Business Checking Account
Manage Your Business Transactions with Ease.
A City Trust Bank Business Checking Account gives your company the flexibility to handle daily operations, payments, and disbursements efficiently. Designed for businesses of all sizes, it’s the smart solution for smooth cash flow management.
Features & Benefits
Unlimited Deposits
Add funds anytime to keep your business moving.
Unlimited Check Writing
Issue as many checks as needed, subject to available funds.
Linked Transfers
Automatically move funds from your savings account to your checking account when needed.
Reliable Recordkeeping
Simplify monitoring of expenses and transactions.
Opening Requirements
1
Minimum Initial Deposit
$500.00
2
Minimum Monthly Balance
$500.00
3
Required Documents (depending on entity type)
Sole Proprietorship: Business License, Tax ID/Social Security, valid IDs of owner.
Partnership: Business License, Tax ID, Articles of Partnership, authorization agreement, valid IDs & specimen signatures of authorized signers.
Corporation: Business License, Tax ID, Certificate & Articles of Incorporation, By-laws/Corporate Resolution, Annual Report, Board Resolution for account authorization, valid IDs & specimen signatures of authorized signers.