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Community / Not-for-Profit Plans

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Ways To Apply

Or, to begin an application, call our Small Business Advice Centre at 1-866-222-3456

7:00 a.m. – 12:00 a.m. EST, 7 days a week

Our flexible and cost-effective banking plans: Designed for community groups and non-profits

Open an Account

Designed for organizations that:

  • Are committed to making a difference in their communities
  • Want a flexible business account service plan attached to a Business Chequing Account with reduced monthly fees and the opportunity to have those fees rebated when maintaining minimum daily balances
  • Want Business Overdraft Protection (available with monthly fee rebate1)
  • Want the convenience of using both in-branch and automated services

What’s included?

Service Plan* OptionsMonthly Plan FeeTransactionsDeposit ItemsCash DepositsFee Rebate with Balance of2
Community Plan $1.95 5 15 $2,500 $5,000
Community Plan Plus $4.95 30 30 $5,000 $10,000
For additional activity n/a $1 each $0.22 $2.50 per $1,000 n/a

* Available in U.S. Dollars

Did you know?

Source:  

Expand Transactions

  • Withdrawals, transfers, bill payments and deposits at any TD Canada Trust branch or Green Machine ATM
  • In-branch night deposits
  • Telephone operator-assisted transactions, including bill payments
  • Telephone automated transfers and bill payments
  • Web transfers, bill payments and Interac Online purchases
  • Debit payments in Canada and the U.S.3
  • Cheques, pre-authorized payments and automated transfers

Expand No-charge Transactions (unlimited for all plans)

  • All debit card and credit card Point-of-Sale Terminal deposits that are electronically credited to a TD Canada Trust Business Chequing Account
  • Green Machine ATM and EasyWeb Internet banking electronic inquiries
  • Mobile banking electronic inquiries
  • EasyLine telephone banking automated inquiries
  • Account Related Fees

Expand Deposit Items

  • Deposit items are cheques, money orders, drafts and all other clearing items. Additional fee of $8.00 per uncounted batch4 of deposit items applies at the branch.

Expand Cash Deposits

  • Cash Deposits are paper currency and coins, rounded to the nearest dollar.

Expand Record-keeping

  • Includes free online statements with cheque images, archived for seven years (from the time you sign up), or choose to receive a month-end paper at no additional cost.

Expand Fee Rebate

  • Your monthly Plan Fee will be rebated when your daily balance is greater than or equal to the required amount throughout the month.

Find out more about our Chequing Service Plans