Fee Schedule
Effective January 1, 2022
Overdraft & Stop Payment Fees
Description | Fee |
---|---|
Return check | $25.00 |
NSF Paid | $25.00 |
Business Return Check | $30.00 |
Business NSF Paid | $30.00 |
Overdraft transfer from Shares | $5.00 |
Ach stop payment | $15.00 |
Single stop payment | $15.00 |
Multiple stop payment | $30.00 |
Negative share fee | $5.00 |
Minimum balance requirement (When Share goes below Par value $25) | $5.00 |
Draft copy | $2.00 |
Return mail fees | $5.00 |
An Inactive/Dormant Account Fee | $25.00 |
Early closure | $25.00 |
Monthly service fee (For checking under $100 unless you have direct dep., 55 plus, or a student) | $3.00 |
Deposit Item return | $25.00 |
Business Deposit Item Return | $30.00 |
Account reconciliation/search
Description | Fee |
---|---|
Account reconciliation | $20.00 per hour minimum |
Statement copies
Description | Fee |
---|---|
Current month and Previous Months | $5.00 |
Visa
Description | Fee |
---|---|
Late payment | $20.00 |
Merchant draft copy | $5.00 |
Visa card replacement | $10.00 |
Debit card replacement | $25.00 |
Visa Cash Advances for Payments | $5.00 |
Visa Gift Card | $3.50 |
Wire
Description | Fee |
---|---|
Domestic Outgoing International not available) | $25.00 |
Incoming Wire | $10.00 |
Other Services
Description | Fee |
---|---|
Fax | $1.00per. pg.– $10.00 max |
Copies | .25 Each |
Cashier’s Checks | $4.00 |
Corporate Checks (Made payable to other than Member) | $3.00 |
Money Orders | $2.00 |
Certificate of Deposits - Early Withdrawal | 90 Days Interest |
Levy/Garnishment Fee | $50.00 |
Telephone Transfer of Funds | $5.00 |
Coin Counter | 2% for members 10% Non-Members |
Free Services – Home Banking, Bill Pay, ART, Mobile Banking, 55+ Checks
Revised January 2022