SCHEDULE OF FEES
|
| Additional Services |
|
Transaction Charges |
| Account research |
|
$10.00 / hour |
| Account balancing assistance |
|
$10.00 / hour |
| Activity printout / statement copy |
|
$1.00 each |
ATM Transaction at foreign terminal
(terminals which are not First Midwest Bank of Poplar
Bluff) |
|
$1.00 each |
| Automatic transfer of funds from a checking account to
another account |
|
$2.00 each |
| Automatic transfer of funds from a savings account to
another account |
|
$2.00 each |
Balance Inquiry
(after 5 per statement cycle) |
|
$2.00 / call |
Cashiers Checks:
Customer
Non-customer |
|
$2.00 each
$4.00 each |
| Check copy |
|
$1.00 each |
| Check printing |
|
Depends on Style / Quantity |
| Collections |
|
$15.00 each |
| Counter checks |
|
$0.10 each |
| Deposited item returned |
|
$4.00 |
Dormant Account:
Checking / 12 months no activity
Savings / 24 months no activity |
|
$5.00 month
$2.00 month |
Fax:
First page
Each additional page |
|
$2.00
$1.00 |
Money Orders:
Customer
Non-customer |
|
$1.00 each
$2.00 each |
Notary:
Customer
Non-customer |
|
Free
$2.00 each |
Overdraft / Insufficient Funds:
Paid on first presentation
Returned on first presentation
Returned or paid on second presentation
OD/NFS daily maximum |
|
$20.00 item
$15.00 item
$15.00 item
$150.00 |
Photocopies:
Customers
Non-customers |
|
$0.25 page
$0.50 page |
| Signature guarantee |
|
$2.00 each |
| Stop Payment Order |
|
$15.00 item |
| Travelers cheques for one |
|
$1.00 per $100.00 |
| Travelers cheques for two |
|
$1.75 per $100.00 |
Wire Transfer:
Incoming
Outgoing |
|
$10.00 each
$15.00 each |