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Fee Schedule
Fees effective as of June 30, 2008
Excessive share transfers $2.50 per transfer
(6 free allowed per month)
Statement copies $2.00 per page
Accounts closed within 60 days of open $10.00
Travelers cheques $1.00 per hundred
Money orders $1.00 each
Cashiers checks $2.50 per check
Wire transfers $8.00 incoming/outgoing
EFT transaction returned NSF $20.00 per item
Below par fee (member request) $10.00 per incident
(allowed 1 annually)
ATM withdrawal fee $1.00 per withdrawal
(not our ATM)
ATM inquiries, denials $0.50 each
Early withdrawal fee $10.00 per withdrawal
NSF draft paid on low negative balance $20.00 per draft
Check returned insufficient funds (NSF) $20.00 per draft
Stop payment fee $10.00
Deposit item returned (DIR) $20.00 per item
Draft presented for collection $20.00 per item
Draft copy $3.00 per draft
Statement balancing $15.00 per hour
Accounts closed, drafts not returned $10.00 per account
Account histories, verbal and printing $1.00 each
Check printing charge (varies with style) $13.00 per box of 150
Minimum balance - less than $500 (Dividend Checking) $8.00 per month
ATM replacement card $5.00 per card
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