General Details
Institution: St. George Bank
Contact Number: 13 33 30
Product Name: Business Cheque Account Plus
Apply: n/a
Account Type: Transaction
Usage: Business
Main Account Access:
Other Account Access: Card/ATM, Cheque, Internet, Phone, Statement, Counter
Minimum Open: $1.00
Minimum Balance: -
Interest Calculated:
Interest Paid: Monthly
Cheque Clearance: 16.00



Interest Rates
Rate < $1,000: -
Rate > $1,000: -
Rate > $2,000: -
Rate > $5,000: 0.01%
Rate > $10,000: 0.01%
Rate > $20,000: 0.01%
Rate > $50,000: 0.25%
Rate > $100,000: 0.75%
Rate > $250,000: 1.25%
Rate > $500,000: 1.35%
Bonus Interest: -
Bonus Interest Notes:

Features
Is Step Account:
Daily ATM Withdrawal Limit: $2,000.00
Free Electronic Trans Per Month: 15
Free Over the Counter Trans Per Month: 15
Is Fee Rebate:
Rebate Calculation:
O/Seas ATM Facilities: Maestro



Fees
Fee Per Month: $10.00
Fee Frequency: Monthly
Fee Free Balance: $10,000.00
Over the Counter Deposit Fee: $0.80
Over the Counter Withdrawal Fee: $0.80
Staff Assisted Withdrawal Fee: -
ATM Fee: $0.40
ATM Balance Fee: $0.00
ATM Foreign Fee: $2.00
O/Seas ATM Balance Fee: -
O/Seas ATM Withdrawal Fee: $5.00
O/Seas EFTPOS Fee: N/A
EFTPOS Fee: $0.40
EFTPOS Fee (Other Bank): -
Phone Fee: -
Electronic Transfer Fee: -
Cheque Fee: $0.40
Internet Fee: $0.20
Cash Fee: -
O/Seas Emergency Replace Card Fee: $52.50
Debit Card Replace Fee: $15.00
Cheque Dishonour Fee: $45.00
Debit Item Dishonour Fee: $45.00



Comments
Comments: *Other Bank ATM Balance Fee is $2.00 for NSW, SA and ACT and $1.50 for WA, NT, QLD, TAS and VIC. **A total of 15 fee-free transactions per month including electronic and over the counter transactions. ***O/seas Transactions also incurr 2.5% Foreign Currency Conversion Fee