We will be closed: Thursday November 28th for Thanksgiving

Business Deposit Accounts

Checking account Options

Cater To Your Business’s Needs.

Business Checking

Account
Type
Minimum
Opening
Deposit
Minimum
Daily
Balance
Monthly
Service
Charge
Account
Benefits
Business Checking
$100.00
$0
$0
Debit Card
Money Market Commercial
$2,500
$2,500
$7.50

per statement cycle and .20 per debit

Debit card, Higher rate of Interest–dependent on applicable tier
*Bank rules and regulations apply
*Accounts that are dormant for 12 months are charged a $5 fee per month until reactivated

Funds Availability Policy

Our general policy is to allow you to withdraw funds deposited in your account on the first business day after the day we receive your deposit. In some cases, we may delay your ability to withdraw funds beyond the first business day. The funds will generally be available by the second business day after the deposit.

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Earn More Interest

Business Certificate of Deposit

We offer competitive rates and periodically run CD specials. A range of terms are always available. We consistently strive to offer timely and relevant products that fit your family's needs.

For Certificate of Deposit Information, please contact a Customer Service Representative at (406)752-7123

Business Savings

Minimum
Opening
Deposit
Min. Daily
Balance To Avoid $2
Service Charge
Account
Benefits
$50.00
$100.00
Interest Earned
*Bank rules and regulations apply
*Accounts that are dormant for 18 months are charged a $5 fee per month until reactivated
Please call (406)752-7123 to get current rate information.
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