| The
following fees may be assessed against your account and the following
transaction limitations, if any, apply to your account. |
| Check Printing |
(fee depends on style of check
ordered) |
| Certified Checks |
$25.00 |
| Cashier's Checks/Money Orders |
$4.00 |
| Deposited Checks/items returned
unpaid |
$10.00 |
| Garnishments/Tax Levies |
$40.00 |
| Stop Payments |
$18.00 |
| Account closed within 60 days of opening |
$25.00 |
| Overdrafts (each debit or check paid) |
$30.00 |
| Non-sufficient funds (NSF) each item
returned unpaid |
$30.00 |
| Recreate Previous Statement |
$2.00 |
| Temporary Statement |
$1.00 |
| Collection of Checks |
$30.00 |
| Account Research |
$35.00 per hour |
| Account Balancing Assistance |
$30.00 per hour |
| Debit Card/ATM card replacement |
$5.00 |
| PIN number reminder |
$5.00 |
| Wire Transfer fees—Domestic (customer only) |
$20.00 |
| Wire Transfer fees—International
(customer only) |
$40.00 |
| Dormant Account (balance below $100.00) |
$5.00 |
| Copy of an Image |
$2.00 |
| Images included in monthly statements |
$4.00 |
| Money Market Account excessive
transactions (violation of regulatory
withdrawal limits related to preauthorized, telephone, electronic
withdrawals or by check) |
$5.00 |
| Rolled Coin for Non-Customers and Customers without an active business checking account. |
$.10 per roll |
| Counter Checks |
$1.00 each |
| IRA Transfers (out of bank) |
$50.00 |
| SEP Transfers (out of bank) |
$50.00 |
| HSA Transfers (out of bank) |
$50.00 |
| HSA fees |
Setup fee $20.00 |
| Land Contracts |
$100.00 year |
| Photocopies |
$.25 per page |
| Fax Charges |
$5.00 plus $1.00 per page |
| Safe Deposit Box |
$5.00 discount per year with automatic
payment |
| Safe Deposit Box annual rent |
Depends on the box size |
| Safe Deposit Box rent late fee |
After June 1st $5.00 |
| Safe Deposit - New Key |
$20.00 |
| Safe Deposit Box Drill to open |
Market Rate |
| Deposit Zipper Bag |
Business customers receive one free then
$5.00 per bag. |
| Deposit Lock Bag |
$18.00 |