FDIC-Insured—Backed by the full faith and credit of the U.S. Government.

Dalhart Federal's Fees

The following fees may be assessed against your account and the following transaction limitations, if any, apply to your account.

           

ATM Transactions................................................................................................................ $ 1.00

New ATM Personal ID Number............................................................................................... $5.00

Debit Card Replacement Fee............................................................................................... $10.00

Check Printing  ................................................................... (fee depends on style of check ordered)

Cashier’s Checks................................................................................................................ $3.00

NSF/Return Item Fee (debit or check) PER ITEM/REPRESENTMENT.......................................... $30.00

NSF/Overdraft Fee (debit of check) PER ITEM/REPRESENTMENT.............................................. $30.00

Checks will be paid in numerical order on the day they are received.

Account Activity Printout................................................................................. $1.00 per statement

Special Statement Cutoff................................................................................. $5.00 per statement

Account Research……………………...$25.00 per hour........................... 1/4-hour minimum charge of $6.25

Account Balancing Assistance…….…. $25.00 per hour...................... 1/4-hour minimum charge of $6.25

Statement Copies………………………...$ 1.00 first page................................... $0.50 each additional page

Check Copies   .......................................................................................................... $ 0.60 each

 Photocopies      ..................................................................................................... $0.25 per page

Stop payments – Checks……...………………………………………………………….........................................…. $15.00

Stop payments – ACH Payments…………………………………………………...........................….............………$15.00

Stop Payments – Bill Pay..................................................................................................... $20.00

Domestic Wire Transfers……………………….……………...Outgoing......................................................$15.00

Fax                    .................................................... $2.00 first page……... $1.00 each additional page

Collections           Incoming………………………………………………………………….......................................…$10.00

                          Outgoing................................................................................................. $10.00

                          Foreign collections............................................................ $10.00 plus actual costs

Safety Deposit Boxes………………………3 x 5.... . $25.00…………5 x 10………...............................……. $40.00

                          Lost Keys......................................................................... actual replacement cost

Monthly Maintenance Fee

Freedom Accounts...............................................................................................................NONE

Now Accounts............................................. $5.00 when average daily balance is less than $1,500.00

Money Market Accounts............................... $5.00 when average daily balance is less than $2,500.00

Health Savings Accounts.................................................................................................... NONE

Demand Deposit Accounts........................... $5.00 when average daily balance is less than $1,500.00

 

Per Check Charge

Freedom Accounts............................................................................................................ NONE

Now Accounts..................................... $0.15 per check in excess of ten per monthly statement cycle

Money Market..................................... $0.15 per check in excess of 10 per monthly statement cycle

Health Savings Accounts................................................................................................... NONE

Demand Deposit................................. $0.15 per check in excess of 10 per monthly statement cycle

 

Statement Savings Accounts....... MINIMUM BALANCE TO AVOID IMPOSITION OF FEES 

A maintenance fee of $5.00 will be imposed every quarter if the balance in the account falls

below $100.00 any day of the quarter.

We may require not less than 7 days’ notice in writing before each withdrawal from an interest-

bearing account other than a time deposit, or from any other savings account as defined by

Regulation D.  withdrawals from a time account prior to maturity or prior to any notice period may

be restricted and may be subject to penalty.  See your notice of penalty for early withdrawal.

 

Full discretion will be exercised by management in the waiving of fees on any of the charges and

accounts listed above.