Compare Our Business Accounts

Service Charges: Business 50 Business 150 Business Analysis Commercial DBA
*Sole proprietor only
Monthly Maintenance Charge $10.00 $14.00 $12.00 $10.00
Minimum Average Daily Balance to Avoid Monthly Maintenance $1,000 $10,000 N/A $10,000
Minimum Average Daily Balance in Linked Target Money Market to Avoid Maintenance Charge $10,000 $15,000 N/A $10,000
All Processed Item Service Charge No fee for first 50 checks and ACH debits combined, posted to the account in any monthly period. $0.25 for each check and ACH debit over the monthly limit. No fee for first 150 checks and ACH debits combined, posted to the account in any monthly period. $0.25 for each check and ACH debit over the monthly limit.
Fee per check Paid$0.15
Fee for Each Deposit$0.25
Fee per Item Deposited$0.15
Fee per ACH debit, Credit & ACH Return Items$0.10
No fee for first 50 checks and ACH debits combined, posted to the account in any monthy period. $0.25 for each check and ACH debit over the monthly limit
Sweep Maintenance Service Charge N/A N/A $50.00 N/A
Coin and Currency Fee N/A N/A $0.35 per Currency Strap
$0.20 per Roll of Coin
N/A
Notes N/A N/A Earnings Allowance: You will earn competitive monthly allowance on deposit balances in this account to offset charges. The earnings allowance varies with prevailing rates and may be adjusted monthly. Please see your account officer or visit one of our brances to determine which charges can be offset by the earnings allowance, the current rate and the minimum balance level you need to avoid certain charges. This account is governed by The Consumer Deposit Account Contract.
Target Rate Money Market Account Amount
Monthly Maintenance Charge $10.00
Minimum Balance to Avoid Monthly Maintenance Charge $1,000
You may make six (6) withdrawals per month. Each subsequent withdrawal (per check charge will apply) $10.00
You must maintain a Business 50 Checking, a Business 150 Checking, a Commercial DBA or a Business Analysis account to qualify for this account.
Miscellaneous Fees: Amount
Overdraft Fee per Item $28.001
Uncollected Fee per Item $25.001
Returned Deposited Item $15.001
Certified Check Charge $20.001
Tax Levy $40.002.3
Legal Process $40.002.3
Business Online Banking MonthlyBill Pay Fee $9.951
Stop Payments $25.001
Fee for Each Additional Interim Statement $15.001
Wire Transfers
Domestic $20.001
Foreign $36.001
1 These charges are not included in the analysis.
2, 3 Applies to court ordered Trustee Summons and Levies imposed by the Internal Revenue Service or the State of Connecticut.