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Empower Your Business with TM
IFB’s Tailored Treasury System is designed to simplify financial operations, improve cash flow, and support better decision-making for businesses of all sizes.
Key System Benefits
Powerful Tools to Simplify and Strengthen Your Business Operations
Real-Time Account Management
Monitor accounts and transactions anytime, anywhere.
Risk Mitigation Controls
Safeguard your payments with advanced security features.
In-Depth Reporting
Gain actionable insights to make smarter financial decisions.
Solutions for Receivables & Payables
Optimize Your Cash Flow
Receivables Solutions
Accelerate collections and simplify receivables
Optimize your cash flow with efficient receivables solutions designed to help you collect payments faster and more securely.
Remote Deposit Capture
ACH Debit Origination
Initiate and manage ACH debits to securely collect payments directly from your customers’ bank accounts.
Merchant Services
Process customer payments quickly and securely with solutions designed to meet your business needs.
SmartPay Express
Accept secure online payments or donations with a payment link on your invoices, allowing clients to pay directly from their bank account through our secure portal.
Remote Deposit Capture
Deposit checks from your office using secure desktop scanners.
ACH Debit Origination
Initiate and manage ACH debits to securely collect payments directly from your customers’ bank accounts.
Merchant Services
Process customer payments quickly and securely with solutions designed to meet your business needs.
SmartPay Express
Accept secure online payments or donations with a payment link on your invoices, allowing clients to pay directly from their bank account through our secure portal.
Payables Solutions
Streamline payments and manage outgoing cash flow
Make payments quickly and securely to vendors, employees, and more with our comprehensive payables solutions.
Wire Transfers
ACH Credit Origination
Bill Payment
Manage and automate recurring expenses and electronic payments with ease.
Purchasing Card
Streamline business spending with built-in controls, real-time tracking, and simplified reconciliation—empowering smarter, faster financial decisions.
Wire Transfers
Fast and secure domestic and international (USD) transfers.
ACH Credit Origination
Simplify payroll and vendor payments with direct transfers.
Bill Payment
Manage and automate recurring expenses with ease.
Purchasing Card
Streamline business spending with built-in controls, real-time tracking, and simplified reconciliation—empowering smarter, faster financial decisions.
Protect your Business with Security Tools
Keep Your Business Safe from Fraudulent Activity
Check Positive Pay
ACH Positive Pay
Enhance Efficiency
Automate key financial tasks to save time, reduce errors, and improve cash flow visibility.
Key Benefits:
- Streamlined payments and collections
- Real-time cash flow monitoring
- Multi User Capabilities
- Seamless reconciliation and reporting
- Integration with accounting systems
Designed for Growing Businesses
Why Choose Us
Tailored for Your Needs
Scalable for small and large businesses.
Trusted Security
Bank-grade security and compliance.
Expert Support
Dedicated treasury specialists at your service.
We Solve Your Doubts
Frequently Asked Questions
What is Treasury Management?
Treasury Management is a suite of services that help businesses manage cash, payments, receivables, fraud risk, and liquidity. It covers everything from cash flow and payment solutions to fraud prevention and real-time reporting. With these tools, businesses gain more control, efficiency, and visibility over their finances.
Who can benefit from Treasury Management?
Businesses of all sizes — from small practices to large corporations — can benefit. If your company makes regular payments, collects receivables, needs better cash flow management, or wants to reduce financial risk, Treasury Management can provide the right solutions.
How does ACH Origination work?
What fraud protection tools do you provide?
We provide layered security to safeguard accounts and transactions. Tools include Check Positive Pay, ACH Positive Pay for electronic debits, and filters or blocks to control ACH activity. Multi-factor authentication, secure online banking, and real-time alerts add extra protection and peace of mind.
How do Merchant Services work?
Merchant Services make it easy to accept payments from customers in person, online, or by phone. With IFB’s solutions, you can process credit and debit cards, add secure links to invoices, integrate with accounting systems, and offer contactless options like Apple Pay or Google Pay. These services streamline operations, enhance customer convenience, and support growth.
What technology is needed for Remote Deposit Capture?
Remote Deposit Capture requires only a secure check scanner and an internet connection. This setup lets you deposit checks directly from your office without visiting a branch. The result is faster access to funds, better record keeping, and greater efficiency for businesses with multiple locations.
How do I access Treasury Management services?
All services are available through our Online Banking platform. You can view balances, approve payments, set user permissions, and generate reports from a single, secure system. Mobile access and secure messaging make it simple to manage treasury needs anytime, anywhere. Our team also provides onboarding, training, and integration support.
How do I get started?
Contact your IFB Preferred Banker or email us at TM@ifbbank.com to begin setting up Treasury Management Services.
Connect with a Preferred Banker
Get expert advice and personalized solutions tailored to your needs.