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Protecting your enterprise.

Your business has individual needs that often do not fit into traditional banking services. At First Western Trust, we’re dedicated to learning about each aspect of your organization, your challenges, and your ambitions to create an ideal treasury management strategy for your company.

We partner with you to understand your needs for liquidity, insurance, and yield. Our treasury management experts then analyze the implications of your priorities as well as your financial objectives to develop a treasury services plan to effectively manage your cash flow so your capital is meeting your business’s needs today and setting you up for success tomorrow. That way, when you’re at work, you can focus on the things that will drive your business forward, and when you’re home, you can rest easy at night, knowing that we are efficiently and securely managing your collections, disbursements, and liquidity.

At First Western Trust, we’re confident that our innovative treasury management services, our competitive Earnings Credit Rate (ECR), and our customizable solution set will allow us to serve your company’s diverse needs.

For a limited time, First Western Trust is proud to offer promotional rates on Certificates of Deposit (CDs) please click here for more information. 

 

Collection Services

Our services are designed to make your business more efficient and more competitive. Through our collection services, we streamline your business accounts and speed up the collection of funds. That way, your business gets cash more quickly so you can put those funds to better use.

  • Electronic Receivables Management
  • Automated Clearing House (ACH)
  • Wire Transfers
  • Remote Deposit Capture (RDC)
  • Cash Vault Service
  • Merchant Services
  • Lockbox
  • Courier Service

 

Liquidity Management

Our liquidity management services offer valuable time-saving strategies while maximizing your liquidity. Our teams work closely with you to develop a liquidity strategy that protects your business from potential risks while helping you get the most out of your funds. With detailed account analysis, online banking options, and automated sweeps, First Western Trust’s treasury management services help your business function efficiently beyond the typical 8 to 5 workday.

  • Account Analysis
  • Investment Sweep
  • Insured Cash Sweep (ICS)
  • Certificate of Deposit Account Registry Service (CDARS)
  • Zero Balance Account

 

Disbursement and Payables Management

First Western Trust’s disbursement services are designed to protect businesses from fraud, reduce manual data entry, limit time-consuming activities, and streamline payment processes so that you can focus more time on managing and growing your businesses. From corporate bill pay to account reconciliation, First Western has a number of products that can be tailored to strengthen your disbursement needs and your payables management processes.

  • Electronic Payables Management
  • Wire Transfers
  • Automated Clearing House (ACH)
  • Corporate Credit Card and Purchase Card
  • Positive Pay
  • Account Reconciliation: Full, Partial, and Deposit Reconciliation
  • Corporate Bill Pay

 

Online Business Banking Services

We recognize your business day doesn’t always fall within business hours. Our online treasury management services provide you with a user-friendly interface and the convenience to bank on your schedule.

  • Information Reporting – View balances, transactions, and statements; access all your business accounts; and download activity to automate the reconciliation process
  • Funds Transfers – Transfer money between accounts and wire money in US dollars and other eligible currency
  • Payables Management – Pay employees, certain federal taxes, and bills, and send one-time or repeating payments to your vendors
  • Collections – Automatically debit money from your customers’ accounts on a one-time or repeating basis
  • Mobile Deposits
  • Check and Statement Services – Retrieve images and request photocopies of statements and checks, and request stop payments on paper checks
  • System Administration – Provide online access to employees to view accounts and make transactions based on user controls that you determine

Are your company’s accounts set up for success? Sign up for an analysis of your business accounts by filling out the form below or by contacting one of our Treasury Management Services experts at 303.531.8100.