EFFECTIVE MAY 1, 2009
BANK MONEY ORDER/OFFICIAL CHECKS
$2.00
CASHIERS CHECKS
$3.00
NON-CUSTOMER CHECK CASHING 10% OR $10.00 MINIMUM CHARGE
CASH ADVANCE FEE
$5.00
COLLECTIONS IN
$12.00
COLLECTIONS OUT (INCLUDING CANADA)
$12.00
FOREIGN ITEM COLLECTIONS $200.00 MINIMUM AMOUNT
$50.00 plus costs
FAX – 1ST PAGE
$3.00
EACH ADDITIONAL PAGE
$1.00
INCOMING WIRES - CUSTOMERS
$10.00
INCOMING WIRES - NON CUSTOMERS
$50.00
OUTGOING WIRES
$20.00
INTERNATIONAL WIRES
$50.00
NIGHT DEPOSIT LOCK BAG
$15.00
ZIPPER BAGS 1ST ONE FREE 2ND AND AFTER
$5.00
BILL PAY FEE
$3.00
RESEARCH (PER HOUR)
$40.00
ACCOUNT BALANCING (PER HOUR)
$20.00
FILM/FISCH COPIES (PER PAGE)
$5.00
ACCOUNT PRINTOUT (PER STATEMENT)
$5.00
OVERDRAFT FEE
$28.00
RETURNED CHECK FEE
$28.00
CONTINUOUS OVERDRAFT FEE $5.00 PER DAY AFTER 5TH BUSINESS DAY
$5.00 PER DAY
DEPOSITED ITEM CHARGEBACK FEE
$5.00
STOP PAYMENTS
$25.00
EARLY CLOSURE FEE WITHIN 90 DAYS OF OPENING ACCOUNT
$15.00
SPECIAL STATEMENTS (PER ACCOUNT)
$2.00
ACCOUNT SWEEPS
$2.00
GARNISHMENT OR LEVY
$30.00
COPIES-LETTER/LEGAL
$1.00
NOTARY FEE
$5.00
REAL ESTATE APPRAISAL DUPLICATE COPY FEE
$15.00
DORMANT ACCOUNTS:
12 MONTHS-BALANCE LESS THAN $500.00
$5.00 per month
SAFE DEPOSIT BOX ANNUAL RENTAL
3X10 - Main Branch
$30.00
5X10 - Main Branch
$35.00
10X10 - Pueblo Branch
$75.00