Checking

Community Companion Checking

Designed for local and community-based non-profit organizations with low transaction volume.

  • $5.00 maintenance fee per statement cycle, or $3.95 maintenance fee per statement cycle with enrollment in e-statement program
  • $500 minimum daily balance, or a $5,000 deposit relationship to avoid the monthly maintenance fee
  • Transactions are limited to 50 per month—$0.30 per transaction over the limit. Transactions include: deposits, deposited items, in-clearing checks, ACH debits and ACH credits.
  • Tiered interest that pays the rate applicable to the balance in that tier (see a First Bank representative for rate schedule)
  • Free Internet Banking
  • Cash Management products available based on needs of the business

Sole Proprietor Business Checking

Designed for sole proprietors with minimal account activity, and who want a simple and affordable checking solution.

  • $5.00 maintenance fee per statement cycle, or $3.95 maintenance fee per statement cycle with enrollment in e-statement program
  • $500 minimum daily balance, or a $5,000 deposit relationship that includes a personal checking account to avoid the monthly maintenance fee
  • Transactions are limited to 50 per month—$0.30 per transaction over the limit. Transactions include: deposits, deposited items, in-clearing checks, ACH debits and ACH credits.
  • Tiered interest that pays the rate applicable to the balance in that tier (see a First Bank representative for rate schedule)
  • Free Internet Banking
  • Overdraft Protection
  • Cash Management products available based on needs of the business

First Class Business Checking

Designed for businesses with low and predictable monthly transaction activity. A great place to start for a basic checking account with a full range of benefits.

  • $10.00 maintenance fee per statement cycle
  • $5,000 minimum daily balance, or a $10,000 deposit relationship to avoid the monthly maintenance fee
  • Transactions are limited to 150 per month—$0.35 per transaction over the limit. Transactions include: deposits, deposited items, in-clearing checks, ACH debits and ACH credits.
  • Business Internet Banking packages available
  • Visa Business Check Card
  • Business Credit Card
  • Business Overdraft Solutions available
  • Cash Management services available.

First Business Select Checking

Designed for businesses that can maintain higher balances and have moderate to high transaction activity.

  • $15.00 maintenance fee per statement cycle
  • $25,000 minimum daily balance, or a $100,000 deposit relationship to avoid the monthly maintenance fee
  • Transactions are limited to 500 per month—$0.35 per transaction over the limit. Transactions include: deposits, deposited items, in-clearing checks, ACH debits and ACH credits.
  • Business Internet Banking packages available
  • Visa Business Check Card
  • Business Credit Card
  • Business Overdraft Solutions available
  • Cash Management services available.

First Business Select Plus Checking

Designed for businesses that can maintain higher balances, have moderate transaction activity, and that wish to earn interest on the account balance.

  • $15.00 maintenance fee per statement cycle
  • $25,000 minimum daily balance, or a $100,000 deposit relationship to avoid the monthly maintenance fee
  • Transactions are limited to 350 per month—$0.35 per transaction over the limit. Transactions include: deposits, deposited items, in-clearing checks, ACH debits and ACH credits.
  • Tiered interest that pays the rate applicable to the balance in that tier (see a First Bank representative for rate schedule)
  • Business Internet Banking packages available
  • Visa Business Check Card
  • Business Credit Card
  • Business Overdraft Solutions available
  • Cash Management services available.

First Business Analysis Checking

Designed for businesses with higher monthly account balances and transaction volume. Customers have access to a variety of cash management services and will receive an earnings credit rate to help offset account fees.

Please contact a First Bank representative for services and associated fees.

Commercial Checking-Savings Overdraft Sweep

Automatically transfers monies from your business savings account to your business checking account, allowing you to avoid non-sufficient items.

Commercial Overdraft Line Sweep

Automatically transfers monies from your line of credit to your business checking account to cover checks and ACH transfers.

Line Sweep Manager

Monies are automatically transferred from a line of credit into your business checking account when needed. Excess funds over the predetermined target balance will be used to pay the line of credit.

Positive Pay

Being able to see checks before they are posted to the account allows you to deter fraud. You decide what is paid that day.

Online Banking

Did You Know?

You can deposit checks online using a scanner. You can deposit checks online.
Learn more

Dept. Contacts

For more information or assistance with any of our business products, please contact your nearest First Bank Branch Manager.

Note: Please do not include any personal or account information when submitting an e-mail. E-mail messages are not encrypted. If you need to give personal or account information, please telephone us or stop by one of our convenient locations.