Cash Management provides commercial customers with online account access, transaction origination, and complete account management capabilities. This solution’s online capabilities strictly enforce the industry’s highest security standards and include wire transfers, ACH originations, file uploads, access to transactional information and account activity, balance and float reporting, payments, and statement retrieval.
Check images are available on a monthly, quarterly, semi-annual, or annual basis for the low of fee of $25.00. Minnesota National Bank Cash Management, improves commercial customer self-sufficiency, interaction, and retention by leveraging the power and convenience of the Internet to provide greater control and 24/7/365 service.
Contact us for complete details or download our flyer.