FDIC Temporary Liquidity

Other Services

  • Account Research/Reconciliation
  • Cashier’s Checks
  • Coin Counting Machine
  • Foreign Currency Exchange
  • Foreign Drafts
 
  • Notary Services
  • Personal Money Orders
  • Safe Deposit Boxes
  • Signature Guarantees
  • Wire Transfers – Domestic & Foreign

Schedule of Fees and Charges

Personal Accounts
Account Balance/Terms Required to Avoid Service Charges Monthly Service Charge if Balance/Term are not met.
Free and Easy Checking No Minimum Balance Required. Must have direct deposit of $500 per month or more None. Failure to meet terms will result in change to Basic Minimum Account .
Easy Access Checking Minimum Daily Balance of $100 $7.00
Easy Access Interest Checking Minimum Daily Balance of $500 $5.00
Traditional Money Market Account Minimum Daily Balance of $2500
Limited Transaction Account
$10.00 Excess transactions will result in change to NOW Account and $5.00 per item fee.
Ultimate Money Market Account Minimum daily balance of $50,000.00. Limited transaction account. $25.00; rate reduces to .25 APY. Excess transactions will result in a $5.00 per item charge.
Free Senior Checking Must be over 62 years of age None
Free First Checking Must be under 21 years of age None
Easy Access Savings Minimum Daily Balance of $10 $1.00
Passbook Savings Account None None
Business Accounts
Account Excess Transaction Fees Monthly Maintenance Fee Balance to Waive Monthly Fee
Easy Access Business 100 .25 for each item over 100 $10.00 $500.00
Easy Access Business 200 .25 for each item over 200 $12.00 $6000.00
Easy Access Commercial .15 per check paid; .50 per deposit; .07 per item in deposit $12.00 Based on Earnings Credit (.15 credit offset for each $100 average collected balance maintained)
Other Charges
Insufficient Funds (per check paid or returned) $20.00
Senior Checking Accounts (per check paid or returned) $ 5.00
First Checking Accounts (per check paid or returned) $ 5.00
Returned Deposited Item No Charge
Check Collection
Domestic
Foreign

$20.00
$40.00
Stop Payment Orders $20.00
Account Printouts $ 1.00
Account Reconciliation/hour $25.00
Account Research/hour
Duplicate Statements/each
Per check copy/each
$25.00
$ 5.00
$ 1.00
Foreign Currency Order $20.00
Foreign Draft $30.00
Bank Checks
$1000 and under
Over $1000

$ 2.00
$ 3.00
Telephone Transfer $ 5.00
Online ACH File $ 5.00
*Inactive Account Fee $ 1.00
New Acct. closed within 90 days $15.00
Wire Transfer
Domestic
Foreign

$20.00
$50.00
Coupon Redemption/plus postage $10.00
Replacement Passbook $10.00
ATM/Debit Card Replacement $15.00
MasterCard® Replacement $20.00
MasterCard® Duplicate Statement $ 5.00
Dormant Account Fee $25.00
Levy Fee $50.00
Checkbook Order varies with style
 
ATM Fees / Charges
Domestic ATM transactions/each $ 1.00
International ATM transaction/each $ 5.00

VISA USA charges us a .8% International Service Assessment on all international tranxactions, regardless of whether there is a currency conversion. If there is a currency conversioin, the International Service Assessment is 1% of the transaction. In either case, we pass this international transaction fee on to you. An international transaction is a transaction where the country of the merchant is outside the USA.

Safe Deposit Boxes
Size Annual Fee
3" x 5" $30.00
5" x 5" $50.00 (Parker Street Only)
3" x 10" $60.00
5" x 10" $75.00
6" x 10" $90.00
7" x 10" $100.00 (Parker Street Only)
10" x 10" $125.00

*The inactivity fee will be imposed monthly on all deposit accounts if the minimum daily balance is below $25.00 and the account has been inactive for the preceding 6 months.