cash manage banner

Treasury Management

The Paducah Bank and Trust Company Treasury Management Services are designed to help businesses manage funds efficiently, effectively, and automatically. We offer you a full line of choices to help you spend less time on your books and more time concentrating on your business.

Our Treasury Management Officer will tailor a program that is specific to the needs of your business. We will learn how your business operates, review your present deposit relationship or Treasury Management program, and prepare a Treasury Management solution that meets your unique needs.

Our services can be divided into three main components:

Receivables Services
Payables Services
Risk Mitigation Services


Contact our Treasury Management Officer, Terry Bradley, at 270.575.6656 or