The Vendor is required to provide bank and financial services.
- Agency has a population of 6,042 and provides municipal services, including administration, finance, public works, environmental, protective services, recreation, water and wastewater services.
- Operating bank accounts
• Agency currently maintains five (5) bank accounts:
o Four (4) general accounts (including two operating accounts, a trust account and a reserve account)
o One (1) savings account (short-term investments)
• Account Requirements:
o Daily cash deposits
o Statements and cleared cheques accessible online
o Daily short-term investments
o Monthly interest paid on account balances
o Electronic funds transfer for payroll, accounts receivable and accounts payable
o Direct deposit and telephone banking
o Online banking and administrative changes available online
o Cheque fraud protection services
o Transfer funds between accounts
o Access to government payment options (i.e. CRA)
- The general operating account is to process the majority of daily transactions, including:
o Daily cash deposits
o Direct deposits
o Wire deposits and payments
o Country wire deposits and payments
o Monthly electronic payments
o Monthly loan transactions
o Payroll (monthly and bi-weekly)
o Pre-authorized debit/credit
o Wire transfers
o Transfer funds between accounts
- Methods of payments:
o Cash
o Credit Card (3rd party provider)
o Debit
o Bank Draft
o Personal Cheques
- For utility and taxation bills, agency provides the above methods in addition to:
o PAD (utility bills)
o TIPP (taxation bills)
o Employee payroll deduction (taxation bills)
o EFT
- Currently utilizes 10 credit cards, with various limits depending on authority. Require an overall company limit of $72,500.
- The system needs to provide data relating to prior business days, real time balances, historical data reports, and high-volume cheque clearance listings.
- Online banking must allow for:
o Ability to transfer funds between accounts
o Pay bills online
o Easy upload of EFT payments
o Ability to stop payments on EFT and cheque payments
o Account overviews, history, and detailed transaction reviews
o Review images of cleared cheques
o Direct debit payments for accounts payable vendors
o User account management
o Robust security measures in place, including, but not limited to, encryption, firewalls and multi-factor authentication
o Download statements
o Generate transaction reports
o View cleared cheques.
- Contract Period/Term: 5 years
- Questions/Inquires Deadline: October 17, 2025
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