Since our founding in 1941, Broadway Bank’s business banking approach has been centered on bringing our customers sound, innovative ways to optimize the use of cash. Our Treasury Management Services provide solutions for informed, effective decision-making that works to increase business growth and profitability.
Manage Cash Flow and Put Time Back in Your Day
Broadway Bank’s Treasury Management options help Austin area businesses:
- Remote Deposit Express – Deposit checks directly from your desktop
- ACH Collection – Collects recurring receipts like loan payments, membership dues, charitable contributions, etc.
- Lockbox Services – Save time and money associated with processing remittances in-house
Manage Daily Cash Position
- Financial Electronic Data Interchange-Receiving (FEDI) – Efficiently manages handling, processing and filing of return invoices
- iBiz® – Get 24/7 access to your accounts to transfer funds, pay bills, reconcile accounts, make wire transfers – even receive email balance alerts
- Online Stop Payments
Reduce Paperwork and Manage Cash Outflow
- ACH Disbursement – Make recurring payments electronically – including payroll
- Zero Balance Accounts – Eliminates needs for cash balances in multiple disbursement accounts
- Automated Wire Transfers
- Positive Pay – Helps reduce check fraud
Maximize Earnings on Cash
- Investment Sweep – Invests extra cash at all times for maximum return
- Loan Sweep – Utilizes your Business Line of Credit and Business Checking Account to help avoid overdrafts and minimize interest expenses
Find Out How Treasury Management Can Benefit Your Austin Area Business
Click here for more information on Treasury Management Services, or contact us at 800.531.7650.