
Flexible Tools That Make Your Job Easier
We offer two methods of online banking for our business customers: Home Banking and Cash Management. Both offer the security and convenience you expect from online banking, but provide different advantages depending on your needs.
Compare the two services to see which will be best for your business. Contact us with any questions or for enrollment assistance. No matter which service you choose, it may be a good idea to start planning how you're going to use the time you'll save.
Home Banking
This is the same platform used by our non-business customers. Enjoy free and secure 24/7 access to your account information from virtually anywhere. Home Banking allows you to:
- Access your same-TIN checking, savings, and loan accounts.
- See account balances.
- Receive statements online.
- View cleared check images.
- Set-up automatic email alerts to notify you of account activity or status.
- Pay bills using Online Bill Pay.
- Transfer funds and schedule recurring transfers between same-TIN accounts.
- Download account information into Quicken®, QuickBooks®, or Microsoft® Money using our PFM Software Link service.
View our interactive Home Banking demo for a test drive or enroll now
Cash Management
Cash Management is a powerful tool designed specifically for our business customers who want more control over login and access levels for multiple users, or want access to ACH electronic funds transfer services for direct deposit or billing.
With our basic no-cost Cash Management services you can:
- Review your business account history and balances.
- Move funds between same-TIN accounts via book transfers.
- View cleared check images.
- Assign additional users in your company unique ID's, passwords, and access levels.
- Set automatic email alerts so you can be notified of specific account activity.
- Download account information into Quicken®, QuickBooks®, Microsoft Money®, or spreadsheet programs.
Add-on services are also available for a nominal fee. These include:
- Electronic ACH transfer (such as direct deposits for employee payroll or electronic billings to customers.)
- $10.00 per month per account activated
- $1.00 per batch processed
- $0.10 per ACH item
- $25.00 monthly maintenance fee if over 500 ACH items per month
- $5.00 per recurring ACH return (no more than one return allowed per item)
Enrollment is easy. Simply print, complete and return to us the Cash Management Agreement and Enrollment Forms to register. Allow up to five business days for account set-up. We will provide on-site training for Cash Management users and provide a convenient quick start guide. Please contact us with any questions or for additional information. Check out our Cash Management demo to see how the service can help your business and save you time.





