Contact a Commercial Banker

Contact a Commercial Banker at (800) 355-0507 or visit a branch near you.

Find a Branch

Treasury Gateway

Secure, single sign-on access to CalBank Network, our commercial online banking solution and other treasury management solutions.

Learn More

Business Analyzed Checking

An account for businesses with high banking activity levels and/or that use several Treasury Management solutions.

  • An itemized list of services is provided each month along with applicable service charges.
  • An earnings credit is also calculated each month, and that credit can offset part, or all, of the account service charges.
  • If service charges are not fully offset, the statement will indicate what account balance is required to avoid all charges.
Considerations Details

Ideal for

A higher level of banking activity each month and/or if you need a sophisticated suite of Treasury Management solutions such as account reconciliation, settlement reporting, ACH file transfer, and Cash Vault.

Opening Balance


Monthly Transactions Volume

Accommodates volumes higher than 400 transactions per month. Flexibility to use many different cash management solutions on an “as needed” basis.

Monthly Maintenance Fee

Varies depending on transactions, services used, and balances maintained.

Monthly Paper Statement Fee

Not applicable.

Optional Considerations

This account provides the flexibility to use many different cash management solutions on an "as needed" basis.


Apply in person at one of our locations.

Need more checks? Reordering checks is a snap with our preferred check provider.

This information is not intended to be the entire disclosure associated with these accounts. Complete disclosure of terms and service charges are available at any CB&T branch office and will be provided at account opening. For current rates or more account information, please ask a Financial Services Representative at any branch office.