Bank of Mauritius Template on Fees, Charges and Commission (Last updated on 11/01/2017) Interest Rates Deposit Savings (MUR) Individuals Corporates Others 2.30% - 2.40% p.a payable half-yearly n/a 0.50% p.a payable quarterly n/a n/a Call (MUR) n/a Minimum credit balance to earn interest is Rs 1,000,000 Term (MUR) 3 months Market rate 1.00% at maturity n/a 6 months Market rate 1.30% at maturity n/a 12 months Market rate PLR – 4.75% p.a n/a 24 months Market rate PLR – 4.60% p.a n/a 36 months Market rate PLR – 4.50% p.a n/a 48 months Market rate PLR – 4.05% p.a n/a 60 months Market rate PLR – 3.60% p.a n/a Term (FCY) Fixed Deposit Indicative Rates Tenor 1mth 3 mths 6 mths 12 mths Tenor 1mth 3 mths 6 mths 12 mths Credit Facilities (MUR) Prime Lending Rate (PLR) Credit Cards Other Credit facilities - margin over PLR USD % p.a 0.30 0.40 0.95 1.35 GBP % p.a 0.03 0.05 0.15 0.30 AUD % p.a 1.00 1.45 1.60 2.00 ZAR % p.a 5.15 5.35 5.95 6.45 EUR % p.a n/a n/a n/a n/a Tenor 1mth 3 mths 6 mths 12 mths Tenor 1mth 3 mths 6 mths 12 mths USD % p.a 0.30 0.40 0.95 1.35 GBP % p.a 0.03 0.05 0.15 0.30 AUD % p.a 1.00 1.45 1.60 2.00 ZAR % p.a 5.15 5.35 5.95 6.45 EUR % p.a n/a n/a n/a n/a n/a n/a n/a n/a 6.15% p.a n/a PLR + 0% to PLR + 6.50% p.a 6.15% p.a n/a PLR + 0% to PLR + 6.50% p.a n/a n/a n/a Libor + 0% to Libor + 8% p.a Libor + 0% to Libor + 8% p.a n/a n/a n/a n/a n/a n/a n/a Nil n/a n/a Rs 25,000 Rs 3,500,000 n/a Credit Facilities (FCY) Margin over LIBOR Deposits Savings Account Minimum account opening balance Minimum credit balance to earn interest Monthly service charges if credit balance fails below minimum balance Current Account Minimum account opening balance n/a Cost of cheque book 50 leaves – Rs 250 50 leaves – Rs 250 100 leaves – Rs 400 100 leaves – Rs 400 200 leaves – Rs 750 Monthly Service Charges Call Deposit Account (MUR) Minimum balance Minimum credit balance to earn interest Monthly service charges Term deposits (MUR) Minimum amount Deposit withdrawn before maturity Term deposits (FCY) Minimum amount Deposits withdrawn before maturity Rs 100 + VAT n/a n/a Rs 150 + VAT Rs3,500,000 Rs1,000,000 n/a n/a n/a n/a Nil n/a Rs 100,000 A rate of 1.0% p.a. will be charged on the amount being redeemed over the period between the date of pre-termination and the date of maturity of the deposit (Assuming Normal Market Conditions) Rs 3,500,000 For deposits redeemed before maturity date, the higher of either a penal rate of 1.0% p.a. or the cost of replacement of the deposit will apply. n/a n/a USD 10,000 or equivalent A rate of 1.0% p.a. will be charged on the amount being redeemed over the period between the date of pre-termination and the date of maturity of the deposit (Assuming Normal Market Conditions) Individuals USD 100,000 or equivalent For deposits redeemed before maturity date, the higher of either a penal rate of 1.0% p.a. or the cost of replacement of the deposit will apply. n/a Corporates Others Foreign Currency Account Minimum balance Euro Pounds Sterling US Dollar Minimum credit balance to earn interest Monthly service charges n/a n/a n/a n/a Equivalent of USD 100,000 Equivalent of USD 100,000 USD 100,000 n/a n/a n/a n/a n/a Rs 100 + VAT n/a Banking of notes Charges on withdrawal of notes 1.00% 0.50% Monthly Account maintenance / Ledger fees – Rs 150 + VAT 1.00% 0.50% Credit Facilities Credit cards Annual Fee Replacement of lost/stolen cards Cash advance fee Overlimit fee n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a None 1% min. Rs 1,000 n/a 1% p.a on non-utilized portion 1.5% of the amount paid in advance over the