The following information is correct at 16 March 2012 and is subject to change.
| Fee type | ANZ Business Current account | ANZ Business Flexible Facility | ANZ Business Premium Call account* | ||
|---|---|---|---|---|---|
| Pay As You Go |
Smart Plan |
Pay As You Go |
Smart Plan |
||
| Monthly account fee | $4.00 | $10.00 | $4.00 | $10.00 | No fee |
| Fee for each automated transaction | $0.25 | $0.15 | $0.25 | $0.15 | No fee |
| Fee for each manual transaction | $0.65 | $0.55 | $0.65 | $0.55 | No fee |
| Fee waivers | Monthly account fee waived if the average daily balance for the month is $10,000 or more | Your first 50 automated transactions are waived each month | Monthly account fee waived if the average daily balance for the month is $10,000 or more | Your first 50 automated transactions are waived each month | NA |
Key to account transaction charges
Automated transactions
Automated transactions include EFTPOS, automatic payments, bill payments, direct debits, direct credits, and transactions made at ATMs in New Zealand, although fees apply for using non-ANZ ATMs. They also include transactions made through ANZ Phone Banking, Mobile Phone Banking and Internet Banking.
Manual transactions
Manual transactions include cheques and transactions handled by our staff at a branch or over the phone and deposits via ATMs. (Please note that balances and basic account enquires at a branch are free). Deposits made through an ANZ Fast Deposit Box are charged as staff-assisted transactions.
Business account service charges
The following information is current as at 29 October 2012 and is subject to change.
Service charges apply when a specific service is used, and are in addition to business account transaction charges. They are detailed below.
| Fee type | ANZ Business Current | ANZ Business Flexible Facility | ANZ Business Premium Call account* |
|---|---|---|---|
| Cheque clearance fee | $0.25 per cheque deposited | $0.25 per cheque deposited | $0.25 per cheque deposited (one free cheque deposit per business day) |
| Cash handling fee for deposits less than $3,000 per business processing day | Waived | Waived | Waived |
| Cash handling fee for deposits of $3,000 and over per business processing day | 0.25% of total cash deposited | 0.25% of total cash deposited | 0.25% of total cash deposited |
| Auditor's confirmation report | $65.00 | $65.00 | $65.00 |
Fee exemptions
Non-profit organizations are exempt from payment of the following fees on one ANZ Non-profit organization current account.
- Monthly account fees.
- Automated and manual transaction fees.
- Automatic and Bill Payment establishment, amendment and suppression fees.
- Cash handling fees.
- Cheque clearance fees.
A current Disclosure Statement published by ANZ Bank New Zealand Limited may be requested from any branch or agency of ANZ.
* Not a transaction account
** To be charged, per customer, on the total cash amount deposited or withdrawn in any one business day.
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