Business Checking Accounts

With multiple checking options, Chain Bridge Bank has an account that will suit any kind of business in our community—start-up, sole proprietor, not-for-profit; small or medium or beyond. Commercial Analysis checking, for example, lets you pay only for the services you actually use. Our Bridge Business account offers the height of convenience to the busy business owner—letting you scan and deposit checks right from your desktop. Click the link below to compare the accounts and for additional information:

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Business Checking 1 Chain Bridge Business Checking Commercial Analysis Checking Business SingleSource Interest Checking

Open an Account OnlineOpen an Account OnlineOpen an Account OnlineOpen an Account Online
Minimum Opening Deposit $100.00 $100.00 $100.00 $100.00
Minimum Average Monthly Balance $2,500 $7,500 None $7,500
Monthly Fee if Avg Balance Falls Below Min $7.00 $25.00 N/A $25.00
Monthly Fee
$20.00
ATM/Debit CardFree Free Free Free
ATM Surcharge at Other Bank ATM 2 5 free 5 free 5 free 5 free
Online Banking 3 Free Free Free Free
Online Bill Pay 4 Free Free Free Free
Commercial Cash Management 5
 

Remote Deposit Capture 5


Statement Cycle
$30-$50



$45-$75/mo



Monthly
$30-$50



$45-$75/mo



Monthly
$30-$50



$45-$75/mo



Monthly
$30-$50



$45-$75/mo



Monthly
Interest Bearing No No No Yes
Earnings Credit N/A N/A Yes N/A
Combined Trans Item Count 6 250 free/month
@ $0.40 over 250
500 free/month
@ $0.40 over 500
per item500 free/month
@ $0.40 over 500





1 Paper statements not available.

2 There is no charge by Chain Bridge Bank for the use of other banks' ATMs. However, the other bank may impose a surcharge. Chain Bridge Bank will reimburse the first of five of these surcharges per cardholder per month.

3 Service is free. Stop payment requires a fee.

4 Service is free. Rush payments, gift pay checks, donations & payroll service requires an additional fee.

5 Pricing depends on the options chosen.

6 Combined transactions include: checks paid, items deposited, deposit tickets, ACH credits received, and ACH debits received.