Business Fees and Charges
Our business current account has a simple price plan that saves you time and money by encouraging online banking and other automated payment solutions like card payments.
To view our Schedule of International Transaction Charges document, please click here.
Maintenance Fee
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Account Maintenance Fee | € 15 per quarter |
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Transaction Fees
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Contactless Transaction | € 0.01 each |
Automated Transaction | € 0.10 each |
ATM/LATM (lodgement ATM) withdrawals / lodgements | € 0.25 each |
Non Automated/Staff Assisted | € 0.60 each |
Credit Transfer | € 0.60 each |
Items lodged to your account e.g. cheques | €0.60 each |
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Cash Handling fees
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Notes lodged/withdrawn | 0.60% i.e. max €0.60 per €100 |
Notes Exchanged | 1.20% i.e. €1.20 per €100 |
Coin handling | 3% i.e. max €3 per €100 |
Current account fees and interest (if applicable) are currently calculated on accounts on a quarterly basis and are applied to the account approximately one month later. The below table sets out the dates that fees and interest (if applicable) are applied to account.
Fee Calculation Period | Interest Calculation Period | Fees and Debit Interest Applied |
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18 Nov 24 – 14 Feb 25 | 28 Nov 24 – 16 Feb 25 | 21 Mar 25 |
17 Feb 25 – 23 May 25 | 17 Feb 25 – 25 May 25 | 27 Jun 25 |
26 May 25 – 22 Aug 25 | 26 May 25 – 24 Aug 25 | 26 Sep 25 |
25 Aug 25 – 21 Nov 25 | 25 Aug 25 – 23 Nov 25 | 31 Dec 25 |