| Commercial Checking |
| Minimum
Deposit to Open..................... |
$1,000.00 |
Monthly
Activity Charges: |
| Checks
Paid........................................ |
$
.15 |
| Items
Deposited................................... |
$ .10 |
| Deposits.............................................. |
$ .20 |
| Maintenance
Charge............................. |
$
10.00 |
Monthly
Earning Credit
These charges will be offset by an Earnings Credit calculated by multiplying
average daily collected balance, less legal reserves, times and Earnings Credit
Rate (ECR base on a 90-day projected T-Bill Rate).
|