doručená elektronicky 0, SEPA payment initiated electronically 0, SEPA konsolidovaná platba doručená elektronicky 0, SEPA bulk payment initiated electronically 0, SEPA platba doručená Swiftovou správou 1,50 EUR SEPA payment initiated by Swift 1,50 EUR SEPA platba doručená poštou / osobne 3 EUR SEPA payment initiated by mail/ in person 3 EUR Platba v rámci Banky 0, Transfer within the Bank 0, Zrýchlená SEPA platba 15 EUR Same Day Value SEPA payment 15 EUR Príplatok za zrýchlenú platbu cez TARGET2 50 EUR TARGET2 fast payment extra charge 50 EUR Zrušenie, vrátenie SEPA platby 5 EUR SEPA payment Reject / Return 5 EUR Žiadosť o vrátenie SEPA platby SEPA Payment Request for cancellation SEPA inkasá Poplatok SEPA Direct Debits Charge Pripísanie platby iniciovanej SEPA Odoslanie platby iniciovanej SEPA Zrušenie, vrátenie, odvolanie platby iniciovanej SEPA Žiadosť o vrátenie platby iniciovanej SEPA 0, SEPA Direct Debit Collection 0, 0, SEPA Direct Debit Payment 0, 5 EUR SEPA Direct Debit Reject / Return / Refund 5 EUR SEPA Direct Debit Cancellation Pridelenie alebo zmena CID pre SEPA inkasá Issuance or amendment of CID for SEPA Direct Debits Cudzomenové a zahraničné platby Prichádzajúce platby Spracovanie platobného príkazu - Prichádzajúca platba Prichádzajúca platba v exotických menách Prichádzajúca platba s platobnou inštrukciou OUR (poplatok platený príkazcom) Manuálne spracovanie platby - "Non STP" (poplatok platený príkazcom) Odchádzajúce platby Poplatok 0, Foreign Currency and Cross-border Payments Incoming payments Processing of payment order - Incoming payment Charge 0, podľa dohody Incoming payment in exotic currencies as agreed 15 EUR 7 EUR Incoming payment with payment instruction OUR (remitter s charge) Manually processed payment "Non Straight Through Processing" (remitter's charge) Outgoing payments 15 EUR Elektronický platobný príkaz 15 EUR Electronically initiated payment order 15 EUR Platobný príkaz doručený Swiftovou správou 7 EUR 16,50 EUR Payment order initiated by Swift 16,50 EUR Platobný príkaz doručený poštou/osobne Payment order initiated by mail/in person 2

4 Platobný príkaz doručený elektronicky / poštou / osobne v exotických menách podľa dohody Initiated electronically / by mail / in person in exotic currencies as agreed Platba v rámci Banky 0, Payment within the Bank 0, Príplatok za zrýchlenú platbu cez TARGET2 50 EUR TARGET2 fast payment extra charge 50 EUR Príplatok za zrýchlenú platbu 50 EUR Fast payment extra charge 50 EUR Príplatok za manuálne spracovanie elektronického platobného príkazu z dôvodu chýbajúcich alebo chybne uvedených údajov 5 EUR Extra repair charge for processing of electronically initiated payment order due to missing or incorrect data 5 EUR Dodatočný poplatok pri platobnej inštrukcii "OUR" pre uvedené meny / 20 GBP / 30 CHF / 15 USD / 20 AUD / 15 CAD / 50 DKK / 7000 HUF / 5500 JPY / 200 NOK / 50 PLN / 50 RON / 350 RUB / 60 SEK / 100 ZAR / 50 TRY / CZK 0,5%, min. 200, max CZK / 250 CNY / 250 HKD / 30 SGD Additional charge in case of payment instruction "OUR" for listed currencies / 20 GBP / 30 CHF / 15 USD / 20 AUD / 15 CAD / 50 DKK / 7000 HUF / 5500 JPY / 200 NOK / 50 PLN / 50 RON / 350 RUB / 60 SEK / 100 ZAR / 50 TRY / CZK 0,5%, min. 200, max CZK/ 250 CNY / 250 HKD / 30 SGD Hotovostné transakcie v domácej mene Poplatok Cash transactions in local currency Charge Vklad hotovosti majiteľom účtu 0, Cash deposit by account holder 0, Vklad hotovosti inou osobou 0,5% min. 3 EUR Cash deposit by a third party 0,5% min. 3 EUR Vklad mincí nad 50 kusov denne (vrátane prvých 50 kusov) 3% min. 3 EUR Deposit of coins above 50 pieces daily (including the first 50 pieces) 3% min. 3 EUR Výber hotovosti 0, Cash withdrawal 0, Nevybratie rezervovanej hotovosti alebo výber vyššej ako nahlásenej sumy Výmena poškodenej bankovky (bankovka musí byť celá) Hotovostné transakcie v cudzej mene (iba bankovky) 0,5% min., max. 100 EUR 20% nominálnej hodnoty