Schedule of Fees and Charges



Similar documents
BUSINESS BANKING PRICING SCHEDULE EFFECTIVE MAY 2, 2016

Important Information About Systems Conversion

Consumer Fee Schedule - Colorado ATM/Debit Card Fees

PERSONAL ACCOUNT SPECIFICATIONS AND FEE LISTING

BUSINESS CHECKING ACCOUNT DEFINITIONS

DEPOSIT ACCOUNT DISCLOSURE

TRUTH-IN-SAVINGS DISCLOSURE Refer to our current product and rate sheet for applicable tiers and rates.

Annual Consumer Deposit Account Disclosure

PERSONAL BANKING PRICING SCHEDULE EFFECTIVE MAY 2, 2016

Personal Schedule of Fees for SafeBalance Banking

Disclosure of Account Terms

Personal Checking, Money Market, Savings, Time Deposit & IRA Accounts Pricing Schedule

Rewards Banking. The more you bank, the more benefits you receive. Earn higher rates on select products. Take advantage of account services

Account Disclosures Optimum Savings Account Rates and information effective April 1, 2016

Schedule of Fees & Service Charges

Business Account Disclosures & Fee Schedule. Effective June 1, 2013

Fee Schedule: Personal Products & Services

Fee Schedule: Personal Products & Services

Deposit Account Services and Prices Schedule

Deposit Account Services and Prices Schedule

Business Deposit Accounts Fee and Information Schedule

Personal Deposit Accounts Fee & Information Schedule

Service Charges and Fees

Business Account Conversion Charts

Account & Miscellaneous Schedule of Fees. Effective September 12, 2012

Business Checking Accounts and Related Charges

Fee Schedule: Business Products & Services;

Important Information about Procedures for Opening a New Account

Insight into Your Checking and Savings Accounts

Business Account Fee and Information Schedule. What you need to know about your account

Business Schedule of Deposit Account Charges Business Deposit Account Schedule of Interest

PERSONAL CHECKING ACCOUNT

Account Disclosure 1st Premier Checking Account Rates and information effective October 1, 2015

Webster Opportunity Checking. $16.95 (or $11.95 with Direct Deposit 2 )

BUSINESS BANKING PRICING SCHEDULE EFFECTIVE MAY 1, 2015

Welcome to Bank of the West!

Personal Checking, Money Market, Savings, Time Deposit & IRA Accounts Pricing Schedule

Truth-in-Savings Disclosures Retail Checking & Savings Accounts Effective April 17, 2015

Your Guide for Personal and Business Banking Services Important Information About Your Accounts

Signature Advantage Checking. $25,000 or more None $24, or less $25.00

BBVA Compass ClearChoice Savings

How To Pay A Bank Bill In The United States

Small Business Account Services and Prices Schedule. Illinois, Indiana, Michigan, Wisconsin

Welcome to Bank of the West!

SERVICES w w w. c o v e n a n t b a n k. c o m

BBVA Compass ClearChoice Money Market

Small Business Account Services and Prices Schedule. Arizona

First Citizens National Bank Truth in Savings. Deposit Account Disclosure

$1,000 minimum Ledger Balance each day in this Account. One direct deposit of at least $250 or more per statement cycle to this Account

Freedom Checking A Guide to Freedom Checking Fees

Important Information About Your Certificate of Deposit, Retirement Account, & Coverdell Education Savings Account (CESA)

Account Disclosure 1st Premier Checking Account Rates and information effective October 1, 2015

TRUTH IN SAVINGS DISCLOSURE

Getting to know your Account the basics

Fee Schedule for Business Accounts A Guide to Your Webster Account

Account Rates and Terms 1st Business Checking Rates and information effective October 13, 2015

Minimum deposit needed to open account $25. Quarterly Service Charge $0. Does the account earn interest? How often will statement be available?

Service Charges and Fees

Personal Schedule of Fees

Account Service Charges And Fees Schedule

Addendum to HSBC Consumer Deposit (excluding Certificate of Deposit) Terms & Charges Disclosure

4411 Calkins Rd. P.O. Box Flint, MI (810) TRUTH IN SAVINGS. Account Disclosure

City of Prineville Request for Proposal (RFP) RFP # For Banking Services

C O N V E R S I O N G U I D E

This account features unlimited check writing, no monthly service fee and no minimum balance. $50 minimum deposit to open.

Managing Your Checking Account

Rate and Fee Schedule

December 2014 Please read this important information carefully. Schwab Bank Deposit Account Pricing Guide

Important information will be furnished to you electronically.

Account Disclosures Optimum Savings Account Rates and information effective October 1, 2015

Personal Savings Account Disclosures. How to Contact Us. Important legal information, disclosures and terms you should know.

Account Disclosures Optimum Savings Account Rates and information effective December 4, 2014

Electronic Fund Transfers Initiated By Third Parties. Preauthorized credits. Preauthorized payments. Electronic check conversion.

