Fee schedule collected Feb 17, 2026 · Financials as of Q1 2026
Verified fees
25
Under review
0
Assets
$131.3M
Fee benchmark score
Not scored
Financials as of
Q1 2026
Headline fees vs. national median
Each figure below is the published fee set against the national median. The commissioned report benchmarks every fee against a verified peer set instead.
Fee Schedule
Verified fees power benchmarks; fees under review do not.
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Swipe for source and notes →
| Fee | Amount | Basis | Note | Source |
|---|---|---|---|---|
Account MaintenanceVerified | ||||
| Account Reconciliation and Research | $50 | varies | per hour | Source |
| Bad Address/Undeliverable Mail | $5 | per month | — | Source |
| Copy of Statements | $1 | per item | per copy | Source |
| Fax Service (Incoming/Outgoing) | $1 | per item | per page | Source |
| Reinstate Closed Checking | $35 | per item | — | Source |
Overdraft & NSFVerified | ||||
| Non-Sufficient Funds (NSF) | $25 | per item | — | Source |
| Overdraft Daily Cap | $200 | per day | maximum charged per day | Source |
| Overdraft Transfer | $3 | |||
ATM & CardVerified | ||||
| Card Replacement | $10 | per item | — | Source |
Wire TransfersVerified | ||||
| Wire Transfer: Domestic Outgoing | $15 | per item | — | Source |
| Wire Transfer: International | $25 | per item | — | Source |
Check ServicesVerified | ||||
| Cashier's Check | $5 | per item | after 1 free per day | Source |
| Photocopy of Cancelled/Cleared Checks | $3.50 | per item | per copy | Source |
| Starter Checks | $2 | |||
Cash & DepositVerified | ||||
| Deposited Item Return | $25 | per item | — | Source |
Account ServicesVerified | ||||
| Safe Deposit Box (10x10) | $50 | per year | — | Source |
| Safe Deposit Box (3x10) | $25 | per year | — | Source |
| Safe Deposit Box (3x5) | $15 | |||
Lending FeesVerified | ||||
| Extension Agreement or Skip Pay | $25 | per month | — | Source |
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Every fee on this page benchmarked against a verified peer set, in a board-ready document.
Financial Context
Financials as of Q1 2026 · NCUA call report
Total assets
$131.3M
Total deposits
$109.5M
Service charge income (year to date)
$193K
Fee income ratio
8.7%
Branches
4
| per item |
| — |
| Source |
| per item |
| per page |
| Source |
| Stop Payment | $25 | per item | — | Source |
| per year |
| — |
| Source |
| Safe Deposit Box (5x10) | $35 | per year | — | Source |
| Safe Deposit Box (5x5) | $20 | per year | — | Source |
| Safe Deposit Box (7x10) | $40 | per year | — | Source |
| Verification of Deposit | $10 | per item | — | Source |
| Verification of Deposit (faxed) | $20 | per item | — | Source |