Fee Schedule
Effective January 1, 2023
Fees are subject to change without prior notice.
Account Re-Open | $20 |
ACH/EFT/Check Manual Processing of Items/Account Number Errors | $10 |
Court Appearance | $150 |
Fax or Photo Copy | $5 |
NSF Paid | $35 |
Return Items- Share Draft/Check or ACH/EFT | $35 |
ATM Balance Inquiry | $1 |
ATM Debit Replacement First Card/Additional | $10/$25 |
ATM Debit RUSH Order | $50 |
ATM Transactions | 5 FREE Month |
ATM Transactions in excess of 5 | $2.50 |
Dormant Account after 12 months <$100 | $10 |
Draft Copy | $5 |
Escheat Administration | $100 |
Legal Process Fee – Tax Levy, Writ, Garnishment | $50 |
Money Order | $5 |
Regulation D Overage Items Returned | $35 |
Telephone Inquiry or Staff Assisted Transaction | $2 |
Official Check Payable to Third Party | $5 |
Official Check Withdrawal | $2 |
Return Statement | $10 |
Statement Copy | $5 |
Stop Payment | $35 |
Share Account Monthly Service <$100 (Waived for members under age 21) | $1 |
Account Research Reconciliation | $30 /hour |
Excessive Withdrawals from Savings/Reg D Overages | $15 |
Deposit Item Returned | $25 |
Closed Membership Open less than 6 months | $10 |
Audio Response | 5 FREE Week, then $1 |
Online Banking PayIT-Bill Payer *with active monthly bill payment | FREE * |
Online Banking PayIT-Bill Payer Reactivation | $10 |
Online Banking with electronic statement ($2 with paper statement) | FREE |
Club Account Early Withdrawal | $10 |
Loan Refinance | $50 |
Loan Refinance-Automobile | $100 |
Money Market Low Balance | $10 |
Money Market Transactions Over 6 | $10 |
Official Check or Money Order Inquiry | $5 |
Overdraft transfer manual processing | $10 |
Overdraft transfers from share savings | $5 |
Subordination Agreement | $150 |
Wire Transfer-Incoming | $20 |
Wire Transfer-Outgoing | $30 |
Verification of Deposit (VOD) | $10 |
IRA Transfer/Close Account Fee | $10 |
IRA Re-Open Fee | $20 |
Check Cashing Non-Member | $5 |
PAL Express Loan Application Fee | $20 |
ACH Origination | $5 |
ACH Origination-Same Day | $10 |