- $250 minimum opening deposit
- Quarterly service charge – $5.00
- Minimum daily balance to avoid service charge – $25.00
- Withdrawal/Debit Fee – first 9 in quarterly statement free
- After 9, $10.00/each
- eStatements are free; paper statements are charged $5 per quarter
The Bank will be closed on Monday, October 9th for the federal holiday Columbus Day & Indigenous People's Day. Click here for a list of all holiday closings.
Business Savings
Set your business up for success.
Saving for now, saving for the future.
Safeguard your money and earn interest while maintaining the liquidity your business may need.
Overview 7
Required Documentation
- SS4 document providing EIN # (or filed tax return)
- Signed Operating Agreement (LLC) or Articles of Incorporation (INC) or other documentation outlining Business/Organization.
- Meeting minutes (if applicable)
- Information on all signers: Name, DOB, SSN, Address, Valid ID, MMN, PW, email
- Registered with Secretary of State or other appropriate agency