bankovky, min. 3 EUR Poplatok No withdrawal of ordered amount or withdrawal of higher amount than ordered Exchange of damaged banknote (banknote must be complete) Cash transactions in Foreign Currency (banknotes only) 0,5% min., max. 100 EUR 20 % of banknote nominal value, min. 3 EUR Charge Vklad hotovosti majiteľom účtu 0, Cash deposit by account holder 0, Vklad hotovosti inou osobou 1,5% min. Cash deposit by a third party 1,5% min. Vklad hotovosti v uzatvorených obaloch 0,2% min. 15 EUR Cash deposit in sealed packs 0,2% min. 15 EUR Výber hotovosti 0,5% min. 3 EUR Cash withdrawal 0,5% min. 3 EUR Nevybratie rezervovanej hotovosti alebo výber vyššej ako nahlásenej sumy 0,5% min., max. 500 EUR No withdrawal of ordered amount or withdrawal of higher amount than ordered 0,5% min., max. 500 EUR Zmenárenské operácie 2% min. 3 EUR Cash exchange 2% min. 3 EUR Šeky Poplatok Cheques and Drafts Charge Preplatenie šekov v rámci Slovenska (poštou) 50 EUR Collection of Cheques/Drafts within Slovakia (via post) 50 EUR Preplatenie zahraničných šekov (kuriérom) 90 EUR Collection of foreign Cheques/Drafts (via courier) 90 EUR Úroky na bežných účtoch Úroková sadzba Interest on Current Account Interest rate Účty vedené v domácej mene (EUR) 0,00% accounts held in local currency (EUR) 0,00% Cudzomenové účty (pre zostatky nad ekvivalent EUR) Foreign currency accounts (on balances above EUR equivalent) 3

5 - účty vedené v USD 0,00% - USD accounts 0,00% - účty vedené v GBP, CZK 0,03% p.a. - GBP, CZK accounts 0,03% p.a. - účty vedené v iných menách podľa dohody - other currencies as agreed Sankčná sadzba nepovolený debetný zostatok 25% p.a. Penalty rate Non-authorized Debit Balances 25% p.a. Iné poplatky Poplatok Other charges Charge Prešetrenie SEPA platby alebo SEPA inkasa Prešetrenie cudzomenovej alebo zahraničnej platby Riešenie žiadosti klienta o doplnenie/zmenu údajov vo vykonanej platbe, vrátenie platby SEPA platba alebo SEPA inkaso cudzomenová alebo zahraničná platba Zaslanie avíza pre produkty a služby platobného styku banke príjemcu SWIFTom Zrušenie platobného príkazu pred realizáciou z podnetu klienta alebo zrušenie prevodného príkazu z dôvodu nezabezpečeného krytia Neštandardné spracovanie platobného príkazu min. 3 EUR, max. Min. 15 EUR, max. 50 EUR min. 3 EUR, max. min. 15 EUR, max. 75 EUR 3 EUR 3 EUR Investigation of SEPA payment or SEPA Direct Debit Investigation of foreign currency or crossborder payment Solving of client s request for completing/amendment of payment details, return of payment SEPA payment or SEPA Direct Debit foreign currency or cross-border payment Advising of cash management products and services to recipient s bank by SWIFT Cancellation of payment order before its processing upon client s request or cancellation of payment order because of non-sufficient coverage min. 3 EUR, max. Min. 15 EUR, max. 50 EUR min. 3 EUR, max. min. 15 EUR, max. 75 EUR 3 EUR 3 EUR 15 EUR Non-standard processing of payment order 15 EUR Oprava spätnej valuty 65 EUR Back valuation 65 EUR Vystavenie bankového potvrdenia alebo výkazu na požiadanie Správa pre exekútora a iné oprávnené osoby Správa pre audítorov Min. 3, max. 100 EUR / potvrdenie + 20% DPH za každú i negatívnu správu 40 EUR + 20% DPH za správu Bank confirmation issuance or report as per request Executors report Auditors report Min. 3, max. 100 EUR / confirmation + 20% DPH per report 40 EUR + 20% DPH per report Poplatok za vedenie účtu pod exekúciou mesačne Execution account maintenance fee monthly Potvrdenie o zložení základného imania 50 EUR Confirmation of basic capital deposit 50 EUR Zmena podpisového vzoru Signature card change Vyhľadanie dokumentov alebo iných údajov z archívu vyhľadanie dokumentov nie starších ako 6 mesiacov vyhľadanie dokumentov starších ako 6 mesiacov Použitie kuriéra na žiadosť klienta Archive documents or other data investigation documents up to 6 months dated documents over 6 months dated Using courier on client s request V Bratislave 15 EUR Within Bratislava 15 EUR Ostatné (podľa miesta doručenia) 35 EUR 100 EUR Other (depending on destination) 35 EUR 100 EUR 4

