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Now Available: Deposit checks using your phone! If you use Mobile Banking, you are now able to deposit checks into your account simply by taking a picture of it. Learn more.

Non-Profit Checking

Our Non-Profit Checking Account offers a cost-effective way to manage your organization's finances. The monthly maintenance fee may be waived with only a $200 average daily balance in the account and all electronic transactions are unlimited.

Non-Profit Checking
Statement Type Electronic
Opening Balance $100
Minimum Balance to Waive Service Fees 1 $200 Average Daily Balance or $1000 Deposit Relationship Balance
Monthly Maintenance Fee $2
Activity Fees 2 Write 25 checks per month at no charge, $0.25 each additional check; Deposit 50 checks per month at no charge, $0.10 each additional item
Check Copies $2 each (6 copies per year free)
Locked Night Deposit Bags $20
Wire Transfers 3 -
Outgoing
Incoming

$20-$40
$15
CheckCard 4 Available
Foreign ATM Use No CNB charge
Surcharge Free ATM use at Money Pass Network ATMs

As with all CNB Business Checking Accounts, you'll be able to access your accounts online through Basic Online for Business for free. Through this system you may view all your accounts, make internal transfers and use CNB Bill Payment to easily pay all your bills online. You may also receive a Business Visa® CheckCard which you can use anywhere Visa® is accepted to make purchases and have them debited directly from your checking account.

FraudGuard
If you write checks, CNB offers another line of defense in avoiding fraud. FraudGuard is software we use to review all CNB checks that are processed through our bank, building a history of check stock, signatures and check sequence each time a check comes through.
1 The Average Daily Balance is calculated by adding the principal in the account for each day of the period and dividing that figure by the number of days in the period. The Deposit Relationship Balance is determined by adding the average daily balance of you checking account for the current statement period, plus the current month's average balance of your other deposit accounts (excluding certificates of deposit). 2 Transaction items include checks writeen, checks deposited and deposit slips. Electronic transactions are unlimited. 3 Wire transfer requests must be made either through Online for Business or in person. 4 Fees may apply.

FREE Gift with Checking
Receive a free gift just for opening any new checking account.

Gifts change quarterly. deluxe travel duffle bag
Deluxe Travel Duffle Bag*

*Available while supplies last. If unavailable a gift of comparable value will be provided.

More Information
To learn more about our cash management services, call:
1-800-448-0025
Mon. - Fri. 8:30 am - 5 pm EST
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