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Analyzed Business Checking

Larger businesses that need a more sophisticated cash flow management solution can benefit from the range of treasury management products that accompany this highly competitive account. Each month you will receive a complete statement of all account activity - such as per debit and per ACH items - with images of all deposit slips and canceled checks.

  • $500 minimum deposit to open
  • $8 Monthly maintenance fee
  • Per-item fees and charges based on account analysis*
  • Earnings credit may offset or minimize fees
  • Integrated Cash Management Services available

*Please stop by one of our local branches to visit with a bank representative for complete details on this product, including applicable fees and charges associated with the Analyzed Business Account and Cash Management Services.

Financial Learning Center

Your source for business financial learning. Business Avice, Identity Theft, Fraud prevention, and more.

Safe Deposit Boxes

Protect important business documents or other valuables. Safe deposit boxes are available in a wide range of sizes at many of our branches.

Telephone Banking

Call (208) 528-6661 or toll free (888) 279-8075 - 24 hours day, seven days a week - to initiate fund transfers and access basic account information such as account balances, cleared items and deposits.

Teller Services

When you visit your nearest branch, you can take advantage of a wide range of in-person services including:

  • Cashier's checks
  • Fax service (account holders only)
  • Money orders
  • Reloadable pre-paid cards
  • Business Change Orders
  • Wire Origination Services
  • Credit Card Advances
  • Notary Services (account holders only)

Wire Transfers

Quickly move money between accounts, nationally or internationally. Additional information about wire transfers is available by contacting a representative at your local branch.

Bill Payment

Simplify how your business pays bills and start saving your employees time with Bill Pay through Treasury Management. 

Interactive Video Player
  • Simplify bill management
  • Multiple user access with payment dual control available
  • Electronically link invoice and credit memo information with your payments
  • Save money on postage stamps
  • Pay bills quicker and more securely
  • Set up advance or recurring payments

eStatements

Instead of waiting for paper statements to arrive in the mail, sign up to receive your statements via email. Once enrolled, you will be able to view and manage statements through your Business Online Banking account.

  • Secure and easy to read
  • Avoid excess clutter and filing hassles
  • Receive statements quicker than by mail
  • Access past statements online
  • Download and/or print statements as needed

ACH Origination

Initiate Automated Clearing House (ACH) payments and debits for increased efficiency.

  • Deposit payroll automatically to employees' accounts
  • Collect recurring payments
  • Save money and reduce accounting errors

Sweep Accounts

Automate your business' daily cash management and maximize interest earnings overnight without sacrificing liquidity. At the end of each day, excess funds from business checking accounts will be moved into an interest-bearing account, and then moved back the next morning when you need it. It's a fully automated way for your business to make money while you sleep!

  • Turn idle funds into a revenue-generating source
  • Maximize investment balances
  • Increase profitability
  • Enhance your bottom line without added work
  • Fully automated service
  • Link to any business checking account
  • Excess funds automatically swept into an interest-bearing account
  • Funds are automatically swept back into the checking to cover expenses
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