Business Checking Accounts and Related Charges
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1 Business Checking Accounts and Related Charges Effective April 24, 2016 Delaware, Florida, Illinois (excluding Boone, Cook, DeKalb, DuPage, Kane, Kankakee, Lake, McHenry, Will and Winnebago Counties), Indiana (excluding Jasper, Lake and LaPorte Counties), Kentucky, Maryland, Michigan, Missouri, New Jersey, New York, Ohio, Pennsylvania, Virginia, West Virginia and Washington D.C. markets. All prices are subject to change. Products, services and prices may vary by market. Account Opening and Usage BUSINESS CHECKING Minimum Deposit to Open...$ Monthly Account Maintenance Fee...$12.00 No monthly account maintenance fee for the first three months after your account is opened No Monthly Account Maintenance Fee if you do any one of the following: Maintain $1,500 average monthly collected balance in this account Use a linked business credit card 1 to make a minimum of $1,000 in eligible purchases 2 in the billing cycle ending immediately prior to the date the monthly account maintenance fee is to be assessed to the checking account. Maintain a linked Merchant Services account (excludes Pogo> from PNC Bank) 1 Monthly Transactions at no charge over $0.50 Monthly Cash Deposit Volume at no charge...$5,000 over $5,000...$0.25 per $100 BUSINESS CHECKING PLUS Monthly Account Maintenance Fee...$20.00 No monthly account maintenance fee for the first three months after your account is opened No Monthly Account Maintenance Fee if you do any one of the following: Maintain $5,000 average monthly collected balance in this account Maintain $20,000 average combined collected balance in linked checking (excludes Corporate Checking) and money market accounts 1 Maintain $40,000 average combined loan balances 1 Use a linked business credit card 1 to make a minimum of $2,000 in eligible purchases 2 in the billing cycle ending immediately prior to the date the monthly account maintenance fee is to be assessed to the checking account Maintain a linked Merchant Services account (excludes Pogo> from PNC Bank) 1 Maintain a linked Visa Signature BusinessOptions SM Credit Card 1 Maintain a Deposit On-Site, DepositNow, PINACLE, Cash Logistics, Remote Safe, Cash Flow Insight SM Payables or Cash Flow Insight Receivables 3 Monthly Transactions at no charge over $0.50 Monthly Cash Deposit Volume at no charge... $10,000 over $10, $0.25 per $100 Additional Benefits: Cash Flow Insight Base Monthly Fee... No charge Initial Order of Checks... $25 discount (from PNC s preferred check vendor, Harland Clarke) Personal Checking for Business Owners: Performance Checking or Virtual Wallet with Performance Spend with No Monthly Maintenance fee BUSINESS CHECKING PREFERRED Minimum Deposit to Open... $ Monthly Account Maintenance Fee... $50.00 No monthly account maintenance fee for the first three months after your account is opened No Monthly Account Maintenance Fee if you do any one of the following: Maintain $25,000 average monthly collected balance in this account Maintain $50,000 average combined collected balance in linked checking (excludes Corporate Checking) and money market accounts 1 Maintain $75,000 average combined loan balances 1 Use a linked business credit card 1 to make a minimum of $3,000 in eligible purchases 2 in the billing cycle ending immediately prior to the date the monthly account maintenance fee is to be assessed to the checking account Maintain a linked Merchant Services account (excludes Pogo> from PNC Bank) 1 Maintain a linked Visa Signature BusinessOptions SM Credit Card 1 Maintain a Deposit On-Site, DepositNow, PINACLE, Cash Logistics, Remote Safe, Cash Flow Insight SM Payables or Cash Flow Insight Receivables 3 Monthly Transactions at no charge... 1,500 over 1, $0.25 Monthly Cash Deposit Volume at no charge... $50,000 over $50, $0.25 per $100 Additional Benefits: Cash Flow Insight Base Monthly Fee... No charge Initial Order of Checks... $100 discount (From PNC s preferred check vendor, Harland Clarke) Night Drop Bag Processing... No charge Additional Business Checking Preferred Accounts: Up to 9 additional accounts with no monthly maintenance fee 4 Personal Checking for Business Owners: Performance Checking or Virtual Wallet with Performance Spend with No Monthly Maintenance fee
