Business Banking

Business Banking Rates

The annual percentage yields (APY) are accurate as of April 23, 2014 and are subject to change without notice. The annual percentage yield on all Time Deposits with a term length indicated in a range of days/months is calculated on the maximum term length for that particular deposit.

Time Deposit (CD)
Product Minimum Opening Deposit Interest Rate APY
4 week $10,000 .15% .15%
13 week $10,000 .15% .15%
6 month $1,000 .30% .30%
1 year $1,000 .55% .55%
2 year $1,000 .75% .75%
3 year $1,000 1.00% 1.00%
4 year $1,000 1.19% 1.20%
5 year $1,000 1.44% 1.45%
  • (D) 1.25% for the first six months, 1.50% for the last six months.
  • The APY assumes interest will remain on deposit until maturity.
  • Time Deposits automatically renew.
  • Penalty may be imposed for early withdrawals.
  • Disclosure
Money Market
Product Minimum Opening Deposit Interest Rate APY.
$9,999.99 $2,500 .15% .15%.
$10,000 – 49,999.99 $2,500 .25% .25%.
$50,000 – 99,999.99 $2,500 .30% .30%.
$100,000 and up $2,500 .35% .35%.

Prestige Money Market Account

Product Minimum Opening Deposit Interest Rate APY
Prestige Money Market $2,500 . .
Daily Balances of: . . .
Up to $199,999.99 . .15% .15%
$200,000.00 – 399,999.99 . .35% .35%
$400,000.00 and up . .45% .45%

  • The interest rate and APY may change after account opening.
  • Fees may reduce earnings.
  • Disclosure
Interest Checking
Product Minimum Opening Deposit Interest Rate APY
Interest Checking $1,000 .15% .15%
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