Fraud Protection
Thomaston Savings Bank provides Fraud Protection to help you keep your money safe and secure. With our fraud protection services, you can quickly detect and prevent fraudulent activity. You can also manage pay and return decisions, and get ultimate peace of mind knowing that your money is protected.
Fraud Protection Highlights
Prevent and Detect Fraud
Prevent and detect check and ACH fraud with automatic, real-time monitoring.
Simplify Your Account Management
Monitor transactions and manage pay and return decisions quickly and easily.
Get Peace of Mind
Let us ease your worries by helping to prevent fraud and reconciling on your behalf.
Fraud Protection Features
Positive Pay from Thomaston Savings Bank is a real-time fraud prevention service that helps protect your business from unauthorized checks and ACH transactions. Once you upload your issued check information, Positive Pay will actively monitor suspicious check activity to help you quickly identify unauthorized transactions and in turn feel more secure about your finances. As checks are presented against your account, you will get an alert if the amount, serial number, or payee does not match your issued check file, and from there, you can determine if Thomaston Savings Bank should pay or return the item.
- Prevent and quickly detect check fraud with real-time monitoring
- Optionally monitor ACH transactions that post to your account
- Manage pay and return decisions all from one screen
To learn more about how to get started with Positive Pay, please read the Positive Pay User Guide.
Thomaston Savings Bank's Account Reconciliation services are designed to save you valuable time so you can stay focused on your business goals. We offer partial and full account reconciliation solutions that can greatly streamline the reconciliation process or handle it for you completely!
Our Partial Account Reconciliation service offers a complete list of each month's paid checks in numerical order, making it easy to spot and reconcile any outstanding checks.
For even greater convenience, our Full Account Reconciliation service allows you to upload your check issuance file to us each time checks are issued. Every month we will automatically compare the checks issued to the checks paid and generate a list of items issued, paid and outstanding for your records – handling the entire reconciliation process for you.
Meet The Team
Patricia Clemente
AVP, Business Relationship Manager
Michael Dayton
AVP, Business Relationship Manager
Ready to Get Started?
Fill out the form below to get in touch and find out more about our Treasury Management.