Client Services

Fees & Disclosures

Business Fee Schedule

Effective August 1, 2025

Our business checking accounts receive a monthly earnings allowance based on the account balance. This allowance can offset all or part of the item fees listed below.

Commercial Checking

ItemFee
Monthly Service Charge$12.00
Deposit$0.75
Each Item Deposited$0.15
Each Check Paid$0.19
ACH Items$0.19

Free Business Checking Plus

ItemFee
Monthly Service ChargeNone
First 200 transactions per monthNone
Additional items over 200 – Includes deposits, items deposited, Automated Clearing House (ACH), ATM/Debit transactions, withdrawals and checks paid.0.30 each

Business Services

ServiceFee
Returned Deposit Item$5.00
Stop Payment Request (per check)$25.00
ACH Origination Service (per month)$15.00
Remote Check Deposit Service – Monthly$35.00
Remote Check Deposit Service – Per Location$35.00
Attachment$75.00
Audit Confirmation$50.00
Coin Deposit (per bag)$5.00
Returned Loan Payment Item$30.00
OD Protection Transfer Fee$2.00
Research per hour (minimum)$50.00
Special HandlingVaries
Tax Levy$75.00
Domestic Wire Transfer: Incoming$15.00
Domestic Wire Transfer: Outgoing$25.00
International Wire Transfer: Incoming$15.00
International Wire Transfer: Outgoing$40.00
Positive Pay$60.00

Business Overdraft, Insufficient or Uncollected Funds

Fees may be imposed for transactions created by checks, in-person withdrawals, ATM withdrawals, ACH withdrawals or by any other electronic means, whether paid or unpaid
ItemFee
Overdraft Charge (OD) – Items Paid (per item)$30.00
Insufficient Funds Charge – Items Returned Unpaid (per transaction)$30.00
Uncollected Funds Charge – Items Paid or Returned Unpaid (per item)$30.00

Mobile Check Deposit

ItemFee
Regular Service $5,000 per day; $15,000 in any 30-day periodFree
High Limit Service - $15,000 per day; $100,000 in any 30-day period (per month)$10.00