Fee Schedule

The following fees may be assessed against your account and the following transaction limitations, if any, apply to your account:

Common Fees:

  • Overdraft Item Returned  $36
  • Overdraft Item Paid   $36
  • Uncollected Funds Item Paid    $36
  • Uncollected Funds Item Returned  $36
  • Deposited Check Returned   $10

ATM Fees:

  • Customer on Site or Money Pass Network     $0
  • ATM Fee (Non-Customer)    $3
  • ATM Fee (Non- Proprietary)  $1

Bank Service 

  • Cashier’s Checks  $5
  • Check Cashing Fee (Non- Customer)   $8
  • Stop Payment    $30

Wires

  • Domestic Wires Outgoing    $25
  • Incoming Domestic Wire   $5
  • International Wire Incoming   $15
  • International Wire Outgoing    $50
  • Wire Reject Fee        Any pass-through fees

International Transactions: 

  • International Debit/ATM Transactions: 2% Total Transaction
  • International ATM Transaction  $5
  • Canadian Item Deposit Fee   $10

Debit Card: 

  • Debit Card Replacement    $5
  • Debit Card Replacement Rush Request    $30

Other Fees:

  • Account Activity Print Out   $1
  • Account Research     $25/Hr.
  • Verification of Deposit Request   $5
  • Items Sent for Collection     $25
  • Copy of Statement w/Images (Free Online)  $5
  • Dormant Accounts     $5/Statement Cycle
  • Garnishments, Levies, Subpoenas, and Write  $75
  • Fax Services (Per Page)    $2
  • Night Deposit Bag (Locked)  $25
  • Notary Service (Non-Customer)  $5
  • Coin Counting (Non-Customer)   5% of Total
  • Excess Saving Debit Charges (Reg D)  $1/Transaction

Safe Deposit Box:

  • Safe Box Replace 1 Key    $25
  • Safe Box Drilling Fee    Cost of Locksmith and time of drilling
  • Payment Past Due     $5 per notice