Fee Schedule


Stop Payment/Lost Checkbook

  • $25

Return Check/NSF Overdraft
  • $27/$108 Daily Max

Extended NSF/Overdraft
  • $30-7 Day Continuous Fee

Cashier’s Check & Money Orders
  • $1 per $100/$5 Maximum Fee

Wire Transfers
  • $15-Incoming
  • $20-Outgoing USA
  • $40-Outgoing Foreign

Collections
  • $25-Incoming & Outgoing

Checkbook Reconcilement
  • $20-Personal Account
  • $50-Business Account

Research
  • $25/Hour + $1/Copy

Account Reprints
  • $2-Account Printout
  • $5-Statement Reprint

Ready Reserve
  • No Fee

ATM Cash Advances
  • $0-All MoneyPass ATMs
  • $1.50-All Other ATMs

Check Cashing
  • $1 per $100 for Noncustomers

Notary Public Services
  • Customers:  no fee
  • Noncustomers:  $2

Photocopies
  • $0.25 per Page

Fax Services
  • Outgoing
    • $2 First Page, $1 Add’l Pages
  • Incoming
    • $1 First Page, $.50 Add’l Pages

ACH Origination Fees
  • Call for Fees

Coin Counting
  • Customers: No Fee
  • Non-Customers: $1 per $100

Safety Deposit Boxes
  • Check for Pricing

Safety Deposit Box Key Replacement
  • $25

Box Drilling
  • $100 plus Cost of New Lock

VISA Gift Cards
  • $3.75 plus Value of Card

UMB Debit Card
  • First Card - $0

Debit Card Replacement
  • $10

Debit Card Hot Carding
  • $20 Local
  • $60 Overseas

Phone Transfers
  • $1

Automatic Transfers (Telebank, Internet)
  • No Fee
 
Canadian Checks
 
     $3/per check charge