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To Open A Town Center Bank Business Account simply click here. Print and complete a Commercial New Account Information sheet and fax it back to us at (972) 459-3220 or call us at (972) 692-9900. We would be happy to assist you.
Important Information Regarding Procedures for Opening a New Account
To help government fight the funding of terrorism and money laundering activities, Federal Law requires all financial institutions to obtain, verify, and record information that identifies each person who opens an account.
What this means for you: When you open an account, we will ask you for your name, address, date of birth, and other information that will allow us to identify you. We may also ask to see your driver's license or other identifying documents.

Checking Accounts


Business Analysis Checking


Our Business Analysis Checking Account includes:
  • Credit earned on average investable collected balance to offset monthly service charge and transaction fees (See Requirements)
  • Free online banking
  • Cash Management available
  • Free telephone banking
  • Imaged checks
Requirements
  • $15 monthly maintenance fee
  • $.15 per check paid; $.30 per deposit; $.06 per deposited item
  • If the earnings credit calculation exceeds the activity charges, then there is no service charge for that month. If the activity charges exceed the earnings credit calculation, your account will be charged the net difference.
  • $250 minimum opening deposit

Business Checking


Our Business Checking Account includes:
  • 100 debits and credits in aggregate per month; plus 200 deposited items per month.
  • Additional debits & credits over 100 are charged $1.00 each.
  • Additional deposited items over 200 are charged $0.25 each.
  • Free online banking
  • Free telephone banking
  • Imaged checks
Requirements
  • $15 monthly service charge; Waived with $5,000 minimum daily balance or a $10,000 average daily balance.
  • $250.00 minimum opening deposit

Business Value Checking


Our Business Value Checking includes:
  • 50 debits and credits in aggregate per month; plus 100 deposited items per month.
  • Additional debits & credits over 50 are charged $1.00 each.
  • Additional deposited items over 100 are charged $0.25 each.
  • Free online banking
  • Free telephone banking
Requirements
  • $10 monthly service charge; Waived with $1,500 minimum daily balance or a $3,000 average daily balance.
  • $250 minimum opening deposit.

Business Value Checking for Non-Profit Organizations


Our Non-Profit Value Checking offers:
  • Free Checks (bank stock checks, limit 3 orders per year)
  • Free online banking
  • Free telephone banking
  • Limit 50 checks (debits) per month
  • Over 50 debits, $0.50 per debit
Requirements
  • No monthly service charge.
  • $250 minimum opening deposit

Money Market Account

Our Money Market Account features:
  • A competitive rate of interest based upon your balance with limited check writing.
  • Free check card
  • Free online banking
  • Unlimited lobby & ATM withdrawals
  • Free telephone banking
  • Imaged checks
Requirements
  • $12 monthly service charge; Waived with $2,500 minimum daily balance.
  • Limited to six third party transactions/month
  • $100 minimum opening deposit



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