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Minimum balance to open the account: $100
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A monthly service charge of $5.00 will be
charged for each statement cycle
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A per debit item fee of $.15 will be charged
for each debit transaction withdrawal, check paid, automatic transfer or
payment out of this account
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A foreign item deposit fee of $.07 will be
imposed for each foreign item deposited during the statement cycle
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If enrolled, a GNB Remote Business Solutions
fee for ACH Origination will be charged. $15.00 per month and $5.00 per
file. |
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If enrolled a GNB Remote Business Solutions
fee for Remote deposit will be charged. $75.00 per month plus $.07 per
check deposited. |
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A return deposited item charge of $2.00
per item. |
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An earnings credit will be applied to offset
above charges. The credit will be calculated on the monthly average
collected balance, at the current Federal Reserve Fed Funds Rate as of the
end of the month. The earnings credit
cannot exceed your total account fees.
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Images
of canceled checks will be returned with the
statement |
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Other fees may be assessed on you monthly
statement. See Commercial Service Fees below. |

Fees
Money
Orders
$1.00
Traveler’s Checks/Per $100.00 $1.00
Cashier’s Check Fee
$2.00
Dormant Account Fees (monthly)
$2.00
Return on Deposited Item
$2.00
Wire Fee, Incoming
$7.00
Wire Fee, Outgoing
$10.00
International Wire
$50.00
International Check Processing
$6.00
Account Closed within first 90 days
$10.00
Collection Items Fee
$10.00
Stop Payment Fee
$15.00
Insufficient Funds/Overdraft Fee
$25.00
Account Research
$25.00 Per Hour
Account
Balancing Assistance
$25.00 Per Hour
Merchant Processing
fees vary
Night Deposit Lock Bag
no charge
Additional Bags (each)
$20.00
Night Deposit Keys
no charge
