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Treasury Management | Receivable Solutions

American National Bank of Texas can help you manage your incoming cash flow with a wide range of services. Whether your business is large or small, we have several solutions available to meet your cash flow needs.

Let ANBTX help you determine which options are best for you and your business.

ACH Preauthorization Payments

Streamline the collection of recurring payments from your customers.
Learn more about ACH preauthorization payments

Merchant Services

Accept credit card payments at point of sale locations or through your business’s website.
Learn more about merchant services

Premium Business Online Bill Pay

Pay bills and make payroll deposits through Premium Business Online Bill Pay.
Learn more about premium business online bill pay

Remote Deposit

Make digital deposits from your office and avoid the hassle of multiple trips to the bank.
Learn more about remote deposit

Lockbox Services

Reduce incoming mail, payment handling and deposit delays so you that can better manage payment receipts.
Learn more about lockbock services

Xpress Redeposit

Improve your NSF recovery rate with Xpress Redeposit. 
Learn more about Xpress redeposit

Contact your American National Bank of Texas relationship manager or Treasury Management Services at 1.800.837.6584 or for more information.

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