Legends Bank - Legendary Service. Extraordinary People.

Business Fee Schedule

Business

Legends Small Business Checking
Paper statements $2/month¹
Per item over 150 $.30²
Legends Business Checking Analysis
Legends Business Interest Checking Analysis
Legends Business Reserve $12/month³
Money Market Withdrawal Fee (over 6 per statement cycle) $15 each*

Miscellaneous Service Fees

ATM Transactions (Legends Bank ATM) No Charge
ATM Withdrawal (non-Legends Bank ATM) $1.50
ATM Inquiry (non-Legends Bank ATM) $1.00
Cashier’s Check (Legends Bank customers only) $5
Copy of Check (current month) $1 per page
Copy of Statement (current) $2
Credit Card Cash Advance No Charge
Debit Card Maintenance No Charge
Card Replacement (ATM, HSA and Debit) $10
Dormant Account Fee (checking and savings) $5 per month
Fax $1 per page
Garnishments/Levy $50
International Debit/Point of Sale Fee 2% of total sale
International ATM Withdrawal Fee 2% of total withdrawal
Mobile Deposit Fee
NSF (non-sufficient funds)
Paid Item Fee $35 each
Returned Item Fee $35 each
Continuous Negative Balance Fee (charge beginning on the 5th consecutive business day) $7 per day
Photocopies $1 per page
Record Research ($35.00 minimum) $35 per hour
Returned Deposit Fee $5 per item
Stop Payment Order $35
Safe Deposit Boxes (annual rental)
3×5 $25
3×10 $40
5×10 $50
10×10 $100
Return Mail Fee $5 per incident
Wire Transfer (Legends Bank customers only)
Incoming (domestic) $12.95
Incoming (international) $12.95
Outgoing (domestic) $18
Outgoing (international) $49

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¹Monthly fees waived when enrolled in e-statements

²Fee is assessed for each item over 150 if daily balance falls below $2,500 during the statement cycle. 300 items are allowed for accounts with balances over $2,500.

³Monthly service fees reduced or eliminated by meeting minimum requirements. Speak to a customer service professional for details.

*Federal regulations require banks to limit the way withdrawals may be made from money market accounts. No more than six automatic transfers, online transfers or checks payable to a third party may be made during a calendar month or statement cycle of at least four weeks. Additionally, a bank fee will be assessed for each non-permissible money market withdrawal made beyond six in a statement cycle. Account converts to a non-money market business checking account if transaction limits are exceeded.