Business Services Fee Schedule

Description Fee
Account Closure Fee (within 3 months from open date) $5.00
Account Reconciliation (per request) $25.00
ATM/Debit Card Cross-Border Transaction Fee 1%
ATM/Debit Card Replacement Fee $15.00
Canadian Check Deposit (per check) $30.00
Check Cashing Fee (per check)** $3.00
Check Printing Fees Varies By Style
Copy of NOW Check – 1st 36 Issued Annually Free
Each Thereafter – 1 Year Old or Less $3.00
Checks Older than 1 Year – Per Hour
(1 hour minimum) Plus Per Check Charge
$50.00
Copy of Official Check $5.00
Copy of Statement – Each Page – 1 Year Old or Less $3.00
Statement Older than 1 Year – Per Hour
(1 hour minimum) Plus Per Page Charge
$50.00
Escheatment Fee $50.00
Fax Request $2.00
Levy/Garnishment $30.00
Money Orders $3.00
Online Bill Pay Debit Return Fee $30.00
Overdraft Charge (Paid Item) $32.00
Overdraft Charge (Unpaid Item) $32.00
Overdraft Collection Fee $25.00
Photo Copies (per page) $0.50
Research (Per Hour) $50.00
Returned Deposit/Payment Item $30.00
Returned Deposit/Payment Item Collection Fee $25.00
Returned Deposit/Payment Item (Third Party) $7.11
Returned Statement Fee $5.00
Stop Payment – On Us Item/ACH $32.00
Stop Payment – Treasurer, PDO, Club, Money Order $32.00
Temporary Checks (per page) $1.00
Transfer Charge $10.00
Treasurer Check Withdrawal $3.00
Wire Transfer – Domestic – Outgoing $25.00
Wire Transfer – Foreign – Outgoing $75.00
Wire Transfer – Offline Federal Reserve $75.00
Wire Transfer – Domestic Incoming $10.00

Business Checking Accounts

Description Fee
Monthly Service Charge per Statement Cycle None
Transaction*** Charges per Statement Cycle
First 100 Free
101 or More $0.15 each

Business Checking PLUS Interest

Description Fee
Monthly Service Charge per Statement Cycle $10.00
Minimum Average Balance Required to Avoid Monthly Service Charge $2,500.00
Transaction*** Charges per Statement Cycle
First 250 Free
251 or More $0.25 each

High Volume Business Checking

Description Fee
Monthly Service Charge per Statement Cycle $25.00
Minimum Average Balance Required to Avoid Monthly Service Charge $500.00
Transaction*** Charges per Statement Cycle
First 500 Free
501 or More $0.50 each

Safe Deposit Boxes

Size Annual Rental
3” high x 5” wide $35.00
5” high x 5” wide $45.00
3” high x 10” wide $60.00
5” high x 10” wide $85.00
10” high x 10” wide $100.00
SAFE DEPOSIT BOX CONTENTS ARE NOT INSURED BY NCUA OR MISC.
*All fees subject to change at the discretion of the Southbridge Credit Union.
**Waived for members with at least $25.00 on deposit at the time of the transaction.
***Transactions are deposits, items deposited and checks paid.
Please note – fees for EFT (Electronic Funds Transfer) services may be imposed by other financial institutions or networks (not SCU) to complete your transaction.
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