Fee Schedule

Riverside Bank of Dublin is committed to providing the information you need to manage your account. An overview of our services and their costs is provided below.

 

Banking Service Fees

Effective 6-8-2020

Banking ServiceFee
Dormant Account Fee 5.00
Insufficient Funds (per paid item) 30.00
Insufficient Funds (per returned item 30.00
Cancelled Check Copy (per item) 5.00
Duplicate Statement 5.00
Paper Statement Fee 3.00
Paper Statement Fee with check images 10.00
Account Closed within 90 days of opening 20.00
Check Printing (varies by style)
Excessive Transaction Fee
(Savings and Money Market Accounts Only)
10.00
Cashier’s Check1 4.00 
 Transactions with MoneyPass Network ATMs    FREE
 Transactions at other ATMs2   2.50 
 Debit card replacement   15.00 
 Stop Payment   25.00 
 Wire Transfer (Incoming)   20.00 
 Wire Transfer (Outgoing Domestic)   25.00 
 Wire Transfer (Outgoing International)   40.00 
 Foreign Check – Canada   20.00 
 Foreign Check – Other Countries    40.00-100.00
 Returned Deposited Item   10.00 
 Research (per hour, ½ hour minimum)   20.00 
 Escheatment Fee   30.00 
 Legal Processing (Levy, Garnishment, etc.)   75.00 
 IRA Annual fee   25.00 
IRA Transfer fee
(to another financial institution)
25.00

First check FREE per day

ATM owner may charge a fee for transactions and/or inquiries

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Contact us or stop into our office today with any questions you may have. We are excited to get to know you and to find the best product that will fit your needs today and in the future.

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