The Business Current Account
Our business current account is an account established under your company name. It allows you to conduct your daily business transactions: deposits, payments and transfers, drawing cheques, etc. All your banking can be done at your total convenience through LBCDirect, our digital platform1.
The Business Current Account is available in Canadian currency only. It allows you to optimize the management of your payments and general cash flow. We also offer different fee options and interest rates based on your account characteristics.
For more information on our business U.S. dollar account, consult the Day by Day Plus US Dollar Account page.
Advantages
- Unlimited access to information about your account balance and transactions
- One free2 transaction for every $1,250 of the monthly minimum balance of your account
- Transfer of funds between your LBC accounts
- Payment of invoices and download of your account statement or transactions
- Free debit card
- Monthly paper or electronic statement3
- Access to LBC automated banking machines for deposits4, withdrawals, transfers and bill payments5,6
- Tax filings and payments
The maximum hold period on deposits is 5 business days, regardless of the amount deposited. Refer to the My Transaction Tools brochure for more details.
Please note that if you do not hold a Business or Business Performance package or if you exceed the deposit amount included in your package, the following deposit fees apply:
Cheque deposit into your current Business account (CA $) | $0.20 per item |
Cheque deposit (US $) into your Day by Day Plus account (US $) | US $0.25 per item |
Cash deposit
|
$2.15 for each $1,000 $2.50 for each $1,000 |
Deposit of rolled coins | $2.15 for each $100 |
Legal notice
- Fees of $6.95 per month, free with one of our Business packages.
- Transaction value of $1.25.
- If your enterprise receives a paper statement with remitted cheques each month, you can visualize your monthly transactions by selecting historical transactions in LBCDirect.
- Laurentian Bank automated banking machines do not accept US $ bills and other foreign currencies. Only Canadian bills and cheques in US and Canadian currency are accepted.
- It is not possible to add a new payee at a Laurentian Bank automated banking machine. To perform this transaction, log in to your LBCDirect Business account or contact Customer Service at 1-800-252-1846.
- It is not possible to pay a bill with a variable reference number at a Laurentian Bank automated banking machine. To perform this transaction, log in to your LBCDirect Business account or contact Customer Service at 1-800-252-1846.