Fees and Charges

 Charges effective
1-Nov-19
Paper Statement Fee$3.00 per*
Account Printout Fee
$1.00
Account Balancing/Research
$20.00/hr
Cashier's Check Fee$5.00
Debit Card Replacement Fee$7.50
Bank Bag$5.00
Coin Counting for Non-Customer$5.00 min. or
5% of total
Copy of Statement, Check, Ticket Fee$3.00
Duplicate Monthly Statement Fee$5.00/mo
Fax Service Fees$3.50 first page
$1.50 subsequent pages
Foreign Currency Purchase Fee$20.00
Foreign Currency Sale Fee$20.00
Foreign Item Cashed/Deposited Fee$12.50
Foreign Item Return Fee$10.00
Image Return Fee
Personal and Business Accounts
$3.00/mo
Inactive Account Fee (Checking or Savings Account If balance under $100 and no activity for 6 months) (minor accounts excluded)$5.00/mo
Money Market Pre-Authorized withdrawals over 6 per  month$10.00 each
Personal Money Order Fee
$3.00
Overdraft Charge / Returned Check Charge
(maximum charge of 4 per day)
$31.00*
Continuous Overdraft Charge. If Account is overdrawn more than $31.00 for any two consecutive days, you will be charged $5.00 on each business day that your account remains overdrawn but no transactions post.$5.00/day
Automatic Transfer Fee$5.00
Deposit Item Return Fee$10.00
Safe Deposit Boxes
Extra Small
$10.00
Small
$13.00
Medium$16.00
Medium Large$20.00
Large$35.00
Extra Large$55.00
 Savings Acct Withdrawals or Transfers
Over 5 per month$.50 ea
Over 6 electronic transfers/month$1.00 ea
Stop Payment Fee$31.00*
Wire Transfer Fee - Incoming$10.00
Wire Transfer Fee - Outgoing $20.00
Wire Transfer Fee - Outgoing International$55.00
*Denotes change or addition effective 11-1-2019

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