2 NON-PROFIT CHECKING Available only to those customers qualified as a Non-Profit/Not-for-Profit organization Minimum Deposit to Open...$ Monthly Account Maintenance Fee...No charge Monthly Transactions at no charge over $0.50 Monthly Cash Deposit Volume at no charge...$5,000 over $5,000...$0.25 per $100 ANALYSIS BUSINESS CHECKING Earnings Credit An Earnings Credit is applied to reduce or offset the monthly account maintenance fee and certain transaction fees. The earnings credit rate used may vary based on the average monthly collected balance of the account(s). The earnings credit rate on your account is subject to change without notice. Please call BUS-BNKG ( ) for current rate and balance tier information or for an example of how the earnings credit is applied to the balances in your account. Monthly Account Maintenance Fee...$20.00 Deposit Ticket...$0.75 per ticket Check Paid...$0.20 per check ACH Credit/Debit Received...$0.15 per item Item Deposited...$0.15 per item Cash Deposited: Over-the-Counter and ATM...$0.12 per $100 Quick Deposit, Night Deposit and Merchant Vault...$0.10 per $100 Account Balance Fee (effective 7/1/16)...Varies* *The Account Balance Fee covers various expenses incurred by PNC for servicing deposit accounts. The Account Balance Fee will appear in the Analyzed Charges section of your monthly analysis statement and is assessed monthly on the average ledger balance in the account (per $100) and may be offset by Earnings Credit. The Account Balance Fee is variable and subject to change without notice. Questions? Contact your PNC Business Banker. Sweep Checking Monthly Fee...$30.00 A convenient way for excess balances in your account to earn a competitive rate of interest while maintaining the security of FDIC insurance to the maximum permitted by law. For current rates, call BUS-BNKG ( ). ANALYSIS BUSINESS CHECKING WITH INTEREST Monthly Account Maintenance Fee...$20.00 Deposit Ticket...$0.75 per ticket Check Paid...$0.20 per check ACH Credit/Debit Received...$0.15 per item Item Deposited...$0.15 per item Cash Deposited: Over-the-Counter and ATM...$0.12 per $100 Quick Deposit, Night Deposit and Merchant Vault...$0.10 per $100 This account offers a variable interest rate which is subject to change An Earnings Credit does not apply. CORPORATE ANALYSIS CHECKING WITH INTEREST Minimum Deposit to Open... $ Earnings Credit An Earnings Credit is applied to reduce or offset the monthly account maintenance fee and certain transaction fees. The earnings credit rate used may vary based on the average monthly collected balance of the account(s). The earnings credit rate on your account is subject to change without notice. Please call BUS-BNKG ( ) for current rate and balance tier information or for an example of how the earnings credit is applied to the balances in your account. Monthly Account Maintenance Fee... $20.00 Deposit Ticket... $0.75 per ticket Check Paid... $0.20 per check ACH Credit/Debit Received... $0.15 per item Item Deposited... $0.15 per item Cash Deposited: Over-the-Counter and ATM... $0.12 per $100 Quick Deposit, Night Deposit and Merchant Vault... $0.10 per $100 Account Balance Fee (effective 7/1/16)... Varies* *The Account Balance Fee covers various expenses incurred by PNC for servicing deposit accounts. The Account Balance Fee will appear in the Analyzed Charges section of your monthly analysis statement and is assessed monthly on the average ledger balance in the account (per $100) and may be offset by Earnings Credit. The Account Balance Fee is variable and subject to change without notice. Questions? Contact your PNC Business Banker. This account offers a variable interest rate on account balances in excess of the balance needed to offset fees and is subject to change BUSINESS INTEREST CHECKING Minimum Deposit to Open... $ Monthly Account Maintenance Fee... $20.00 No Monthly Account Maintenance Fee if you do the following: Maintain $5,000 average monthly collected balance in this account Monthly Transactions at no charge over $0.50 Monthly Cash Deposit Volume at no charge... $5,000 over $5, $0.50 per $100 This account offers a variable interest rate which is subject to change An Earnings Credit does not apply.
