ECS FORMAT
To,
Citibank N.A.
____________
____________
Dear Sir,
RE:     AUTHORISATION TO PAY CITIBANK N.A MONTHLY REPAYMENT THROUGH THE
        ELECTRONIC DEBIT CLEARING MECHANSIM
a) Name: ____________________________________________________________________
b) Loan Account No: _______________________________________________
Particulars of Bank Account:
c) Name of account holder: __________________________________________________________________
d) Bank Name: ____________________________________________________________________
e) Branch Name: ___________________________________________________________________
f) 9 digit code number of the bank and: _______________________________________________
branch appearing on the MICR Cheque
issued by the bank                      _______________________________________________
(Please enclose a photocopy of blank, cancelled cheque issued by your bank for verifying the accuracy of
the code number)
g) Account Type: _____________________________________________________
   (i.e. Savings / Current / CC Account)
h) Ledger Folio Number: _______________________________________________
   (if appearing in the cheque book)
i) Account Number: ___________________________________________________
   (if appearing in the cheque book)
                                                                                ___________________
Date: _____________                                                                Customer Signature
                                      ECS FORMAT (page 2 of 4)
Date:
The Branch manager
Citibank NA
Sub: Savings / Current Account Number:
Dear sir,
This is with reference to the above account held by me at your branch.
I have availed a loan from CITIBANK N.A and would like to avail of the Electronic Debit Facility offered by
the Reserve Bank of India towards settlement of my monthly dues, presently to the tune of
Rs.____________.
However, I/We acknowledge that on account of interest rate fluctuations the said amount may vary,
provided that the said amount shall not exceed Rs. ______________ and hereby unconditionally and
irrevocably authorise Citibank N.A to raise debits of such amounts. This is aimed at our mutual
convenience in reducing the paper work
This is to irrevocable and unconditionally instruct you to accept the debit raised by CITIBANK N.A through
electronic clearing regularly every month and the debit the same to my above savings / current account. I
confirm that these instructed to act in accordance herewith.
Please acknowledge receipt and confirmation of this instruction.
Sincerely yours,
Customer Signature
                                       ECS FORMAT (page 3 of 4)
I ___________________________________________ S/o _________________________________
being the beneficiary of a loan vide loan agreement dated _____________ unconditionally and
irrevocably authorize you to raise a demand on _____________________________ (Name of the bank).
I being the borrower of CITIBANK N.A hereby express my unconditional consent to debit payment of my
installment referred to above through participation in ECS of the National Clearing Cell of the Reserve
Bank of India, and hereby unconditionally and irrevocably authorize Citibank N.A to raise debit on such
regular installments, till such time all dues to CITIBANK N.A as referred to above are cleared through this
scheme by debits against my bank account number ________________________ with
_______________________________________________ bank
I hereby declare that the particulars given above are correct and complete. If the transaction is delayed or
not effected at all for reasons to incomplete or incorrect information, I would not hold CITIBANK N.A
responsible.
This mandate does not prejudice the absolute right to CITIBANK N.A at any time hereafter, to discontinue
this arrangement and opt to revert to insisting on my submitting post-dated cheques to CITIBANK N.A
ADDRESS:
__________________________
Signature of borrower
__________________________
Name
                                        ECS FORMAT (page 4 of 4)
                                  SCHEDULE OF EMI MAINTENANCE
CUSTOMER NAME                   : ____________________________________________________
Loan Amount                     : ____________________________________________________
Rate of Interest                : ____________________________________________________
Tenor                           : ____________________________________________________
Monthly Instalments
Number of Interest Payments         :
(As per Schedule given below)
Number of EMI Payments              :
          EMI Amount                         EMI Start Date                       EMI End Date
                                SCHEDULE FOR INTEREST PAYMENTS
                      S.No                    Date                 Interest Amount
                                        (DD / MM/ YYY)                    Rs.
I understand that –
Interest payments are allowed only for under-construction properties during the construction period for a
maximum period of 30 months
                                                             st
For all other cases, interest option is allowed only for the 1 month succeeding the first disbursal, if the
                                th
disbursal date is on or after 24 of a month.
In the event of the monthly installment varying in accordance with the loan agreement, the Bank may
debit an amount different from the above, which could be higher or lower than the amount mentioned, but
shall not exceed Rs.___________________.
Date:_____________                                                                    Customer Signature
____________________________________________________________________________________________
NOTE : BELOW FORMAT IS FOR PROVIDING GUIDANCE ON HOW TO FILL UP THE ECS
FORM. FOR SUBMISSION TO THE BANK, PLEASE USE THE ABOVE BLANK FORM.
____________________________________________________________________________________________
                                            ECS FORMAT
To,
Citibank N.A.
____________
____________
Dear Sir,
RE:        AUTHORISATION TO PAY CITIBANK N.A MONTHLY REPAYMENT THROUGH THE
           ELECTRONIC DEBIT CLEARING MECHANSIM
                                                                                  Your Name (as per loan
      a)      Name:                                                               sanction letter)
     b)    Loan Account No:                                                 Your Citibank Loan
                                                                            Number (as per loan
                                                                            sanction letter)
                                                                                     Your Name (as per Bank
           Particulars of Bank Account:                                              passbook / bank statement
                                                                                     where you hold the
c)         Name of account holder:                                                   account)
d)         Bank Name:                                                  Name of the bank
                                                                       where you hold
                                                                       the account.
