Business Deposit Accounts

At First National Bank - Fox Valley we are dedicated to helping our community and local businesses grow and succeed. With more customers maintaining deposit balances, FNB Fox Valley can help extend loans to more businesses.  The future of our communities lies in the accomplishments of our local businesses, so we are dedicated to finding the right deposit solutions for our clients. 

Business First Checking  

This non-analyzed deposit account is best for businesses with activity levels up to 350 transactions per month and simple online banking needs like viewing accounts and internal transfer activity.  

Standard Business Checking

This analyzed deposit account is ideal for businesses with more complex cash management needs and higher volume checking account activity.  Monthly service fees and activity charges may be offset by earnings credit received for balances maintained.  Secure online banking services, including optional treasury management services are designed to help you effectively manage your business cash flow cycles.     

Nonprofit Business Checking

This business checking account option is specifically designed to meet the needs of nonprofit organizations.  Service fees may be applicable if treasury management needs are complex.

Business Money Market Account Options

For businesses that want to maximize the return on idle balances while keeping deposits liquid.  Tiered interest rate provides returns based on account balance maintained.
If you are looking for deposit insurance coverage over the FDIC limit, Certificate of Deposit Account Registry (CDARS) / Insured Cash Sweep (ISC®) may be a great option for your business needs.   

Getting Started with Business Deposit Accounts

If you have questions about any of FNB Fox Valley’s business deposit or Money Market accounts, our staff will gladly answer them. Visit us in person at any of our offices, email us or call 920.729.6900 during normal business hours.