| Deposit Accounts |
| CheckRight FREE (non-interest bearing) |
| Monthly maintenance charge |
Free |
| Per debit charge |
Free |
| Value Added Checking Account (non-interest bearing) |
| Monthly maintenance charge |
Free |
| Per debit charge |
Free |
| Signature Checking Account (non-interest bearing) |
| Monthly maintenance charge |
Free |
| Per debit charge |
Free |
| NOW Interest Checking |
| Monthly maintenance charge for failure to maintain $1,000 average daily
balance.* |
$10.00 |
| Per debit charge in excess of 15 a month. |
$0.25 |
| *The average daily balance is determined by adding the full amount
of principal in the account for each day of the period and dividing that figure by the number
of days in the period. |
| Market Rate Investment Account |
| Per debit charge in excess of 6 a month |
$7.00 |
| Monthly maintenance charge for failure to maintain $2,500 daily balance |
$7.00 |
| Overdraft Balance Protection** debit transfer charge |
$3.00 |
| Premier Money Market Account |
| Per debit charge in excess of 6 a month |
$10.00 |
| Monthly maintenance charge for failure to maintain $5,000 daily balance |
$15.00 |
| Overdraft Balance Protection** debit transfer charge |
$3.00 |
| Statement Savings Accounts |
| Service charge for each monthly interest period during which the average daily balance falls below $100 |
$3.00 |
| Overdraft Balance Protection** debit transfer charge |
$3.00 |
| KeyRate Account |
| Service charge for each monthly interest period during which
the daily balance falls below $10,000 |
$15.00 |
| Overdraft Balance Protection* debit transfer charge |
$3.00 |
| *Customer authorizes automatic transfers of funds from a savings account to a checking account to cover overdrawn funds. |
| Passbook Savings Accounts |
| Service charge for each monthly interest period during which
daily balance falls below $250 |
$4.00 |
| Early Closure charge (within 90 days of opening |
$15.00 |
| Retirement Accounts |
| Annual maintenance charge (per plan) |
$10.00 |
| IRA transfer charge |
$25.00 |
| Relationships |
| Signature Banking |
| Monthly maintenance charge for failure to maintain $30,000
combined daily minimum balance |
$20.00 |
| Value-Added Banking |
| Monthly maintenance charge for failure to maintain $5,000
combined daily minimum balance |
$12.00 |
| Fortune 50 |
| Monthly maintenance charge for failure to maintain $15,000
combined daily minimum balance |
$10.00 |
| Wire Transfers |
| Outgoing: |
| Domestic |
$20.00 |
| Foreign |
$35.00 |
| Incoming |
$10.00 |
| Internet Banking Charges |
| Non-Sufficient Funds (NSF) (bills paid or returned against insufficient funds). A non-sufficient funds (NSF) fee is imposed for overdrafts created by debits to your account; overdrafts may be incurred by Check, In-Person Withdrawal, ATM Withdrawal, Online Transfer or other Electronic means. |
$30.00 |
| Uncollected Funds (UCF) (bills paid or returned againg uncollected funds). |
$30.00 |
| Internet Bill Pay |
No Charge* |
| Account access & inquiry |
Free |
| Account transfer - Eagle OnSite |
No Charge* |
| *Other charges may be imposed with connection to Internet Bill Pay/Eagle OnSite account transfer usage if specific product's monthly per debit limits are exceeded. |
| ATM/Debit |
| Transactions at Eagle Bank ATMs |
No Charge* |
| Point of Sale Transactions(POS) |
No Charge* |
| Transactions at Non-Eagle Bank ATMs* |
$1.00** |
ATM/Debit overdrafts
A non-sufficient Funds (NSF) fee is imposed for overdrafts created by debits to your account; overdrafts may be incurred by Check, In-Person Withdrawal, ATM Withdrawal, Online Transfer or other Electronic means.
|
$30.00 |
| ATM/Debit card reissue |
$10.00 |
| ATM/Debit card reissue (one day) |
$30.00 |
| ATM daily withdrawal limitation |
$300.00 |
| Debit card daily withdrawal limitation |
$500.00 |
*Other charges may be imposed with connection to ATM/POS usage if specific product's monthly per debit limits are exceeded.
**Transactions at SUMTM ATMs are surcharge free. Other banks may impose a surcharge. |
| Safe Deposit |
| Annual charge |
$30.00 & up |
| Late charge* |
$5.00 |
| Key replacement |
$10.00 |
| Box drilling |
$175.00 |
| *If not paid within 60 days of due date |
| Account Charges |
| Stop payment order charge |
$25.00 |
| Non-sufficient funds (NSF)(checks paid or returned against insufficient funds) (A non-sufficient funds (NSF) fee is imposed for overdrafts created by debits to your account; overdrafts may be incurred by Check, In-Person Withdrawal, ATM Withdrawal, Online Transfer or other Electronic means) |
$30.00 |
| Uncollected funds (UCF) (checks paid or returned against uncollected funds) |
$30.00 |
| Abandoned property |
$25.00 |
| Account reconciliation (per hour) |
$20.00 |
| Returned deposited items |
$5.99 |
| Interim statement (24-hr telephone banking) |
$3.00 |
| Lost passbook charge |
$10.00 |
| Reproduction of checks & statements |
$5.00 |
| Phone balance inquiry |
Free |
| Eagle Access telephone transfers |
No Charge* |
| Temporary checks, per check |
$1.00 |
| *Other charges may be imposed with connection to Eagle Access transfers if specific product's monthly per debit limits are exceeded. |
| Other Bank Charges |
| Money orders - customers |
$4.00 |
| Stop payments - money orders |
$25.00 |
| Treasurers Checks |
$6.00 |
| Travelers Checks |
$1.00 per $100 |
| Gift Checks |
$2.50 |
| Levies & Attachments |
$25.00 |
| Coupon collection |
$10.00 |
| Domestic collection |
$15.00 |
| Foreign check collection |
$40.00 |
| Records research (per hour) |
$25.00 |
Self Service
Coin Machine |
| Customer |
percent of total coins counted |
3% |
| Non-customer |
percent of total coins counted |
6% |
| Check Printing |
| Check printing cost will vary according to style of checks ordered.
Please refer to the Bank's price schedule. |
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| Effective date: 2/3/12 |
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