Routing: 062104397

Treasury Management

Simplify the Way Your Business Manages Money

At Local Bank, we simplify your daily operations by reducing uncertainty and helping your business run more efficiently. Our comprehensive suite of Online Banking and Treasury Management services is designed to improve cash flow, increase profitability, streamline processes, and protect against
fraud.

Whether you operate a large corporation or a small business, we understand the importance of effectively managing cash flow and having access to reliable, up-to-date technology. Local Bank offers solutions tailored to meet the needs of businesses of all sizes.

Our Treasury Management Services

Information Management

Our Information Management Services help streamline financial data collection, analysis, reporting, and insight.

Payables

Streamline outgoing payments, reduce manual work, and manage disbursements with more control and confidence.

Receivables

Local Bank’s Receivables Services help your business improve cash flow and reduce risk through stronger accounts receivable management tools.

Fraud Mitigation

Protect your business from payment fraud with tools designed to monitor activity and help reduce financial risk.

Cash Flow Management

Gain better visibility into your cash position with tools that help manage liquidity, timing, and daily decisions.

Our Team

Work with a dedicated Treasury Management team that helps match practical solutions to your business needs.

Meet Our Treasury Management Team

Dusty King

Sr. Relationship & Treasury Management Officer 

Tuscaloosa, AL

Nancy Gregory

Vice President, Branch & Training Manager

Tuscaloosa, AL

Brandi Donaldson

Vice President / Director of Operations

Tuscaloosa, AL

We will get back with you soon!
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