Rates

 

 

Deposit Rates As of May 21, 2015
       
Deposit Product Rate APY Minimum Deposit
       
FSB NOW 0.20 0.20 $250
       
Senior Checking      
       
0 - 9,999 0.25 0.25 $500
10,000 - 24,999 0.30 0.30 $500
25,000 - 49,999 0.30 0.30 $500
50,000 - 99,999 0.30 0.30 $500
100,000 + 0.30 0.30 $500
       
Non-Profit Checking 0.20 0.20 $100
       
Money Market Checking      
       
0-9,999 0.35 0.35 $1,000
10,000 - 24,999 0.35 0.35 $1,000
25,000 - 49,999 0.35 0.35 $1,000
50,000 - 99,999 0.40 0.40 $1,000
100,000 + 0.40 0.40 $1,000
       
Savings Account      
       
0-9,999 0.40 0.40 $25
10,000 - 24,999 0.40 0.40 $25
25,000 - 49,999 0.40 0.40 $25
50,000 - 99,999 0.40 0.40 $25
100,000 + 0.40 0.40 $25
       
Commercial Money Market 0.15 0.15 $50
       
Commercial Super Money Market      
       
0-9,999 0.35 0.35 $5,000
10,000 - 24,999 0.35 0.35 $5,000
25,000 - 49,999 0.35 0.35 $5,000
50,000 - 99,999 0.40 0.40 $5,000
100,000 + 0.40 0.40 $5,000
       
CERTIFICATES OF DEPOSIT      
       
Regular CD's      
       
1MTH 0.05 0.05 $500
3MTH 0.10 0.10 $500
6MTH 0.15 0.15 $500
12MTH 0.40 0.40 $500
18MTH 0.50 0.50 $500
24MTH 0.70 0.70 $500
30MTH 0.50 0.50 $500
36MTH 1.20 1.21 $500
48MTH 1.05 1.05 $500
60MTH* 1.85 1.86 $500
       
IRA CD's      
       
12MTH 0.40 0.40 $0
18MTH 0.35 0.35 $0
24MTH 0.70 0.70 $0
30MTH 0.50 0.50 $0
36MTH 1.20 1.21 $0
48MTH 1.05 1.05 $0
60MTH* 1.85 1.86 $0
  1. APY - Annual Percentage Yield
  2. Rates are subject to change without notice.
  3. Fees may reduce earnings.
  4. A penalty may be imposed for early withdrawals from CD's.
  5. CD/Savings APY based on quarterly compounding.
  6. Deposit APY based on monthly compounding.

   * Signifies recent rate change