Miscellaneous Service Charges
| Account Balancing Assistance |
$
|
25.00
|
| Account Closing Within 90 Days of Opening |
$
|
50.00
|
| Account Research (per hour) |
$
|
25.00
|
| Account Research (per copy) |
$
|
1.00
|
| ATM/Debit Card Replacement |
$
|
8.00
|
| ATM/Debit Card Overnight Delivery |
$
|
50.00
|
| ATM Charges (for usage of a non-RSB ATM) |
Free
|
|
| Cashier's Checks |
$
|
5.00
|
| Change Orders | ||
| -Per Strap |
$
|
1.00
|
| -Per Coin Roll |
$
|
0.25
|
| Check Reject |
$
|
5.00
|
| Checks Sent For Collection |
$
|
10.00
|
| Credit Card Cash Advances ($100 Minimum Advance) |
$
|
10.00
|
| Daily Overdraft Fee (after 5th consecutive day) |
$
|
3.00
|
| Dormant Account Fee (per month) |
$
|
4.00
|
| Excessive Cash Deposits (greater than $100,000 per month) |
$1.50 per $1000
|
|
| Fax Transmission |
$
|
5.00
|
| Temporary Checks | $ | 3.00 |
| Internet Banking & CheckFree Billpayer |
Free
|
|
| Money Orders |
$
|
5.00
|
| Non-Sufficient Funds (NSF) (per item) |
$
|
29.00
|
| Night Depository Bags |
$
|
25.00
|
| Check Cashing | ||
| -SSI and Social Security Check Cashing |
$
|
5.00
|
| Tax Refund Check Cashing |
greater of $40.00 or 2%
|
|
| Ready Reserve |
$
|
75.00 annually
|
| Return Check Charge |
$
|
3.00
|
| Return Mail Charge (per month) |
$
|
5.00
|
| RSBusiness Cash Management (per month) |
$
|
9.95
|
| -ACH |
$0.25 per transaction
|
|
| -Payroll ACH |
$0.05 per transaction
|
|
| EFTPS |
$5.00 per transaction
|
|
| Safe Deposit Box Rent (starting at) |
$
|
22.00
|
| Safe Deposit Box Drill |
Bank Cost
|
|
| Statement Snapshots |
$
|
5.00
|
| Stop Payment Request |
$
|
29.00
|
| Telephone Inquiry |
$
|
1.00
|
| Telephone Transfer |
$
|
3.00
|
| Collection Fee for Charge Off Accounts | $ |
25.00
|
| Dynamic Transfer Setup Fee | $ |
25.00
|
| Wire Transfers | ||
| Outgoing |
$
|
20.00
|
| Incoming |
$
|
10.00
|
| International |
$
|
75.00
|
| Zipper Bags | ||
| -Small |
$
|
3.00
|
| -Large |
$
|
5.00
|



