BANKING SYSTEM UPGRADE NOTICE
We're enhancing your banking services April 3rd - April 6th, 2026. Learn More: QCBT › Deposit Account Update 2026
We're enhancing your banking services April 3rd - April 6th, 2026. Learn More: QCBT › Deposit Account Update 2026
Balance your account(s) on a daily, weekly or monthly basis, with our automated Account Reconciliation service. Quickly and accurately reconcile checks and improve audit control by documenting and verifying disbursements.
Managing your business finances has never been easier with Quad City Bank & Trust's enhanced digital Business Online Banking platform. From viewing up-to the-minute balance information and transferring funds between accounts to advanced ACH and wire transfers, you'll enjoy access to the services and tools you need to efficiently and effectively run your business every day, across multiple delivery channels.
With Electronic Data Interchange (EDI) reporting, we provide electronic reports that detail any remittance information that is received with incoming ACH payments, including invoice or reference numbers, discounts or other payment information transmitted by the originating company.
*Additional fees may apply. All fees are subject to state and local sales tax.
Quickly and securely view your monthly eStatement through Business Online Banking. Save your statements electronically for retention and research purposes versus maintaining paper copies.