BUSINESS BANKING

Checking Account
Business Free 50 Checking
Business Checking
Money Market Account
Money Market Plus Account
Business Fusion Account
Interest Checking (Non-Profit Organization ONLY)
Savings Account
Business Savings
Business Fusion CD* (Customized Deposit)
Time Deposit Account
Christmas / Vacation Club Account
Club Savings Account
Certificate of Deposit
Other Services
On-Line Banking & Bill Payment
Cash Management
e-Deposit Service
Wire Transfer
Overdraft Protection
Sweep Transaction Service
Safe Deposit Box
Federal Tax Payment
E-Statement Service
Cashier's Check & Money Order

Checking Account

    • Opening Deposit of $100 or more
    • No Monthly Maintenance Charge
    • Must maintain $0.01 or more at end of each day
    • Free Check/Debit upto Fifty (50) per Month
    • Free Internet Banking and Bill Payment Service
    • Cash Management Service is Available
    • E-Deposit Service is Available
    • Debit Card is available
    • Opening Deposit of $2,000 or more
    • Maintenance Charge: Must maintain monthly balance of $2,000 or more
    • Free Internet Banking and Bill Payment Service
    • Cash Management Service is Available
    • E-Deposit Service is Available
    • Debit Card is available
    • Opening Deposit of $2,000 or more
    • Interest Payment: Must maintain daily balance of $2,000 or more based
      on tier rates
    • Maintenance Charge: Must maintain daily balance of $2,000 or monthly
      balance of $5,000
    • A maximum of six(6) pre-authorized withdrawals, automatic, telephone,
      or internet banking transfer, check, draft, and debit card or similar
      transactions from your account to third parties per statement cycle.
    • Free Internet Banking and Bill Payment Service

    • Opening Deposit of $500,000 or more
    • Interest Payment: Must maintain daily balance of $2,000 or more based
      on Tier Rates
    • Maintenance Charge: Must maintain daily balance of $2,000 or monthly
      balance of $5,000
    • A maximum of six(6) pre-authorized withdrawals, automatic, telephone,
      or internet banking transfer, check, draft, and debit card or similar
      transactions from your account to third parties per statement cycle.
    • Free Internet Banking and Bill Payment Service
    • Opening Deposit of $25,000 or more
    • Interest Payment: Must maintain daily balance of $2,000 or more based
      on tier rates
    • Maintenance Charge: Must maintain monthly balance of $5,000
    • A maximum of six(6) pre-authorized withdrawals, automatic, telephone,
      or internet banking transfer, check, draft, and debit card or similar
      transactions from your account to third parties per statement cycle.
    • Sweep Transaction Service is Available upto six (6) per month if other
      account lined has overdraft
    • Free Internet Banking and Bill Payment Service

    • Opening Deposit of $2,000 or more
    • Interest Payment: Must maintain monthly avage balance of $2,000
    • Maintenance Charge: Must maintain daily balance of $2,000
    • Non-Profit Organization ONLY (IOLA Account is Available)
    • Free Internet Banking and Bill Payment Service
Copyright ¨Ï NewBank All Rights Reserved Any question to newbank@newbankusa.com Address : 146-01 Northern Blvd. Flushing, NY 11354 Tel : 718-353-9100, FAX 718-353-9110