Our Business Checking Accounts were designed to provide flexibility and convenience with refreshing simplicity. All Lighthouse Bank Business Checking accounts include:
- Free Online Banking
- Complimentary Business Courier Service
- Free Debit MasterCard (certain restrictions may apply)
- Foreign ATM Surcharges waived
Business Checking
Minimum Opening Deposit: $1,000
Maintenance Fee: $10
How to Avoid the Maintenance Fee: Maintain a daily balance of at least $2,500 or an average balance of at least $7,500 during the statement cycle.
Activity Fees: $0.15 per check over 100 and $0.75 per deposit over 20 per statement cycle.
Business Interest Checking
* Subject to Eligibility
Minimum Opening Deposit: $1,000
Maintenance Fee: $10
How to Avoid the Mantenance Fee: Maintain a daily balance of at least $5,000 or an average balance of at least $10,000 during the statement cycle.
Activity Fees: $0.15 per check over 100 and $0.75 per deposit over 20 per statement cycle.
Interest: The interest rate and APY apply to all balances and may change at our discretion, as often as daily, without prior notice. No interest is paid on any day the collected balance falls below $0.01.
Nonprofit Checking
Minimum Opening Deposit: $500
Maintenance Fee: $10
How to Avoid the Mantenance Fee: Maintain a daily balance of at least $1,000 or an average balance of at least $2,500 during the statement cycle.
Activity Fees: $0.15 per check over 100 and $0.75 per deposit over 20 per statement cycle.
Premier Nonprofit Interest Checking
This special account program is exclusively available for 501 (c)(3) Organizations.