Miscellaneous Service Charges


Account Balancing Assistance
$
25.00
Account Closing Within 90 Days of Opening
$
50.00
Account Research (per hour)
$
25.00
Account Research (per copy)
$
1.00
ATM/Debit Card Replacement
$
8.00
ATM/Debit Card Overnight Delivery
$
50.00
ATM Charges (for usage of a non-RSB ATM)
Free
Cashier's Checks
$
5.00
Change Orders
-Per Strap
$
1.00
-Per Coin Roll
$
0.25
Check Reject
$
5.00
Checks Sent For Collection
$
10.00
Credit Card Cash Advances ($100 Minimum Advance)
$
10.00
Daily Overdraft Fee (after 5th consecutive day)
$
3.00
Dormant Account Fee (per month)
$
4.00
Excessive Cash Deposits (greater than $100,000 per month)
$1.50 per $1000
Fax Transmission
$
5.00
Temporary Checks  $ 3.00
     
Internet Banking & CheckFree Billpayer
Free
Money Orders
$
5.00
Non-Sufficient Funds (NSF) (per item)
$
29.00
Night Depository Bags
$
25.00
Check Cashing
-SSI and Social Security Check Cashing
$
5.00
Tax Refund Check Cashing
greater of $40.00 or 2%
Ready Reserve
$
75.00 annually
Return Check Charge
$
3.00
Return Mail Charge (per month)
$
5.00
RSBusiness Cash Management (per month)
$
9.95
-ACH
$0.25 per transaction
-Payroll ACH
$0.05 per transaction
EFTPS
$5.00 per transaction
Safe Deposit Box Rent (starting at)
$
22.00 
Safe Deposit Box Drill
Bank Cost
Statement Snapshots
$
5.00
Stop Payment Request
$
29.00
Telephone Inquiry
$
1.00
Telephone Transfer
$
3.00
 Collection Fee for Charge Off Accounts
$
 25.00
 Dynamic Transfer Setup Fee $
 25.00
Wire Transfers
Outgoing
$
20.00
Incoming
$
10.00
International
$
75.00
Zipper Bags
-Small
$
3.00
-Large
$
5.00