Dollar Bank - Business Center - Cash Management Services

Consolidated Report

Dollar Bank’s Consolidated Report summarizes your company’s cash position on a daily basis via CashAnalyzer® Management System. You’ll be able to easily view opening and ending account balance(s), bank reported payments and receipts by transaction type on of all of your business accounts. You can also view each individual transaction that posted to the account for a specific date including checks cleared, wire transfers, ACH activity, etc.

To view a sample Consolidated Report, click here.
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Corporate Banking
  PA: 412-261-8849
  OH: 216-736-8938

Business Banking
  PA: 412-261-8130
  OH: 216-736-8998

Treasury Management
  PA: 412-261-7597
  OH: 216-736-7358

Dollar Bank Business Representatives are available Monday through Friday from
8:30 AM to 5:00 PM.

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