Amarillo's Number 1 small business bank

Cash Management Services

How to Apply

Stop by any ANB branch location.

  • Bring:
    • Your state-issued ID, Social Security number and Business Organization Papers.

Additional Information

  • Questions about ANB Business Banking services? Contact Amy Henderson at 806-378-8205.
  • Need more in-depth business assistance? Click here.

At ANB, we understand the particular needs of businesses when it comes to managing cash flow and expenses. That's why we've developed an integrated suite of Cash Management Services that gives you maximum control as well as peace of mind. Whether you do business here in Amarillo or around the world, ANB Cash Management Services can help you maximize returns, collect payments, manage payables, lower costs and enhance productivity.

Cash Management Options for Small Businesses include:

  • eCorp Online Banking Service
  • Business Credit Card Services
  • Account Balance Reporting
    • Daily ledger and collected balances
    • Total debits and credits posted
    • Float spreads from deposits
    • All accessible by Bank Administration Institute (BAI) files, fax or via eCorp
  • Electronic Payment Services
    • Direct-deposit payroll
    • Prearranged payment for deposits and debits (PPD)
    • Cash concentration (CCD)
    • Corporate Trade Exchange (CTX) (FEDI)
    • Early memo posting of Automated Clearinghouse (ACH) transactions
    • Payroll cards
  • Account Reconciliation
    • Positive pay
    • Check serial sort
    • Partial reconciliation
    • Full reconciliation
    • Check retention (check safekeeping)
    • Paid check images returned on CD or DVD
  • Account Disbursement Services
    • Controlled disbursement
    • Zero Balance Accounts (ZBAs)
    • Payable Through Drafts (PTDs)
  • Daily Investments

    ANB can monitor collected balances in your company's account daily, sweeping excess balances into our overnight investment program. The following day, the investment is credited back to your company's account – along with the interest.

  • Monthly Account Analysis

    Each month, ANB can provide a detailed summary of your company's checking account activity, with analysis of your bank account usage, specifics on monthly activity totals, and expenses in dollars as well as collected balances.

  • Lock Box (Receivables Collection)

    Available for both wholesale and resale customers, our lock box services offer an efficient way to convert account receivables into available funds.

  • Remote Deposit Capture (RDC)

    Taking advantage of the latest check-clearing architecture, RDC allows you the convenience of electronically depositing checks, right from your office. (Learn more about Electronic Check Processing and Check 21 legislation here.)

  • Other Cash Management Services
    • Wire transfer
    • Money market accounts
    • Commercial depository
    • Cash and currency order

    Required business organization papers will vary by company size and type. If you have questions about what is required, please contact us by phone at 806-378-8205.