Business Account Rates

Effective Date: January 19, 2023

Fee Schedule

Business eChecking  
Fee (deposited and cleared)$0.2025 free deposited and cleared then $.20 per item
Maintenance fee$10.00Below $2,500 on combined deposits
Solid Interest Checking  
Maintenance fee$15.00per month
Fee (deposited and cleared)$0.20150 free deposited and cleared then $.20 per item
Other Fees  
Non-Sufficient Funds / Overdraft Privilege$32.00per item
Account Closed Within 180 Days of Opening$25.00per account
Member Deposited Resubmit / NSF Check$32.00per check
Non-member Deposited Resubmit / NSF Check$19.00per check
Stop Payments - Item$32.00per item
Stop Payments - Series$35.00per series
Telephone Transfers$5.00per transfer
Loan Payment Telephone Transfers$3.00per transfer
Online Banking Reset PIN$5.00per occurrence
Wire Transfers-Domestic- Outgoing$25.00per wire
Wire Transfers-International- Outgoing$60.00per wire
Research Time / Checkbook Balancing$25.00per hour with a minimum of an hour
Checking/ATM Card Replacement$10.00after one free replacement card per year
Bad Address Fee$5.00per occurrence
Dormant Account Fee (after 1 year of inactivity.)$1.00per month
Solid Interest Checking
$0 - 2,4990.00%0.00%
$2,500 and higher0.09%0.09%
Money Market
$0 - $2,5000.25%0.25%
$2,501 - $25,0000.45%0.45%
$25,001 - $50,0000.60%0.60%
$50,001 - $100,0000.70%0.70%
$100,001 & Above0.90%0.90%