Business Premier Money Market Checking
Earn our highest published business interest rates with the Business Premier Money Market Checking account. This high-performing account provides convenient access to your funds.
Available only to Business Premier Checking clients, the tiered-rate Business Premier Money Market Checking account1 gives you our premier rates, plus check-writing privileges.
Accounts are subject to approval. The terms of the account, including any fees or features, may change. See the Deposit Account Agreement and Account Terms and Conditions Schedule of Fees and Charges for the terms and conditions associated with the product.
1 Available only with a Business Premier Checking Account. Must have same ownership and Tax ID.
2 You are limited to a total of six withdrawals and/or transfers per month or statement period by means of preauthorized, automatic or telephone transfers, debit card, or check (for accounts with check privileges). Transfers to other Fremont Bank accounts are counted as part of the six transaction limit. A $15 excessive transaction fee applies to each withdrawal or transfer over six per month, regardless of account balance. Please see the Deposit Account Agreement for balance requirements and transaction limitations.
3 All business accounts are subject to analysis. Monthly service charges, minimum opening deposit (currently $100 per account) and minimum balance requirements are subject to change. Excessive deposited currency/coin charge of $3 per $1,000 when deposited currency/coin exceeds $1,000 during the statement period.