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Fee Structure 2021

School Fees and Ancillary Charges as from January 2021.

Monthly payments are to be made over a 10 month period January to October. All fees, levies and ancillary charges are due on the first day of each term Per AnnumPer TermPer Month January to October
SCHOOL FEESRandsRandsRands
Day PupilsGrade 00060 61020 2036 061
Grade 0065 09921 7006 510
Grade 076 22225 4077 622
Grade 194 44031 4809 444
Grade 294 44031 4809 444
Grade 394 44031 4809 444
Grade 498 50032 8339 850
Grade 5 - 6111 17137 05711 117
Grade 7117 58539 19511 758
Form One123 58541 19512 359
Form Two142 83047 61014 283
Form Three -
Form Five
144 21048 07014 421
Boarders (Excluding Tuition Fees)
Form One -
Form Five
105 00035 00010 500
Form One to Form Five (Weekly Boarding: Mon to Fri)R2 625/
per week
Ancillary Levy
Grade 000 - 77 4202 473742
Form One -
Form Five
2 055685206
Other Charges
Text Books and StationeryForm One - Form Five (compulsory)To be charged
External IEB ExamForm FiveTo be charged
Swimming LessonsGrade 000 - 3To be charged
Optional Extras
BreakfastGrade 1 - Form Five7 6642 555766
LunchGrade 1 - Form Five9 2603 087926
DinnerGrade 1 - Form Five7 8242 608782
Bus Service12 0004 0001 200
Afternoon SupervisionGrade 00 - 7R90/per afternoon
Educational Levy1 550517155
PSA 200 Club2809328

DEPOSIT:
Upon acceptance a deposit of R12,000 per student is to be paid prior to the student entering the School.

The School has 3 Payment Options, these are as follows:

  1. Annual Fees are payable by the 31st January 2021.
  2. Termly Fees are payable on the first day of term.
  3. Monthly Fees are payable on the first day of each month from January to October via the School's Debit Order system. If payments are not paid annually or termly in advance, it will be assumed that fees will be paid in advance from January to October.

INTEREST IS CHARGED ON OVERDUE FEES.
One school term's notice is required when withdrawing a student from the school and/or discontinuing boarding.

Deposits and Fees to be effected by direct transfer to:

Bank: Standard Bank
Branch: The Glen
Branch Code: 006005
Account Number: 002860929
Swift Code: SBZAZAJJ

NB All fees and charges may be reviewed during the course of the year.

DOWNLOAD FEE STRUCTURE AS PDF