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Mission National Bank Fees & Services

Effective: January 1, 2010

Wire Fees
Outgoing Domestic Wire$31.88
Outgoing International Wire$46.88
Outgoing International Wire
with Foreign Currency
$46.88
Monetary Instruments
Cashier's Check$8.88
Temporary Checks$3.88
Stop Payment$25.88
Check Printing FeeCost to Print
Collections
Incoming/Outgoing Domestic$15.88
Incoming/Outgoing International$35.88
Overdraft & Returned Items
Cashed/Deposited Items Returned$5.88
Return Item Redeposited$3.88
Returned for Insufficient Funds (NSF)$30.88 per item
Paid Overdraft$30.88 per item
Statements
Hold Statement$20.88 per month
Returned Statement$5.88
Legal Process & Research
Levy, Garnishment, Subpoena, etc$50.88 each
Research$35.88 per hour
Document Copies
(Checks, deposit Statements, etc.)
$5.88 per item
Account Verification$10.88
Notary Fee$9.88, or the maximum permitted by law if the maximum allowed is less than $9.88
Account Maintenance & Closing
Account Closing – Mail Request$7.88
Early Account Closure Fee –
if closed within 6 months
(Fee not applicable on certificate of deposit account – other early-withdrawal penalties apply)
$20.88
Dormant Account Notice$2.88
Deposit Correction Notice$5.88
Escheatment Notice$1.88
Bulk Check Processing Fee$5.88
Safe Deposit Box Services
You must maintain a deposit account in good standing with Mission National Bank in order to rent a safe deposit box. Safe deposit boxes are not FDIC-insured and are subject to availability.
Annual Rental: 1.5” x 4.5” box: $20.00
Drilling$25.00 plus cost to drill
Key Deposit$20.00 each key set
Key Replacement$20.00 each key set
Late Rental Fee$10.88
ATM/Debit Card/Electronic Funds Transfer Fees
ACH Return Item$28.88 per month
Bill Payment Returned Item$28.88
Replacement of ATM/Debit Card$15.88
Account –Specific Fees
Please ask for our account-opening disclosures for account-specific fees.

** Fees Subject to Change **