Fee Schedule
|
2nd Returned Statement |
$3.00 |
Per Statement |
|
Account Printout |
$2.00 |
|
|
Account Research/Reconcilement |
$15.00 |
Per Hour (Minimum $15) |
|
ACH Temporary Stop/Change |
$25.00 |
|
|
ATM/Debit Card Replacement Fee |
$5.00 |
|
|
ATM Transactions |
$1.00 |
At Non-THCU/Alliance Machines |
|
Check Copy |
$2.00 |
Per Check |
|
Closed Account |
$10.00 (Per Account) |
Within 6 Months of Opening |
|
Coin Counting |
1% |
$1 Minimum |
|
Collection Letter |
$10.00 |
|
|
Credit Card Payment Transfer |
$3 |
|
|
Credit Union Checks |
$2.00 |
One Free per Day |
|
Drive-Thu Cannister Replacement |
$75.00 |
Unreturned |
|
Excessive Savings or Money Market Withdrawals |
$3.00 |
Over Three Per Month |
|
Loan Payment by Debit or Credit Card |
3% |
of Payment Amount |
|
Notary Fee |
$6.00 |
Free for Members |
|
NSF Checks |
$25.00 |
|
|
NSF Electronic Debit |
$25.00 |
ACH, ATM or Debit |
|
Outgoing Member Fax |
$2.00 |
Up to Two Pages |
|
Overdraft Transfer |
$3.00 |
After Three Free per Month |
|
Return Item |
$5.00 |
Third Party |
|
Return Item |
$25.00 |
Member's Check |
|
Safe Deposit Box 3x5 |
$15.00 |
Per Year |
|
Safe Deposit Box 3x10 |
$25.00 |
Per Year |
|
Safe Deposit Box 5x10 |
$35.00 |
Per Year |
|
Safe Deposit Box 10x10 |
$50.00 |
Per Year |
|
Safe Deposit Box Drilling Fee |
$100.00 |
Lost Keys etc. |
|
Safe Deposit Box Key Replacement Fee |
$5.00 |
|
|
Statement Copy |
$4.00 |
Each |
|
Stop Payment |
$25.00 |
Check or Electronic |
|
Telephone Inquiry/Transfer |
$1.00 |
No Fee for QuickCheck |
|
Temporary Checks |
$.50 |
Each |
|
Western Union Wire Transfer |
$18.00 |
Domestic |
|
Western Union Wire Transfer |
International |
Varies by Wire Amount |
|
Wire Transfer (Domestic) |
$10.00 |
Outgoing Only |
|
Wire Transfer (International) |
$35.00 |
|
Fees Effective 11/1/2010














