Personal Deposit Services Cost Summary

Effective as of December 1, 2017 and are subject to change

INACTIVE AND DORMANT MONTHLY COSTS
  • Inactive Cost – For Checking Account Types:
    If there has been no Customer-generated activity for 3 months and the minimum daily balance1 is less than $1,000 – $8.00/month
  • Inactive Cost – For Money Market Account Types:
    If there has been no Customer-generated activity for 12 months and the minimum daily balance1 is less than $1,000 – $8.00/month
  • Inactive Cost – For Savings Account Types:
    If there has been no Customer-generated activity for 1 year and the minimum daily balance1 is less than $100 – $3.00/month
  • Dormant Cost – For Checking, Savings, and Money Market Accounts:
    If there has been no Customer-generated activity for 2 years and the address on the account is incorrect – $5.00/month
1The minimum daily balance is the balance remaining in the account at the end of each business day.

TRANSACTION SERVICES
  • ATM Withdrawal Cost at Non-WSFS ATMs (per withdrawal) – $3.00
  • International Purchase Transaction Cost (% of purchase amount) – 1.00%
  • ATM Deposit Cost at Non-WSFS ATMs (per deposit) – $1.00
  • ATM Transfer Cost at Non-WSFS ATMs (per transfer, cost deducted from account that funds are drawn) – $1.00
  • ATM Inquiry Cost at Non-WSFS ATMs (per inquiry) – $1.00
  • Wire Transfers (per wire):
    Outgoing Domestic (per wire) – $32.00
    Incoming – $16.00
    Outgoing International Wire (per wire) – $50.00
    Outgoing International Wire – FX (per wire) – $32.00

OTHER SERVICES

  • Account Activity Printout – $2.00
  • Account Reconciliation (per hour, $10.00 minimum) – $20.00
  • ACH Returned Item – $10.00
  • Cashier’s Check – $10.00
  • Non-Customer Check Cashing Charge – $8.00
  • Check Orders – Cost depends on style
  • Collection Item: Incoming, Outgoing Domestic or Foreign – $60.00
  • Counter Checks – $1.00
  • Deposit Bag – $5.00
  • Deposit Verification – $20.00
  • Account Escheatment – $50.00
  • External Transfer within Online Banking – $3.00
  • IRA Transfer-out – $10.00
  • Replacement ATM/Debit Card – $5.00
  • Rush Order ATM/Debit Card Replacement – $55.00
  • Money Market and Savings Excessive Activity (Checks, debit card, telephone, internet, pre-authorized, and automatic debits after 6 per statement cycle) – $10.00
  • Overdrafts (non-sufficient or unavailable funds created by check, in-person withdrawal, ATM withdrawal or other electronic means):
    Paid item or returned item – $35.00
    Overdrawn account daily charge (beginning 5th day) – $5.00
  • Automatic Transfer Service (each day a transfer is made) – $10.00
  • Personal Line of Credit Overdraft (per advance) – $10.00
  • Photocopies (cost per copy):
    ATM receipts – $2.00
    Deposits and Withdrawal Tickets – $2.00
    Checks – $5.00
    Statements – $5.00
  • Premature Account Closing (if account is closed within 90 days of opening) – $20.00
  • Returned Deposited Item – $12.00
  • Safe Box Lock & Key Replacement – $200.00
  • Safe Box Monthly Delinquency Charge – $10.00
  • Stop Payment – $35.00
  • Tax/Levy/Garnishment/Citations/Court Orders – $125.00

RESEARCH CHARGES
Research Charge: 1 year or less
Statements – $10.00
Checks – $15.00
Deposits – $25.00

Research Charge: 1-3 years
Statements – $20.00
Checks – $30.00
Deposits – $50.00

Research Charge: 3-5 years
Statements – $30.00
Checks – $45.00
Deposits – $75.00

Research Charge: 5+ years
$50 per hour pricing will be quoted upon request.