Business Banking
Business Account
- FEES: A check charge fee of $.10 will be charged for each debit transaction (withdrawal, check paid, automatic transfer or payment out of this account). This fee will apply if the minimum daily balance requirement of $500.00 is not met for any one day during the statement cycle.
Overdraft – each overdraft paid $25.00 Nonsufficient funds – each $25.00 Stop payments – each $12.00 Domestic wire transfers (outgoing) $20.00 Foreign wire transfers (outgoing) $25.00 Cashier's checks $1.00
Transfund Debit Card
- There is a $1.00 per month fee per card.