Fee Schedule

Fees effective as of  March 10, 2016

 

 

Account Activity Printout

$

4.00

Account Balancing Assistance (per hour)

$

20.00

Account Research (per hour)

$

20.00

ATM Withdrawals at Non-Old Fort Bank ATMs (per transaction)

$

1.50

ATM Daily Cash Withdrawal Limit (per day)

$

400.00

Cashier's Check

$

6.00

Check Printing (depends on the style of the check ordered)

          Various

Closed Account (a fee will be assessed if the account is closed within 90 days from opening)

$

25.00

Copy of Image Items (from statement)

$

2.00

Copy of a Statement

$

2.00

Debit Card Daily Transaction Limit (per day)

$

  1,500.00

Debit Card PIN-BASED Transaction (per transaction)

$

.50

Debit Card Replacement

$

   5.00

Deposited Checks and Other Items Returned Unpaid

$

10.00

Domestic Wire Transfers (incoming)

$

15.00

Domestic Wire Transfers (outgoing)

$

20.00

Dormant Account (fee assessed each month the account remains dormant. An account is dormant if for two years you have made no deposits to or withdrawals from the account)

$

5.00

Excessive Usage (monthly fee assessed on Savings and/or Money Market accounts after 6 electronic Debit items)

$

5.00

Foreign Check Charge

$

Up to 45.00

Foreign Wire Transfers (incoming)

$

20.00

Foreign Wire Transfers (outgoing)

$

45.00

Funds Transfer (by phone)

$

5.00

Garnishments

$

75.00

Internet Banking External Transfer (fee assessed for money transferred out

of Old Fort Bank)

$

2.00

Internet Bill Payment Non-Sufficient Funds (in addition to any applicable Overdraft or Return Item charges)

$

30.00

Internet Banking Popmoney® (per payment)

$

.55

Internet Banking Same-Day Bill Pay Payment (per payment)

$

10.95

Internet Banking Overnight Bill Pay Payment (per payment)

$

16.95

Levies

$

75.00

Mobile Remote Deposit Capture (fee per check deposited)

$

.55

Money Order

$

5.00

Overdraft Item (fee assessed for each debit or check. The categories of transactions for which an overdraft fee may be imposed are those by any of the following means: check, in-person withdrawal, ATM withdrawal or other electronic means)

$

  30.00

Photocopy (per page charge)

$

1.00

Ready Reserve Transfer (fee assessed per transfer)

$

5.00

Return Item (fee assessed for each item. The categories of transactions for which a return item fee may be imposed are those by any of the following means: check, in-person withdrawal, ATM withdrawal or other electronic means)

$

  30.00

Savings Account OD Transfer (fee assessed per transfer-auto transfer from savings to cover a checking account overdraft)

$

5.00

Stop Payments (all items)

$

  30.00

Undeliverable Mail

$

5.00

Questions? Call toll free - 1-866-347-3440