Common Fees
Additional Common Fees — Effective September 19, 2025.
Description | Amount |
---|---|
General | |
Paid NSF/OD Fee
Insufficient Funds/Overdraft Fee, per item
|
$32.00 |
Returned NSF/OD Fee
Insufficient Funds/Overdraft Fee, per item
*Per item — created by check, in-person withdrawal, ATM withdrawal, or other electronic means, as applicable. |
$32.00 |
Instant statement | $1.00 |
Special statement production, per statement | $5.00 |
Returned check charge | $7.00 |
Cashier’s checks $1,000.00 or less per item | $5.00 |
Cashier’s checks over $1,000.00 per item | $10.00 |
Research and/or Reconciliation per hour | $25.00 |
Stop payment fee, per item | $32.00 |
Overdraft Protection per transfer | $10.00 |
Return Mail Fee (per month) | $5.00 |
Temporary Check Fee | $3.00 |
Dormant Account Fees | |
Checking, Money Market, and Savings Account Fee (per month)
(An account is considered dormant after 182 days of inactive use. Fee does not apply to accounts with a balance of more than $100.)
|
$5.00 |
Wire Transfer | |
Wire transfer, outgoing | $20.00 |
Wire transfer, incoming | $10.00 |
International wire, outgoing | $75.00 |
International wire, incoming | $30.00 |
Collection Items | |
Collection/Foreign item, incoming | $75.00 |
Collection/Foreign item, outgoing | $75.00 |
Foreign Drafts & Checks | $25.00 + International Fees |
Debit Card | |
Debit Card Replacement (after 3rd replaced card) | $10.00 |
Garnishment/Levy (each) | $150.00 |