Serving our community since 1915.

Fee Schedules

Fee Schedule Effective November 1, 2019

NOW Account

Monthly service charge (sc) if the daily balance in the account drops below $250.00 any day of the statement cycle. $5.00

SUPER NOW Account

Monthly service charge (sc) if the daily balance in the account drops below $2,500.00 any day of the statement cycle. $10.00

Fees That Apply to NOW & SUPER NOW Accounts

If an item is returned because the available balance in your account is not sufficient to cover the item and the item is presented for payment again, we will charge a Return Item (NSF) Fee each time we return the item because it exceeds the available balance in your account.  If, on re-presentment of the item, the available balance in your account is sufficient to cover the item we may pay the item, and, if payment causes an overdraft, charge an Overdraft Fee.

Overdraft Fee - An overdraft may be created by check, ACH, Point-of-Sale, ATM withdrawal, in-person withdrawal, or other electronic means. $20.00
Return Item - Fee A return item may be created by check, ACH, Point-of-Sale, ATM withdrawal, in-person withdrawal, or other electronic means. $20.00
Copy of Statement $5.00/page
Copy of Check (up to 2 yrs old) $1.00/check
Copy of Check (more than 2 yrs old) $5.00/check
Stop Payment $20.00
Account Reconciliation $10.00/hr (min. 1 hr)
Check Printing fee varies

Fees That Apply to NOW, SUPER NOW, and SAVINGS Accounts

If an item is returned because the available balance in your account is not sufficient to cover the item and the item is presented for payment again, we will charge a Return Item (NSF) Fee each time we return the item because it exceeds the available balance in your account.  If, on re-presentment of the item, the available balance in your account is sufficient to cover the item we may pay the item, and, if payment causes an overdraft, charge an Overdraft Fee.

Sweep from another Slovenian Savings & Loan account FREE
Returned Item Fee (Savings Account) - A return item may be created by check, ACH, Point-of-Sale, ATM withdrawal, in-person withdrawal, or other electronic means. $20.00
Returned Check Fee - A check that you deposited was returned unpaid. $20.00
Wire Transfer of Funds OUT $20.00
Wire Transfer of Funds IN $10.00
ACH Stop Payment $20.00
Interim Account Statement $5.00
Canadian Check Cashing Fee $20.00

ATM Transaction Fees

Slovenian Savings and Loan STAR Machines Free
Non Slovenian Savings and Loan STAR Machines:
Deposits $1.00/each
Withdrawals $1.00/each
Balance Inquiry $1.00/each
Transfers Between Accounts $1.00/each
Purchases at Participating Merchants Free
STAR Replacement Card $5.00