Schedule of Service Charges

Replacement Safety Deposit Box Key $10.00
ATM/Debit Card $15.00
ATM (per transaction at non-BNE ATMs) $1.00
Certified Checks $7.75
Returned Deposit Item $5.00
Insufficient funds fee**(per item) $25.00
Stop Payments $21.00
Money Orders(no charge on account withdrawals—one per day) $3.25
Treasurers Checks (no charge on account withdrawals—one per day) $5.50
Gift Checks $2.50
Statement Copies (per page) $0.75
Check Copies (per check) $3.75
Account Research (per hour) $25.00
Wire Transfers  
Incoming No Charge
Incoming(foreign) $40.00
Outgoing (domestic) $20.00
Outgoing (foreign) $40.00
Travelers Checks 2.00% of sale
Dormant / Inactive Account Fee (per mo.) $10.00
Corporate E-Banking (per mo.) $25.00*
Foreign check collection fee (per item) (executions, levies) $25.00
Legal Proceedings (executions, levies) $50.00
Business Accounts  
Monthly Fee $9.75 NONE*
Per deposit fee $0.83 NONE*
Per item deposited $0.09 NONE*
Per check written $0.16 NONE*
Earnings credit (per $100 average collected balance) $0.20 NONE*
NOW Accounts (monthly fee) Average collected balance of $1,000 will avoid this fee $6.00 NONE*
Statement Savings (monthly fee) Average collected balance of $1,000 will avoid this fee $3.25 NONE*
Money Market Account (monthly fee) Average collected balance of $1,000 will avoid this fee $5.00 NONE*

*The bank reserves the right to waive these fees, but retains the right to charge the fees with the proper notice.

**The categories of transactions for which an overdraft fee may be imposed are those by any of the following means: check, in-person withdrawal, ATM withdrawal, or other electronic means.

Not-for-Profit organization accounts shall be free of all service charges.