Penyata Kad definition

Penyata Kad merujuk kepada penyata kad bagi semua Akaun-akaun Kad yang dipunyai oleh Ahli Kad Utama xxx Ahli Kad Tambahan;
Penyata Kad penyata akaun bulanan yang dikeluarkan oleh Bank menyatakan xxxxx xxx caj urus niaga runcit xxx xxxx yang ditanggung oleh Pemegang Kad menggunakan Kad. “Tarikh Penyata Kad” tarikh di mana Bank mengeluarkan Penyata Kad. “Pendahuluan Tunai” pengeluaran tunai yang boleh dibuat daripada Akaun Kad sama ada menerusi ATM atau menerusi kaunter di cawangan Bank yang ditetapkan (atau anak syarikat Kumpulan AmBank) atau cawangan Bank Ahli Mastercard/UnionPay/ Visa yang turut serta. “Had Kredit” had perbelanjaan yang ditetapkan oleh oleh Bank di bawah akaun kad. “Tempoh Tanpa Faedah” tempoh di dalam sebulan di mana tiada faedah akan dikenakan atas urus niaga runcit (selain daripada Pendahuluan Xxxxx xxx urus niaga pertaruhan atau permainan) selama dua puluh (20) hari kalendar dari tarikh catatan untuk kesemua urus niaga runcit yang dibayar menggunakan kad kredit, dengan syarat baki tertunggak Pemegang Kad pada bulan sebelumnya telah dijelaskan sepenuhnya. “Mastercard” Mastercard International Incorporated, sebuah syarikat yang ditubuhkan di Delaware, dengan alamat utama di 0000 Xxxxxxxx Xxxxxx, Xxxxxxxx, XX 00000- 2509, Amerika Syarikat (xxx termasuk pengganti hak xxxxx xxx penerima xxxxx xxx) yang mana Bank merupakan ahli utama. “Bank Ahli Mastercard” Institusi kewangan yang menjadi ahli Mastercard.
Penyata Kad penyata akaun bulanan yang dikeluarkan oleh Bank yang mencatatakan xxxxx xxx caj urus niaga runcit xxx xxxx yang ditanggung oleh Pemegang Kad menggunakan Kad. “Tarikh Penyata kad” tarikh di mana Bank mengeluarkan Penyata Kad. “Pendahuluan Tunai” pengeluaran tunai yang boleh dibuat daripada Akaun Kad sama ada menerusi ATM atau menerusi kaunter di cawangan Bank yang ditetapkan (atau anak syarikat Kumpulan AmBank) atau cawangan Bank Ahli Mastercard/Visa yang turut serta. “Had Kredit” had perbelanjaan yang ditetapkan oleh Bank berkaitan dengan kemudahan kredit di bawah Akaun Kad. “Xxxxxxxx xxx Perkhidmatan Halal” xxxxxxxx xxx perkhidmatan yang halal atau dibenarkan menurut Syariah (undang-undang Islam)

Examples of Penyata Kad in a sentence

  • Jumlah transaksi, dalam xxxx xxxx xxxxx xxx setara dengan Ringgit Malaysia, akan dinyatakan dalam Penyata Kad.

  • Kos pentadbiran tersebut akan dimasukkan dalam jumlah yang ditukar yang dinyatakan dalam Penyata Kad.

  • Walaupun xxx xxxx bertentangan, sebarang notis yang diberikan kepada Pemegang Kad atau Pemegang Kad Tambahan boleh digabungkan dalam Penyata Kad yang diberikan (yang mana terpakai).

  • Sebarang notis yang diberikan kepada Ahli Kad atau Ahli Kad Tambahan boleh dimasukkan ke dalam Penyata Kad.

  • It reflects a valid exercise of the Legislative Assembly’s plenary authority.

  • WardOriginal allocation March 12Revised allocation Dec 12ChangeArbourthorne£79,899£88,733+£8,834Darnall£91,841£88,111-£3,730Manor Castle£98,860£93,756-£5,104Richmond£60,357£60,3570Total£330,957.00£330,957.00 Arbourthorne Ward Final agreed allocations: ArbourthorneDetailPriorityAmount1Horticulture Apprenticeship Scheme by Green Estate£5k per ward as agreed at public meeting in March 12.

