Fee Schedule

SCHEDULE OF FEES

Insufficient Funds Item $18.00
ACH – Automated Clearing House Returns $7.00
Returned Deposit Item $7.00
Stop Payment Request $15.00
Wire Transfer $30.00
Money Orders $0.50
Certified Check $1.00
Open Account Fee $1.00
Selfreliance Association Membership Fee $3.00
Research of Past Transactions $25.00/hour
Printing of Checks Member Cost