As a top treasury management provider Fulton Bank offers innovative, sophisticated solutions to help you manage your working capital more effectively with Cash Management, International Banking and Merchant Card Services.

 

Whether you are seeking to convert receivables to cash, control payments, facilitate international trade transactions or manage liquid investments, we’re here to help you accomplish your objectives. Our expert team of professionals will take the time to understand your business, tailoring our solutions to fit your specific needs.

Collecting Funds

Our collection services are customized for your specific business needs, to help you accelerate your cash flow, access account information quickly and update account receivables – all designed to expedite your collection process. A few solutions include; Remote Check Capture, Lockbox Services, International Services.

Investing Funds

Our services can streamline your account structure to maximize available cash - saving time, reducing expenses, and enhancing your financial return. A few solutions include; Automated Sweep Services, Cash Reserve Investment Management,Zero Balance Accounts, and Escrow Management. 

Disbursing Funds

With automated payment processing and enhanced control of payments, our solutions will streamline fund disbursements and help you minimize payment risk – promoting efficient use of your available balances.

Global Risk Management

Whether your company is entering international markets for the first time, or you’re already experienced in the global supply chain, we help you step-by-step through the process - so you can maximize your business opportunities while reducing global business risk.

Online Resources

Our robust online platforms provide comprehensive information reporting, ensure secure transaction initiation, and help to protect your accounts against fraud – providing you with complete access and total control of your cash resources.