Fees & Charges

Fees Table
Replacement Debit/Credit Card $10.00
Debit/Credit Card Rush $50.00-$75.00
Non-sufficient Funds - each item returned $5.00*
Overdraft - each item paid $5.00*
Daily Negative Balance Fee (beginning on the 14th consecutive calendar day that the account maintains a negative balance) $5.00 per day
Stop Payments - Check or ACH (in excess of 3 per 90-day period)* $5.00
Check Printing Fee depends on style of draft ordered
Counter Checks (Group of 4) $1.00
Deposited Checks (and other items) Returned Unpaid
Third Party (first presentment) $0.00
Third Party (representment) $10.00
Issuer $25.00
Bad Address Fee $5.00 per month
Monthly Service Fee (Secured Checking & Business Checking) $5.00 per month
Money Market Excessive Withdrawal Fee $10.00
Incoming Wire Transfer $7.50
Outgoing Domestic Wire Transfer $15.00
Account Closed Within 6 Months of Opening $25.00
Inactive Account Fee (after 12 months of inactivity and less than $500 on each deposit) $5.00 per month
Account Balancing and Research (half hour minimum) $30.00 per hour, plus $0.15 per page
Check Copies $25.00
Garnishments, Executions and Levies $15.00
IRA Low Balance Fee $20.00 annually
Deposit Box Replacement Key/Drill Fees Actual cost plus
One Key Lost $10.00
Both Keys Lost $25.00

Attention
We will be closed on Thursday, November 28 and Saturday, November 30 for Thanksgiving. We will be open on Friday, November 29 from 8:15 am to 1:00 pm at the drive-thru only."