Overdraft Fee (Per Item)
|
$33.00
|
Non-Sufficient Funds (NSF) (Per Item)
|
$33.00
|
Continuous Overdraft Fee Every 15 Calendar Days
|
$15.00
|
ATM Transaction at Foreign Terminal
|
$2.00
|
Account Reopen Fee
|
$10.00
|
Cashiers Checks - FHB Customer
|
$10.00
|
Cashiers Check Copy
|
$6.00
|
Checkbook Balancing (Waived for First Class 50+ Customers)
|
$5.00
|
Check Cashing Fee for Foreign Checks by Non-FHB Customer
|
3% ($8.00 Minimum)
|
Check Collection Fee
|
$50.00 |
Closing Checking/Savings (within 90 Days of Opening Date)
|
$25.00
|
Coin Bag Verification
|
Up to $7.00/bag
|
Coin Counting (Non-Customer)
|
15%
|
Copies (Per Page)
|
$2.00
|
Debit/ATM Replacement or Additional Card - Instant Issue
|
$5.00
|
Debit/ATM Replacement Card (Rush)
|
$60.00
|
Debit Card/ATM - Re-Issue Pin
|
$2.00
|
Dormant Fee (Checking and Savings Accounts)
|
$10.00/mo.
|
Faxes - Incoming (Per Page)
|
$1.00
|
Faxes Outgoing (First Page)
|
$5.00
|
Faxes Outgoing (Additional Pages)
|
1.00
|
Funds Transfer (Overdraft Protection) Per Transaction (Waived for First Class Club Accounts)
|
$10.00
|
Garnishment/Attachment
|
$20.00
|
Non-Standard Check Reject Fee
|
$1.00
|
Paper Statement Fee
|
$5.00
|
Return Item Deposited
|
$10.00
|
Research (2 Hour Minimum - Paid in Advance)
|
$25.00/hr.
|
Safe Deposit Boxes
|
See Account Representative for Availability and Cost |
Statement History Printout
|
$3.00
|
Statement Reprint
|
$7.00/each
|
Statement with Incorrect Address
|
$15.00
|
Stop Payment Fee
|
$33.00
|
Telephone Transfer (Per Transaction)
|
$10.00
|
Verification of Deposit
|
$5.00
|
Wire Transfers - Incoming
|
$15.00
|
Wire Transfers - Outgoing
|
$20.00
|
Wire Transfers - Recurring
|
$15.00
|
International Wires
|
$50.00
|
Recurring International Wires
|
$40.00
|