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.