Fee Schedule
Effective August 1st, 2012.
General
Official Checks
- Credit Union Business: No Charge
- Member Request: $5/Check
- Check Stop Payment: $25/Check
- Stale Dated Check: $25.00
Deposited Items
- Deposited Item Returned: $15/Item
- Foreign Item Collection Fee: $25/Item
Wire Transfers
- Incoming Wire: No Charge
- Outgoing Wire: $15/Wire
- Outgoing International Wire: $30/Wire
Other
- Account Reconciliation: $25/Hour
- Account Research: $25/Hour
- Statement Copy, Research Fee, Legal Process Fee: $50.00
- Returned Mail, Failure to Notify: $2.50
Money Market Account
- Excess Draft Fee: $10.00/month
- Excess Transaction Fee: $10.00/month
Checking and Savings Accounts
- Copy of Share Draft (Check): $5.00
- Overdraft—Account Transfer: $3.00
- Insufficient Funds—Draft: $30.00
- Insufficient Funds—POS, ATM, ACH: $30.00
- Uncollected Funds: $30.00
- Stop Payment—Share Draft: $20.00
- Stop Payment—Electronic Funds Transfer: $20.00
- Certificate of Protest: $25.00
- Electronic Bill Payer: Free with checking account
- Dormant Account Fee: $5/Month
- Early Withdrawal from a Club Account: $10.00
Plastic Cards
- Lost/Stolen Plastic Card Fee: $10.00
- Overnight Plastic Order: $35.00
- Point of Sale Transactions: No Charge
- Signature Transactions: No Charge
- Foreign ATM
- First 5 Transactions per Month: No Charge
- After First 5 Transactions: $1.50/Transaction