Fee Schedule
ATM Cash Withdrawal (non-customers only) $2.00
Balance Inquiry at ATM's (non-customers only) $2.00
Check Printing Fee depends on style of check
Cashier's Checks (non-customers only) $5.00
Copies of Checks $5.00
Copies of Bank Statements $5.00
Replace Lost Savings Book $5.00
Research and Checkbook Reconciliation $20.00 per hour (Minimum 15 minutes)
Rolling Loose Change (non-customers only) 5% of Total
Deposited Checks/Items Returned Unpaid (Business Accounts Only) $10.00
Dormant Account Fee
This fee is charged each month and only if the balance is less than $100.00. An account is dormant if for 6 months (Checking, NOW, and Money Market Accounts), 12 months (Freedom Statement Savings) or 36 months (Passbook Savings) you have made no deposits or withdrawals to the account.
$2.00
Overdraft (Applies to overdrafts created by check, in-person or other electronic means) $20.00 per Debit or Check Paid
Non-Sufficient Funds (NSF) Returned Item Fee $20.00
Stop Payments (All Items) $10.00
Domestic Wire Transfers (outgoing) $10.00
Foreign Wire Transfers (outgoing) $40.00