DEPOSIT ACCOUNT DISCLOSURESDeposit Account Disclosures • January 30th, 2023
Contract Type FiledJanuary 30th, 2023What to do if you want to cancel a remittance transfer: 34 What to do if you believe there is an error in the remittance transfer 34
DEPOSIT ACCOUNT DISCLOSURESDeposit Account Disclosures • November 7th, 2022
Contract Type FiledNovember 7th, 2022Effective February 1, 2023, the section of the Account Agreement and Disclosures (“AA&D”) entitled “Dispute Resolution” will be replaced in its entirety with a new section also entitled “Dispute Resolution”. THE REPLACEMENT “DISPUTE RESOLUTION” SECTION WILL IMPLEMENT BINDING ARBITRATION OF ALMOST ALL DISPUTES BETWEEN YOU AND CITY NATIONAL BANK.
DEPOSIT ACCOUNT DISCLOSURESDeposit Account Disclosures • October 25th, 2023
Contract Type FiledOctober 25th, 2023This document (this “Fee Schedule”) sets forth the standard fees that apply to the corporate deposit products and many of the banking services we make available to you. For fees applicable to analyzed business accounts, see the ACCOUNT ANALYSIS section. Additional fees may apply depending on the services used, which will be separately provided to you. Check with your Relationship Manager for more information.