Mutual Federal Savings Bank
ONLINE BANKING
BUSINESS SERVICES
BUSINESS CONTACT

Business Accounts

Features

Business
Free
Checking

Business
Checking

Business
Checking
with Interest

Community
Checking

Business
Money
Market

Minimum to Open

$100

$100

$100

$100

$2,500

Minimum Ledger Balance

$0

$7.00*

$1,000**

$5,000***

$2,500**

Included Transactions

150

 

25

500

30

Interest paid

N/A

N/A

Monthly
3 Interest Tiers

Monthly
6 Interest Tiers

Monthly
3 Interest Tiers

Telephone Transfer Fee
Excludes Free Mutualine

$5.00

$5.00

$5.00

$5.00

$5.00
after first 3

Overdraft Protection

$5.00†

$5.00†

$5.00†

$5.00†

$5.00†

Sweep Option Available

Yes

Yes

Yes

Yes

No

Return Item Fee

$7.00

$7.00

$7.00

$7.00

$7.00

Additional Fees

$0.36 for additional
check or ACH (Automatic Transfer)
cleared after 150 monthly allotted amount.

$0.15 for
each check deposited. $0.10 for additional check cleared.

$0.15 for additional check deposited. $0.15 for additional check cleared.

$0.18 for additional
check for ACH (Automatic Transfer) cleared after 500 monthly allotted amount.

$0.25 for additional check deposited. $.00 for additional check cleared.

* $7.00 maintenance fee if not offset by earnings credit
** to offset $8.00 maintenance fee
*** to offset $12.00 maintenance fee
† per transaction

Business Internet Banking is an inexpensive way to initiate ACH (Automated Clearing House) origination for payroll and federal government tax payments. Our team of professionals will assist you in putting together a system that meets your banking needs, allowing you to focus on your business.

Features Include:

  • Automated Clearing House
    • Direct Payments: Disbursement of funds to a consumer's account such as payroll, expense reimbursement or commission
    • Direct Debits: Collection of funds from a consumer's account such as membership fees, monthly bills and regular donations
    • Corporate Transaction: Disperse and collect funds from company to company
    • Government Transaction: Tax payments and child support payments to state and federal governments
    • Reversals: Ability to reverse an ACH transaction if information or dollar amount is incorrect.
    • One-time Transaction: Ability to create a one-time transaction.
    • Check Images
    • Information Reporting
      • Transaction Activity
      • Daily Balances
      • Historical Reporting
      • Ability to print, export to download PDF files on any report within the system 
      • Export features include the ability to export files in ASCII, Quickbooks, Quicken, or BAI format to compatible software for use in account reconciliation, forecasting, projections and more
    • Internal Transfers
      • Allows money to be moved between MFSB accounts
      • Once a transaction is processed, the new balance appears instantly
    • Wire Transfers
      • Allow users to create requests for a FedWire
      • System has an ABA database to keep users' templates/transactions current
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