Advisory: Revisions on Deposit Requirements and Bank Service

ADVISORY:
Please be informed of the following new fees and charges and balance requirements
effective April 22, 2017:
Type of Transaction/Product
Requirements/ Fees
For New Accounts, with ATM
Savings Account with ATM or Passbook
Initial Deposit
Minimum ADB
ADB to Earn Interest
P 500
P 500
P 500
OTC withdrawal allowed provided the amount
for withdrawal exceeds the ATM Transaction
Limit or the DBP ATM is out of order.
US Dollar Account – Individual
Initial Deposit
Minimum ADB
ADB to Earn Interest
USD 100
USD 500
USD 500
US Dollar Account - Corporate
Initial Deposit
Minimum ADB
ADB to Earn Interest
USD 1,000
USD 1,000
USD 1,000
Wisdom Account
Initial Deposit
Minimum ADB
ADB to Earn Interest
USD 100
USD 100
USD 500
Monthly Dormancy Charge
Peso
Deposit
Account
Dollar Deposit
Account
P 30
P 30 or USD equivalent
using the DBP Selling
rate
Will be imposed on a dormant deposit account
five (5) years after the last activity provided the
balance falls below the minimum monthly ADB.
Monthly Service Charge for Falling Below
Required Minimum Monthly ADB for at least 2
consecutive months
Peso Deposit Account
Dollar Deposit Account
P 200
USD 5
Fee for Closing within Thirty (30) Days from Date
of Opening
Peso Deposit Account
Dollar Deposit Account
P 300
USD 10
ATM Card Replacement
Debit Card (EMV)
ATM Card Replacement
Debit Card
P 150
P 150
Replacement of Lost Passbook
Peso Deposit Account
Dollar Deposit Account
P 200
P 200 or USD 5
Bank Certification
Peso Deposit Account
Dollar Deposit Account
P 100
P 100 or USD 2
Statement Request
First 3 pages
P 100
For every
succeeding page
No.
of
days
holding period
Fee for lifting
holding period
Fee for lifting holding period on dollar notes
deposit (for Cash Withdrawal)
P 20/page
5 calendar days
1/4 of 1% of the
amount w/drawn
Counter Check
P51.50
Cost of Checkbook
Interbranch Deposit/ Withdrawal/
Encashment
(Inter-Regional: If mother branch is not within
RMC)
Personal
(50 pcs / per booklet)
Commercial
(100 pcs / per booklet)
MDS
(50 pcs / per booklet)


P 210
P 360
P 380
Deposit: No Charge
Withdrawal and Encashment:
≤ P50,000
P 50
P 50,000.01 to P499,999.99
P 100
≥ P 500,000
P 500
Real Time Gross Settlement (RTGS)
Outward Remittance
Commission
+ PhilPaSS Fee
P 1.00 to 100.00
P 101.01 to 500,000.00
P 500,000.01 to 1M
P1,000,000.01 to
39,999,999.99
40 M and above
P150
P 5.00
P 10.00
Trans. Value x
0.00001
400.00
* Please visit branch nearest you for schedule of
charges
Foreign Check Clearing
No. of Days Clearing
Foreign Check Clearing
(Fees & Charges)
Remote Deposit Service
(RDS) deposit correction
Return item + courier fee
Return item notification
25 calendar
days
USD 10 per
check
USD 8 per
check
USD 11 per
check
USD 6 per
check
Failure of the depositor to manifest or register his objection to the new service charges and maintenance
fees or any change in their terms and conditions in writing within thirty (30) days from receipt of written
notice of amendment shall be deemed to constitute acceptance of such changes.
Please visit our website: https://www.devbnkphl.com for the complete list of balance requirements and
bank fees and charges.
Thank you for your continued patronage.