6 Automatické faxovanie výpisov 50 EUR mesačne Automatic faxing of the statements 50 EUR monthly Zasielanie notifikácií o stave a pohyboch na účte prostredníctvom u, SMS Event notification of balances and transactions on account via , SMS notifikácií 25 EUR mesačne notifications 25 EUR monthly notifikácií 40 EUR mesačne notifications 40 EUR monthly notifikácií 55 EUR mesačne notifications 55 EUR monthly 300+ notifikácií 65 EUR mesačne 300+ notifications 65 EUR monthly Konverzia súborov platieb do formátu SEPA 250 EUR mesačne Payment Files Conversion to SEPA format 250 EUR monthly II. Dokumentárne platby / Documentary Payment Instruments Záruky, Standby akreditívy Poplatok Guarantees, Standby Letters of Credit Charge Vystavenie podľa dohody, min. 100 EUR Issuing as agreed, min. 100 EUR Zmena, dodatok 35 EUR Amendment 35 EUR Predĺženie platnosti, zvýšenie čiastky ako pri vystavení Extension, increasing of amount as per issuance Avizovanie prijatej záruky 100 EUR Advising of received guarantee 100 EUR Platba pod vystavenou zárukou 0,1% Settlement of a claim under a guarantee 0,1% Importné akreditívy Poplatok Import Letters of Credit Charge Predavízo 35 EUR Pre-advising 35 EUR Vystavenie (poplatok za každý začatý mesiac, splatné na začiatku každého kalendárneho mesiaca) Issuing (fee for each started month, payable at the beginning of each calendar month) Predĺženie platnosti, zvýšenie čiastky Extension, increasing of amount Zmena, dodatok 35 EUR Other amendment 35 EUR Kontrola dokladov a realizácia platby na videnie/odloženie platby do prvých 30 dní Kontrola dokladov a realizácia platby na videnie, resp. odloženie platby za každých ďalších začatých 30 dní Checking of documents and sight payment or payment deferred up to first 30 days Checking of documents and sight payment or payment deferred for each additional 30 days started Exportný akreditív Poplatok Export Letter of Credit Charge Predavízo 35 EUR Pre-advising 35 EUR Avizovanie 0,15%, min. 100 max EUR Advising 0,15%, min. 100, max EUR Potvrdenie akreditívu podľa dohody Confirmation, acceptance as agreed Prevod akreditívu podľa dohody, min. 35 EUR Transfer as agreed, min. 35 EUR Dodatok 35 EUR Amendment 35 EUR Potvrdenie predĺženia platnosti, zvýšenia podľa dohody Confirmation of extension or increase as agreed Kontrola dokladov a platba Checking of documents and payment Dokumentárne inkasá Poplatok Documentary Collections Charge Importné inkaso 0,15%, min. 65 max. 700 EUR Import collection 0,15%, min. 65 max. 700 EUR 5

7 Exportné inkaso 0,15%, min. 85 max. 850 EUR Export collection 0,15%, min. 85 max. 850 EUR Dodatok 35 EUR Amendment 35 EUR Vrátenie nespracovaných dokumentov 35 EUR Return of unpaid documents 35 EUR III. Balík produktov a služieb pre malé a stredné spoločnosti / Package of products and services for small and medium companies CITIPACK v cene balíka je zahrnuté: Cena balíka: 150 EUR mesačne CITIPACK price of package includes: Package price: 150 EUR monthly Otvorenie a vedenie bežného účtu v domácej mene bez minimálneho zostatku Account opening and maintenance in local currency without minimum balance Vedenie účtov rezervného a sociálneho fondu Social Fund & Reserve Fund accounts Vygenerovanie a zaslanie výpisu z účtu 1 x mesačne Account statement 1 per month Zmeny oprávnení na disponovanie s účtom Changes of account authorization rights Aktívny prístup do internetového bankovníctva CitiDirect BE pre 2 užívateľov (2 SafeWord karty) Access to internet banking CitiDirect BE for 2 users (2 SafeWord cards) Technická podpora CitiDirect BE CitiDirect BE technical support VISA Business debetná karta 2 karty VISA Business debit card 2 cards SEPA platby SEPA Payments Prichádzajúca SEPA platba Incoming SEPA payment Pripísanie platby iniciovanej SEPA Odchádzajúca