Related Fees

Fee Schedule

Effective August 4, 2008

Affidavit Charge $30.00
Amortization Schedule $10.00
Withdrawal at a foreign ATM
(except for eFree Checking account debit cards)
$1.50
ATM /Debit Card Replacement $5.00
Balance Inquiry
(in excess of three per month)
$1.00
Cashiers Checks (Customer only) $3.00
Check Cashing Fee (Noncustomer) $5.00 or 1%
Collection Items, any of the following
  • Incoming
  • Outgoing, plus drawee bank
  • Foreign, plus our cost
  • Coupon Collection
$15.00
Coin Counting 10% of amount
Dormant Checking Account Fee
(under $100, and after 6 months)
$5.00
Fax Machine (customer) $1.00 per page
Garnishment / Levy $100.00
Intra Bank Transfer (telephone) $10.00
Night Depository
- Night Depository Bag with Key $20.00
- Night Depository Zipper Bag $5.00
Notary Fee (Customer only) $2.00
NSF Paid Item (Overdraft created by check, in-person withdrawal, ATM withdrawal, or other electronic means) per item charge $30.00
NSF Returned Item (Insufficient funds item returned unpaid created by check, in-person withdrawal, ATM withdrawal, or other electronic means) per item charge $30.00
Preauthorized transfer for overdraft protection $5.00
Reconciliation Research (checkbook) $20.00 per hour
Document/Record Research $20 per hour ($20 minimum)
Document copies $1.00 per page
Security Transactions $25.00
Signature Guarantee (customer) $50.00
Stop Payment Fee $25.00
Travelers Cheques 1% or $1/$100
Travelers Cheques for Two 2% or $2/$100
Wire Transfers, Customers only
- Wire Transfer (incoming) $10.00
- Wire Transfer (outgoing) $20.00
- Wire Transfer (foreign wire) $50.00