Fee Schedule

Rates are as of July 1, 2017.
Addendum to pricing schedule for share savings accounts and pricing schedule for checking accounts
Fee Schedule
Check withdrawal
by Mail - Per Transaction
Official Check - Made
to 3rd Party After 1
Complimentary Per Day)
Savings to Checking Overdraft Transfer -
Per Occurrence
Money Market
Withdrawal (Above
6 Per Month)
Non-sufficient Funds (NSF)$35.00 per item
Overdraft$25.00 per item
Stop Payment$25.00 per item
Check Copy$5.00 per item (FREE online)
3rd Party Return
Deposit Item
$22.00 per item
Returned Deposited Item$25.00 per item
ATM/Debit Card
$5.00 per card
Empty ATM
Envelope Deposit
$25.00 per item
Reprint Statement$3.00 per month
Account Reconciliation$15.00 per item
Account Research$15.00 per hour
Outgoing Wire$20.00
Returned Statement
$5.00 per month
Escheatment Up to $100.00
Inactive Bill Pay$2.00 per month
Account Closure
$5.00 if account is closed within 12 months of opening.
Skip-A-Pay Fee$25.00
Inactive – Below minimum balance$4.99
Incoming Wire Fee$10.00