Business Account Services
Commercial Checking Account
Community Business Checking Account
Commercial Money Market Account
Sweep Money Market Account
Commercial Savings Account
Commercial NOW Account
Commercial Certificates
of Deposit

Business Banking Services
Business Debit Card
Cash Management Services
Corporate Credit Cards
Merchant Services
Lock Box Services
Online Check Ordering

Commercial Loans & Letters of Credit
Commercial Lines of Credit
Commercial Term Loans
Commercial Real Estate Loans
Commercial Letters of Credit

Commercial Account Fee Schedule
Common Features


Commercial Account Fee Schedule
(The following fees may be assessed against your account.)

Common Features
Cashiers checks $3.00
Money orders ($500.00 maximum) $2.00
Certified checks $25.00
Federal reserve checks $25.00
Traveler's checks 1% of total purchase
Check printing Varies by style
Temporary checks $1.00 each or 5 for $10.00
Overdraft – each overdraft paid $25.00
Continuous overdraft after each day with no activity $2.00
Nonsufficient funds (NSF) – each $25.00
Deposited checks (and other items) returned unpaid $5.00
Stop payment – each $25.00
ATM/Debit card replacement $5.00
Account activity printout $3.00
Balance inquiry by telephone $3.00
Telephone transfers $3.00
Research or balancing assistance $35.00 per hour/$20.00 min
Multiple signature verification $5.00 per statement cycle
Dormant account fee
(An account is dormant if for 2 years you have made no deposits or withdrawals to the account and you have had no communication with us about your account(s)
$10.00 per statement cycle
Garnishments, Levies, Citations $75.00
Wire transfers – outgoing domestic $25.00
Wire transfers – outgoing international $60.00
Collection items $25.00
Foreign currency draft $25.00
Foreign currency purchase Market rate+delivery fee
IRA transfer/rollover outgoing $15.00
Safe deposit lost key $25.00
Safe deposit box drilling $80.00
Safe deposit late charge 10% of annual rental fee
Foreign check collection minimum fee of $75.00
We may require no less than 7 day’s notice in writing before each withdrawal from an interest-bearing account other than a time deposit, or from any other savings account as defined by Regulation D. Withdrawals from a time account prior to maturity or prior to any notice period my be restricted and may be subject to penalty. See your notice of penalty for early withdrawal.



To make comments or report problems with this site, please contact nethelp@fnblagrange.com or call 708.482.7700