Fee Schedule

Service Charges
Overdraft Charges
Overdraft Fee Per Item $25.00
(created by check, in-person withdrawal, or other electronic means)
Overdraft Maximum Per Day $125.00
Return Item Charge (Per Item)

$25.00

(If the account is overdrawn and the bank chooses not to pay an item, the fee description would change from an "overdraft fee" to a "return item fee".)

Return Item Charge Daily Maximum $125.00
Continuous Overdraft Fee Every 7 Days $25.00
Return Item Charge
Deposit Item Return (Per Item) $2.00
Account Research and Balancing
1st Hour $20.00
Additional Charge Per Hour $10.00
Copy of bank statements $3.00 each
Wire Transfers
*Not available to non-customers*  
Outgoing $15.00
Incoming $10.00
International Transfer $40.00
Safe Deposit Boxes Varies per location
Cashiers Checks
*Not available to non-customers*
Any Amount - $5.00
Free to Advantage Club Accounts
Personal Money Orders
*Not available to non-customers*
Any Amount - $1.50
Free to Advantage Club Accounts
Photocopies $0.25 per copy
Free to Advantage Club Accounts (limit 10 per month)
Fax Charges  
Free to Advantage Club Accounts  
Incoming $2.00 first page
Outgoing $2.00 first page
Each Additional Page $1.00
 ATM/ Debit Card $1.50 per month. (If you use your card three (3) or more times as a Point of Sale (POS) purchases in one calendar month, the fee will be waived.)
Notary Service Fee
Per Document (Non-Customer) $1.00
Stop Payment Fee
Stop Payment Fee Per Item $25.00
Loose Coin Counting Fee 10% of Total (non-customer)
PCL (Personal Credit Line) Annual Fee $25.00
Check Cashing Fees (non-customer)  
US Treasury Government or Tax Return Checks Only  
Up to $500.00 $10.00
For each additional $100.00 $1.00 per $100.00