RATES

Rates effective as of September 19, 2024

ACCOUNT MINIMUM BALANCE TO OPEN ACCOUNT TIERS RATE *APY
SAVINGS
Secure Savings $200 N/A 0.15% 0.15%
CHECKING
Secure Plus Checking $50 N/A 0.75% 0.75%
Secure Senior Checking $50 N/A 0.75% 0.75%
Premium Money Market $5000 $.00-$ 2499.99 0.75% 0.75%
Premium Money Market $5000 $2500-$24999.99 0.75% 0.75%
Premium Money Market $5000 $25000-$99999.99 1.00% 1.00%
Premium Money Market $5000 $100000 and above 1.00% 1.00%
Business Money Market $5000 N/A 0.10% 0.10%

 

For all accounts, there is no minimum balance required to earn stated APY*.

CERTIFICATES OF DEPOSIT

TERM MINIMUM BALANCE TO OPEN ACCOUNT RATE *APY
91 Day CD $5000 1.75% 1.76%
182 Day CD $2500 2.00% 2.02%
12 Month CD $1000 2.25% 2.27%
13 Month CD $1000 4.20% 4.28%
18 Month CD $1000 2.25% 2.27%
24 Month CD $1000 2.25% 2.27%
30 Month CD $1000 1.25% 1.26%
36 Month CD $1000 1.35% 1.36%
48 Month CD $1000 1.50% 1.51%
60 Month CD $1000 1.75% 1.76%

Individual retirement accounts: Same maturities, interest rates, and percentage yields as Certificates of Deposits.

A substantial penalty may be imposed for early withdrawal. A withdrawal of interest or fees will reduce earnings.

*Annual Percentage Yield

You are now leaving Security Bank and Trust Company

Security Bank and Trust Company provides links to web sites of other organizations in order to provide visitors with certain information. A link does not constitute an endorsement of content, viewpoint, policies, products or services of that web site. Once you link to another web site not maintained by Security Bank and Trust Company, you are subject to the terms and conditions of that web site, including but not limited to its privacy policy.

You will be redirected to

Click the link above to continue or CANCEL