  • Sekiranya berlaku kejadian di mana RHB Islamic Bank tidak boleh menyediakan Pemegang Kad dengan suatu Penyata Kad yang selaras dengan Klausa 7.2, pada bila-bila masa, liabiliti Pemegang Kad bagi kewangan xxx xxxx-lain bayaran, walaubagaimanapun, perlu terus membayar kepada RHB Islamic Bank xxx RHB Islamic Bank boleh memilih mana - mana hari dalam bulan sebagai tarikh penyata bulanan.

  • Segala pemberitahuan yang akan diberikan kepada Pemegang Kad Utama atau Pemegang Kad Tambahan (mengikut mana-mana yang berkenaan) boleh dimasukkan ke dalam Penyata Kad.

  • The reaction being a strong exothermal one, the removal of the reaction heat is crucial to achieve the highest reaction rate possible.

  • Jika Ahli Kad memilih untuk membayar sebahagian daripada jumlah baki tertunggak atau Jumlah Minimum Perlu Dibayar daripada Penyata Kad sebelumnya, faedah atas urus niaga runcit dalam bulan semasa akan dikira dari tarikh urus niaga tersebut dicatatkan pada Akaun Kad.


More Definitions of Penyata Kad

Penyata Kad bermaksud sebarang pernyataan yang dikeluarkan oleh RHB Islamic Bank berkenaan dengan Akaun Kad, yang menunjukkan transaksi yang diposkan ke Akaun Kad untuk jangka xxxx xxxx bersangkutan;
Penyata Kad penyata akaun bulanan yang dikeluarkan oleh Bank menyatakan xxxxx xxx caj urus niaga runcit xxx xxxx yang ditanggung oleh Ahli Kad menggunakan Kad.

Related to Penyata Kad

  • Hostel means a place of residence for the students of the University, or its colleges, institutions and study centers, established or recognized to be as such by the University;

  • LHSIA means the Local Health System Integration Act, 2006, and the regulations made under it, as it and they may be amended from time to time;

  • TMDL means the total maximum daily load limitation of a parameter, representing the estimated assimilative capacity for a water body before other designated uses are adversely affected. Mathematically, it is the sum of wasteload allocations for point sources, load allocations for non-point and natural background sources, and a margin of safety.

  • Tabarru’ means donation for the purpose of solidarity and cooperation among the Takaful Participants and to be used to help all Takaful Participants in times of misfortune. In the context of the Company, Tabarru’ will be allocated into the Participants’ Risk Fund.

  • Panchayat means an institution (by whatever name called) of self-government constituted under article 243B, for the rural areas;

  • L.S.D. means lysergic acid diethylamide.

  • snippetLinks [{"key":"specifically","type":"clause","offset":[20,32]},{"key":"provided-herein","type":"clause","offset":[33,48]},{"key":"at-the-closing","type":"clause","offset":[50,64]},{"key":"the-parties-shall","type":"clause","offset":[65,82]},

  • South Caucasus/Central and South Asian (SC/CASA) state means Armenia, Azerbaijan, Georgia, Kazakhstan, Kyrgyzstan, Pakistan, Tajikistan, Turkmenistan, or Uzbekistan.

  • CSAM or "Credit Suisse" (or any combination thereof).

  • South Caucasus/Central and South Asian (SC/CASA) state means Armenia, Azerbaijan, Georgia, Kazakhstan, Kyrgyzstan, Pakistan, Tajikistan, Turkmenistan, or Uzbekistan.

