Fee Schedule

Account Reconciliation  
1st month………….………........ Free
Each month………………......... $10.00
   
Cashier check fee………..…….. $  1.00
Check Cashing fee ……..……… $  5.00
  on Checks over $300 & account balance under $300
   
Debit Card fee……….…............ $10.00 One time fee/no annual fee
   
Dormant account fee………....... $25.00 per month
NSF fee……….……….………... $25.00
OD Protection fee……….……… $ 3.00
Stop Payment fee……….……… $10.00
   
Wire transfer (Outgoing)……….. $10.00
Wire transfer (Incoming)……….. $5.00
   
E Statements……….………..... No charge
Telephone Teller……….……….. No charge
Internet Banking……….……….. No charge
Online Bill Pay……….……….... No charge
   
FAX……….……….……….……. $1.00 per page
Photocopies……….……….…… $0.10 per page