Cash Management Services
For the business requiring cash management services, Platte Valley Bank offers a special business account that can help you maintain better control over your cash inflow and outflow with a wide range of services including balance reporting and account reconciliation. Account fees may be offset by an earnings credit rate on the average collected balance in the account.
For more information or to set-up an appointment with one of our loan officers, please call (308) 632-7004
or send an email to firstname.lastname@example.org