Miscellaneous Fees & Charges

Cashier's Check $ 5.00
Money Orders $ 3.50
Account Activity Printout $ 3.00
Account Assistance Research: $ 25.00 per hour*
Balancing Assistance: $ 25.00 per hour*
* minimum of one hour for each service
Image Copies $ 3.00 per copy
Statement Copies  $ 1.00 per page
Returned Deposit Item - if charged back to account  $ 15.00 
Undeliverable Mail - per statement returned  $ 5.00
Collections - outgoing  $ 15.00
Stop Payments - all items  $ 35.00
Wire Transfers - outgoing ( club account members receive 12 per year at no charge ) Domestic: $ 25.00
International: $ 55.00
 Check Cashing Fees Non-Customers: $ 5.00 for any check $ 250.00 or under
2% of the check amount for checks $ 250.01 and over
Tax Levy and/or Garnishment $ 75.00
 Bank Bags  Locking: $ 15.00
Zipper: $ 5.00
Overdraft Fee
- applies to overdrafts created by check, in-person withdrawal, ATM withdrawal, or other electronic means
$ 34.00
Return NSF Item Charge
- applies to non-sufficient funds items created by check, in-person withdrawal, ATM withdrawal, or other electronic means)
$ 34.00
 ATM Transactions - at locations not owned by Dublin National Bank $ 2.00
ATM/Visa Debit Card Replacement - per card  $ 5.00
Visa Debit Card One Time Set Up Fee - up to 2 cards per account with no additional charge.  Subsequent cards are  $5.00 each.  No set up fee for club account members.  $ 10.00
Loan Application Fee - for new customer, which is refunded if loan is made $ 25.00
Online Banking
Bill Pay NSF Charge  $ 35.00
Bill Pay Check Reproduction   $ 35.00
Bill Pay Claim Fee (dispute) $ 35.00
Bill Pay Stop Pay Fee $ 35.00
Safety Deposit Boxes
3 X 5 $ 18.00
5 X 5 $ 30.00
3 X 10 $ 35..00
5 X 10 $ 40.00
10 X 10 $ 60.00
Lost Key - for Lock Replacement $ 25.00
Drilling Box - drilling box fee will be the cost of the bonded security company who will drill the box which may be in excess of $ 200.00. Varies
Key Deposit - refund if both keys returned  $ 10.00
Safe Deposit Box Late Fee - past due 30 days $ 10.00