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Treasury Management

Old Fort Bank’s Treasury Management products and services assist businesses in managing their cash flow effectively.   Useful and practical treasury management is provided by enabling you to recognize when, where and how your cash needs will occur, utilizing the best resources to meet those needs and by building a strong relationship with your Old Fort Bank representatives.

Christine Simmons and Kathy Johnson, Treasury Management Officers, will develop a customized solution to assist your business.  As community bankers, with over 30 years banking experience, they are committed to building a long lasting relationship and they understand the challenges that may occur in operating a business.

  • Grow your business using Old Fort Bank’s comprehensive selection of depository services
  • Protect your business with market-leading fraud protection services
  • Manage your cash flow and optimize working capital with online account information services
  • Accelerate your payables processing by using services to efficiently manage your payments
  • Maximize working capital and reduce administrative costs with receivable services


To speak to our experienced Treasury Management Representatives please call:

Christine Simmons: 419-447-1513 extension 1910  

Kathy Johnson: 937-848-6700 extension 1911



Meet our Bankers