Business Checking - Forte Bank
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Business Checking Account Comparisons

Business Checking Account Comparison

  Small Business Checking
Open Account
Small Business Checking Plus
Open Account
Business Checking
Open Account
Is it Right for You? Offers simplicity, value, and convenience for newer or smaller businesses.
Provides flexibility and value for businesses with the option to earn interest.1
Designed for high transaction volume businesses. This is an analyzed account - balances earn a credit that may offset eligible monthly service fees.
Initial Deposit $100
$5,000
$100
Minimum Balance None
$5,000 minimum daily balance required to earn interest
None
Free Combined Transactions per Month

5002
5002
See chart below
Cost per Excess Transaction $0.15
$0.15
See chart below
Debit Card Yes*
Yes*
Yes*
Online Banking Yes***
Yes***
Yes***
24-Hour Telephone Banking Yes
Yes
Yes
ACH Origination Yes, with Business Online  Banking only
Yes, with Business Online Banking only
Yes, with Business Online Banking only
Remote Deposit Capture Yes, with Business Online Banking only
Yes, with Business Online Banking only
Yes, with Business Online Banking only
Free e-Statement Yes**
Yes**
Yes
Monthly Service Fees $5.00 fee per cycle period for requested paper statement
$10 if balance falls below $5,000; $5.00 fee per cycle period for requested paper statement
Check Image Statement
  • Monthly maintenance fee —$12.00
  • Charge per check written — $0.12
  • Charge per deposit —$0.15
  • Charge per transit item — $0.10
Check Safekeeping
  • Monthly maintenance fee —$6.00
  • Charge per check written — $0.10
  • Charge per deposit —$0.12
  • Charge per transit item — $0.08

More Information Small Business Checking
Small Business Checking PLUS
Business Checking


Fees could reduce earnings on the account.
1Rate of interest subject to change after account is opened.
2Item count includes deposits, deposited items, checks written and credit/debits.
*A fee will be assessed for transactions conducted at non-Forte Bank ATMs. A surcharge fee may also be applied by the ATM owner, unless the ATM owner is a member of the ATM Access network.
**$5.00 fee per cycle period for requested paper statement.
***Fees may apply for Business Online Banking with optional ACH and Remote Deposit capture.