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Fee Schedule for Deposit Account Services

This schedule lists the fees Southern First charges for banking services and is a part of your Deposit Account Agreement with Southern First.

Fees may change at any time. Southern First will notify you of fee changes as outlined in your Deposit Account Agreement.

FEES AND CHARGES. The following fees and charges may be assessed against your account:

Check printing fees vary by the style of check ordered.

Account Reconciliation/Balancing (per hour)$25.00
Account Research (per hour)$35.00
ATM/Debit Card Emergency Rush Fee$25.00
ATM/Debit Card Replacement $6.00
Business Non-Sufficient Fund (NSF) / Overdraft Fee (per item) $38.00
Business Recurring Overdraft Fee - charged on the 5th consecutive business day overdrawn, and daily thereafter until balance is brought current; maximum 30 days $10.00
Check Collection: Domestic or Foreign (per item) $25.00
Check Copy (paper copy) $5.00
Clean Collection: Foreign $85.00
Consumer Overdraft Paid Fee (per item) $5.00
Consumer Recurring Overdraft Fee - charged on the 5th consecutive business day overdrawn, and every 5th business day thereafter until balance is brought current $10.00
Deposit Verification $20.00
Dormant Account Fee (monthly) $10.00
Foreign Currency Exchange $25.00
Gift Cards (per card) $4.00
Levy/State Warrant/Garnishment (per legal process) $125.00
Night Depository Bag $15.00
Official Bank Check (Customers) $7.00
Official Bank Check (Non-Customers) $20.00
Safe Deposit Box Lock Drill (both keys lost) $250.00
Safe Deposit Box Rental - varies depending on box size 
Safe Deposit Box Replacement Key $50.00
Statement (paper copy) $5.00
Stop Payment Fee (per stop payment) $36.00
Wire Transfers - Incoming Domestic & International $15.00
Wire Transfers - Outgoing Domestic (initiated by phone, fax, or email) $30.00
Wire Transfers - Outgoing Domestic (initiated in person or through electronic banking)$20.00
Wire Transfers - Outgoing International$50.00