Sentences with phrase «complete business checking account»

Webster Complete Business Checking account is a comprehensive banking solution designed with all the services and features you need to run your business and help manage your cash flow — all for one, low, fixed monthly fee.
All charges for excess transactions and excess daily cash deposits will apply to the additional Webster Complete Business Checking accounts.
Webster will waive the monthly maintenance fee on up to two additional Webster Complete Business Checking accounts when you open and maintain a Webster Complete Business Checking account.
By opening a primary, and one to two additional, secondary Webster Complete Business Checking accounts, you now have a «relationship package».
You may create a relationship package of up to 3 Webster Complete Business Checking accounts.
Monthly service charge can be waived by maintaining a monthly average balance of at least $ 7,500 in up to 3 linked Webster Complete Business Checking accounts (the «relationship package»).

Not exact matches

Account only available with a Webster Complete Business Checking or Webster Commercial Checking for Small Business Account only available with a Webster Complete Business Checking or Webster Commercial Checking for Small Business accountaccount
Account must be maintained with Webster Complete Business Checking or Commercial Checking for Small Business or the interest rate will default to the Business Money Market interest rate.
WebChecks, eStatements and other online business checking account access options enables you to monitor transactions, get information, complete applications, and more.
Complete this application to open a new Business Checking, Savings, Money Market or Certificate of Deposit account.
Must open a new Webster Complete Business Checking or Webster Complete Business Checking with Interest account to take advantage of enhanced Merchant Service features.
The monthly service fee is $ 45 with a business checking account or $ 35 with Webster Complete Business Cbusiness checking account or $ 35 with Webster Complete Business Cchecking account or $ 35 with Webster Complete Business CBusiness CheckingChecking.
Must open a new Webster Complete Business Checking or Webster Complete Business Checking with Interest account to take advantage of enhanced Payroll Service features.
Same - Day (currently unavailable): If you have a Wells Fargo checking account, you are eligible to select our Same Day deposit service (as long as you complete the application process before 11 a.m. PT on business days only).
Our Business Connect program features a complete lineup of value - driven services, including business checking and savings accounts, to meet the unique needs of any size bBusiness Connect program features a complete lineup of value - driven services, including business checking and savings accounts, to meet the unique needs of any size bbusiness checking and savings accounts, to meet the unique needs of any size businessbusiness.
Bonus will be deposited into your new checking account within 10 business days of completing qualifying activity requirements.
Chase is offering a bonus of $ 500 when you open a new Chase Performance Business checking account, you need to complete the following requirements... Read More →
I got a snail - mail mailer today with the following offer: Open a new Chase Total Business Checking account and complete qualifying activities.
• Verify the accuracy of invoices and checks and post relevant information in predefined accounting databases • Prepare and submit invoices and handle payments • Coordinate cash and check deposit activities • Sort and enter accounts payable and receivable data into company database • Prepare and produce accurate financial statements such as balance sheets • Maintain record of assets and liabilities and complete and deposit tax returns • Reconcile bank statements and manage cashbook management on a daily basis • Issue and maintain records of petty cash • Audit accounts to ensure accuracy and address any discrepancies found during auditing procedures • Process refund requests and reconcile monthly statements • Post details of business transactions including received and disbursed funds • Type vouchers, invoices, bank drafts, checks and reports • Post cash receipts and expenses in designated accounts software • Report accounting discrepancies to supervisors and assist in resolving them and any issues that customers may have with their accounts • Compile and maintain financial records of the company by recording and summarizing data • Keep record of business transactions, compute costs and verify bills • Create statistical records by combining data and performing computations • Prepare payrolls and transfer employees» salaries to their accounts on a monthly or bi monthly basis • Manage day to day internal controls and arrange for purchase orders to be prepared
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