Treasury Management

City National Bank has been helping businesses of all sizes make efficient use of their funds for over half a century.

Let Treasury Management specialists at City National give you a new level of control over your company's cash flow. We have proven capability in managing Commercial Banking cash resources, reducing administrative burdens and making capital work harder. We help businesses with a complete range of treasury management solutions, including services that expedite your deposits, manage your payments and consolidate your funds for greater control.

Click on these topics to learn more about the Treasury Management services that can help your business grow:

Getting Started

To sign up for a Treasury Management service or for more information, please contact us or call Treasury Management Client Services between 5:30 a.m. and 7:00 p.m. (PT) Monday through Friday (800) 599-0020.