Fee Schedule
(Effective 1/1/2016, Reviewed 8/1/2024)
Service | Fee |
---|---|
2nd Returned Statement | $3.00 per statement |
Account Printout | $2.00 |
Account Research/ Reconcilement | $20.00 per hour (Minimum $20) |
Debit/Credit Card Replacement Fee | $10.00 |
ATM Transactions at Non-THCU/Alliance Machines | $1.00 |
Check Copy | $2.00 per check |
Closed Account - Within 6 Months of Opening | $10.00 per account |
Coin Counting | 1% ($1 Minimum) |
Collection Letter | $20.00 plus shipping |
Credit Card Payment Transfer | $5 |
Credit Union Checks - One Free per Day | $2.00 |
Drive-Thu Cannister Replacement (Unreturned) | $100.00 |
Excessive Savings or Money Market Withdrawals - Over Three Per Month | $3.00 |
Loan Payment by Debit or Credit Card | 5% of payment amount |
Loan Payment Extension Fee | $30.00 |
Notary Fee | $10.00; Free for Members |
NSF Checks | $30.00 |
NSF Electronic Debit - ACH, ATM or Debit | $30.00 |
Outgoing Member Fax - Up to Two Pages | $2.00 |
Overdraft Transfer - Three Times per Month | $5.00 |
Return Item - Third Party | $15.00 |
Return Item - Member's Check | $30.00 |
Safe Deposit Box 3x5 | $20.00 per year |
Safe Deposit Box 3x10 | $30.00 per year |
Safe Deposit Box 5x10 | $40.00 per year |
Safe Deposit Box 10x10 | $70.00 per year |
Safe Deposit Box Drilling Fee - Lost Keys etc. | $150.00 |
Safe Deposit Box Service Call | $100.00 |
Safe Deposit Box Key Replacement Fee | $25.00 |
Statement Copy | $5.00 each |
Stop Payment - Check or ACH | $30.00 |
Telephone Inquiry/Transfer | $1.00 (No Fee for i-Branch) |
Temporary Checks | $1.00 each |
Wire Transfer (Domestic) - Outgoing Only | $15.00 |
Wire Transfer (International) | $50.00 |
Levies/Garnishments | $30.00 |