Your data doesn't train Genie's AI
You keep IP ownership of your information
1. Parties: Identifies the financial institution and account holder
2. Background: Brief context about the agreement and its purpose
3. Definitions: Key terms used throughout the agreement including account types, business days, and other relevant terminology
4. Account Terms: Core terms including minimum balances, interest rates, and fees
5. Deposits and Withdrawals: Rules governing transactions and limitations, including Regulation D requirements
6. Interest Calculation: Method of calculating and crediting interest, including APY information
7. Account Security: Security measures, customer responsibilities, and fraud prevention
8. Termination: Conditions and procedures for closing the account
1. Joint Accounts: Rules and responsibilities for accounts with multiple owners
2. Electronic Banking Services: Terms and conditions for online banking, mobile banking, and electronic transfers
3. Overdraft Protection: Terms and conditions for overdraft services and related fees
1. Fee Schedule: Comprehensive list of all applicable fees and charges
2. Interest Rate Schedule: Current interest rates, APY information, and calculation methods
3. Privacy Notice: Required privacy policy disclosures under Gramm-Leach-Bliley Act
4. Electronic Banking Terms: Detailed terms and conditions for electronic banking services
Account Holder
Account Statement
Annual Percentage Yield (APY)
Available Balance
Banking Day
Beneficiary
Business Day
Credit
Debit
Electronic Funds Transfer (EFT)
FDIC
Financial Institution
Interest Rate
Joint Account
Minimum Balance
Online Banking Services
Password
Personal Identification Number (PIN)
Primary Account Holder
Service Fees
Signature Card
Transaction
Transfer
User ID
Wire Transfer
Withdrawal
Agreement Modification
Applicable Law
Assignment
Automated Clearing House (ACH)
Confidentiality
Deposit Requirements
Dispute Resolution
Electronic Banking
Fees and Charges
Force Majeure
Governing Law
Identity Verification
Indemnification
Interest Calculation
Joint Account Operation
Liability Limitation
Notice Requirements
Privacy and Data Protection
Security Measures
Severability
Statements and Communications
Termination
Transaction Limitations
Waiver
Banking
Credit Unions
Financial Services
Digital Banking
Legal Department
Compliance Team
Customer Service
Operations Team
Risk Management
Product Development
Bank Manager
Compliance Officer
Account Manager
Legal Counsel
Customer Service Manager
Find the exact document you need
Deposit Account Control Agreement Fees
A U.S. legal document establishing the fee structure for deposit account control services under UCC and federal banking regulations.
Ach Debit Agreement
A U.S. legal agreement authorizing automated clearing house (ACH) debit entries from one party's bank account to another.
Bookkeeping Contract
A U.S.-compliant legal agreement establishing terms and conditions for professional bookkeeping services.
LLC Operating Agreement Bank Account
A U.S.-based agreement governing the establishment and management of bank accounts for an LLC, including signatory rights and banking procedures.
Personal Deposit Account Agreement
A U.S.-governed agreement establishing terms and conditions between a financial institution and customer for maintaining a deposit account.
Zero Balance Account Agreement
A U.S.-governed agreement establishing the terms and conditions for automated cash concentration between master and sub-accounts in a zero balance account structure.
Sweep Account Agreement
A U.S.-governed agreement establishing terms for automatic transfers between accounts to optimize interest earnings or maintain target balances.
Joint Account Contract
A U.S.-governed agreement establishing terms and conditions for a shared bank account between multiple account holders.
Credit Union Member Agreement
A U.S.-governed agreement establishing the relationship between a credit union and its members, outlining membership terms and account operations.
Authorization Agreement For Direct Payments
A U.S.-compliant legal agreement authorizing automated recurring payments between parties through the ACH network.
Authorization Agreement For Direct Deposit Ach Credits
A U.S. legal document authorizing recurring electronic fund transfers through the ACH network between specified bank accounts.
Ach Vendor Payment Authorization Agreement
A US-compliant agreement authorizing electronic payments to vendors through the ACH network.
