ACH Cash Management Minimize

Want to speed the collection of payments from your customers?  Tired of writing checks to your vendors?  Don't want wait in line at the bank to send a wire?  Cash Management from First National Bank Weatherford is a free, easy solution to all of these needs.

Our Cash Mangement system utilizes the Automated Clearing House (ACH) to electronically send and receive funds. ACH Cash Management provides commercial clients complete centralized ACH origination capabilities. This capability includes single entry debit and credit origination, scheduled recurring debit transactions, direct deposit of payroll, direct debit programs, corporate to corporate transactions, online wire transfers, and a full line of reports intended to help the cash management professional manage their companies cash flow.

 

Why use our ACH Cash Management?

  • Initiate and manage ACH transactions
  • Transfer funds from internal or external accounts
    • Commissions and Corporate-to-Corporate payments
    • Company benefits
    • Pensions & annuity distributions
  • Manage payroll and collections
    • Offer clients employees the option to directly deposit their pay to any U.S. bank.
    • Save the time and expense of preparing all those payroll checks
    • Employees no longer need to stand in line at the bank to deposit their checks
 

What's the bottom line on our ACH Cash Management?

ACH Cash Management makes it possible for commercial clients to access a secure, reliable, high volume, online ACH cash management services. ACH Cash Management automates your commercial customer's connection with your financial institution, while opening new opportunities for you to blend personal service with Internet technology. More importantly, it creates an additional delivery channel to drive incremental products, services and customer retention for your commercial client.

 

ACH Cash Management is a cost-effective way to pay suppliers and employees. It is a low-cost alternative to check writing that helps commercial client manage account balances. By facilitating payments through the Automated Clearing House, ACH Cash Management helps client slash expenses for printing, distributing and reconciling paper checks, and determines the date of settlement of account.

 

ACH Cash Management delivers:

  • Automated settlement and reporting
  • Improved cash forecasting
  • Secure file transfer
 
 
TO APPLY:

Click the "Personal Info" button inside your Online Banking account and request access under "Your Permitted Functions" section. Or give us a call and we will activate ACH Cash Management on your existing account.

 
 
 
 
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