(2) Additional fees may apply
per deposit item depending on the type of item; please see our Commercial Checking fee disclosure for more details.
$ 0.10 service charge fee
per deposited item into your eSave Savings account if total deposited items exceed 25 per month.
Not exact matches
For example, the current fee for
items deposited at RBC is $ 0.20
per item while the new fee is $ 0.22.
Miscellaneous fees include $ 10
per withdrawal in excess of six
per month, $ 25
per overdraft
item, $ 20 for outgoing domestic wires, $ 15 for expedited delivery, $ 7.50
per returned
deposit item and $ 15 for a stop payment.
The initial
deposit limit is $ 2,000.00
per item and
per day for Mobile Check
Deposit.
Per item charges are: $ 1.25 per deposit ticket processed, $.20 per check deposited, $.25 per check pa
Per item charges are: $ 1.25
per deposit ticket processed, $.20 per check deposited, $.25 per check pa
per deposit ticket processed, $.20
per check deposited, $.25 per check pa
per check
deposited, $.25
per check pa
per check paid.
Nonsufficient Funds Fee: $ 30.00
per occurrence Overdraft
Items: $ 30.00
per occurrence Uncollected Funds Fee: $ 30.00
per occurrence Returned
Deposited Item Fee: $ 20.00
per occurrence Stop Payment Fee: $ 30.00
per occurrence Check Copies: You may view copies of checks you have written through our online banking system for up to 12 months.
Requirements: $ 50 minimum opening
deposit No minimum balance requirements $ 15 monthly maintenance fee Monthly maintenance fee can be waived by not exceeding 500 transactions
per statement cycle Transaction allowance of 500
items per statement cycle, including checks, debit transactions,
deposits (including
items in
deposit) and Automated Clearing House (ACH) transactions at no charge
Activity fee — for total checks
deposited and / or paid in a calendar month: First 100 — no charge; 101 to 500 — 10 cents
per item; More than 500 — 8 cents
per item.
$ 50 minimum opening
deposit No minimum balance requirements $ 100 Monthly Maintenance fee Transaction allowance of 500
items per statement cycle, including checks, debit transactions,
deposits (including
items in
deposit) and Automated Clearing House (ACH) transactions at no charge
$ 50 minimum opening
deposit $ 50 monthly maintenance fee $ 15,000 minimum balance requirement to avoid monthly maintenance fee Transaction allowance of 500
items per statement cycle, including checks, debit transactions,
deposits (including
items in
deposit) and Automated Clearing House (ACH) transactions at no charge
Plus, there are no
deposit or
per item charges to worry about.
Requirements: $ 50 minimum opening
deposit No minimum balance requirements $ 100 Monthly Maintenance fee Transaction allowance of 500
items per statement cycle, including checks, debit transactions,
deposits (including
items in
deposit) and Automated Clearing House (ACH) transactions at no charge $ 0.25
per each additional transaction over 500
Requirements: $ 50 minimum opening
deposit $ 50 monthly maintenance fee $ 15,000 minimum balance requirement to avoid monthly maintenance fee Transaction allowance of 500
items per statement cycle, including checks, debit transactions,
deposits (including
items in
deposit) and Automated Clearing House (ACH) transactions at no charge $ 0.25
per each additional transaction over 500
This account allows you to write 50 checks,
deposit 75
items within 25
deposits per statement cycle.
Includes up to 30
deposit items per month ($.075
per item over 30) and limited check writing.
* A
per item fee of $ 0.50 will be imposed for each paper
item (combined checks / withdrawals,
deposits and
deposited item) in excess of 150
per statement cycle.