Fee Schedule

(As of 07/01/2016)
Annual Dormant Fee (after 2 years inactivity) $ 25.00
ATM Withdrawal from Non-Granite Bank Machines   1.00
Cash Advance, Non-Customer   10.00
Check Cashing for Non-Customer    
     (Government issued only)   5.00
Counter Check   1.00
Deposited Check Returned Unpaid   12.00
Early Account Closing (within 90 days)   10.00
Foreign Draft   12.00
IRA, Correction of Excess Contribution   15.00
IRA, Rollover Distribution   15.00
IRA, Single Sum Distribution (under 70 ½ years of age)   7.00
IRA, Trustee Transfer   15.00
Locked Bag   40.00
Money Order (1 free per month)   3.00
Notary Services, Non-Customer   10.00
Overdraft Sweep from Savings   6.00
Overdraft, NSF, Returned, per item (Includes any withdrawal, check, ATM and ACH)   32.00
Photocopy (per page)   1.00
Research/Reconciliation (per hour, 1 hour minimum)   27.50
Safe Deposit Box, Drilling   cost plus 25.00
Safe Deposit Box, late Payment (per month)   10.00
Safe Deposit Box, Lost Keys   cost plus 5.00
Statement Copy (per statement)   5.00
Statement Copy (per statement w/ images)   6.00
Stop Payment   27.00
Tax Levy Processing   30.00
Treasurer's Check (1 free per month)   5.00
Wire Transfer, All Incoming   10.00
Wire Transfer, Domestic Outgoing   20.00
Wire Transfer, Foreign Outgoing   40.00
Zipper Bag   5.00

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