Corporate Money Market*

Overview

A corporate savings account with plenty of perks

This money market account is designed for customers using treasury management products and services. This account has a variable rate of interest and offers the flexibility of limited check-writing capabilities.

Corporate Money Market Account features: 

  • Interest earned at a tiered rate and credited monthly1
  • Unlimited in person transactions2
  • Web access through BBVA Net Cash
  • Monthly statement includes images of canceled checks

contact form

Liquidity Management Contact Us

Please fill out and submit the form below and a Liquidity Management services representative will contact you.


 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 
 

Details you need to make a smart decision

1All rates subject to change at the discretion of BBVA management without notice.

2Withdrawals and transfers not made in person, including BBVA Net Cash transfers, are limited to six per month. Withdrawals and transfers not made in person are restricted by law and, if exceeded, could result in the Bank reclassifying the account.

*All accounts are insured by FDIC up to the maximum allowable by law.