The Schedule of Charges for the Financial and Business Services of the Czech National Bank is published in Czech. Some parts of the Schedule are translated into English; the translation is for information only.
Individual parts of the Schedule of Charges and their effect
- Part I – Maintaining accounts and executing payments in Czech and foreign currency (pdf, 111 kB) – valid as of 1 Oct 2016 (in Czech only)
- Part II – Cash operations in the Czech currency (pdf, 333 kB) – valid as of 1 January 2023 (in Czech only)
- Part V – Interbank payment system (120 kB) – valid as of 1 Jan 2024 (in Czech only)
- Part VI – Short-term bond system (pdf, 148 kB) – valid as of 1 Feb 2020
- Part VI – Short-term bond system (pdf, 75 kB) – valid as of 1 Jul 2024
- Part VII – Telecommunication and postal services (pdf, 47 kB) – valid as of 1 Jan 2005 (in Czech only)
- Part VIII – Renting safe deposit boxes in the strong rooms of Czech National Bank branches (pdf, 145 kB) – valid as of 1 Jan 2011 (in Czech only)
- Part IX – Central register of credits (CRC) (pdf, 22 kB) – valid as of 1 Jan 2013
- Part XI – Payment Cards for employee (pdf, 209 kB) – valid as of 15 Feb 2020 (in Czech only)
- Part XII – Payment Cards for legal entity (pdf, 258 kB) – valid as of 15 Feb 2020 (in Czech only)
Download the whole Schedule of Charges
Zdroj dat: ČNB, stránky www.cnb.cz
Zdroj dat | www.cnb.cz |
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Originál | cnb.cz/en/about_cnb/performance/cnbs-schedule |