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Business & Agricultural Checking

Our business checking accounts are designed to support the day-to-day financial needs of businesses, nonprofits, and organizations of all sizes. Whether you’re looking for a straightforward checking account, an interest-bearing option, or a solution that combines check writing with an interest-bearing sweep account, we offer flexible choices to fit how you operate. Each account includes convenient tools and add-on services—such as debit card access, fraud monitoring, online and mobile banking, and remote deposit options—to help you manage cash flow efficiently and securely.

Business Checking Account Products

Regular Business Checking

Regular Business Checking is a practical, cost-effective account designed to meet the everyday banking needs of businesses of all sizes. With unlimited deposits, a low monthly maintenance fee, and a minimum opening deposit of $100, it provides a simple way to manage daily transactions. The account includes a free MasterCard® ATM/Debit Card, free Blissnet™ Online Banking with Bill Pay, and eStatements for convenient account access and management.

Interest-Bearing Business Checking

Interest-Bearing Business Checking is designed for sole proprietorships and nonprofit organizations, including churches and public funds, that want to earn interest while maintaining easy access to their funds. This account offers unlimited deposits, a low monthly maintenance fee, and interest earnings with a minimum opening deposit of $1,000. Customers also enjoy a free MasterCard® ATM/Debit Card, free Blissnet™ Online Banking with Bill Pay, and eStatements to help manage finances efficiently.

Money Market Plus

Money Market Plus combines the flexibility of a regular business checking account with the earning potential of an interest-bearing sweep account. This two-account structure allows funds to move automatically into the sweep account to earn interest while still supporting check writing and everyday transactions. With unlimited deposits, a low monthly maintenance fee, and convenient digital banking tools—including a free MasterCard® ATM/Debit Card, free Blissnet™ Online Banking with Bill Pay, and eStatements—Money Market Plus is well suited for businesses that maintain higher balances and want their funds working harder.

Ordering New Checks

Our check ordering system was updated in 2018. If this is your first time reordering checks since then, please call or visit us so we can update your order information. Once your information is on file, you can conveniently reorder checks online by clicking here.

Checking Account Reconciliation Form (Printable PDF)

A printable PDF form to help you reconcile your checking account. Please note that Adobe Reader (or a compatible PDF viewer) is required to view and print this form. Click to download

Checking Account Reconciliation Worksheet (Excel Spreadsheet)

This Microsoft Excel based spreadsheet will help you reconcile your checking account. Please note that Microsoft Excel (or a compatible spreadsheet editor) is required to open and edit this spreadsheet file. + Click to download

    Talk to Our New Accounts Team

    Tell us a little about what you're looking for and our new accounts team will follow up. Whether you're opening a checking or savings account, exploring a CD or money market option, or setting up an IRA or HSA, we'll help you find the right fit. Fill out the form below and we'll be in touch during our next business day.




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    Client Service Hours: 9:00 AM to 5:00 PM Monday through Thursday, 9:00 AM to 5:30 PM Friday.