Overdraft Fee
- per item
| $27.00 |
Return Item Fee - per attempt | $27.00 |
Stop Payment Fee | $27.00 |
Commercial Account Returned Deposit Item Fee | $5.00 |
Check Orders | varies |
Temporary Check Printing - per item (minimum: increments of four) | $0.50 |
Reissue Lost ATM/Debit Card (new #) | $30.00 |
Reissue Damaged ATM/Debit Card (same #) | $15.00 |
ATM Transaction Fee (Foreign ATM) (outside of Allpoint network) | $2.00 |
ACH Transfer Set-up Fee - per transfer | $10.00 |
ACH Transfer Change Fee | $10.00 |
Recurring Transfer Set-up Fee - per transfer | $10.00 |
Recurring Transfer Change Fee | $10.00 |
Inactivity Fee - per month (Accts ≤ $200 with no activity for 3 years) | $5.00 |
Garnishment Fee | $15.00 |
Account Research Fee - per hour | $25.00 |
Account Balancing Assistance Fee - per hour | $25.00 |
Paper Statement Reprint - per statement | $10.00 |
Email Statement Reprint - per statement | $5.00 |
Returned Statement Fee - per month | $10.00 |
Gift Card Fee | $5.00 |
Personal Money Order (up to $1,000) | $2.00 |
Bank Money Order | $5.00 |
Wire Transfer Fee - Outgoing | $25.00 |
Wire Transfer Fee - Incoming | $0.00 |
Wire Transfer Fee - Foreign Countries (outgoing and incoming) | $60.00 |
Photocopies - per page | $0.10 |
Outgoing Fax - first five pages | $3.00 |
Outgoing Fax - per page after fifth page | $0.50 |
Incoming Fax - unlimited pages | $2.00 |
5 X 5 Safe Deposit Box - per year | $30.00 |
3 X 10 Safe Deposit Box - per year | $35.00 |
5 X 10 Safe Deposit Box - per year | $40.00 |
8 X 10 Safe Deposit Box - per year | $60.00 |
10 X 10 Safe Deposit Box - per year | $60.00 |
Safe Deposit Box Key Replacement | $20.00 |
Safe Deposit Box Break Open Fee | $200.00 |
Non-customer Change Counting, upon discretion | 10% or $5.00 minimum |
Non-customer Foreign Check Cashing, upon discretion | 1% or $5.00 minimum |