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Fees

Fee Schedule    
The following fees may be assessed against your account. 
 
   
     
Overdraft Item fee (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.)
$   27.50
Return Item fee (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.)
$ 27.50
Stop payments (all items) $ 27.50
Deposited checks and other items returned unpaid  $ 10.00
Check printing charges depend on the style of the check         Various
Garnishments $ 50.00
Levies $ 50.00
Cashier's check $ 5.00
Money order $ 3.00
Account research per hour $ 20.00
Account balancing assistance per hour $ 20.00
Domestic wire transfers, outgoing $ 20.00
Domestic wire transfers, incoming $ 15.00
Foreign wire transfers, outgoing $ 40.00
Foreign wire transfers, incoming $ 15.00
Foreign check charge $ 15.00
Account activity printout $ 3.00
Photocopy per page charge $ 0.25
Dormant account fee charged each month the account remains dormant 
(an account is dormant if for three years you have made no deposits to or withdrawals from the account)
$ 5.00
Funds transfer (Verbal) $ 4.00
Savings account OD transfer (Per Transfer) (auto transfer from savings to cover DDA overdraft) $ 5.00
Closed account (a fee will be assessed if the account is closed within 90 days from opening) $ 20.00
Debit card replacement fee $    5.00
Daily Cash withdrawal limit at ATM machine (per day) $      400.00
Debit Card Daily transaction limit (per day) $   1,500.00
Charge for each pin-based debit card transaction $ .50
Charge for using an ATM not owned by Old Fort Bank $ .50
Call toll free - 1-866-347-3440    
 Rev. 3/10/2014

 

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