All fees are effective as of March 30, 2020.

 

FEE

COST

Account Reconciliation

$25/hr.

Account Opening Within One Year of Closing

$25

Account Research (outside agencies)

$50/hr.

Canadian Check Deposit

$10 + bank charges

Cash Advance Debit/Credit

3% of advance, minimum $10

Cash Advance Debit/Credit (card from another financial institution)

$5

Cash/Coin Withdrawal

Free

CD Early Withdrawal Penalty

90 days interest for up to one year
189 days interest for over one year

Check Copy

$5

Check Images Online

Free

Check Printing or Reorders

Varies

Coin Deposits (self-serve)

Free

Debit Card Reactivation

$25

Deposit Correction

$5

Dormant Account

$3/month

Electronic Document Delivery

Free

E-Statements

Free

Foreign Transaction

1% of each transaction in U.S. Dollars

Levies and Garnishments

$100

Mailed Monthly Statement Charges*

$5

Minimum Balance Fee**

$10/month

Night Depository Key Deposit

$10

NSF/Returned ACH Item

$31

Official Check

$3

Official Check Stop Payment

$31

Online Bill Pay

Free

Other Foreign Collection Checks/Collection Items

$10 + bank charges

Overdraft Transfer from Savings

$3

Phone Transfer Within Own Account Via Call Center

$1

Replacement Debit/Credit Card

$12

Returned Deposit Item

$7

Service Center/Shared Branch

$4/teller cash withdrawal

Statement Copy (no page limit)

$5

Stop Payment

$31

Unclaimed Property Fee

$50

Undeliverable Mail/Returned

$5

Verification of Deposits

$10

Wire Transfers (incoming domestic)

Free

Wire Transfers (incoming international)

Free

Wire Transfers (outgoing domestic)

$20

Wire Transfers (outgoing international)

$20


*Fee waived if account has e-statements.
**Fee applies if aggregate balance falls below $100 in any month.