Checking solutions


Asset and Liability Management

Effortlessly streamline your operations by overseeing cash flow, managing liquidity, assessing and mitigating risks, and implementing automated processes to safeguard your accounts while liberating your team.

At CapitalPoint Financial, committed treasury management advisors are available to guide you in choosing a tailored package of checking and savings solutions.

Our team is committed to supporting you throughout the entire process, ensuring that account transitions are executed with utmost simplicity.


Features


Business Money Market
Accrue interest on your deposited funds while maintaining the flexibility to write checks when necessary through our business money market account.
Business Checking

Discover the ideal checking account tailored to your business size and transactional needs with our assistance.


Business Savings


Maximize your business’s financial potential with competitive interest rates by placing your funds in a business savings account.

Business Certificates of Deposit (CDs)

Opt for time deposits that allow your business to earn a competitive rate of return, with the potential for higher returns on longer-term commitments.


Reach out to us today

Business clients turn to us for skilled and dedicated bankers with an entrepreneurial mindset, ready to address the requirements of expanding businesses.

Upon filling out the contact form, we will link you with an asset and liability management banker who can guide you to a tailored solutions.


©2025 CapitalPoint Financial

Illinois: 450 Di Paolo Center Suite B, Glenview, IL 60025

Texas: 6015 Pine Forest Rd Houston TX 77057-1431


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