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Personal Banking | Business Banking | CDs & IRAs | Loan Products
Trust Services | Other Services
as of September 1, 2010
Other Account Fees
| The following fee applies to all accounts with us: |
| Research Fee: |
$25.00 per hour |
| The following fees apply to all of your accounts with us except Time Deposit Accounts: |
| Internet Banking/Bill Payer |
FREE |
| Around the Clock Banking at (859) 381-8845 |
FREE |
| Telephone Transfers: |
$2 per transfer |
|
(or FREE through Around the Clock or Internet Banking) |
| Return Deposited Item |
*$5.00 |
| Bank by Mail: |
FREE postage-paid envelopes |
| The following fees apply to Checking and Money Market Accounts: |
| Balancing Checkbook |
$25.00 per hour |
| Stop Payment |
*$29.00 per stop payment |
| AOD Paid Item Fee and Non-Sufficient Funds Fee |
**$29.00 per check |
| Automatic OD Protection |
*$5.00 per transfer |
| The following fees apply to Checking; Savings; and Money Market Accounts: |
| Receipt of both E-mail and Paper Statements |
*$5.00 per month |
| Statement Printout: |
$3.00 per copy |
| Cut-Off Statement |
$7.50 |
Miscellaneous Fees and Charges
| Dormant Account Fee |
$5 per statement cycle after 2 years |
| ATM Foreign Access Fee |
$.50 |
| Lost Debit Card Replacement Fee |
$10.00 |
| Collection Items: Foreign |
$10 plus expenses |
| Early Account Closing Fee 1st 6 months |
$25 |
| Savings Bond Redemption: Non-customer |
$30 |
| Check Order |
Prices vary with style. Order On-line! |
| Tax Levy or Garnishment |
$75 |
| Notary Service |
$3 |
|
Non-customer when applicable |
*$10.00 |
| Coin & Currency Bag |
$4 per bag |
| Night Depository Bag |
$25 per bag |
| Cashier's Checks |
$6.00 |
| Gift Cards |
$5.00 |
| Wire Transfer |
|
| Incoming |
FREE |
| Domestic-Outgoing |
$16 |
| Foreign-Outgoing |
$30 plus fees |
| Safe Deposit Box |
|
| Late Fee |
$15 |
| Drill Box |
$100.00 |
| Lost Key Replacement |
*$25 |
| 3 x 5 x 23 |
$20 annually |
| 3 x 10.5 x 23 |
$35 annually |
| 5 x 10.5 x 23 |
*$55 annually |
| |
|
| * Denotes Change |
| ** The fee applies to overdrafts and non-sufficient
funds created by check, in person withdrawal, or
electronic means. The maximum number of overdraft fees that we
assess is limited to 10 per day. |
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