Berkshire Bank Disclosure Booklet. Effective September 10, 2012 (Subject to change from time to time and anytime hereafter)

BestBank Business Account Disclosure The information described is accurate as of September 1, Member FDIC

Conversion Guidebook

Truth in Savings Disclosure

Account Disclosures and Rules &Regulations

Conversion Guidebook IMPORTANT INFORMATION REGARDING CHANGES TO YOUR ACCOUNTS TERMS AND SERVICES FOR CUSTOMERS OF 1ST BANK

Contents. General Information

ChexSystems Policy: Accounts available for persons with NSF/OD history on ChexSystems. (not fraud related) Over 1 year old Less than 1 year old

S&T Bank Deposit Rates (Effective September 30, 2015 through October 6, 2015)

How To Avoid A Monthly Maintenance Service Charge On A Bank Account

Corporate Banking. Sch edule of Charges

Welcome to the Northwest family.

maintain a minimum balance of $ in the account each day to obtain the disclosed annual percentage yield.

CUSTOMER GUIDE WELCOME ARTHUR STATE BANK CUSTOMERS. Trust. Integrity. Since NMLS #463813

Important Account Information

BBVA Compass ClearChoice Checking Account for Everyday Heroes

A GUIDE TO YOUR ACCOUNT

Webster Opportunity Checking. $16.95 (or $11.95 with Direct Deposit 2 )

Berkshire Bank Disclosure Booklet. Effective March 18, 2013 (Subject to change from time to time and anytime hereafter)

TRUTH IN SAVINGS DISCLOSURE

Business Schedule of Deposit Account Charges. Business Deposit Account Schedule of Interest

Integrity Bank Deposit Rates (Effective October 21, 2015 through October 27, 2015)

Truth in Savings Disclosure

TRUTH-IN-SAVINGS DISCLOSURE

Ready to Go Checking. Simply Stated Product Guide

How To Get Money From A Bank Account

PERSONAL PRODUCTS - ONLINE ACCOUNT OPENING AND WEBSITE

Transcription:

Schedule of Fees and Charges Business Products The following is a schedule of our current fees and service charges. If you have any questions or need additional information regarding this schedule, please refer to our Mechanics Bank Account Agreement or contact any Mechanics Bank branch. Fees and charges are subject to change at any time. Information is effective as of January 1, 2016.

Smart BUSINESS CHECKING No monthly service charge with...business online banking and estatements of the above criteria are met... $10.00 Assessed when greater than 100 combined items are or furnished in excess of $1,000 per month. Preferred BUSINESS CHECKING $5,000 minimum daily balance or $15,000 combined balance 1 (For sole proprietors only, combined balances may include business and personal deposits and loans) of the above criteria are met... $15.00 Merchant business CHECKING $10,000 minimum daily balance or $30,000 combined balance 1 of the above criteria are met... $30.00 Assessed when greater than 500 combined items are or furnished in excess of $10,000 per month. Merchant Business Checking with Cash Management Services For information relating to qualified cash management services and fees for this account, please contact your Relationship Manager or Corporate Financial Services at treasurysales@mechanicsbank.com. COMMUNITY PARTNER CHECKING For nonprofit organizations only No monthly service charge with...proof of 501(c)(3) nonprofit status STATE BAR OF CALIFORNIA LEGAL TRUST ACCOUNTS Monthly service charge... $6.00 PREMIUM ANALYZED CHECKING For information regarding fees, please refer to the Analyzed Checking Products Schedule of Fees and Charges. Business INTEREST CHECKING $10,000 minimum daily balance or $30,000 combined balance. 1 (For sole proprietors only, combined balances may include business and personal deposits and loans.) of the above criteria are met... $20.00

BUSINESS MONEY MARKET PLUS No monthly service charge with...$2,500 minimum daily balance of the above criteria are met... $10.00 An initial deposit of $2,500 or more is required. Note: Regulations limit certain transfers and withdrawals. 3,4 BUSINESS MARKET RATE Monthly service charge... none An initial deposit of $100,000 or more is required. Note: Regulations limit certain transfers and withdrawals. 4 Requires a non-interest bearing business checking account and the use of one or more Mechanics Bank business services. Checks are not issued on this account. Access for transfer or withdrawal of funds is available via business online banking. BUSINESS SAVINGSLINK A convenient overdraft protection option Business savings void of monthly service charge and minimum balance requirements when linked with a business checking account as overdraft protection and combined in an all-in-one monthly checking statement. Overdraft transfer fee 2... $7.00 per transaction (Transfers will be made in increments of $100.00) Note: Regulations limit certain transfers and withdrawals. 4 BUSINESS SAVINGS A convenient savings option No monthly service charge with... $500 average monthly balance Monthly service charge if the above criteria is not met... $5.00 Note: Regulations limit certain transfers and withdrawals. 6 OTHER ACCOUNT CHARGES Non-sufficient funds (NSF) 4 Per check or item paid... $35.00 Per check or item returned... $35.00 Maximum daily NSF fees (for sole proprietors only)... $350.00 Non-sufficient funds fees will not be charged if the balance in your account is overdrawn by $5.00 or less after posting all transactions after the end of the business day or for any item that is $5.00 or less. Overdraft charge 4 (checking and money market accounts only)... $5.00 per day, beginning on the 5 th business day of overdraft ending on the 14 th business day Stop payment (effective for 6 months)... $30.00 per order Stop payment renewal (effective for 6 months)... $30.00 per order Special statement...$5.00 per statement Hold statement...$5.00 per statement Multiple statement originals...$2.00 per statement, per month Statement balancing/research... $40.00 per hour, $40.00 minimum Inactive/dormant accounts...charged as an active account Inactive/dormant account (final notice)... $2.00 Returned deposit item... $10.00 per item Returned deposit item with automatic redeposit... $5.00 per item plus standard returned deposit item charge Returned deposit item notification (per item) By email... $2.00 By fax... $5.00 By phone... $7.00 Exception deposit/item handling... $5.00 per item Deposit stamp charges...at cost 7 Deposit correction fee...$5.00 per deposit Securities safekeeping... $50.00 per purchase Special processing... $25.00 per occurrence

