The following fees apply to Checking, Savings, NOW Accounts and Money Market Accounts effective November 1, 2018.


STATEMENTS

Duplicate Statement Prepared: $10.00

Custom Image Statement: $10.00

Additional Statement: $5.00

(Mailed to alternate account holder and authorized parties)

Statements outside 12 months will be at research rate


TELEPHONE TRANSFERS

After 3 Per Month: $2.00


LEGAL PROCESS FEES

Garnishments, Levies and Liens: $100.00

Deed of Reconveyance, Full/Partial: $45.00

Notary Per Signature: $15.00


WIRE TRANSFERS

Incoming Domestic Wire Transfer: $20.00

Outgoing Domestic Wire Transfer: $30.00

Incoming International (Foreign) Wire Transfer: $20.00

Outgoing International (Foreign) Wire Transfer: $40.00

(Outgoing Wire Transfers for Cash Management Customers can be reduced by $10.00 if completed through Online Banking)


SAFE DEPOSIT BOX (Annual Rate)

2x5: $32.00

3x5: $45.00

5x5: $68.00

3x10: $75.00

5x10: $95.00

6x10: $105.00

10x10: $165.00

10x15: $195.00

Safe Deposit Box Key Deposit: $20.00

Key Replacement Per Box: Actual Cost

Forced Entry Per Box: Actual Cost

Size varies by location, refer to Safe Deposit Box Schedule of Fees


IRA

Annual Custodial Maintenance: $20.00


COLLECTIONS

Domestic Incoming/Outgoing: $25.00

Foreign Outgoing: $40.00


CURRENCY

Special Cash Order: $20.00


FOREIGN CURRENCY

Foreign Currency Expedited Overnight: $15.00

Foreign Currency Buyback (Less than $300): $10.00


STOP PAYMENTS

Stop Payment: $30.00

Can be reduced by $10.00 if completed through Online Banking (does not apply to renewals)

Stop Payment Renewal for 6 Months: $20.00


NIGHT DEPOSIT (Key Required)

Annual Fee (Includes Key): $30.00

Night Deposit Small Bag (Supplies): $0.35

Night Deposit Key Replacement: Actual Cost


NON-SUFFICIENT FUNDS

Items Presented Against Non-Sufficient Funds:

Paid or Returned Item: $32.00

Consumer Accounts:

Maximum Charge (6) Per Day: $192.00

Checking accounts overdrawn less than $10.00 will not be charged a paid, returned item, or advance fee.

Non-Consumer Accounts:

Maximum Charge (8) Per Day: $256.00


ATM/DEBIT CARD

Foreign ATM Fee: $3.00

ATM or Debit Card Replacement: $5.00

Debit Card "Rush Order": $47.00

Debit Card "Rush Order" Saturday Delivery: $62.00


ADVANCE FEE

Community Credit Line, Small Business Line of Credit, Quick Business Credit, Overdraft Protection Transfers: $10.00


PERSONAL ONLINE BANKING

Online Banking: Free of Charge

Bill Pay: Free of Charge


BUSINESS ONLINE BANKING

Business Online Banking: Free of Charge

Business Bill Pay (Per Month): Free of Charge


RESEARCH

Research/Statement Reconciliation (Per Hour): $50.00

Research Minimum: $50.00

Research Items (Per Copy): $3.00


CHECKS

Cashier's Checks: $10.00

Cashier's Checks (Non-Customers): $15.00

Check Cashing (Non-Customers): $5.00

Counter Checks.: $1.00

Copies of Checks: $3.00

Check Orders: Price Vary (Shipping and Handling Fees May Apply)

Deposit Correction: $5.00

Returned Deposit Item: $10.00


MICR ENCODING REJECTS

After 10 Rejected Checks (Per Item): $0.75


OTHER FEES and CHARGES

Medallion Stamp: $15.00

Signature/Statement Guarantee: $10.00

Escheatment Processing Fee: $2.00

Credit Card Processing Fee (Non-Customers): $25.00

Verification of Deposit: $10.00


This Schedule of Fees supersedes those listed in any disclosure that you have received in prior notifications. Information contained herein is subject to change. Rev. 11/18 Member FDIC