Under review
A fee schedule is on record for this institution and is being reviewed. Fees will appear here once review is complete.
per item · Fee charged by online Bill Pay provider in addition to any NSF fee charged by Northrim
one time · For closing a deposit account 90 days or less from time of opening
per item · Charged for each debit transaction (withdrawal, automatic transfer or payment out of this Account) in excess of three during a calendar quarter · Source
per month · Charged each month if there is no activity on the Account for 365 days and the balance is less than $100.00
one time · Assessed when the Account is closed · Source
one time · Assessed when the Account is opened · Source
per month
per month
per item · Maximum five fees per day. Fee not assessed if payment would result in overdraft of $5.00 or less. Applies to NSF items created by check, electronic withdrawal, ATM withdrawal or point of sale transactions
per month · Imposed each monthly statement cycle if the average daily balance for the monthly statement cycle falls below $5,000.00 · Source
per item
per item
Swipe for source and notes →
| Fee | Amount | vs national median | Basis | Note | Source |
|---|---|---|---|---|---|
Other feesUnder review | |||||
| Bill payment non-sufficient funds (NSF) | $30 | — | per item | Fee charged by online Bill Pay provider in addition to any NSF fee charged by Northrim | — |
| Early account closure | $25 | — | one time | For closing a deposit account 90 days or less from time of opening | — |
| Education Savings - Excess transaction fee | $25 | — | per item | Charged for each debit transaction (withdrawal, automatic transfer or payment out of this Account) in excess of three during a calendar quarter | Source |
| Inactivity fee - Flex Checking Simple | $7.50 | — | per month | Charged each month if there is no activity on the Account for 365 days and the balance is less than $100.00 | — |
| IRA Closure fee | $10 | — | one time | Assessed when the Account is closed | Source |
| IRA Setup fee | $10 | — | one time | Assessed when the Account is opened | Source |
| Monthly Account Maintenance Fee - Flex Checking Power | $8 | — | per month | — | — |
| Monthly Account Maintenance Fee - Flex Checking President's Club | $12 | — | per month | — | — |
| Non-Sufficient Funds (NSF) / Overdraft and NSF return items | $29 | — | per item | Maximum five fees per day. Fee not assessed if payment would result in overdraft of $5.00 or less. Applies to NSF items created by check, electronic withdrawal, ATM withdrawal or point of sale transactions | — |
| Performance Savings - Maintenance service charge | $10 | — | per month | Imposed each monthly statement cycle if the average daily balance for the monthly statement cycle falls below $5,000.00 | Source |
| Returned wire handling fee | $40 | — | per item | — | — |
| Wire Transfer - Outgoing foreign (USD or foreign funds) | $55 | — | per item | — | — |
Fee change alerts
We'll write once its fee schedule is verified, and again whenever a verified fee changes. Nothing else.
Headline fees published
0 of 15
Published fees
0
Under review
61
Assets
$3.4B
Status: Under review
No verified fees yet, so there is nothing to benchmark on this page.
Financial Context
Financials as of Q2 2026 · FDIC call report
Total assets
$3.4B
Total deposits
$2.9B
Service charge income
$912K
Fee income ratio
1.7%
Return on assets
2.04%
Branches
21
Service charge income by quarter
Financial profile · Pro
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