Fee Schedule
Fee Schedule Effective February 1, 2008
| NOW Account |
| Monthly service charge (sc) if the daily
balance in the account drops below $250.00 any day of the statement cycle. |
$5.00 |
| SUPER NOW Account |
| Monthly service charge (sc) if the daily
balance in the account drops below $2,500.00 any day of the statement cycle. |
$10.00 |
| Fees That Apply to NOW & SUPER NOW Accounts |
| NSF Fee |
$20.00 |
|
| Copy
of Statement |
$5.00/page |
|
| Copy
of Check (up to 2 yrs old) |
$1.00/check |
|
| Copy
of Check (more than 2 yrs old) |
$5.00/check |
|
| Stop Payment |
$20.00 |
|
| Account Reconciliation |
$10.00/hr
(min. 1 hr) |
|
| Check
Printing |
fee varies |
|
| Fees
That Apply to NOW, SUPER NOW, and SAVINGS
Accounts |
| Wire
Transfer of Funds |
$20.00 |
|
| ACH Stop Payment |
$20.00 |
|
| Interim
Account Statement |
$5.00 |
|
|
Canadian Check Cashing Fee |
$5.00 |
|
| ATM Transaction Fees |
| Slovenian Savings and Loan
STAR
Machines |
Free |
|
| Non Slovenian Savings and Loan
STAR
Machines: |
|
|
| Deposits |
$1.00/each |
|
| Withdrawals |
$1.00/each |
|
| Balance Inquiry |
$1.00/each |
|
| Transfers Between Accounts |
$1.00/each |
|
| Purchases at Participating Merchants |
Free |
|
| ATM Overdraft |
$20.00 |
|
| STAR Replacement Card |
$5.00 |
|