Fees and Charges
Effective 5/25/22 | |
---|---|
Account Balancing/Research | $20.00/hr |
Automatic Transfer Fee | $5.00 |
Bank Bag | $5.00 |
Cashier's Check Fee | $5.00 |
Coin Counting for Non-Customer | 5% of total ($5.00 min) |
Continuous Overdraft Charge If your account is overdrawn > $31.00 for any two consecutive business days, you will be charged a $5.00 continuous overdraft fee on each business day after two that your account remains overdrawn but no transactions post. | $5.00/day |
Copy of Statement, Check, Ticket Fee | $3.00 |
Debit Card Replacement Fee | $7.50 |
Deposit Item Return Fee | $10.00 |
Duplicate Monthly Statement Fee | $5.00/mo |
Fax Service Fees | $3.50 first page, $1.50 subsequent pages |
Foreign Currency Purchase Fee | $20.00 |
Foreign Currency Sale Fee | $20.00 |
Foreign Item Cashed/Deposited Fee | $12.50 |
Foreign Item Return Fee | $10.00 |
Image Return Fee Personal and Business Accounts | $3.00/mo |
Inactive Account Fee If your account is inactive for 6 months and the balance is below $100.00, a $5.00 monthly inactive fee will be assessed to the account. Minor accounts excluded. | $5.00/mo |
Overdraft Charge / Returned Check Charge (per item/per presentment) (maximum charge of 4 per day) | $31.00 |
Paper Statement Fee | $3.00 per |
Personal Money Order Fee | $3.00 |
Stop Payment Fee | $31.00 |
Wire Transfer Fee - Incoming | $10.00 |
Wire Transfer Fee - Outgoing | $20.00 |
Wire Transfer Fee - Outgoing International | $55.00 |
Safe Deposit Boxes | $10-$55/year based on size |