Fine Print Checking Account Agreement
A U.S.-governed agreement establishing terms and conditions between a financial institution and account holder for checking account services.
Fbo Account Agreement
A U.S.-compliant agreement establishing the terms and conditions for managing funds held by a financial institution on behalf of third-party beneficiaries.
Bookkeeping Agreement
A U.S. contract establishing terms for professional bookkeeping services between a service provider and client.
Checking Account Agreement
A U.S.-governed agreement establishing the terms and conditions between a financial institution and customer for maintaining a checking account.
Debit Authorization Agreement
A U.S.-governed agreement authorizing automatic withdrawals from a bank account, subject to federal banking regulations.
Loan Account Agreement
A U.S.-governed agreement establishing the terms and conditions of a loan between a lender and borrower, compliant with federal and state lending regulations.
Joint Holder Agreement
A U.S.-governed agreement establishing rights and responsibilities between multiple parties who jointly own assets or property.
Account Purchase Agreement
A U.S.-governed agreement for the sale and transfer of accounts receivable or other financial assets between parties, subject to federal and state regulations.
Ach Authorization Agreement
A U.S.-compliant legal agreement authorizing electronic fund transfers through the ACH network between specified bank accounts.
Bank Deposit Agreement
A U.S.-governed agreement establishing terms and conditions between a financial institution and account holder for deposit account services.
Bank Account Contract
A U.S.-governed agreement establishing the terms and conditions between a financial institution and account holder(s) for banking services.
Pre Authorized Payment Agreement
A U.S.-compliant agreement establishing automatic recurring payment arrangements between parties under federal banking regulations.
Operating Agreement For Bank Account
A U.S.-compliant legal agreement establishing the terms and conditions for operating a bank account between a financial institution and account holder(s).
Bank Account Control Agreement
A US-governed three-party agreement establishing control over deposit accounts for security interest perfection under the UCC.
Rental Agreement For Bank Account Opening
A U.S.-compliant agreement verifying rental status for bank account opening purposes.
Master Account Agreement
A U.S.-governed agreement establishing the core relationship between a financial institution and its account holder, covering all banking services and accounts.
Bookkeeping Contracts
A U.S.-governed agreement establishing terms and conditions for professional bookkeeping services between a service provider and client.
Collateral Account Control Agreement
A U.S.-law governed agreement establishing control rights over an account as collateral for a secured obligation.
Client Account Agreement
A U.S.-governed agreement establishing the terms and conditions between a financial institution and its client for account services and operations.
Checking Agreement
A U.S.-governed contract between a financial institution and account holder establishing terms and conditions for operating a checking account.
Business Account Agreement
A U.S.-governed agreement between a financial institution and a business entity establishing terms for business banking services.
Accounts Receivable Agreement
A U.S. legal agreement governing the transfer of accounts receivable between parties, subject to UCC and federal/state commercial laws.
Letter Of Authorization To Debit Account
A U.S. legal document authorizing automatic withdrawals from a bank account, governed by federal and state banking regulations.
Cash Account Management Agreement
A U.S.-governed agreement establishing terms and conditions for managing cash accounts between financial institutions and account holders.
Account Control Agreement
A U.S.-governed tri-party agreement establishing control rights over a deposit or securities account as collateral under the UCC.
Time Deposit Agreement
A U.S.-governed agreement between a financial institution and depositor establishing terms for a fixed-term deposit account.
Notice Of Assignment Of Accounts Receivable
A U.S. legal document notifying debtors that receivables have been transferred to a new party, governed by UCC Article 9.
Authorization Agreement For Direct Deposits
A US-compliant agreement authorizing automated electronic funds transfers into a designated bank account.
Genie’s Security Promise
Genie is the safest place to draft. Here’s how we prioritise your privacy and security.
Your documents are private:
We do not train on your data; Genie’s AI improves independently
All data stored on Genie is private to your organisation
Your documents are protected:
Your documents are protected by ultra-secure 256-bit encryption
We are ISO27001 certified, so your data is secure
Organizational security:
You retain IP ownership of your documents and their information
You have full control over your data and who gets to see it


.png)
.png)