First Federal Bank
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Fee Schedule
The following fees may be assessed against your account.
Check printing (fee depends on style of check ordered)
Counter Checks (up to 10) $ 2.00
Certified Checks $ 4.00
Cashier's Checks $ 4.00 (customer)
$ 8.00 (non-customer)
An account is dormant if for one year you have made no deposits or withdrawals to the account.  (No activity for 365 days)
Dormant account fee
  This fee is charged each month
$ 3.00
Account close-out fee
  (if account is closed out within 180 days of opening)
$ 3.00
Nonsufficient funds (NSF) - each
  (For paid or returned items or electronic debits)
$27.00
Extended overdraft service charge
  Assessed for each calendar day your account is overdrawn (negative balance) beginning on the 2nd day your account is overdrawn and will continue until day 30 of overdraft status.
$ 3.00
Stop payments $25.00
Account activity printout
(maximum of $3.00)
$ 1.00
Account research $25.00
Account balancing assistant $15.00
Balance inquiry (staff assisted)
(In excess of one per calendar month)
$ 1.00
Telephone transfer (staff assisted) $ 2.00
Wire transfers - domestic
    Incoming
    Outgoing

$12.00
$15.00

Wire transfers - international
    Incoming
    Outgoing


$12.00
$30.00
Copy of cancelled checks/check image $ 2.00
Duplicate account statement
  (maximum of $3.00)
 $ 1.00 per page
Garnishments & Levies  $50.00
Returned deposited item $ 3.00 per item
Return item fee
 (for deposited items returned)
 $ 3.00 per item
Collection items
    Incoming
    Outgoing

$10.00 per item
$10.00 per item
Excessive withdrawal fee
  (passbook and statement savings accounts)
$ 1.00
per withdrawal in excess of 6 per quarter
Excessive transaction/item fee
  (money market accounts)
$ 5.00
per transfer in excess of 6 each check in excess of 3 per monthly statement cycle
Automated telephone banking - charge for inquiry after the first 15 inquiries each month. $  .50
Transfers between accounts (per transfer) $ 1.00
Faxed statements (per statement) $ 2.00
Additional fees or charges may apply based on the type of account you hold.  These fees or charges were disclosed at account opening on existing accounts and will be disclosed on new accounts at the time of account opening.
Miscellaneous Fees  
Replace savings or loan passbook $ 3.00
Check card/ATM Card replacement $ 5.00
Photocopies
  Customer
  Non-Customer

$  .25
$  .50
Fax services $ 2.00 first page
$ 1.00 each additional page
Copy of Microfiche/microfilm items $ 2.00 per item
Safe Deposit Box - drilling  at cost

Safe Deposit Box - lost key

 $25.00
Safe Deposit Box fees  vary by size
Social Security check cashing  no charge

Tax Refund and Other Check Cashing
  Non-Customer


Monthly Fee for Accounts maintained by a MSB (Money Service Business)


Monthly Fee for Accounts maintained by Any business conducting Assisted Tax Refunds

 1% of check amount
(minimum $ 5.00)
(maximum $50.00)


$150.00


$150.00

 

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