Business Fee Schedule

The following may be assessed against your business accounts. These fees are subject to change.

Have questions about the following fees?

Contact Us for Help

Account/Service Fee Description Amount

Basic Business Checking
(interest not paid on this account)

Monthly Maintenance Fee
(Avoid fee by maintaining $500 balance in Basic Business Checking Account or $3,000 in business deposit accounts)

$7.00

75 Items (debits or credits)

No Charge

After 75 Items*

$0.15 per item
 

Premier Business Checking
(interest not paid on this account)

Monthly Maintenance Fee
(Avoid fee by maintaining $3,000 balance in Premier Business Checking Account or $20,000 in business deposit accounts)

$10.00

250 Items (debits or credits)

No Charge

After 250 Items*

$0.15 per item
 

Business Interest Checking
(interest paid monthly on this account on balances over $5,000)

Monthly Maintenance Fee
(Avoid fee by maintaining $5,000 balance in Business Interest Checking Account or $30,000 in business deposit accounts)

$25.00

500 Items (debits or credits)

No Charge

After 500 Items*

$0.15 per item
*Items include checks deposited, checks cleared, and ACH debits and credits to Checking Accounts. Internet Banking, Automated Phone Banking, Business Debit Card purchases, and transfers between NuUnion accounts are not considered items.
 

Business Debit Card
(Business Checking Account required)

Replacement or Additional Business Debit Card $3.00
Transactions at ATMs
(per transaction and balance inquiry at non-NuUnion ATMs)
$1.50
 

Business Credit Card (Platinum Visa®)

Annual Fee $50.00
Late Payment Fee $35.00
Non-Sufficient Funds Fee (NSF) $35.00
Over Limit Fee $35.00
 

Miscellaneous

Account Activity / History Printout (per account)

$5.00

Account Balancing Assistance (not available at this time)

 

Account Research (per hour)

 $20.00

Advance on Non-NuUnion Issued Credit Card

$10.00
Automated Phone Banking No Charge
Check Printing Depends on style of checks ordered
Coin Deposit (coins must be rolled)  
    Coin Orders less than $100 No Charge
    Coin Orders $100 or more
$1.00 per $100
    Currency Orders $1.00 per $100
Continuous Negative Balance Daily Fee (on Checking Accounts after 10 business days) $5.00
Copy of:  
    Check $5.00
    Deposited Check $5.00
    Money Order $3.00
    Official Check (Cashier's Check) $5.00
    Statement $5.00
Deposited Check Returned Unpaid $7.00
Deposited Check Returned Unpaid
    if Principal Owner Wrote the Item
$25.00
Escheated Account Fee
$50.00 or balance of account – whichever is lower
Gift Card (per card)
    For other Gift Card fees, see Disclosure
$3.95
Inactive Account Monthly Fee
(Afer one year of inactivity. Avoid fee by maintaining combined daily savings balances of $300 or additional active products)
$3.00
Legal Garnishment $75.00
Low Balance Savings Monthly Fee
(Formerly Single-Account Fee. Avoid fee by maintaining combined daily savings balances of $300 or additional active products.)
$3.00
Membership Closing Fee
(Closed within first 6 months)
$10.00 or balance of account – whichever is lower
Money Market Monthly Service Fee –
effective 1-1-09 (Avoid fee by maintaining $1,000 daily balance)
$10.00
Money Order $3.00
Non-Sufficient Funds (NSF)/Overdraft charge $28.00
Notary Service (per document)
(First five documents at no charge)
$1.00
Official Check (Cashier's Check) $4.00
Overdraft transfer from Savings to Checking $10.00
Reg D Excess Savings Withdrawal Fee (per withdrawal) – effective 1-1-09 (Applies to electronic/check withdrawals from Savings and Money Market Accounts) $1.00
Reloadable Card (per card)
    Instant Issue
    Personalized
    Reload Fee
For other Reloadable Card fees, see Disclosure


$4.95
$6.95
$3.00

Returned Statement Fee $5.00
Safe Deposit Box Annual Rental $20.00 - $90.00
Stop Payment $26.00
Telephone and E-mail Transaction – Staff Assisted (per contact) $2.00
Wire Transfer – Outgoing $20.00

Frequently Asked Questions