The Better Way to Bank®

Schedule of Fees

Fees

Account History Printout

$3.00

Account Re-opening Fee

$10.00

Account Research (per 15 Minutes)

$5.00

ACH Origination Fee  

$5.00

ATM Deposit Adjustment (per adjustment)

$10.00

ATM Fee (out of network  per transaction) 

$2.00

Check Cashing (aggregate balances less than 250) (each check)

$15.00

Check Clearing Inquiry (per inquiry)

$2.00

Check Copy (per check)

$3.00

Check Printing Fee

Varies

Checking Plus Minimum Balance (per month)

$10.00

Checks for Collection (per item) 

$25.00

Collection Fee (per item)

$15.00

Consumer Electronic Bill Pay

Free

Debit Card Replacement (per card)

$10.00

Deposited Checks Returned Unpaid (per item)

$29.50

Early Acct closure (30 days)

$10.00

Early Holiday Club Withdrawal

$25.00

Electronic Bill Pay NSF

$29.50

Electronic Bill Pay Stop Pay

$29.50

Financial Partners Min Balance Fee (per month)

$10.00

Garnishment Processing (each)

$20.00

Inactive Acct (18 months) (per month)

$10.00

Levy/Lien Processing (each)

$20.00

Mail Maintenance Fee(per statement)

$5.00

Money Orders (each)

$2.00

NSF (Uncollected or Returned) (each)

$29.50

NSF – ATM Withdrawal (each)

$29.50

NSF – ACH (each)

$29.50

NSF – Paid Item (each)

$29.50

Official Checks (each)

$2.00

Statement Copy (each)

$5.00

Stop Pay Cancellations

$5.00

Stop Payment (each item)

$29.50

Temporary Checks(each)

$0.10

Term Checking (per month)

$10.00

Traveler’s Checks (per $100)

$1.00

Traveler’s Checks for Two (per $100)

$1.50

Western Union Wire (each)

$35.00

Wire Transfer (International) (each)

$50.00

Wire Transfer (Outgoing) (each)

$25.00

 

 

Money Market Accounts:

 

Below Minimum Balance Fee (per month)

$10.00

 

Rev. 9-10-12

 

 

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