American River Bank

Cash Management Services

Cash Management or Treasury Management services are a suite of products and services that can help maximize your business’ working capital  or cash on hand by allowing you to make the best decisions about how and when money is collected, disbursed, financed and reported

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Collection Services

Disbursement Services

Financing Services

Reporting Services 


Transactions restricted by the Unlawful Internet Gambling Enforcement Act of 2006 (UIGEA) are prohibited from being processed through any commercial bank accounts.