Schedule of Fees

Service Fee
ATM/Debit Card Replacement $ 7.50
ATM Flat Monthly Fee - Unlimited non-AFSB ATM Transactions* $ 7.00
ATM Transactions at AFSB and SUM® Network ATMs (ATM Owner Charges may apply) FREE
ATM Transactions at Non-AFSB or SUM® Network ATMs (ATM Owner Charges may apply) $ 1.75
Attachments/Tax Levies/Garnishments $ 75.00
Cashier's Check $ 10.00
Checks Paid - Refer to specific Business Account type $ 0.20
Check Printing (varies based on style ordered) Quoted
Christmas Club Withdrawal Before Expiration $ 10.00
Early Closure/Account Fee (accounts open less than 90-days) $ 15.00
Insufficient and/or Uncollected Funds (Includes certain EFT transactions)** $ 35.00
Loose Coin Processing (Brooklyn & Glen Burnie) 10% of amount
Monthly Service Charge - Checking & Statement Savings (if balances falls below minimum) $ 5.00
Money Orders $ 1.75
Photocopies - per page $ 0.25
Photocopy of Paid Checks (3 per month) FREE
Photocopy of Paid Checks (over 3 free per month) $ 1.00
Photocopy of Statement (no checks) $ 5.00
POS (Point of Sale transaction no AFSB fee, merchant fees may apply) FREE
Reconciliation/Research – Hourly (minimum 1 Hour) $ 25.00
Returned Deposited Items $ 25.00
Safe Deposit Key Replacement – 1 Key (2 Keys or cost of Box Drilling - quoted) $ 25.00
Safe Deposit Rental - 2x5 box $ 15.00
Safe Deposit Rental - 3x5 box $ 20.00
Safe Deposit Rental - 5x5 box $ 45.00
Safe Deposit Rental - 3x10 box $ 55.00
Safe Deposit Rental - 5x10 box $ 70.00
Safe Deposit Rental - 10x10 box $140.00
Special Collections & Foreign Items (Varies by exchange rate & transaction type) Quoted
Stop Payment (includes Cashier's Checks) $ 30.00
Wire Transfer In/Out – Foreign Quoted
Wire Transfer In – Domestic $ 15.00
Wire Transfer Out – Domestic $ 20.00

*Not available on FreeBee Checking Accounts

**An overdraft fee may be imposed for an overdraft created by check, in-person withdrawal, ATM withdrawal or other electronic means.