Mobile Banking
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Schedule of Fees

Business Accounts & Services

Check drawn/withdrawal presented against non-sufficient funds $32.00
Check/withdrawal posted causing overdrafts $32.00
Stop Payment Order $32.00
Night depository bag (security deposit) $30.00
Returned deposit item $10.00
Account Closing $5.00
Dormant Account Fee $5.00
Official Check $7.50
Incoming Wire Transfer $15.00
Outgoing wire transfer $25.00
      International transfer (in addition to outgoing fee) $40.00
Special statement $5.00
Interim statement $2.00
Levy/Garnishment/Judgment $100.00
Collection item
      Less than $1,000 $15.00
      $1,000 or more $20.00

Electronic Banking Fees
Debit card replacement $10.00
Card reactivation fee $10.00
PIN replacement $3.00
Remote deposit capture (per month) $50.00
Bill Pay (up to 15 items per month) $5.95
      Excess items (per item) $0.60

Other Fees
Photocopy of bank record $4.00

Note: These fees are in addition to account specific fees.