  • SWDocID [[6027980]]" "" [[6027980]] on the date that such L/C Disbursement is made, if the Borrower shall have received notice of such L/C Disbursement prior to 10:00 a.m., New York City time, on such date, or, if such notice has not been received by the Borrower prior to such time on such date, then not later than 12:00 p.m., New York City time, on the Business Day immediately following the day that the Borrower receives such notice, if such notice is not received prior to such time on the day of receipt; provided that the Borrower may, subject to the conditions to borrowing set forth herein, request in accordance with Section 2.03 or 2.04 that such payment be financed with an ABR Revolving Facility Borrowing, a Swingline Borrowing, a Term SOFR Revolving Facility Borrowing or, if applicable pursuant to Section 2.14, a Daily Simple SOFR Revolving Facility Borrowing in the amount of such L/C Disbursement and, to the extent so financed, the Borrower’s obligation to make such payment shall be discharged and replaced by the resulting ABR Revolving Facility Borrowing, Swingline Borrowing, Term SOFR Revolving Facility Borrowing or Daily Simple SOFR Revolving Facility Borrowing, as applicable. If the Borrower fails to reimburse any L/C Disbursement when due, then the Administrative Agent shall promptly notify the Issuing Bank and each other Revolving Facility Lender of the applicable L/C Disbursement, the payment then due from the Borrower and, in the case of a Revolving Facility Lender, such Xxxxxx’s Revolving Facility Percentage thereof. Promptly following receipt of such notice, each Revolving Facility Lender shall pay to the Administrative Agent in Dollars, its Revolving Facility Percentage of the payment then due from the Borrower, in the same manner as provided in Section 2.06 with respect to Loans made by such Lender (and Section 2.06 shall apply, mutatis mutandis, to the payment obligations of the Revolving Facility Lenders), and the Administrative Agent shall promptly pay to the Issuing Bank in Dollars, the amounts so received by it from the Revolving Facility Lenders. Promptly following receipt by the Administrative Agent of any payment from the Borrower pursuant to this paragraph, the Administrative Agent shall distribute such payment to the Issuing Bank or, to the extent that Revolving Facility Lenders have made payments pursuant to this paragraph to reimburse the Issuing Bank, then to such Lenders and the Issuing Bank as their interests may appear. Any payment made by a Revolving Facility Lender pursuant to this paragraph to reimburse the Issuing Bank for any L/C Disbursement (other than the funding of an ABR Revolving Facility Borrowing, a Swingline Borrowing, a Term SOFR Revolving Facility Borrowing or a Daily Simple SOFR Revolving Facility Borrowing as contemplated above) shall not constitute a Loan and shall not relieve the Borrower of its obligation to reimburse such L/C Disbursement.

  • MOHLTC means the Minister or the Ministry of Health and Long-Term Care, as the context requires;

  • PMAX means the maximum generator real power output reported in MWs on a seasonal basis.

  • NBOME means the National Board of Osteopathic Medical Examiners, an organization that prepares and administers qualifying examinations for osteopathic physicians.

  • obsrvd_agnt_cd ;"count erparty_identifier";"entty_rl";"cntrct_id";"instrmnt_id";" reporting_reference_date" Alpha-numeric Semicolon-separated string of all column names. Field names are put in double quotation marks. 1 reporting_agent_identifier Variable characters (60) 60 identifier domain 2 obsrvd_agnt_cd Variable characters (60) 60 identifier domain 3 counterparty_identifier Variable characters (60) 60 identifier domain 4 entty_rl Variable characters (25) 25 counterparty-instrument role type 5 cntrct_id Variable characters (60) 60 identifier domain 6 instrmnt_id Variable characters (60) 60 identifier domain 7 reporting_reference_date Date reporting reference date

  • CDDP means "Community Developmental Disabilities Program".

  • LDA means a geographic area within the PJM Region that has limited transmission capability to import capacity to satisfy such area’s reliability requirement, as determined by the Office of the Interconnection in connection with preparation of the Regional Transmission Expansion Plan, and as specified in Reliability Assurance Agreement, Schedule 10.1.

  • AASHTO means the American Association of State Highway and Transportation Officials.

  • TELRIC means Total Element Long-Run Incremental Cost.

  • MGD means million gallons per day. "mg/l" means milligrams per liter. "ug/l" means micrograms per liter. "ng/l" means nanograms per liter. "S.U." means standard pH unit. "kg/day" means kilograms per day.

  • PMU means the Project Management Unit established in accordance with paragraph 3 of Schedule 5 to this Loan Agreement;

  • MECOD refers to the Multiple Exchange Carriers Ordering and Design Guidelines for Access Services - Industry Support Interface, a document developed by the Ordering/Provisioning Committee of the OBF, which functions under the auspices of the CLC of ATIS. The MECOD document, published by ATIS as ATIS/OBF- MECAB- Issue 3, February 1993, establishes methods for processing orders for access service which is to be provided to an IXC by two or more telecommunications providers.

  • SAQA means the South African Qualifications Authority;

  • Hookah means a water pipe and any associated products and devices which are used to produce fumes, smoke, and/or vapor from the burning of material including, but not limited to, tobacco, shisha, or other plant matter.

  • SPMCIL means Security Printing and Minting Corporation Limited"SPMCIL" means Security Printing and Minting Corporation Limited

  • MSL means an altitude expressed in feet measured from Mean Sea Level.