3 TREASURY ENTERPRISE PLAN Monthly Account Maintenance Fee...$ No Monthly Account Maintenance Fee if you do the following: Maintain $50,000 average monthly collected balance in this account Monthly Transactions at no charge...2,500 over 2,500...$0.25 Monthly Cash Deposit Volume at no charge...$100,000 over $100,000...$0.25 per $100 Earnings Credit A standard Treasury Management Earnings Credit is applied only to the average monthly collected balances in excess of $50,000 to reduce or offset certain transaction fees. For current rates, call Account Balance Fee (effective 7/1/16)...Varies* *The Account Balance Fee covers various expenses incurred by PNC for servicing deposit accounts. The Account Balance Fee will appear in the Analyzed Charges section of your monthly analysis statement and is assessed monthly on the average ledger balance in the account (per $100) and may be offset by Earnings Credit. The Account Balance Fee is variable and subject to change without notice. Questions? Contact your PNC Business Banker. Two (2) Beneficiary Checking Accounts Treasury Enterprise Checking: The monthly account maintenance fee is waived on up to 2 beneficiary checking accounts. The monthly transaction and cash deposited volumes are aggregated for the master and 2 beneficiary accounts to determine transaction and cash deposit fee amounts. INVESTMENT OPTIONS Options 1: Treasury Enterprise Premium Business Money Market Account 6 Includes same transaction features as Premium Business Money Market No Monthly Account Maintenance Fee The variable rate on your Premium Business Money Market deposit account is subject to change without notice. For current interest rate, APY and non-promotional balance tier information, call BUS- BNKG ( ). Options 2: Treasury Enterprise Business Sweep Account 7 Balances swept from your Treasury Enterprise Checking account will earn interest in a money market account while maintaining the security of FDIC insurance to the maximum permitted by law. No additional Monthly Account Maintenance Fee The interest rate is the same across all balance tiers. For current interest rates, call BUS-BNKG ( ). Treasury Enterprise Information Reporting PINACLE Express 8 PINACLE Express functionality included at no additional charge: 8 Previous day reporting Check management (Stop Payment and Check Inquiry) Image On-Demand Account transfer Event Notification Client Service Optional free services include access to Online Statements and selected Special Reports Additional PINACLE Express functionality is available for $25.00 per month plus an additional $10.00 per module purchased; 8 which can include the following: Current day reporting Funds Transfer (Wire) ACH A/R Advantage (Lockbox) Positive Pay and Issue Maintenance Reverse Positive Pay Deposit On-Site Escrow Services Special Reports: EDI For standard PINACLE Express services and specific pricing information, contact your Business Banker, Business Advisor or Treasury Management Officer. IOLTA / IOTA / IOLA / MJ IOTA / IBRETA / MAHT Minimum Deposit to Open... $0.00 Monthly Account Maintenance Fee... No charge Charges for the use of products and services in support of managing this account, which are not reasonable service charges according to your state s rules and regulations, will be the responsibility of the firm or company handling the account. Charges will be assessed on a monthly analysis statement or charged to the firm or company s billing account. PREMIUM BUSINESS MONEY MARKET Minimum Deposit to Open... $ Monthly Account Maintenance Fee... $12.00 No Monthly Account Maintenance Fee if you do the following: Maintain $2,500 average monthly collected balance in this account Check Paid at no charge... 6 Fee for each additional check paid over $25.00 Items Deposited at no charge Fee for each additional item deposited over $0.50 Monthly Cash Deposited at no charge... $5,000 over $5, $0.40 per $100 This account offers a variable interest rate which is subject to change
4 ATM Transaction Fees ATM transaction fees are assessed per withdrawal, deposit, transfer or balance inquiry. Please note that not all ATMs accept deposits. ATM Transaction Fee at PNC Bank ATMs...No charge ATM Transaction Fee at non-pnc Bank ATMs: In the United States, Canada, Puerto Rico and the U.S. Virgin Islands: and Non-Profit Checking...$3.00 each All other accounts...no charge In all other countries and Non-Profit Checking...