BB&T offers a number of checking and savings accounts for businesses, community organizations, public entities, and not-for-profit organizations. Large deposits can be insured with up to $20 million in FDIC insurance through the Certificate of Deposit Account Registry Service® (CDARS).
Cash Concentration services provide an efficient method of consolidating deposits made by your company’s multiple locations, eliminating wire transfer expense, allowing your company to accumulate its cash resources into one combined pool, and minimizing excess balances throughout your banking relationships.
BB&T helps arrange asset-based working capital financing, supply chain financing, and accounts receivable management to allow your corporation, commercial entity, or small business to focus on growth potential, efficient resource allocation, and cost savings.
BB&T Commerce GatewaySM allows you more control over your company’s working capital with less manual involvement by enabling you to automate management of incoming and outgoing payments.
Maximize financial value and operational efficiency with a collaborative online portal that allows you and your suppliers to view information during each step of the supply chain process.
The more effectively you can manage cash reserves, the more effectively you can run your business. BB&T offers an array of overnight investment services that are tailored to your needs and offer competitive returns while enabling you to maintain liquidity.
A Zero Balance Account from BB&T will maximize your company's use of funds and increase your account control by simplifying banking procedures, eliminating the need to track balance levels and funding requirements, maximizing available investment funds, and minimizing costly overdraft risk.