Checking & Savings

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Below are some details on our Business Checking and Savings accounts. Please review these and contact us with more questions. One of our team members would be happy to meet with you on the best options for your business. We look forward to welcoming you into the Town and Country Bank Midwest family!

Business Checking

Opening Balance: $100
Service Charge: $10 per month
Per Item Charge: See account analysis fee schedule. Fees offset by an earnings allowance credit.
Interest: None

Interest Checking

Free M/C Debit Card
Opening Balance: $1000
Balance to Avoid Service Charge: $1000
Service Charge: $8 per month if the average daily balance is less than $1000. A debit fee of $.25 will be charged for all debits in excess of 20 per statement cycle.
Interest: Call us for our rates.
Unlimited Check Writing
Monthly Statement with Imaged Items

Money Market Checking

Opening Balance: $2500
Balance to Avoid Service Charge: $2500
Service Charge: $10 per month
Excess Activity Charge: A fee of $5.00 will be charged for each debit transaction (withdrawal, check paid, automatic payment from this account) in excess of six per statement cycle.
Interest: Call us for our rates.
Limited Check Writing
Monthly Statement with Imaged Items

Money Market Special Checking

Opening Balance: $75,000
Balance to Avoid Service Charge: $75,000
Service Charge: $25 per month
Excess Activity Charge: A fee of $5.00 will be charged for each debit transaction (withdrawal, check paid, automatic payment from this account) in excess of six per statement cycle.
Interest: Call us for our rates.
Limited Check Writing
Monthly Statement with Imaged Items


Business Savings

Opening Balance: $50
Must maintain balance of: $50
Excess Activity Charge: $1 per withdrawal in excess of 8 per quarter
Interest: Interest compounded daily, credited to your account quarterly.
Call for rates.

Certificates of Deposit

Opening balance: $1,000
Terms: Various terms available
Call for rates.