BUSINESS BANKING

Checking Account
Business Premier Checking Account
Business Free 50 Checking Account
Business Checking Account
Money Market Account
Money Market Plus Account
Fusion Account
Interest Checking Account (NOW) - Non-Profit Organization ONLY
EZ NOW Checking Account -
Non-Profit Organization ONLY

Savings Account
Statement Savings Account
Fusion CD* Account (Customized Deposit)
Time Deposit Account
Christmas / Vacation Club Account
Installment Club Savings Account
Certificate of Deposit Account
Other Services
On-Line Banking & Bill Payment Service
Cash Management Service
e-Deposit Service
Wire Transfer Service
Overdraft Protection & Sweep Transaction Service
Safety Deposit Box Service
e-Statement Service
Cashier's Check & Money Order Service
Mobile Banking Service (m-banking)

Savings Account

    • Opening Deposit of $100.00 or greater
    • Required Monthly Average Balance of $300.00 or greater for Interest Payment
    • Required Monthly Average Balance of $300.00 or greater for avoid Monthly Maintenance Service Charge: $5.00
    • A maximum of Six (6) Preauthorized Withdrawals, Automatic or Telephone Transfers, Checks, Drafts, and Debit Card or similar transactions from your account per Statement Cycle
    • Free On-Line Banking
    • Opening Deposit of $25,000.00 or greater
    • Required Daily Minimum Balance of $0.01 or greater for Interest Payment (Tier Rate)
    • No Monthly Maintenance Charge
    • One Debit Transaction per Statement Cycle is permitted
    • Free On-Line Banking
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