Fee Schedule
Common Charges, Fees, or Limits Disclosure (Effective April 1, 2018)
Cash withdrawal at ATM/ Debit dollar limit
|
$305.00/day |
Foreign ATM transaction
|
$3.00 |
Replace ATM /Debit Card
|
$10.00 |
Debit card purchase dollar limit
|
$750.00/day |
Telephone transfer between accounts with us
|
$10.00
|
Overdraft Protection ( Automatic Transfers ) between accounts
|
$10.00 per transfer |
Monthly/ Periodic Paper Statement |
$2.00 |
E-Statement |
Free of charge w/ valid email address |
Check printing
|
Fee depends on
style ordered
|
Cashier's check
|
$6.00
|
Counter check
|
$1.00/each |
Check cashing fee (non-customer)
|
.60% of check amount
(ex. $500.00 check cashed - $3.00 fee imposed)
|
Overdraft (each item paid)
|
$32.00
|
Non-sufficient funds(each check, item, or the re-presentment of each check or item)
|
$32.00
|
Deposited checks returned unpaid
|
$10.00/item
|
Account activity printout
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$0.25/page
|
Account research ($25 Minimum Charge)
|
$25.00/hour
|
Account balancing assistance
|
$20.00/statement
|
Image statements after 2004
|
$3.00/statement
|
Stop payment - all types of items
|
$32.00/stop
|
Wire transfers - Incoming
Outgoing
|
$20.00/wire
$30.00/wire
|
Dormant Savings Accounts -
No deposits or withdrawals to the account for one year and the balance is $49.99 or less*
|
$15.00/ annually
|
Account closed within 90 days of opening
|
$10.00
|
Lost passbooks
|
$10.00
|
Photocopies
|
$0.25/page
|
Fax (received or sent)
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$1.00/page
|
|
|
Deposit bags - Zipper Bags
Lock bags
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$5.00 each
$25.00 each
|
Safe deposit box rental - (Prices vary, ask for availability at each location)
3" x 5" box
5" x 5" box
3" x 10" box
5" x 10" box
10" x 10" box
|
$20.00 plus tax annually
$30.00 plus tax annually
$40.00 plus tax annually
$60.00 plus tax annually
$75.00 plus tax annually
|