$5 each All other accounts...no charge Number of non-pnc Bank ATM Fees Reimbursed Business Checking Plus...2 The fee for the first two domestic or international non-pnc ATM transactions made during the statement period will be reimbursed to your account at the end of the statement period. Fees in excess of two per statement period will not be reimbursed. All other accounts...not reimbursed Other Financial Institutions ATM Surcharge Fees Business Checking and Non- Profit Checking... Not reimbursed Business Checking Plus... Reimbursed 5 up to $5 at the end of each statement period Business Checking Preferred... Reimbursed 5 up to $20 at the end of each statement period All other accounts... Reimbursed 5 on the business day of the transaction Cash Services and Supplies Over-the-Counter Cash Furnished Preferred and Non-Profit Checking: $30,000 or less... No charge Over $30, $2.00 per $1,000 All other accounts... $2.00 per $1,000 Over-the-Counter Coin Furnished Preferred and Non-Profit Checking: 100 rolls or less... No charge Over 100 rolls... $0.10 per roll All other accounts... $0.10 per roll Currency Straps Preferred and Non-Profit Checking... No charge All other accounts... $2.75 per box Currency Envelopes Preferred and Non-Profit Checking... No charge All other accounts... $8.50 per box Coin Wrappers... No charge Preferred and Non-Profit Checking... No charge All other accounts... $2.75 per box NOTES: 1 A maximum of 10 eligible accounts may be linked to a business checking account in each of the business checking, money market, loan, business credit card and merchant services categories. Each eligible account may only be linked to one business checking account. Customer must request accounts be linked to receive relationship benefits. Some accounts may not be eligible to be linked based on titling structure, product type or other constraints. PNC linked loan accounts must be in good standing, paying as agreed, and not suspended, revoked or frozen; the outstanding balance on business lines of credit and the original principal amount for term loans will be used to determine the average combined loan balance. Subject to credit approval. 2 PNC linked business credit card eligible purchases are purchases of goods or services made by you or your authorized user with an eligible linked business credit card account and includes balance transfers and convenience checks that are not subject to the cash advance rate. Eligible purchases do not include interest, fees and charges assessed to the business credit card account, cash advance transactions (including convenience checks that are subject to the cash advance rate), and purchases made at merchants with gambling or gaming merchant category codes. Purchases made with Visa Signature BusinessOptions credit cards are excluded. 3 To receive relationship benefits, the checking account must be set up as the billing account for the applicable service. 4 Monthly transaction and cash deposited volumes from this account and additional accounts are aggregated to determine transaction and cash deposited fee amounts. 5 In the event PNC determines that there has been fraudulent or excessive ATM usage on the account, PNC is not obligated to reimburse any related surcharge fees, and any related reimbursements must be repaid. Surcharge fees not identified within the transaction by the originating financial institution may not be reimbursed. 6 If either the Treasury Enterprise Master Checking account or the Master Money Market account is closed, PNC may remove the Plan benefits on any remaining accounts. Accounts that remain at a zero balance for 90 days or more may be closed by PNC. 7 Federal regulations prohibit you from making more than a total of 6 transfers each month to other accounts from a savings or money market account (including transfers to another account for overdraft protection) or to third parties each month by check, through point-of-sale purchase transactions with a banking card, by pre-authorized or automatic agreements, by telephone, or online. See your account agreement for more information. Other limits may apply to your account. Excessive transactions may result in changing your Business Money Market account to a Business Checking account and will be subject to the features and fees as described in the Business Checking Account and Related Charges in effect at that time. 8 Transaction and optional service fees may apply. Visa and Visa Signature are registered trademarks of Visa International Service Association and used under license. PNC, PNC Merchant Services, DepositNow, PINACLE, BusinessOptions and Cash Flow Insights are registered marks of The PNC Financial Services Group, Inc The PNC Financial Services Group, Inc. All Rights Reserved. PNC Bank, National Association. Member FDIC
