Rates

Business Deposit Rates

Rate information is current as of: May 20, 2013

Rates are subject to change without notice.

Business Deposit Accounts


ProductMinimum BalanceInterest RateAnnual Percentage Yield (APY)Minimum Opening Deposit
Community CheckingN/A0.05%0.05%$10
     
Better Business CheckingN/AN/AN/A$10
     
Business Advantage Checking 1N/AN/AN/A$10
     
Commercial Advantage Checking 2N/AN/AN/A$10
     
Premium Business Savings*$2,500 - $24,9990.05%0.05%$2,500
$25,000+0.05%0.05%$2,500
     
Business Money Market*$2,500 - $24,9990.20%0.20%$2,500
$25,000 - $49,9990.25%0.25%$2,500
$50,000 - $74,9990.30%0.30%$2,500
$75,000+0.35%0.35%$2,500
     
Business Cash Management Sweep Account$0-$24,9990.15%0.15%$0
$25,000-$49,9990.15%0.15%$0
$50,000-$74,9990.15%0.15%$0
$75,000+0.30%0.30%$0

1. Monthly maintenance fee waived with combined minimum daily balances in all St. Mary's deposit and loan accounts of $25,000.
2. Monthly maintenance fee waived with minimum daily balance of $10,000, or combined minimum daily balances in all St. Mary's deposit and loan accounts of $50,000.

*Accounts will earn interest for each day that the minimum daily balance is maintained. Should your balance drop below the minimum balance requirement, a Monthly Service Fee would be incurred and interest would not be paid for that day. Fees could reduce the earnings on these accounts. All information including interest rates, terms and conditions are subject to change without notice. Annual Percentage Yield (APY) is accurate for all accounts listed, as of date above and subject to change without notice.

To open an account please visit any of our branch locations or call 1.888.786.2791.