What documents do I need to open a business checking account?
The required documents typically include a business license or registration, proof of address, tax identification number, and ownership documentation.
Can I link my business checking account to other accounts or services?
Yes, we offer profile linking, which allows you to link your business checking account to other accounts or services, such as savings accounts, credit cards, and financial management software.
What fees should I expect with a business checking account?
Fees vary depending on the account type but may include monthly maintenance, transaction, and overdraft fees. Call Customer Care at 1-855-696-4352 and ask to speak with your local Commercial Relationship Manager or request a consultation.
Do you offer credit and debit card processing for my business?
Yes! We have various Merchant Services equipment options to help increase your cash flow and provide added convenience for your customers. Along with in-house setup, we have a dedicated customer service team ready to help when you need it.
What are Treasury Management services?
Treasury Management services from Midland help business customers optimize their organization’s liquidity by improving the efficiency of accounts receivable and payable processes so that bills are paid on time, cash is collected, and the entire process runs as smoothly as possible.
Prefer Personal Assistance?
Our team of dedicated professionals are here to support you.