The following fee schedule is an abbreviated version of our complete
fee schedule. For more information on fees, please call us a 1-800-844-7333.
| Checking Accounts |
| Return Check Charge ("NSF") (per check) |
$ 28.00 |
| Return Charge "RET CHG" ("NSF") (per ACH Debit) |
$ 28.00 |
| Stop Payment Fee (per check or ACH Debit) |
$ 28.00 |
| Cancelled Check Copy Fee — Copies of In Bank Presentment
Checks and Imaged checks, first 10 copies per calendar year are free.
|
Thereafter, per copy charge is $ 5.00 |
| Copy of Monthly Statement Fee (per stmt.) |
$ 5.00 |
| History Statement Fee (per page) |
$ 5.00 |
| Research Fee (per check) |
$ 5.00 |
| Interest Checking — Monthly Service Charge No longer available — fee applies to existing accounts. Will be charged if account balance is less than $1,500 any day of the month. Fee will be waived if account holder maintains a $1,500 aggregate balance in checking, savings and/or certificate accounts |
$ 5.00 |
| High Yield Checking — Monthly Service Charge Will be charged if average daily balance during the statement cycle is less than $1,500. Fee will be waived if account holder maintains a $1,500 aggregate balance in checking, savings
and/or certificate accounts |
$ 5.00 |
| Dormant Service Charge — Annual service charge will be charged
if account balance is less than $100 and there has been no activity for 24 consecutive months |
$ 25.00 |
| Redeposited Item Fee (per check) |
$ 8.00 |
| Return of Deposited/Cashed Item Fee (per check) |
$ 8.00 |
| Check/Deposit Order Printing |
Fee based on style ordered |