5 Business Checking Accounts and Related Charges Additional Services and Options Effective April 24, 2016 All prices are subject to change. Products, services and prices may vary by market. Electronic Banking Services PNC Bank Online Banking...No charge 1 Bill Pay for Business...No charge 1 Cash Flow Insight SM Business Checking Plus and Business Checking Preferred...No charge 2 All other checking...$ QuickBooks (per relationship)...$15.00 per month There is no additional charge for using bill pay services within QuickBooks. Quicken (per relationship)...$2.00 per month There is no additional charge for using bill pay services within Quicken. Commonly Used Services ACH Addenda Record Received... $0.02 each For Business Checking Preferred, there is no charge for the first 100 addenda records received each month. Audit Confirmations Automated Confirmation... $20.00 each Manual Confirmation...$30.00 each Banking Card Services Debit Card Cash Advance Fee At a PNC Bank branch...$3.00 each At other institutions that accept Visa...$5.00 each International Purchases Fee...3% of amount Card Replacement Fee...$7.50 each Expedited Card Delivery Fee...$25.00 Cashier s Check...$15.00 Collection Fee...$32.50 each Counter Check 3...$1.50 each Credit Inquiries 3...$30.00 each Credit Investigations...$40.00 each Deposit Correction Fee...$6.00 each Early Account Closure Fee...$25.00 Fee assessed if the account is closed within 180 days of opening Legal Process Charge... $ Fee if funds from the account are frozen or seized under orders. PNC's actual attorney fees and court costs, when applicable, are added. Night Drop Bag Processing Fee Business Checking Preferred...No charge All other accounts...$3.00 per bag 4 Non-Client/PNC and Non-PNC Checks Cashed...$10.00 each Overdraft Services Overdraft Item and Returned Item Fee...$36.00 per item An Overdraft Item fee is charged when the item is paid. A Returned Item (also known as Non-Sufficient Funds or NSF) fee is charged when the item is returned unpaid. Maximum Number of Overdraft and Returned Item Fees...4 per day Overdraft Balance Threshold...$5.00 If the account is overdrawn by $5.00 or less after all transactions are posted for the day, any overdraft item fees are automatically refunded. Continuous Overdraft Fee...$7.00 per day Fee assessed each day the account remains overdrawn for 5 or more consecutive calendar days, up to a maximum of $ This fee is in addition to any other overdraft fees assessed. Overdraft Protection Set-Up Fee Analysis Business Checking with Interest and Business Interest Checking... $10.00 Overdraft Protection Transfer Fee... $15.00 each Fee for the transfer of funds from a checking, money market, 5 credit card or line of credit to cover an overdraft Remote Deposit Services 6 DepositNow with multi-feed scanner... $75.00 per month DepositNow with single-feed scanner... $50.00 per month DepositNow mobile deposited images... $1.00 per image Return Item Services Return of Deposited/Cashed Items... $12.00 each Redeposited Items Preferred and Non-Profit Checking... No charge All other checking... $5.00 Other Services Customer Buy Back... $5.00 each Extra Advice... $3.00 each Maker Information... $0.30 each Phone Call Required... $6.00 each Photocopies... $4.00 each Special Fax... $4.50 each Special Notice... $1.00 each Store Number Information... $0.30 each Stop Payment Checks, electronic transfers, preauthorized debits and recurring preauthorized payments through Visa Debit Card 5... $33.00 Stop Payment Cancellation... $15.00 Statement Options Online Banking Statement... No charge Paper Statement (Check Safekeeping) Check images are retained by PNC. Business Checking... $2.00 per month All other accounts... No charge Check Image Statement Paper statement with images (both front and back side) of available canceled checks or replacement checks. Canceled checks are not returned. Fee is charged monthly, even if there are no canceled checks that month. Analysis Business Checking, Analysis Business Checking with Interest, Corporate Analysis Checking with Interest, IOLTA and Client Master Escrow and Sub Accounts... No charge All other accounts... $3.00 per month Dual Statement Delivery... $3.00 per month Fee for both online and paper statements ATM Statements (available at select ATMs) Mini Statement at PNC Bank ATMs and Non-Profit Checking... $1.50 each Full Statement at PNC Bank ATMs and Non-Profit Checking... $2.00 each Mini or Full Statement at Non-PNC Bank ATMs and Non-Profit Checking... $2.50 each
6 Printed Analysis Statement...$2.00 per month Applicable only to Analysis Business Checking, Analysis Business Checking with Interest, Corporate Analysis Checking with Interest and Treasury Enterprise Plan. Statement can be viewed online via PINACLE or PINACLE Express at no charge. Additional Statement Options Interim (snapshot) or Request Statement...$10.00 each Additional Cutoff Statement...$10.00 each Additional Checking Statement Copy...$10.00 each Image, Photocopy and Research Services Self-service Requests through Online Banking View, print and save digital images from your current and 2 most recent statement cycles. Currently, deposits made at ATMs are not imaged for online viewing, but you may request copies of these items to be mailed or faxed to you. Note that any fee is charged per view, so be sure to save or print the item, if needed. For checks, substitute checks, deposit tickets and Deposit Ticket Detail Lists... No charge For items not immediately available within Online Banking...