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Treasury Management Services

What if your business could do things better? Get payments more efficiently.
Save time on routine processes and put extra funds to work?

At First Security Bank, treasury management is more than just another business banking product—it’s a partnership with seasoned experts that enables us to truly understand our clients’ objectives, growth plans and goals. Armed with insight and creativity, your dedicated team will work together to provide consultative solutions.

You’ll receive personalized service and support, in-person training and annual relationship reviews. In other words, we make our people your people. And you can rest assured knowing that everything we do is fueled by our team’s long-standing experience in business-focused banking.


Payables & Receivables Management

  • ACH Origination
  • Direct Deposit
  • Vendor Payments
  • ACH Debit Payments
  • Wire Transfer
  • Business Bill Pay
  • Remote Deposit
  • Mobile Remote Deposit Capture
  • Merchant Services

Liquidity management

Information Management

  • Business Online Banking
  • Muliple User Access
  • E-statements

Risk Management

  • ACH Positive Pay
  • Check Positive Pay

Security Controls

  • Secure Tokens
  • Email & Text Alerts
  • Dual Control
  • IP Restrict
  • Login Time and Day restrictions or User Time/Day Restrictions.

Learn more. Speak with a First Security Bank Treasury Management Specialist today. Call us at 406-728-3115. Toll Free: 888-782-3115