residual lifetime of the loan or applicable Breakage Cost (per Facility Agreement), whichever is the higher None 1% min. Rs 1,000 n/a 1% p.a. on Non-Utilized portion 1.5% of the amount paid in advance over the residual lifetime of the loan or applicable Breakage Cost (per Facility Agreement), whichever is the higher n/a n/a n/a n/a n/a Nil for facilities falling under Borrowers’ Protection Act Nil for facilities falling under Borrowers’ Protection Act Loans and advances Processing fee Arrangement fees Ledger Fee Commitment fee Early redemption fee n/a n/a Valuation Survey & Report fee Legal charges for creation of security documents - Fixed/Floating Charges - Gages sans deplacement -Erasure of charges Guarantees Performance bonds Tender/bid bonds Advance payment bonds Retention money bonds / guarantees Shipping guarantee Rs 1,000 + valuation fee Rs 1,000 + valuation fee n/a Rs 1,500 Rs 1,000 Rs 1,000 Rs 1,500 Rs 1,000 Rs 1,000 n/a n/a n/a 1.5% p.a for first Rs 5M (min Rs 1,000) + 1% for additional amount over Rs 5M n/a 1.5% p.a for first Rs 5M (min Rs 1,000) + 1% p.a for additional amount over Rs 5M 1.0% first 6 months (min Rs 1,000) n/a 2.0% p.a (min Rs 1,000) 2.0% p.a (min Rs 1,000) 0.25% for each additional period of three months or part of (min Rs 1,000) 2.0% p.a (min Rs 1,000) 2.0% p.a (min Rs 1,000) n/a n/a Rs 2,000 Rs 2,000 n/a Nil Nil Nil Nil Nil Nil Individuals Corporates Others Rs 200 + VAT Rs 200 + VAT Rs 200 + VAT Rs 200 + VAT n/a n/a n/a Rs 35 Rs 100 n/a Rs 35 USD 3 n/a n/a n/a Rs 500 Rs 400 (via Business Online) Rs 1,000 (Manual instructions) USD 25, GBP 12, ZAR 100 and EUR 20 or equivalent as per our correspondent bank charges + any applicable overseas bank charges USD 25, GBP 15, ZAR 100 and EUR 20 or equivalent as per our correspondent bank charges + any other applicable overseas bank charges Rs 150 Rs 500 Rs 200 Rs 200 n/a Free Rs 100 Rs 1,000 Rs 200 Rs 200 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Rs 600 per month n/a Rs 100 per month n/a n/a n/a n/a Free of charge n/a Rs 25 per sheet Rs 25 per sheet less than 3 months and Rs100 per sheet for duplicates over than 3 months n/a n/a General Services Treasury Bills Account opening fee Transaction fee Debit Cards Annual fee Replacement of lost/stolen cards Withdrawals -Bank's ATM -Other Bank's ATM -Overseas Others n/a Telegraphic transfer (inclusive of swift charges) if “Commission charges our’ MACCS facility Audit confirmation certificate Testimonial/Banker's reference fee Letter of reference Payroll fee Internet banking fee Electronic banking (Business Online) - Reporting &Transacting - Reporting only - Reporting of additional legal entity - Additional training / re-installation (on site) Duplicate statement of account Standing Instructions -Internal transfer -Transfer to other banks Unpaid Standing Order due to insufficient fund Direct Debit Unpaid Direct Debits Purchase of foreign cheques / bank drafts Sale of draft Stop payments for bank drafts Cancellation fee for bank draft Office cheque issuance Special Cheque Clearance (on request for min of Rs 200,000) Cheque book facility Cheque returned -Inward -Outward Stop payment orders Safe deposit lockers Night safe nil Rs 30 nil Rs 30 n/a n/a Rs 200 Rs 200 n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a Rs 150 n/a n/a n/a n/a Rs 150 n/a n/a n/a n/a n/a n/a Refer to cost of cheque book Refer to cost of cheque book n/a Rs 250 Rs 25 per cheque Rs 100 per request n/a n/a Rs 200 Rs 25 per cheque Rs 100 per request n/a n/a n/a n/a n/a n/a n/a n/a
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