The Business Money Market account combines account liquidity with higher account earnings ability. Interest accrues daily on all collected funds and is compounded and credited to your account monthly. A monthly service charge of $10.00 will be charged if the average daily collected balance for the statement cycle is less than $5,000.00. This account allows up to six transfers or withdrawals per statement cycle. A fee of $10.00 will be charged for each check written or each transfer that exceeds the limit allowed by federal regulations.
Contact the bank today for current interest rates on this account.
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