Fees for Business and Personal Accounts

Safe Deposit Boxes  |  Convenience Services  | Other Fees  |  Account Disclosures

Fees for Personal and Business Accounts

ATM Card Annual membership fee - $12.00

Card/Personal Identification Number replacement fee - $6.00

Non-BOSP ATM, Per Debit Fee - $1.00 after 8 per month

ATM Debit Fees - other than PULSE - SHAZAM $2.00 per transaction

Bad Address
(
Deposit Account Customers)
$5.00 per statement cycle
Bad Checks Deposited             $10.00 per item
Balance Protection Transfer $5.00 per transfer
Cash Advance Cashiers Check
(non-BOSP credit card customers) 
$6.00
Cash Management 
                System - Internet

$20.00 per month

ACH transactions .10 per item

Cashiers Check (customers) $6.00
Cashiers Check (non-customers) $25.00
Certified Check $20.00
Check Cashing                                (non-deposit account customers) $5.00 for checks drawn on local businesses

$10.00 for all other checks

Check Collection $25.00
Check Return (a/k/a non-truncation charge) (Personal Checking Accounts) $1.50 per month
Checks Returned for Insufficient Funds  $30.00 per item
Closed Account 
(deposit accounts)
A $30.00 fee will be imposed if an account is closed within 90 days of opening, providing there is no other existing deposit account relationship
Computer Printouts $2.00
Copy of paid check  3 free per month for safekeeping, $7.00 per copy over 3

$7.00 per copy for check return

Counter Checks $1.00 each
Debit Card Card/Personal Identification Number replacement fee - $6.00

Non-BOSP ATM, Per Debit Fee - $1.00 after 8 per month

ATM Debit Fees — other than PULSE - SHAZAM $2.00 per transaction

Dormant Account Fee $5.00 per statement cycle may be assessed against an account that has shown no customer activity (deposits and/or withdrawals) over the last year
FAX Machine (incoming and outgoing) first page - $3.00

pages 2 and up - $1.00 per page

additional charge for long distance calls - $1.00 

Foreign Drafts and Currency $20.00 per transaction plus money order fee
Garnishment Fee  $55.00
Levy Fee $55.00
Loose Coin Exchange (non-customer) 10%
Night Deposit - Lock Bags

$20.00

Night Deposit - Zipper Bags $5.00
Overdraft Daily Charge
(business accounts)
$10.00 per day
Overdrafts             $30.00 per item
Personal Money Order  $2.00
Personal Reserve Account $30.00
Photocopy Service $.25 per copy
Postdated Check Notification $30.00
Research/Reconciliation $30.00 per hour 1hr. minimum, then 1/2 hour increments
Rolled Coin                               (non-deposit account customers) $.10 per Roll
 
Safe Deposit Boxes Click here for sizes & costs
Special Account Handling Fee $12.00 per month
Stock or Bond Purchase or Sales $40.00 per transaction
plus correspondent bank’s charges
plus $40.00 per year if held in safekeeping
Stop Payment and/or Watch Box $30.00 for 6 months
Telephone Transfers $6.00 per transfer from checking to savings, savings to checking (including Money Market Accounts)
Visa Gift Card $4.99
Visa Travel Money Card $7.95
Wire Transfers             Customer

 

 

Non-customer

Incoming — $15.00 per transfer

Outgoing — $20.00 per transfer

Outgoing International — $60.00 per transfer  

Incoming — $25.00 per transfer


Outgoing — $30.00 per transfer

Outgoing International — $75.00 per transfer