Notice of Amendment to the Bank Charges Schedule

With effect from 1 December 2015, the existing fee and charges the Bank levies for our various services as stated in the Bank Charges Schedule will be revised or supplemented. A Notice of Amendment to the Bank Charges Schedule will be enclosed with the monthly statement to be issued between 30 September and 29 October 2015 to existing customers for reference. Revision items are as follows:

Deposit Services
  • Current Accounts, Save & Cheque Accounts, HK Dollar Savings Accounts and Multi-Currency Savings Accounts (TT and US Notes Accounts)
  • Multi-Currency Settlement Account (MCSA) under Wealth Management Accounts
Remittances
  • Inward Remittances - Telegraphic Transfers / Local Transfer Via Real Time Gross Settlement (RTGS)
  • Outward Remittances
    • - Demand Drafts
    • - Telegraphic Transfers
    • - Local Transfer in HKD/USD/RMB Via Real Time Gross Settlement (RTGS)
General Services
  • ATM Card
  • Autopay Services
  • Bulk Deposits
  • RMB Notes Exchange
Investment Services
  • Securities
Loan Services
  • Mortgage Loan

Notice of New Charges Related to Product Launch

We would like to inform you that the Non-Retail Primary Bonds Service for professional investors have been launched on 29 May 2015. New charge related to the product has also been added to the Bank Charges Schedule.

Notice of New Charges Related to Product Launch will be enclosed with the monthly statement to be issued between 30 September and 29 October 2015 to existing customers for reference. Revision items are as follows:

Investment Services
  • Bonds

On 1 December 2015, the updated Bank Charges Schedule will be posted on our website. If you would like to request for a copy, please contact our branch staff.

DBS Bank (Hong Kong) Limited

星展銀行(香港)有限公司

October 2015