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  Fee Schedule

SSB - Business Checking
Monthly Maintenance Fee
Insufficient Funds Charge
Stop Payment Fee
Returned Deposited Check Charge
Online Banking
Business Check Card
$10.00*/ per month
$25.00 each
$25.00 each
$  7.50 each
$  NA
$  NA

Check Order Fees: We will pay or provide a credit to you for the initial order. Future check order fees will vary based on the type of checks you order.

*This will be waived if you maintain a $5,000 average daily balance in your account for the month.

The first 150 checks processed in a month are free. Each check processed over 150 in any month will be assessed a per item charge of $.25

SSB - Commercial Checking
Monthly Maintenance Fee
Check Processed
Checks Deposited
Deposits
$12.00
$    .20/each
$    .12/each
$    .60/each

Earnings Credit: SSB will credit, against the above fees, an earnings credit calculated at 50% of the previous 30 day average 91-Day T-Bill rate, applied to the average daily balance for the month.

Insufficient Funds Charge
Stop Payment Fee
Returned Deposited Check Charge
Business Management Plus Online Banking
Business Check Card
$25.00 each
$25.00 each
$  7.50 each
$  NA
$  NA

Other fees for business account holders
Night Deposit Bags
Small
Large
Cash provided
$15.00 / bag
$20.00 / bag
$    .10 / 1000

Wire Transfers
Domestic
Foreign
$15.00 each
$35.00 each


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