Commercial terms
Ensure you're up to date with our products and services' latest small print........
A - Z listing - Products and Services Terms and Conditions
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General Information on Payments, Charges & Contacts
Insolvency Account
Terms and Conditions for your Insolvency Account.
Insolvency Notice Account
This account is only available to Insolvency Practitioners who already have an Insolvency Account.
International Cash Management
Allows customers to manage their accounts held at other financial institutions through LloydsLink or Direct Corporate Access and initiate payments on Lloyds Bank accounts through other financial institutions. Also allows statement reporting to another bank and payments initiation via a partner banks electronic banking platform.
iSite
Terms and Conditions for your online banking service.
- iSite - Terms and Conditions PDF opens in new tab (pdf, 175.2 KB)
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Liquidity Solutions
These Supplementary Service Terms are supplemented by the Master Terms when combined form the Products and Services Terms and Conditions for the Sweeping Service.
Non-Sterling Currency Account
(for accounts opened prior to 22 February 2018)
The following Terms and Conditions are for any current account you hold with us that is in a currency other than Pound Sterling.
Own Name Pension Account
Terms and Conditions for your Own Name Pension Account opened through iSite.
Own Name Pension Account (Terms for Account Administrators)
Terms and Conditions for Pension administration companies opening Own Name Pension Accounts through iSite on behalf of pension schemes.
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Payment Transaction Brochure
Cut-off times and value dates for international payments in different currencies.
- Payment Transaction Brochure PDF opens in new tab (pdf, 72.0 KB)
Pay & Collect Online
Pension Fund Account
Terms and Conditions for your Pension Fund Account.
Pledged Account
Terms and Conditions for your Pledged Account.
Premier Direct Cash Service
Premier Direct Cash Service is a facility for customers who regularly undertake large value physical cash deposits and withdrawals. The service is operated in conjunction with any British Security Industry Association (BSIA) accredited third party security carrier for cash transportation and provides a secure, efficient and cost effective method of depositing and collecting cash.
Project Bank Account
Project Bank account is an account designed to promote prompt and fair payment to contractors and subcontractors.
Relationship Terms and Conditions
- Relationship Terms and Conditions PDF opens in new tab (pdf, 3.2 MB)
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Account Bank Account
Terms and Conditions for your Account Bank Account.
Account Reconciliation (TAR)
Audit Requests
Provides information about Bank of Scotland Corporate Markets plc audit requests.
- Request an account audit letter PDF opens in new tab (web)
- Audit Requests - Letter of Authority (pdf, 214.9 KB)
Authority to Debit Percentage Sweep
Balance on the lead/originating account is maintained at a target balance with funds in excess of that target being physically swept on a predetermined schedule and percentage basis to designated recipient accounts.
Bacstel-IP
The UK's low value direct and indirect payments service providing a 3 day processing cycle.
- Bacstel IP Direct and Indirect Submitters - Products and Services Terms and Conditions PDF opens in new tab (pdf, 706.7 KB) (03 August 2015)
- Bacstel IP Tariff - Bank of Scotland Core Banking Agreement PDF opens in new tab (pdf, 863.8 KB)
Bulk Cash Till Service
Bulk Cash Till Delivery service is a facility for customers who regularly undertake cash withdrawals. The service is operated in conjunction with accredited third party security carrier for cash transportation and provides a secure, efficient and cost effective method of withdrawing cash.
Bulk Check Processing
Business Internet Banking
The following Terms and Conditions apply to our online banking service for everyday business.
Business Travel Solution
The Terms and Conditions, Conditions of Use and Charges Schedule that apply to Business Travel Solution (BTS) Sterling, Euro and US Dollar accounts. BTS is designed to make the payment, management and reconciliation of employee travel expenses more efficient when using a Travel Management Company.
Carrier Cash Direct Service
CB Markets Deposit Product Factsheets
Client Banking Introducer Agreement
Client Account
Commercial Banking Online
Corporate Current Account
Corporate Instant Access Account
Corporate Insurer Trust Account
Terms and Conditions for your Insurer Trust Account.
Corporate Loan Servicing Account
Corporate Segregated Funds Account
Terms and Conditions for your Segregated Funds Account.
Corporate Charge Card
Terms and Conditions for your Corporate Charge Card.
- Corporate Charge Card - Conditions of Use opens in new tab (pdf, 591.6 KB)
Corporate Purchasing Card
Terms and Conditions for your Corporate Purchasing Card.
- Corporate Purchasing Card - Conditions of Use opens in new tab (pdf, 591.7 KB)
Deposits Terms and Conditions
(excluding Corporate Call Account).
- Product Terms for Deposit Accounts PDF opens in new tab (pdf, 379.9 KB)
Deputyship & Appointeeship Debit Card
Designated Pension Account
Terms and Conditions for your Designated Pension account opened through iSite.
ePay
The Terms and Conditions, Conditions of Use and Charges Schedule apply to ePay Sterling, Euro and US Dollar accounts. ePay provides enhanced levels of control and reconciliation on your employees online and card-not-present business spend.
- ePay Terms and Conditions opens in a new window (pdf, 361.8 KB)
- ePay Conditions of Use (pdf, 220.5 KB)
- ePay Standard Charges Schedule opens in a new window (pdf, 68.0 KB)