Treasury Management Tools for Business Account Control
Effective cash management begins with visibility and control. Bank First’s treasury management services provide the tools and insight your business needs to monitor balances, automate processes, and make informed financial decisions.
From real-time account reporting to automated sweeps and cash concentration, our team works with you to implement treasury solutions that align with your operational strategy and support smarter cash flow management.

Digital Banking Tools
Secure access to business account balances, transaction history, and reporting tools through online and mobile banking.
- Monitor accounts in real time
- Set user access levels for added security
- Enhanced payment, fraud protection, and cash management tools
- Integrate Electronic Data Interchange (EDI) for seamless payment and reporting
Liquidity & Funds Management
Take control of your cash flow with secure, automated tools that make managing your business funds simple and efficient.
- Zero Balance Accounts (ZBA) for simplified cash management
- Automated investment sweeps to maximize returns on excess balances
- Automated line of credit sweeps for flexible funding
- Cash concentration services to centralize funds across accounts
Connect with Treasury Management
Our Treasury Management team is ready to help you implement advanced solutions for payments, fraud protection, and cash management. Reach out today to begin the conversation!