                                                                       customer
e)         Branch Name:
                                                                                Name of the branch
                                                                                where account is held
f)         9 digit code number of the bank and:                                             9 digit MICR code as
           branch appearing on the MICR Cheque                                              mentioned in cheque
           issued by the bank                                                               leaf
           (Please enclose a photocopy of blank, cancelled cheque issued by your bank for
           verifying the accuracy of the code number)
                                                                               Account type as
                                                                               mentioned in the
                                                                               cheque leaf.
g)    Account Type:
      (i.e. Savings / Current / CC Account)
                                                  Ledger folio
                                                  number as per
                                                  bank records
h)    Ledger Folio Number:
      (if appearing in the cheque book)
                                              Bank account number
i)    Account Number:                         of the customer as
      (if appearing in the cheque book)       appearing in Cheque
                                              leaf / pass book/ bank
                                              statement.
Date: _____________                                      Customer Signature
                                                        Signature of the
                                                        customer (to match with
                                                        the signature as per the
                                                        bank records from
                                                        which ECS is provided
                                                        by the customer)
                                      ECS FORMAT (page 2 of 4)
Date:
The Branch manager
Citibank N.A
                                                                                                  To be filled in
Sub: Savings / Current Account Number:             Monthly EMI
                                                                                                  - Post liaison
                                                   amount of the
                                                                                                  with the
Dear sir,                                          Citibank loan
                                                                                                  Citibank
This is with reference to the above account held by me at your branch.
I have availed a loan from CITIBANK N.A and would like to avail of the Electronic Debit Facility offered by
the Reserve Bank of India towards settlement of my monthly dues, presently to the tune of
Rs.____________.
However, I/We acknowledge that on account of interest rate fluctuations the said amount may vary,
provided that the said amount shall not exceed Rs. ______________ and hereby unconditionally and
irrevocably authorise Citibank N.A to raise debits of such amounts. This is aimed at our mutual
convenience in reducing the paper work
This is to irrevocable and unconditionally instruct you to accept the debit raised by CITIBANK N.A through
electronic clearing regularly every month and the debit the same to my above savings / current account. I
confirm that these instructed to act in accordance herewith.
Please acknowledge receipt and confirmation of this instruction.
Sincerely yours,
                                                    Signature of
                                                    the customer
Customer Signature
                                       ECS FORMAT (page 3 of 4)
I ___________________________________________________ S/o ____________________________
being the beneficiary of a loan vide loan agreement dated _____________ unconditionally and
irrevocably authorize you to raise a demand on __________________ (Name of the bank).
I being the borrower of CITIBANK N.A hereby express my unconditional consent to debit payment of my
installment referred to above through participation in ECS of the National Clearing Cell of the Reserve
Bank of India, and hereby unconditionally and irrevocably authorize Citibank N.A to raise debit on such
regular installments, till such time all dues to CITIBANK N.A as referred to above are cleared through this
scheme      by     debits     against     my     bank   account     number     ________________       with
________________________ bank
I hereby declare that the particulars given above are correct and complete. If the transaction is delayed or
not effected at all for reasons to incomplete or incorrect information, I would not hold CITIBANK N.A
responsible.
This mandate does not prejudice the absolute right to CITIBANK N.A at any time hereafter, to discontinue
this arrangement and opt to revert to insisting on my submitting post-dated cheques to CITIBANK N.A
ADDRESS:                                          Name of the bank
                                                  where account is                      Bank account number of
                                                  held                                  the customer as
                                                                                        appearing in Cheque leaf
_________________                                                                       / pass book/ bank
Signature of borrower                    Signature of                                   statement
                                        the borrower
__________________________
Name                                      Name of the
                                           Borrower
                                               ECS FORMAT (page 4 of 4)
                                         SCHEDULE OF EMI MAINTENANCE
       CUSTOMER NAME                   : _________________________________
       Loan Amount                     : _________________________________
       Rate of Interest                : _________________________________
       Tenor                           : _________________________________
       Monthly Instalments
       Number of Interest Payments         :
       (As per Schedule given below)
       Number of EMI Payments              :
                    EMI Amount                      EMI Start Date                       EMI End Date
                                       SCHEDULE FOR INTEREST PAYMENTS
                             S.No                    Date                 Interest Amount                Repayment
Monthly EMI                                    (DD / MM/ YYY)                    Rs.                     (EMI) end
amount as                                                                                                date
mentioned in loan
sanction letter /
interest rate
revision letter)
                                                                                                Repayment
                                                                                                (EMI) start
                                                                                                date
       I understand that –
       Interest payments are allowed only for under-construction properties during the construction period for a
       maximum period of 30 months
                                                                    st
       For all other cases, interest option is allowed only for the 1 month succeeding the first disbursal, if the
                                       th
       disbursal date is on or after 24 of a month.
       In the event of the monthly installment varying in accordance with the loan agreement, the Bank may
       debit an amount different from the above, which could be higher or lower than the amount mentioned, but
       shall not exceed Rs.___________________.
                                                         Interest
                                                         repayment
                                                                                                  Signature of
                                                         schedule (for
                                                                                                  the customer
                                                         under
                                                         construction
       Date:_____________                                property)                           Customer Signature
                                                                                                            Signature to
                                                                                                            match with
                                                                                                            ECS Form &
                                                                                                            Bank records
                                                                                  Name of the Customer
Account Number                                                                    (To match the name
which needs to be                                       Ledger folio              filled in the ECS Form)
mentioned in ECS                                        number
Form.
                                                                   Account Type
                    Cheque Number
                                    9 Digit Micr Code
   Note: In case of Joint accounts where the mode of operation states that the account should be
   jointly operated by the account holders, the ECS mandate form too will have to be signed by all
   the joint holders.