First Nations Bank
 
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Deposit Products
Business Chequing Account
Business Savings Account
U.S. Dollar Business Chequing Account
CDIC Information

Business Chequing Account

Customer Benefits

  • Convenient ways to make deposits to your account: in-branch, at Green Machine ABMs, night depository service, telephone and Web transfers from another account or deposits from your customers' VISA, other credit card and Interac Direct Payment purchases through point-of-sale terminals.
  • Point-of-sale (POS) terminals available to process credit and debit card payments received from your customers.
  • Record-keeping is easy through a monthly statement including cheque-return plus free account history inquiries through the Green Machine ABMs, EasyLine telephone banking or EasyWeb Internet banking.
  • Cover any unexpected expenses with Business Overdraft Protection.
  • Add a Business Line of Credit.
  • A Pre-authorized Transfer Service that saves you time and money when you're transferring funds between business accounts.

Service Plans

    Whether you conduct a few or numerous transactions a month, there's a Service Plan to meet your needs.
  • Service Plans for in-branch and electronic access
  • Pay-As-You-Go Plan for irregular account activity
  • Community/Non-Profit Association Plans for non-profit associations
  • Service Plans for the U.S. Dollar Business Chequing Account

Click here for Business Banking Service plans.

Click here for a list of Account Related Fees.

Business Savings Account

The Business Savings Account is our savings account that offers competitive tiered daily interest rates and offers instant access to your funds. It combines high daily interest with the convenience of The Green Machine, EasyLine and EasyWeb access. Customers can transfer between a business chequing and savings account to maximize their interest.

Customer Benefits

  • Tiered, competitive interest rates
  • Record-keeping is easy with a monthly statement
  • 24 hour access to funds with no interest rate penalty
  • A Pre-authorized Transfer Service that saves you time and money when you're transferring funds between business accounts

U.S. Dollar Business Chequing Account

The U.S. Dollar Business Chequing Account is a U.S. currency operating account with tiered daily interest. The account is designed for customers who conduct business in U.S. dollars and wish to maintain their deposits in U.S. dollars. Choose from a selection of Business Account Service Plans that allow your business to make U.S. dollar deposits and write cheques for a low monthly fee.

Customer Benefits

  • Tiered competitive interest rates
  • Record-keeping is easy with a monthly statement including cheque-return.
  • A Pre-authorized Transfer Service that saves you time and money when you're transferring funds between business accounts.