The Ixonia Bank Business Fee Schedule serves as a guide to the fees associated with our products and services. This includes fees associated with checking and savings accounts, treasury management, online banking, remote deposit capture, and more. This Fee Schedule will be updated effective October 1, 2022. Fees may vary, as some accounts offer fee waivers and reimbursements for some services.
Business Fee Schedule (Printable PDF)
If you have questions about your Ixonia Bank business account or any other Ixonia Bank product or solution, please visit your nearest branch, contact your Banker, or contact our Business Services Team at firstname.lastname@example.org or 262-560-7327, Monday-Friday, 8am — 5pm.