Checking Accounts for
City National Bank is focused on providing superior service and is committed to building strong, lasting professional relationships. What sets us apart is our experience, our commitment and our dedication to extending unparalleled service.
We offer a variety of business checking accounts and packages for your convenience.
- Business Checking - Designed with your business in mind, this account comes with a generous allowance of check and deposit transactions. Monthly maintenance fees are waived when balance requirements are met and excess fees are only included when transaction volumes exceed predetermined levels. Learn more »
- Business Interest Checking - Designed for sole proprietors, governmental units and not for profit entities (non-profit organizations) corporations, partnerships, associations, and organizations.
- Analyzed Business Checking - Designed for businesses with higher account balances, transaction activity or advanced Treasury Management needs. Learn more »
To learn more about our business deposit products, call us Monday through Thursday
7:00 a.m. - 5:30 p.m. and Friday 7:00 a.m. - 6:00 p.m. (PT) at (800) 773-7100, contact us or visit one of our local City National locations.