FEE SCHEDULE
· Overdraft Charge - $20.00 per check, in-person withdrawal, ATM withdrawal, or other electronic means
Transactions may not be processed in the order in which they occurred, and that the order in which transactions
are received by the institution and processed can affect the total amount of overdraft
fees incurred by the consumer.
Any fee charged to the account counts toward the total amount of the overdraft
limit established by the Bank.
· Return Item Charge - $20.00 per check, in-person withdrawal, ATM withdrawal, or other electronic means
· Daily Overdraft Charge for each day overdrawn - $5.00
Overdrafts covered within 48 hours from date overdrawn will not be subject to daily charge.
· Stop Payment Request (if amount, payee & check # are known) - $10.00
· Check Printing – Fee depends on style of checks ordered
· Dormant Checking Account Fee - $10.00 (no activity for 180 days)
· Reissue of Lost Debit Cards - $12.00
· Research-per hour - $20.00
· Paper Copies of monthly bank statement - $5.00
· ATM Service Charge at Foreign ATM (per transaction) - $0.75
(ATM Owner Surcharge fee may also apply)
· Fee for Garnishment or Levy - $50.00
· Cashier’s Checks - Customers - $2.00
· Wire Transfers - Outgoing Wire Transfers - $20.00 per transfer
Outgoing International Wire Transfers - $50.00 per transfer
· Safe Deposit Boxes - Small (2 x 5)....$15.00 per year
Small (3 x 5)....$20.00 per year
Small (5 x 5)....$25.00 per year
Medium (3 x 10)...$28.00 per year
Large (5 x 10)...$30.00 per year
Large (10 x 10)..$50.00 per year
Fee for Lost Safe Deposit Key - $25.00
Fee to Drill and Replace Lock on Safe Deposit Box - $75.00
· Fax Fee- $2.00 first page, $1.00 each additional page