A Checking Account That Works as Hard as Your Business
Business growth brings more transactions, more cash flow, and more responsibility. Business+ Checking from WestStar is designed for established and growing businesses that need a checking account capable of supporting higher activity levels while providing smarter ways to manage money.
With built‑in flexibility, fee‑offset opportunities, and access to Treasury Management tools, Business+ helps your business stay efficient and in control.
Is Business+ Right for Your Business?
Business+ Checking is a great fit if your business:
- Processes a high volume of monthly transactions
- Handles regular cash deposits
- Uses ACH payments or wire transfers
- Benefits from Treasury Management services
- Wants opportunities to reduce or offset monthly banking costs
If your business has moved beyond basic checking, Business+ gives you room to operate and grow.
Business+ Account Features
Higher Transaction Capacity: Business+ includes up to 300 combined monthly transactions, including debits, credits, checks deposited, Remote Deposit Capture, Mobile Deposits, and ACH transactions. This allows your business to operate without constantly monitoring limits.
Cash Deposit Allowance: Monthly cash deposit fees are waived up to $50,000, helping businesses that regularly handle cash keep more of their revenue working for them.
Wire Transfer Benefits: Your first four incoming wire transfers each month are waived, supporting faster access to incoming funds.
Monthly Fee Offset Opportunities: The monthly service fee may be waived or offset by maintaining qualifying collected balances or combined business account balances, helping reduce overall banking costs.
Treasury Management Services: Business+ provides access to Treasury Management services, giving your business tools to improve cash flow visibility, streamline payments, and reduce administrative effort. Services are available upon request and subject to approval.
Cash Manager Corporate
With Cash Manager Corporate, businesses can further simplify financial operations and improve control.
Available features include:
- ACH Origination
- Outgoing wire transfers
- Multiple user access
- Enhanced reporting and transaction controls
Cash Manager Corporate fees may be waived with qualifying combined business balances.
Business+ At a Glance
- Minimum Opening Deposit: $250
- Monthly Service Fee: Based on statement type
- Included Monthly Transactions: 300
- Cash Deposit Fees: Waived up to $50,000 monthly
- ACH Transactions: Included within transaction limits
- Treasury Management: Available upon request
Accounts are analyzed monthly for activity, balances, and services used. Earnings credits may apply based on average collected balances.
Why Bank with WestStar
WestStar offers relationship‑driven business banking with the tools and support businesses need as they grow. Business+ Checking combines flexibility, digital access, and local expertise to help businesses operate with confidence today and prepare for what’s next.
Take the Next Step
A better banking experience starts with a conversation.
Visit a branch, call, 915.532.1000 (El Paso) or 575.323.6040 (Las Cruces) to learn more about Business+ Checking and determine if it’s the right solution for your business.
