Notice of Change to Corporate Banking Savings, Investment, and Term Deposit Accounts Terms and Conditions, Account Access Methods Conditions of Use & Schedule of Fees and Charges(Eff.5/8/2024)
2024-07-05
Dear Customers,
Effective from 5 August 2024, the Bank of China Limited, Sydney Branch’s Corporate Banking Savings, Investment, and Term Deposit Accounts Terms and Conditions (Accounts Terms and Conditions) dated 8 April 2023, Account Access Methods Conditions of Use (Conditions of Use) dated 8 April 2023 and Schedule of Fees and Charges (Schedule of Fees and Charges) dated 20 March 2023, will be updated.
This notice is applicable to customers who have not received the BOCS Corporate Banking Accounts Terms and Conditions, Conditions of Use and Schedule of Fees and Charges dated 9 November 2023.
Please refer to the pdf file attached for details of the changes to Accounts Terms and Conditions, Conditions of Use and Schedule of Fees and Charges. The changes apply to the BOCS Corporate Banking Accounts Terms and Conditions dated 8 April 2023, Conditions of Use dated 8 April 2023 and the Schedule of Fees and Charges dated 20 March 2023, in order for them to be in line with the 9 November 2023 version. From the effective date of 5 August 2024, only the 9 November 2023 version will apply.
The current version of BOCS Corporate Banking Accounts Terms and Conditions, Conditions of Use and Schedule of Fees and Charges all dated 9 November 2023 are available on our website at www.bankofchina.com/au or from our retail branches in Australia.
Please contact us on 1800 095 566 (if calling within Australia) or +61 3 9670 6200 (if calling from overseas) if you have any queries regarding this notice.
Bank of China Limited, Sydney Branch
140 Sussex Street, Sydney NSW 2000
ABN 29 002 979 955 AFSL No. 230547
5 July 2024
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