Business U.S. Chequing

The Business U.S. chequing account is a U.S. funds chequing account that allows your business to conduct day-to-day business across borders.

This is a good account for small, medium and large businesses that regularly transact business in U.S. funds and want protection from currency exchange rate fluctuations.

Account features

  • Customized cheques for writing U.S. denominated cheques
  • Tiered rate of intest that rewards higher balances
  • Deposit U.S. dollar drafts, money orders, cheques or cash
  • Use a branch or the Member Service Centre to convert funds to Canadian currency
  • Monthly statements with cheque images

Account interest information

Interest earned for this account is tiered and is calculated as a portion of the account closing daily balance at each interest level, paid monthly:

$0 - $1,000
$1,000.01 - $3,000
$3,000.01 - $5,000
$5,000.01 - $25,000

Account terms and conditions

  • This account cannot be used to pay bills
  • This account cannot be accessed at an ATM, on TelExpress or on Business Express Internet

For more information or to open this account

Phone our Member Service Centre at 604-517-0100, visit a branch, or fill out a request to receive more information.

Business U.S. Chequing Account Fees Fee
Free transactions per month N/A
Monthly Maintenance Fee $5.00
Cheque $0.80 USD
In-branch Withdrawal $0.80 USD
Deposit $0.80 USD
In-branch bill payment N/A
ATM Withdrawal or Transfer1 N/A
ATM Deposit N/A
Pre-Authorized Payments N/A
Direct Payment1 N/A
TelExpress/Online Banking Bill Payment/Transfer N/A
Electronic Credits (pre-authorized and POS) N/A
Statement with images of cheques Free
Minimum Monthly Balance for Interest Paid $1,000.00
1 Available for sole proprietorships only

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