Fee Schedule

The following fees may be associated with products or services offered by Wyoming State Bank.  Other fees, not listed here may apply. Occasionally, it is necessary to change these fees. If we make any changes, we will notify you 30 days prior to the implementation of any change. This schedule is current as of March 31, 2011

Stop Payment$27
Overdraft Paid$32
Overdraft Returned$32
Continuous Overdraft (after 3 days)$3 per day after 3 days
Closed Account Fee (Checking or Savings if open less than 90 days)$20
Outgoing Wire Transfer - Domestic$25
Outgoing Wire Transfer - International$50
Incoming Wire Transfer - (non-customer)$25
Item and Statement Copies$5 per statement and $1 per item
Checkbook Reconciliation and Research Fees ($20 minimum)$20 per hour
Returned Deposit Item$5
ATM Fee (when not using the Money Pass Network ATMs)$2
ATM / Check Card Replacement Fee$5
Re-deposit Fee$1
Dormant Account Fee$8
Safe Deposit Box Drilling Fee$150
Safe Deposit Box Replacement Key$25
Safe Deposit Box Late Fee$10 per month
Cashiers Checks$5 customers, $10 non-customers
Currency Purchase$1 per $1,000
Rolled Coin Purchase10 cents per roll
Check Cashing (non-customer)2%, minimum $10
Legal Charges (tax levy/garnishments)$50
Special cut-off statement pricing$5
Check Imaging CD-Rom$20
Statement Special Handling$25
Buy-back Fee$3
Visa Check CardFREE
Visa Business Check CardFREE
Night Depository Bag$25
Night Depository Key Replacement$5 customers, $10 non-customers
Money Order$3 customers, $5 non-customers
Treasury Bill Purchase$1 per $1,000
Collections - Incoming and Outgoing$20
Collections - Coupon Collection$20
Collections - Oil & Gas, Envelope Draft$20
Foreign Currency Handling - Customer$20
Foreign Currency Handling - Non- Customer$30
Overdraft Protection Fee - E-Checking$3/month
Overdraft Protection Annual Fee$15