Returned Deposited Item (RDI) Handling

Manage the impacts of deposited checks being returned for non-payment with our helpful and convenient services.

Choose the combination of services that fits your organization's needs.

M&T offers a variety of options for handling returned deposited items, including:

  • Automatic check redepositing. Improve collection efforts by having M&T automatically redeposit uncollected checks or checks returned for NSF
  • Timely notifications. Receive the details about each returned item through Treasury Center or by email
  • Efficient reconciliation. Obtain critical information, such as location number and maker name, with each returned ​item

Get started today.

To learn more about these services, or to enroll, please call 1-800-724-2240, Monday–Friday 8am–6pm ET, to speak to one of our experienced Commercial Service Team Representatives, or contact your dedicated M&T Relationship Manager.

Unless otherwise specified, all advertised offers and terms and conditions of accounts and services are subject to change at any time without notice. After an account is opened or service begins, it is subject to its features, conditions and terms, which are subject to change at any time in accordance with applicable laws and agreements. Please contact an M&T representative for details.
M&T Bank’s Treasury Management services are provided subject to M&T Bank’s standard Master Treasury Management Services Agreement and Treasury Management Services Product Terms and Conditions for that service.
​All products and services are subject to eligibility and restrictions may apply.