$1.00 per item No charge for the first 3 items per statement period with Paper Statements For items within a Deposit Ticket Detail List...$3.00 per item Self-service Requests through Online Banking to Mail or Fax Items...$5.00 per item Self-service Requests by Automated Telephone to Mail or Fax Copies of Paid Checks...$2.00 per item No charge for the first 3 items per statement period with Paper Statements Staff-Assisted Requests...$5.00 per item Fee for assistance from a Branch or Telephone Customer Service Representative to mail, fax or hand copies to you Photocopy Requests Statement... $10.00 per item Deposit...$8.00 per item Check... $5.00 per item Photocopy Reconstruction Statement per event... $10.00 Statement per item...$2.25 Deposit per event... $7.50 Deposit per item... $2.25 Wire Transfers Domestic Wires Incoming (no minimum amount)... $13.00 each Outgoing (no minimum amount) Branch Initiated... $78.00 each Fee includes $50 surcharge for all wires initiated with the assistance of a bank employee, other than through the PNC Wire Room or online via PINACLE or PINACLE Express Voice Initiated repetitive... $25.00 each Voice Initiated one-time... $28.00 each International Wires Incoming (no minimum amount)... $19.00 each Outgoing ($100 USD minimum amount) Branch Initiated... $ each Fee includes $50 surcharge for all wires initiated with the assistance of a bank employee, other than through the PNC Wire Room or online via PINACLE or PINACLE Express Voice Initiated... $60.00 each Repeat Code Maintenance... $3.00 Repeat Code Storage... $2.00 Wire Investigations... $28.00 Wire Transfer Manual Repair... $15.00 Book Transfers Incoming... $3.75 Outgoing Branch Initiated... $65.00 each Fee includes $50 surcharge for all book transfers initiated with the assistance of a bank employee, other than through the PNC Wire Room or online via PINACLE or PINACLE Express Voice Initiated... $15.00 each Federal Tax Payment... $30.00 Wire Copies... $17.00 Mail Advice... $6.00 Fax Advice... $3.00 Other International Services Collections ($100 USD minimum amount)... $25.00 per item * Incidental costs for postage, insurance, delivery charges, correspondent bank charges and exceptional expenses, if applicable, and any other costs imposed on PNC are added International Deposited Item U.S. currency drawn on a foreign bank... $7.00 Foreign currency drawn on a foreign bank... $6.00 Returned International Item... $20.00 NOTES: 1 There may be fees for certain optional services available through PNC Online Banking and Bill Pay. 2 There may be additional fees for optional services available with Cash Flow Insight. 3 This fee will be directly charged to your account. An earnings credit cannot be used to offset this charge. 4 For Maryland, Northern Virginia, Washington D.C. and Sussex County, Delaware, the Night Drop Bag Processing fee is not applicable for Analysis Business Checking, Analysis Business Checking with Interest, Business Interest Checking, Corporate Analysis Checking with Interest, Treasury Enterprise Plan, IOLTA and Business Premium Money Market. 5 Federal regulations prohibit you from making more than a total of 6 transfers each month to other accounts from a savings or money market account (including transfers to another account for overdraft protection) or to third parties each month by check, through point-of-sale purchase transactions with a banking card, by pre-authorized or automatic agreements, by telephone, or online. See your account agreement for more information. Other limits may apply to your account. Excessive transactions may result in changing your Business Money Market account to a Business Checking account and will be subject to the features and fees as described in the Business Checking Account and Related Charges in effect at that time. 6 Eligibility for DepositNow is subject to bank approval. Customer must maintain a PNC business checking account to qualify for DepositNow. Funds may not be available for immediate withdrawal. Please refer to your DepositNow Service Agreement and the applicable funds availability policy for your PNC business checking account to determine when your funds will be made available. QuickBooks and Quicken are registered trademarks of Intuit, Inc. Visa is a registered trademark of Visa International Service Association and used under license. DepositNow is a registered trademark of FundTech, Inc. Cash Flow Insight is a service mark of The PNC Financial Services Group, Inc The PNC Financial Services Group, Inc. All Rights Reserved. PNC Bank, National Association. Member FDIC EFORM123814
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