What is a Corporate Cash account?

Modified on Sun, 21 Apr at 8:27 PM

A Corporate Cash account serves as a tax-efficient avenue for businesses to manage surplus funds and potentially earn returns on investments.  Income generated within these accounts, such as interest, dividends, and capital gains, is often taxed at a favorable corporate rate or deferred until withdrawal. 


To learn more about what is required to open a corporate cash account, see the following article


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