Treasury Management Solutions
With Treasury Management solutions from Susser Bank and our experienced local team, we are able to help you streamline your payables, receivables, and cash management while providing robust risk and fraud solutions.
Whether you are just getting started or have been in business for years, matching your business’ financial requirements to the right banking products is vital to maximizing your success. Let us visit with you about our complete suite of Treasury Management solutions to see which products and services best suit the unique needs of your business to help your business grow.
Payables
• Reduce payment costs by eliminating checks, envelopes and postage expenses
• Reduce exposure to check fraud by paying electronically and protecting your account number and signature
• Securely pay your vendors and process payroll, with the option to set up recurring transfers
• File upload capability or template entry for payments
• Secure storage of recipient data
• Layered security with secure access code authentication, daily transactional limits, callback verification and optional dual control
• One-time payments
• Template payments to recurring recipients
• Layered security with secure access code authentication, daily transactional limits, callback verification and optional dual control
• Electronic recipients paid next business day
• Check-based payments (varies by USPS delivery restrictions)
• E-Bill capability
• Pay multiple invoices with one payment
• Dual control restriction capability
• Worldwide acceptance with Visa
• Improve cash flow and payables efficiency
• Cash back and travel rewards options
• Online account management with an expense tracking tool
• Mobile app
• No annual fee options
• No caps or limits on rewards you can earn
• Eliminate the manual transferring of funds between master and sub-accounts
• Consolidate balances into the master account
• Eliminate overdraft fees
Receivables
• Expedite collection of funds from customers and/or donors
• Improve cash flow
• Concentrate funds from other bank accounts
• Layered security with secure access code authentication, daily transactional limits, callback verification and optional dual control
• Save time and money by making deposits from your office or home
• Reduce employee liability due to transportation risks
• Same day availability with a 6:00 p.m. cut-off time
• Detailed deposit reports with check images
• Multiple scanner options for speed based on volume
• Wholesale, Retail and Medical
• Images of envelopes, correspondence and checks provided daily
• Robust reporting options
• Data capture and file creating for import into your accounting software
• Multiple box sites throughout the U.S.
• Improved security and audit controls with separation of duties from within your company
• Eliminates the need for a banking center close to your business
• Cost-effective
• Increased security for employees and business
• Real-time view of cash positions by drawer and location
• Counterfeit detection
Fraud Detection and Mitigation
• Checks being presented for payment are matched against a file of checks issued
• Online exception decisioning for pay/return items by 12:00 p.m.
• Detects duplicate checks, checks not issued, check amount mismatches and stale dated items
• Detects check encoding errors for timely reconciliation
• Detailed reporting for outstanding issued, paid, and exception items
• Account reconciliation tools
• User entitlement options for issue, decisioning and report access
• File mapping or manual entry of issue items
• Filter by ACH type, credit/debit or both
• Set maximum dollar amount thresholds
• Online exception decisioning for pay/return items by 12:00 p.m.
• Detailed reporting of paid and exception items
• User entitlement options for issue, decisioning and report access
Contact Us
To learn more about Susser Bank’s Treasury Management services, please contact us securely via the contact form below. We will get back to you to discuss how we can help you as soon as possible.