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Business Checking

Regular Business Checking - Compare Account Options

For businesses that maintain higher balances, Regular Business Checking offers these benefits:

  • A credit allowance based on the current savings rate on the average collected balance is applied to offset service charges. Deposited checks drawn on First Security Bank are not assessed the deposited item charge.
  • $5.00 monthly maintenance fee plus $.15 per check written and $.09 per check deposited.
  • No Minimum Balance
  • Unlimited Check Writing
  • 24 Hour InTouch Telephone Access
  • eStatements
  • CD-ROM Delivery

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Financial Calculators

Here are some easy-to-use, on-line calculators to help you solve some common financial problems.

View Calculators

Which account is right for your business?

All accounts include free:

  • Online Banking
  • 24-hour InTouch phone banking
  • eStatement or paper option
  • Optional eStatement
  • Debit card
  • First Security ATM Transactions
  • Deposit of First Security Checks - (E-Z Checkinga)
  • ATM, ACH & Debit withdrawals


  E-Z » Business » NOW » Money Market* (**) » Savings** »
Monthly Fee None (a) $5 (b) None (f) None (f) None (g)
Minimum Balance None None $1000 (e) $1000 (e) $25
Earn Interest     Yes (c) Yes (c) Yes
Check Writing Yes (a) .15/check (b) Yes Yes  
Deposited Items Yes (a) .09/item (d) .09/item (d) .09/item (d) .09/item (d)
Online Bill-Pay -$5/month Yes Yes Yes Yes  
Cash Management -$25/month Yes Yes Yes Yes Yes
Cash Allowance to Offset Fees   Yes      

Minimum opening deposit of $25.00 for all accounts. *A $2.00 excessive withdrawal fee is charged for each debit in excess of 6 during a statement cycle, regardless of account balance. **Transfers to another account or to third parties by preauthorized, automatic, computer,telephone transfer, check, draft, debit card, or similar order are limited to six per monthly statement cycle. We are required to change your account to an account with no transaction limitations if limits are exceeded. (a) First 500 items (combination of checks written/ items deposited) free. $.20/item after the first 500/month. (b) A credit allowance, based on current savings rate and average collected balance, is applied to the maintenance fee and item charges. (c) Tiered interest rate account on which interest rates and annual percentage yields are applicable to specific balance levels. APYs may change at any time, please contact 585-3800 for details. (d) Foreign deposited items only. (e) To earn interest & avoid service charge. (f) $10 fee assessed if balance drops below minimum required any day of the statement cycle. (g) $1.00/statement or $2.00 per quarter fee assessed if balance drops below minimum required any day of the statement cycle.