Fee Schedule
Fees subject to change.
Checking/Money Market Account Fees
Check printing |
depends of style chosen |
Return check/electronic item, paid overdraft |
$28.00 |
Overdraft protection from savings to checking |
$5.00 |
Stop Payment |
$25.00 |
Check Copy Request |
$5.00 per image |
Excess transactions (Money Market) |
$10.00 per item |
Below minimum balance (Money Market) |
$10.00 per month |
Club Account Fees
ATM/Debit Card Fees
Empty envelope at ATM |
$50.00 |
NSF ATM deposit |
$28.00 |
ATM Withdrawal (6 free per month) |
$1.00 |
Replacement ATM/Debit PIN number |
$5.00 |
Replacement ATM/Debit card |
$10.00 |
Safe Deposit Box Fees
3 x 10 box |
$35.00 per year |
6 x 10 box |
$55.00 per year |
Lost key |
$20.00 |
Late payment |
$10.00 |
Drill box (min. $150.00) |
market price |
General Fees
Account closure fee (within 60 days of opening) |
$25.00 |
Cashiers/Official check |
$4.00 |
Dormant account (365 days no activity) |
$5.00 per month |
Garnishment/Levy processing |
$35.00 |
Forced closure of account |
$50.00 |
Gift card purchase |
$3.00 |
Telephone transfer |
$2.00 |
Money order |
$2.00 |
Account research |
$25.00 per hour |
Return deposit items (NSF) |
$15.00 |
Returned electronic funds transfer |
$28.00 |
Outgoing Wire transfer (domestic/international) |
$20.00/$65.00 |
Incoming Wire transfer |
$5.00 |
Check Cashing (non-members) |
1% ($10 MAX) |
Subordinations |
$100.00 |
Statement Copies |
$5.00 |
Returned Mail/Bad Address |
$5.00 |
Business Checking Account Fees*
Deposited Items (Light Business Checking) |
$0.15 each |
Deposited Items (Middle Business Checking) |
$0.20 each |
Below Minimum Balance (Middle Business Checking) |
$10.00 |
Rolled Coin (per roll) |
$0.10 |
Strapped Cash (FRB Standards) |
$0.50 each |
Replacement Lock Bag |
$25.00 |
*For Business checking, the listed fees will not be assessed until maximum limit has been exceeded.