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Schedule of Fees and Related Charges

Effective as of 11.1.2016

  • Fee Description
  • Charge
  • Account research and reconciliation
  • $40 per hour (charged in increments of $10 per quarter hour)
  • Account reinstatement fee
  • $30
  • ATM replacement card
  • $5 per card
  • Cashier's check
  • $10
  • Check paid with missing signature
  • $5
  • Collection item
  • U.S. dollar (USD) items $15 plus cost. Non-USD items $25 plus cost
  • Copies of checks, statements, etc.
  • $4 each
  • Deposit correction
  • $15
  • Early account closure fee (account closed within 90 days)
  • $25
  • Legal process (such as garnishments, etc.)
  • $100
  • Money Market/Savings excess activity fee
  • $15 per occurrence in excess of six during statement cycle
  • Non-customer check cashing
  • $8
  • Non-sufficient funds, paid (per item)
  • $35 (daily maximum of six fees for personal accounts)
  • Non-sufficient funds, returned (per item)
  • $35 (daily maximum of six fees for personal accounts)
  • Notary services
  • $10 per signature
  • Overdraft (applies to business only)
  • $6 per day (starts on second business day)
  • Phone/email internal transfer request
  • $3
  • Return deposited item (chargeback)
  • $10
  • Statement, paper mailed
  • $5 per month
  • Statement, special periodic
  • $10 per statement period
  • Stop payment (ACH, bill pay or check)
  • $30
  • Verification of deposit/loan
  • $5 per request
  • Wire research — international
  • $65
  • Wire repair
  • $10
  • Wire transfer — incoming
  • $11 domestic / $15 international
  • Wire transfer — outgoing
  • $30 domestic / $40 international ($1,000 minimum)