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- Business Account Fee Schedule
This schedule is being provided to serve as a convenient summary of our fees. If you have any questions regarding this fee schedule please contact your local branch.
Business Account Fee Schedule Printable PDF
Effective September 1, 2023
Non-Sufficient Funds/Overdraft Charges (Checking and Savings) | |
Overdraft Paid Item Fee | $36.00 |
NSF Returned Item Fee (Checks are paid in numerical order on day received. An overdraft item may be created by check/draft, in-person withdrawal, ACH item or other electronic means.) |
$36.00 |
Returned Item Fee (Items deposited and returned) | $12.00 |
Stop Payment Fee | |
In Branch or Call Center | $36.00 |
Online or Phone Banking | $26.00 |
Zelle® (will show as STOPPMNTFEE on your account statement) | $10.00 |
Cashiers Check | |
Customers | $10.00 |
Non-customers (on-us check conversion) | $20.00 |
Non-Customer Check Cashing (For All Transactions) | $8.00 |
Wire Transfer Fees | |
Incoming (per transfer) | $15.00 |
Domestic Outgoing (per transfer) | $30.00 |
International Outgoing (per transfer) | $50.00 |
Wire Confirmation | $5.00 |
Wire Investigation | $35.00 |
Foreign ATM Fee | |
Non-Bank ATM | $3.00 |
Non-Customer ATM | $3.50 |
Bank to Bank External Transfers Next Day Delivery (Online Banking) | $10.00 |
Rush Delivery Bill Payments | |
Same Day Bill Payments (ACH only) | $9.95 |
Next Day Bill Payments | $14.95 |
Dormant Fee (per month) On all accounts with no activity for 18 months, regardless of balance, unless customer owns another active account with SouthState) |
$5.00 |
Escheatment | $50.00 |
Account Closing (within 90 days) | $25.00 |
Multiple Mailing Fee (Multiple statements/notice) | $5.00 |
Balancing service (per hour) | $25.00 |
Research (per hour) | $35.00 |
Research Copies - checks, 1098, 1099, snapshots, etc. | $5.00 |
Verification of Deposits | $20.00 |
Levies/Garnishments | $150.00 |
Visa® Gift Card | $5.95 |
Domestic Collection Items | $25.00 |
International Check Services | |
Cash Letter/Provisional | No Charge + Any Foreign Bank Charges |
Clean Collection/Final | $65.00 + Any Foreign Bank Charges |
International Returned Item | $50.00 + Any Foreign Bank Charges |
Foreign Currency Exchange | $20.00 ($10 processing fee + $10 shipping fee) |
Currency/Coin Fee (per $1,000) | $1.00 |
Cash Deposited (per $1,000) | $1.00 |
Safe Deposit Box | |
Drilling Fee | $200.00 |
Key Replacement Fee (per key) | $25.00 |
Late Payment Fee (after 30 days) | $10.00 |
For Treasury Management Services, including Treasury Navigator and cash management sweep options, please reference the Treasury Management Fee Schedule. Please contact us for additional information.