Fees and Charges

Fees and Charges

Account Reconciliation
$20.00 Per Hour
$10.00 Minimum

ATM Withdrawal at Other Banks
$2.00 Each

Bill Pay Fee
$6.00 per Month

Cashier’s Check
$5.00

Money Orders
$4.00

Check Cashing Fee
$5.00 (Non-Customers)

Coin Wrapping
10% Of Total (Non-Customers)

Debit Card PIN Reorder
$5.00

Debit Card Replacement
$5.00

Dormant Account Fee
$5.00 per Statement Cycle

Domestic Wire Transfers (Incoming and Outgoing)
$18.00

International Wire Transfer (Incoming and Outgoing)
$72.50

Legal Action Against Account
$50.00

NON Sufficient Funds / Overdraft
Checking – $25.00 Per Item
Savings – $25.00 Per Item
$3.00 Per Day Beginning On 4th Day of Consecutive Overdrawn Status

Safe Deposit Box Rental
Charged Annually
3×5 = $15.00
3×10 = $20.00
5×10 = $35.00

Special Statement
Official Statement Copy – $5.00 each
Snapshot Copy – $2.00 each
Check Copy – $2.00 each

Stop Payments / Zero Hold
$25.00

New accounts closed within 90 Days will have a
$25.00 Service Fee