OTHER ACCOUNT CHARGES continued Check copies... $4.00 per check First 3 per statement no charge. Cashier's checks... $10.00 per check (customer) Check conversion...$12.00 per check (non-customer) ATM/Debit card replacement... $5.00 Beginning with second replacement card per 12-month period. Wire transfers (per wire) Incoming domestic... $10.00 Incoming international...$10.00 plus cost 5 Outgoing domestic... $30.00 Outgoing international...$40.00 plus cost 5 Wire correction/amendment...$15.00 plus cost 5 Wire investigation...$50.00 per investigation Wires with special handling for requests made by phone, fax or email...$20.00 per wire plus standard wire processing fee Wire notification (per wire) By email... $2.00 By fax... $5.00 By phone... $7.00 Electronic banking Standard business online banking...no charge Business bill pay...$6.00 per month No charge for Community Partners Checking Account. Business bill pay items Up to 25 payments per month...no charge 26 or more payments per month...$0.40 each For information regarding other online banking fees, please refer to the Business Online Banking Schedule of Fees and Charges. Overdraft protection 2 Automatic transfer from savings, 4 money market, 3,4 or checking... $7.00 per transfer Night deposit Set-up... $20.00 Bag charge...at cost 5 Legal process (e.g. statement, execution, lien, levy, notice and restraining order process received)... $100.00 Miscellaneous Clerical/research work...$40.00 per hour, $40.00 minimum, $1.00 per item posted Signature guarantee... $5.00 per signature Notary fee... $10.00 per signature Collection fee...$25.00 per item, plus cost 5 Check cashing fee (non-client)... $5.00 per check This fee applies only to checks in an amount greater than $100, issued from a Mechanics Bank business checking account, and presented for cashing. Checks issued from a nonprofit business checking account (with the exception of payroll checks) are not subject to the fee. Counter checks/pre-printed deposit tickets...$1.00 each Telephone transfers...$2.00 each No charge for transfers initiated via TeleBanking, business online banking services, in person or at an ATM. SAFE DEPOSIT BOX RENTAL FEES Box size Automatic payment Annual rental Invoice payment Annual rental 2 x 5 $45.00 $80.00 3 x 5 $55.00 $90.00 3 x 6 $55.00 $90.00 4 x 5 $65.00 $100.00 5 x 5 $75.00 $110.00 3 x 10 $80.00 $115.00 4 x 10 $95.00 $130.00 5 x 10 $120.00 $155.00 10 x 10 $170.00 $205.00 10 x 15 $200.00 $235.00 15 x 18 $250.00 $285.00 Safe deposit box late fee (30 days past due)... $25.00 Forced entry... $150.00 Safe deposit box set up fee... $20.00 Change locks...$25.00 plus cost 5 Lost key replacement...$25.00 each Expedited processing fee... $100.00

1. Combined balance shall be defined as follows: when used for service charge purposes, combined balance means the average monthly balance of the primary checking account, together with the combined current balances (determined on the statement date of the primary checking account) in all other business deposit and loan accounts with the exception of analyzed accounts. 2. Applies to overdrafts and non-sufficient funds created by check, in-person withdrawal, ATM withdrawal, or other electronic means, as applicable. 3. A $15.00 per check charge will apply when more than six (6) checks are processed during the month/account statement cycle. 4. Regulations limit certain transfers and withdrawals to a total of six (6) per month/account statement cycle. Accounts exceeding the transaction limit on multiple occasions may be converted to a more appropriate account type. See our Account Agreement for details. 5. Actual cost incurred. Important Notice Regarding Interest Bearing Accounts There are certain penalties for all types of interest bearing accounts, in regard to early withdrawals, closing accounts before maturity and minimum interest payments. Refer to our Account Agreement and current rate sheet for details. Customer Call Center: 800.797.6324 Automated TeleBanking Service: 888.400.6324 MechanicsBank.com MEMBER FDIC 2016 MKT-2949 1/16