Fee Schedule

Effective October 27, 2016

ACCOUNT SERVICE FEES

Account Research Fee (hourly) $25.00
Auto Transfer Fee to Cover Overdrafts $5.00
Dormant Account Monthly Fee $5.00
Escheat Account Fee $20.00
Foreign item Collection Fee $45.00
Legal or Tax Levy Fee $30.00
Printout of Monthly Account (per page) $1.00
Returned Mail Fee $2.50

ACH TRANSACTIONS

ACH Non-sufficient Funds $20.00
ACH Stop Payment $20.00
Release ACH Stop Payment $5.00

AUTOMATED TELLER MACHINES (ATMs)

Per transaction charge after five (5) free transactions per month $1.00
Overdrawn Fee $20.00
ATM Machine Inquiry $2.00
ATM Debit Replacement Card $10.00

MONETARY INSTRUMENTS

Money Order $2.00
Travel Cards $7.00
Reload Travel Card $3.00
Prepaid Debit Card $8.00

MONEY MARKET ACCOUNTS

Below Minimum $5,000 (per month) $5.00
Excess of four (4) withdrawal fee per withdrawal $10.00
Below Minimum $10,000 (per month) $10.00
Excess of six (6) withdrawal fee per withdrawal $20.00

SHARE DRAFT/CHECKING

NSF Returned Check Fee $20.00
Check Copy Fee $5.00
Overdraft Transfer from Alternate Account $5.00
Stop Payment Fee $20.00
Release Stop Payment $5.00
Monthly Low Balance Fee on interest bearing checking (minimum to avoid $200.00) $2.00

SHARE SAVINGS

Closing Withdrawal Fee (within 90 days of opening) $25.00
Account Reopening Fee (within 12 months of closing) $25.00
Statement Copy Fee (per page) $1.00
Deposited Item Return Fee (NSF, Endorsement, etc) $20.00
Monthly Low Balance Fee (minimum to avoid $10.00) $3.00

TELLER CHECKS

Teller Check $2.00
Stop Payment Fee (check cannot be reissued for 90 days) $25.00
Remove Stop Payment Fee $5.00

WIRE TRANSFERS

Outgoing Domestic Wire $25.00
Incoming Wire $5.00