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Interest Rates


This page is an example of the interest rate sheet disclosed weekly by FNBB.
Interest Rates Effective: November 8, 2024 to November 11, 2024



Account Type or Instrument Minimum Balance to Earn Interest Int. Frequency to Earn Stated APY Current Interest Rate   * Annual Percentage Yield(APY) With an Active FNBB Checking Account
Rate   * APY

CHECKING ACCOUNTS
Super Now Checking $1,000
$10,000
$25,000
$50,000
  Monthly   1.10%
1.15%
1.20%
1.25%
  1.11%
1.16%
1.21%
1.26%
  N/A   N/A  

Presidents Checking $2,500
$10,000
$25,000
$50,000
  Monthly   1.20%
1.25%
1.30%
1.35%
  1.21%
1.26%
1.31%
1.36%
  N/A   N/A  

Money Market Account $1,000
$10,000
$25,000
$50,000
  Monthly   1.15%
1.20%
1.25%
1.35%
  1.16%
1.21%
1.26%
1.36%
  N/A   N/A  

SAVINGS ACCOUNTS

Passbook Savings $200
$10,000
$25,000
$50,000
  Quarterly   1.20%
1.25%
1.30%
1.35%
  1.21%
1.26%
1.31%
1.36%
  N/A   N/A  

Statement Savings $300
  Monthly   1.25%   1.26%   N/A   N/A  

Super Statement Savings $2,500
$10,000
$25,000
$50,000
  Monthly   1.20%
1.25%
1.30%
1.35%
  1.21%
1.26%
1.31%
1.36%
  N/A   N/A  

Hometown Choice $10,000
$25,000
$50,000
$100,000
  Monthly   1.30%
1.35%
1.40%
1.50%
  1.31%
1.36%
1.41%
1.51%
  N/A   N/A  

CERTIFICATES OF DEPOSIT
3 Month Certificate of Deposit $1,000
$10,000
$50,000
  Maturity   0.50%
0.50%
0.50%
  0.50%
0.50%
0.50%
  1.50%
1.55%
1.60%
  1.51%
1.56%
1.61%
 

6 Month Certificate of Deposit or
6 Month I.R.A.
$1,000
$10,000
$50,000
  Monthly   1.00%
1.00%
1.00%
  1.00%
1.00%
1.00%
  1.75%
1.80%
1.85%
  1.76%
1.81%
1.87%
 

12 Month Certificate of Deposit or
12 Month I.R.A.
$1,000
$10,000
$50,000
  Monthly   1.25%
1.25%
1.25%
  1.26%
1.26%
1.26%
  2.75%
2.80%
2.85%
  2.78%
2.84%
2.89%
 

24 Month Certificate of Deposit or
24 Month I.R.A.
$1,000
$10,000
$50,000
  Monthly   1.25%
1.25%
1.25%
  1.26%
1.26%
1.26%
  3.25%
3.30%
3.35%
  3.30%
3.35%
3.40%
 

36 Month Certificate of Deposit or
36 Month I.R.A.
$1,000
$10,000
$50,000
  Monthly   1.50%
1.50%
1.50%
  1.51%
1.51%
1.51%
  3.25%
3.30%
3.35%
  3.30%
3.35%
3.40%
 

48 Month Certificate of Deposit or
48 Month I.R.A.
$1,000
$10,000
$50,000
  Monthly   1.75%
1.75%
1.75%
  1.76%
1.76%
1.76%
  3.25%
3.30%
3.35%
  3.30%
3.35%
3.40%
 

60 Month Certificate of Deposit or
60 Month I.R.A.
$1,000
$10,000
$50,000
  Monthly   2.00%
2.00%
2.00%
  2.02%
2.02%
2.02%
  3.50%
3.55%
3.60%
  3.56%
3.61%
3.66%
 

I.R.A. Money Market Account $250
  Monthly   1.50%   1.51%   N/A   N/A  



Our interest rate disclosure is to be used with our "account services and fees" brochure. You may call our bank at 708-485-2770 during normal lobby hours and a personal banker will be happy to answer any questions. The Best of Brookfield CD specials are for a limited time only and the rates subjected to change without notice. Fees could reduce earnings on the account.

* We use the daily balance method to calculate the interest on your account. This method applies the daily periodic rate to the balance in the account each day. The APY assumes interest remains on deposit until maturity. An interest withdrawal will reduce the stated APY.


 
   
First National Bank of Brookfield
9136 Washington Avenue
Brookfield, IL 60513

Phone: 708-485-2770
Fax: 708-485-2815
Bank by Phone (Telebanc): 1-877-445-5551
E-mail: Bank@FNBB.com

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