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Business Checking
Business Checking
Business checking is perfect for businesses that have higher transaction volumes.The account is analyzed on a monthly basis by First American Credit Union.
  Activity Charges Subject to Analysis
Rate
 Transaction Charges
     Deposit Transaction (10 free)

$0.30

     Withdrawal Transaction
$0.20
  Deposit Transaction Item Charges
     Incoming Cash (increments of $1,000)
$0.20
     Rolled Coin (per roll)
$0.05
     Unrolled Coin (per transaction)
$1.00
     Local Transit Items (per item)
$0.10
     Non-Local Transit Items (per item)
$0.15
  Withdrawal Transaction Item Charges
     Rolled Coin (per roll)
$0.05
     Strapped Bills (increments of $1,000)
$0.20
 Other Activity Charges  
    Monthly Maintenance Fee
$10.00
    Cleared Checks (per item)

$0.20

    ACH Deposit
$0.15
    ACH Withdrawal
$0.10
   Negative Average Available Balance Charge
Prime + 3%
  Other Activity Charges Not Subject to Analysis   (immediate charge)
Rate
    NSF Fees
$28.00
    Continuous NSF (per day after 3rd day)
$3.00
    Deposit Item Returned
$5.00
    Stop Payment Fee
$28.00
    Incoming Wire Transfer
$10.00
    Outgoing Wire Transfer - Domestic
$20.00
    Outgoing Wire Transfer - Foreign
$65.00
NOW Check Imaging Order Business Checks & Supplies
All other immediate charges according to First American's fee schedule.

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