Being able to streamline and simplify processes can help your company save time, reduce expenses and focus on the more important aspects of running your business. To help you better manage your accounts with basic information reporting to account reconciliation services, Old National Treasury Management offers these solutions:
ONPointe is a robust, customized suite of online cash management resources that enables your business to get the information you need to make cash position decisions, move funds electronically and protect your business from unauthorized transactions.
Subscribe to additional, powerful ONPointe modules1 for ACH payments, wire transfers, online bill pay, check fraud prevention and more.LEARN MORE
Access accounts for your business and any related business entities using a single sign-on:
Searching for a check that cleared last month, last quarter or even last year can be an inefficient and time-consuming process. Old National’s Image Services can help save you time and money. You can search a database to determine when a check or deposit has cleared and have the option to choose to view statements and deposited item detail.
Quickly and efficiently reconcile your monthly statement with Old National’s Account Reconciliation services. Save time and money by automating the process.
Electronic transactions continue to grow, replacing check and paper-based payment and remittance processes. Old National’s Payment Manager Solution gives you access to multiple types of electronic payment data via secure email, making the management of this information easier and more efficient.