Your CRBT Support Team
In today's fast-paced world, we understand that building a relationship with a responsive, knowledgeable banker - and equally important, their support team - can make the difference between deals happening or opportunities missed.
With Cedar Rapids Bank & Trust, find confidence knowing that you are working directly with the decision makers and that you have a responsive team that is committed to helping you build, grow and manage your business successfully. We're People you can bank on.®
Meet our knowledgeable professionals:
319.743.7105 | firstname.lastname@example.org
Dave serves as your primary contact and is responsible for your overall business relationship with Cedar Rapids Bank & Trust. He is ready to assist you with your business financial strategy, while delivering a personalized and comprehensive approach.
Associate Relationship Manager
319.743.7012 | email@example.com
Jack serves as primary back-up for Dave. He works with you on financial statements, monitors borrowing bases, loan covenants, and works closely with Dave in preparation and analysis of loan requests.
Relationship Banking Associate
319.743.7016 | firstname.lastname@example.org
Jen works with you and your business regarding daily service needs such as loan balance inquiries, payment processing, loan history and documentation.
TREASURY MANAGEMENT - SALES
Cedar Rapids Bank & Trust offers a suite of treasury management solutions to help your company maximize cash management control, efficiently manage resources and enhance security. Products and services include remote deposit, positive pay, ACH origination, investment products, accounts receivable, merchant processing and business credit cards. To learn more, contact any of our Treasury Management Sales Representatives.
Pauline Herb, CTP
Vice President, Treasury Management
319.743.7113 | email@example.com
TREASURY MANAGEMENT - SUPPORT
Our Treasury Management Support Team is ready to assist you with daily service needs regarding business online banking, balance inquiries, check clearing, remote deposit, accounts receivable processing, positive pay, ACH origination, merchant processing and business credit cards.
Group Phone. 319.743.7002 | Group Email. firstname.lastname@example.org
Assistant Vice President, Treasury Management
Treasury Management Assistant
Treasury Management Associate