SEPA platba SEPA Direct Debit Collection Outgoing SEPA payment elektronický platobný príkaz initiated electronically platba v rámci Banky transfer within the Bank platba iniciovaná SEPA Cudzomenové a zahraničné platby SEPA Direct Debit Payment Foreign Currency and Cross-Border Payments Prichádzajúca platba Incoming payment Odchádzajúca platba Outgoing payment platba v rámci Banky transfer within the Bank elektronický platobný príkaz initiated electronically platba v CZK 6 EUR CZK Payment 6 EUR platba v EUR, USD EUR, USD Payment platba v RUB 30 EUR RUB Payment 30 EUR platba v ostatných menách Hotovostné transakcie v EUR 13 EUR Cash Transactions in EUR Payment in other currencies 13 EUR vklad majiteľom účtu deposit by account holder výber withdrawal 6

8 Hotovostné transakcie v cudzej mene (iba bankovky) Cash Transactions in Foreign Currency (banknotes only) vklad majiteľom účtu deposit by account holder Úroková sadzba 0 % p.a. Interest rate 0 % p.a. CitiTreasury Interactive Trading CitiTreasury Interactive Trading IV. Balík produktov a služieb pre malé a stredné spoločnosti / Package of products and services for small and medium companies Česko-slovenský balík v cene balíka je zahrnuté: Cena balíka: 30 EUR mesačne Czech-Slovak Package price of package includes: Package price: 30 EUR monthly Otvorenie a vedenie bežného účtu v domácej mene bez minimálneho zostatku Account opening and maintenance in local currency without minimum balance Vedenie účtov rezervného a sociálneho fondu Social Fund & Reserve Fund accounts Vygenerovanie a zaslanie výpisu z účtu 1 x mesačne Account statement 1 per month Zmeny oprávnení na disponovanie s účtom Changes of account authorization rights Aktívny prístup do internetového bankovníctva CitiDirect BE pre 3 užívateľov (3 SafeWord karty) Access to internet banking CitiDirect BE for 3 users (3 SafeWord cards) Technická podpora CitiDirect BE CitiDirect BE technical support VISA Business debetná karta 1 karta VISA Business debit card 1 card SEPA platby SEPA Payments Prichádzajúca SEPA platba Incoming SEPA payment Pripísanie platby iniciovanej SEPA Odchádzajúca SEPA platba SEPA Direct Debit Collection Outgoing SEPA payment elektronický platobný príkaz 0, initiated electronically 0, platba v rámci Banky 0, transfer within the Bank 0, platba iniciovaná SEPA Cudzomenové a zahraničné platby 0, SEPA Direct Debit Payment 0, Foreign Currency and Cross-Border Payments Prichádzajúce platby Incoming payments Odchádzajúce platby Outgoing payments platba v rámci Banky 0, transfer within the Bank 0, elektronický platobný príkaz platba v CZK, EUR (do CITI Praha) platba v CZK, EUR (okrem CITI Praha) initiated electronically CZK, EUR Payment (to CITI Prague) CZK, EUR Payment (except for Citi Prague) platba v USD USD Payment platba v ostatných menách Hotovostné transakcie v EUR, CZK Payment in other currencies Cash Transactions in EUR, CZK 7

9 vklad majiteľom účtu 0, deposit by account holder 0, výber 0, withdrawal 0, Úroková sadzba 0 % p.a. Interest rate 0 % p.a. CitiTreasury Interactive Trading CitiTreasury Interactive Trading Poplatky, ktoré nie sú uvedené v časti III. a IV., sa riadia časťou I. tohto sadzobníka poplatkov. *Poplatky za transakcie a služby nad rámec príslušného balíka služieb sa riadia článkom I. Bežné účty a súvisiace bankové produkty aktuálneho Sadzobníka poplatkov Banky. Pre platobné karty VISA vydané v rámci Balíka produktov a služieb pre malé a stredné spoločnosti je ročný poplatok za platobnú kartu 0 EUR, ostatné poplatky sa riadia platným Sadzobníkom kartových poplatkov firemné platobné karty. SEPA platba musí spĺňať nasledovné podmienky: platba je v mene EUR, smeruje do krajín EÚ alebo Európskeho hospodárskeho priestoru, obsahuje správny IBAN, správny BIC (SWIFT) kód banky príjemcu a platobnú inštrukciu SHA. Pri SEPA platbách v rámci Slovenskej republiky je postačujúci správny IBAN, uvedenie BIC kódu banky príjemcu nie je povinné. SEPA