• We are available for any custom works this month
  • Main office: Springville center X264, Park Ave S.01
  • Call us (123) 456-7890 - (123) 555-7891

Business Accounts

Business Checking Accounts:

Businesses have different cash management needs. We understand. Let’s discuss your needs and how we can help.

Main Street Business Checking

  • Minimum opening balance $100
  • Unlimited deposits
  • Monthly fee and per debit item fee
  • Credits based on balance may offset fees

Business Interest Checking Accounts

  • For Nonprofit Organizations or Government Agencies
  • Opening Minimum Balance $1,000
  • Interest compounded daily on qualified balances and credited monthly
  • Monthly fee waived with minimum daily balance
  • Per debit fee

Business Savings Accounts:

We can help you save for inventory and equipment or expansions and growth. Our savings accounts are FDIC insured and designed to meet short term and long term savings needs.

Business Savings

  • Opening Minimum Balance $100
  • Interest compounded daily and credited quarterly
  • Service charge waived provided you maintain a minimum daily balance of $100 and do not exceed 6 withdrawals during the quarter
  • A debit charge will be charged for each withdrawal in excess of six during a quarterly statement cycle

Business Money Market Account

  • Business Money Market accounts let you optimize assets as you earn competitive interest on funds. You also enjoy the freedom of immediate access.
  • Minimum opening balance $1,000
  • Interest compounded daily and credited monthly
  • Service charge waived provided you maintain a minimum daily balance of $1,000 and write no more than 6 checks per month.
  • A debit item fee will be charged for each third party transaction in excess of six per statement cycle.