|
Service Fees for RNB Customers As of July 1, 2010 |
|
|
New ATM Card |
$5 |
|
ATM/Chek Card - |
$10 |
|
ATM/ Chek Card — cash withdrawal offsite |
$.70 |
|
Account Closure - less than 6 months
|
$30
|
|
Account Research |
$25/hour or any part thereof |
|
Account Balancing |
Current Month $0 |
|
Account Balancing |
Prior Months $25/hour or any part thereof + $3.50 for print out |
|
Internet Banking & Online Billpay |
FREE (BillPay Plus $3.95/month) |
|
Cashier's Check-Customer |
$5 |
|
Check Cashing Fee (non-customer on us checks) |
$3<$499 ; $6<$999 ; $9>$1000 |
|
Canadian Item |
$1 |
|
Check Printing Fee |
depends on style |
|
Collection Items / Foreign Items |
$30 |
|
Copies Photo copies |
$.25/page |
|
Copy of cancelled check (each item) |
$3.50 - free online |
|
Counter Checks |
3 Free then $.50 each |
|
Dormant Account |
12 months for checking, 24 months for savings $5/month |
|
Faxes |
$1.00/ page - local |
|
Garnishments |
$75 |
|
Levies |
$75 |
|
Locked Night Deposit Bags |
$25 |
|
Money Order - Customer |
$3 |
|
Night Deposit Keys |
2 free, each thereafater $10 each |
|
Nonsufficient Funds (NSF) Item |
$32 each |
|
Nonsufficient Funds Daily Charge |
with 5 days grace $7 |
|
Overdraft (each debit or check) |
$32 each |
|
Overdraft Protection Auto Advance Transfer Fee |
$1 |
|
Returned Deposited Checks |
first time $4 |
|
Returned Deposited Checks |
second time $5 |
|
Returned Statement for invalid address |
$5 |
|
Safe Deposit Box Key - Lost |
$20 |
|
Safe Deposit Box Drilling Fee |
$200 |
|
Safe Deposit Box Late Payment Fee |
$10/annually |
|
Stop Payment |
$32 |
|
Special Statement Cutoff |
$5 |
|
Site Draft |
$10 |
|
Traveler's Checks |
$1.50/$100 - one signer $2.00/$100 - two signers |
|
Telephone Transfers |
$2 - free online |
|
Wire Transfer (incoming from UBB) Wire Transfer (incoming from FED) |
$10 $30 |
|
Wire Transfer (international) |
$40 |
|
Wire Transfer (outgoing) |
$20 |