inkaso je produkt poskytovaný Citibank N.A. London. Klient, ktorý je príjemcom inkasnej platby, musí mať uzatvorenú zmluvu s Citibank N.A. London a na poskytovanie tejto služby sa vzťahuje aktuálne platný sadzobník poplatkov Citibank N.A. London. Pri zahraničných platbách s inštrukciou "OUR" a pri všetkých zahraničných platbách, ktoré neobsahujú správne alebo úplné údaje o príjemcovi alebo účet príjemcu vo formáte IBAN, si môže sprostredkujúca banka alebo banka príjemcu vyžiadať poplatky, ktorými budú dodatočne zaťažené účty platiteľa. Klient berie na vedomie a súhlasí, že Citibank je oprávnená odpísať z jeho účtov uvedenú sumu. Výbery hotovostí Banka spracúva podľa momentálnej dostupnosti a pri vyšších sumách (nad EUR alebo ekvivalent v cudzích menách) vyžaduje ohlásenie dva dni vopred. Fees which are not stated in the part III and IV.. are applied accordingly to the part I. of this Schedule of Charges. *Fees for transactions and services above the volume included in the relevant package of products and services are governed by the article I. Current Accounts and Related Bank Products of actual Schedule of Charges of the Bank. For VISA payment cards issued under the Package of products and services for small and medium companies the annual fee for payment card is EUR 0, the remaining fees are charged accordingly to the valid Schedule of Card Charges company payment cards. SEPA payment must fulfill following criteria: payments currency EUR, the payment is transferred to the countries within EU/EEA, the payment includes correct IBAN, BIC (SWIFT) code of the beneficiary bank and payment instruction SHA. For SEPA payments within Slovak republic is sufficient to specify IBAN, BIC code of the beneficiary bank is not mandatory. SEPA Direct Debit is product offered by Citibank N.A. London. Client who is Creditor shall conclude agreement with Citibank N.A. London and this service is are charged accordingly to the valid schedule of charges of Citibank N.A. London. International payments with instruction "OUR" or all international payments, which do not contain correct or complete beneficiary details or beneficiary account in IBAN format, can be charged by the correspondent bank or by the final beneficiary bank by charges, which will be additionally debited from the remitter's accounts. The Client hereby acknowledges and agrees that Citibank shall be entitled to debit its accounts accordingly. Cash withdrawals are subject to availability, and advance notice two days in advance is required for large amounts (above EUR or its equivalent in foreign currency) Banka si vyhradzuje právo kedykoľvek zmeniť alebo upraviť vyššie uvedený sadzobník poplatkov v súlade s platnými Všeobecnými obchodnými podmienkami Banky, pričom takáto zmena nadobúda platnosť k prvému dňu mesiaca nasledujúceho po mesiaci, v ktorom došlo k prijatiu rozhodnutia o zmene. Splatnosť a účtovanie vyššie uvedených poplatkov sa riadi Všeobecnými obchodnými podmienkami Banky, prípadne ostatnou dokumentáciou a internými predpismi a postupmi Banky vzťahujúcimi sa na poskytovanie produktov spoplatňovaných na základe tohto sadzobníka. Banka poskytuje produkty, na ktoré sa sadzobník poplatkov vzťahuje výlučne na základe vlastného uváženia. The Bank reserves the right to amend or change the above Schedule of Charges at any time pursuant to the General Business Conditions of the Bank, such change being effective as of the first day of the month following the month in which the change has been decided. The charges are payable and accountable in accordance with the General Business Conditions of the Bank and other required documentation and internal procedures of the Bank applicable for the products charged based on this Schedule of Charges. The Bank provides the products listed in this Schedule of Charges upon its sole discretion. Platí od 1. januára 2016 / Effective from January 1,

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