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Treasury Management is a set of powerful financial tools
designed to provide your business with the solutions
you need to run your business more efficiently.
Our financial experts will work closely with you
to develop an effective treasury management program,
using our professional treasury Management products.
We will help you maximize your daily cash flow,
simplify your financial transactions, manage your
financial risk through the automatic monitoring
and controlling of our account balances, and earn
interest on excess cash with money building sweep
accounts.
Here are some of the specific treasury management
solutions available:
- Internet access to your account and financial
information.
- ACH capabilities including payroll direct deposit
and tax payments.
- Transfer funds and make payments.
- Import account history and information to your
favorite spreadsheet,
Quickbooks®, Quicken®, Money, or format
information using delimited or HTML.
- Initiate wire transfers.
- Generate stop payment requests.
- Pay federal taxes.
- Sweep and balance alerts.
- Easily view your account history, including
check images.
- Prevent check fraud with Positive Pay, which
allows you to review and make
payment decisions on exception items.
- Add convenience and safety with our Mobile Banking
service that brings the
bank right to your business!
- Manage purchases with business debit and credit
cards.
- Credit card processing programs.
To discover how your company can save time and
money with our effective treasury management tools,
please contact Denise
Lombardo, treasury Management Services Manager
at (616) 588-7461 or contact Joel
Rahn, Executive Vice President, Chief Lending Officer
at (616) 588-7424.
Log-in to Treasury Management Services
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