04/21/2025
07:42:42
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BECKER, JULIE 86-43614 2 30.00 321076496 **********1590 04/22/2025
CASTELLANOS, CHRISTIAM 86-26382 2 28.00 121000358 ******4449 04/22/2025
CONWAY, SHEILA 86-40504 2 33.00 121042882 ******9306 04/22/2025
HALL, DARYL 86-45131 2 60.00 122000661 ******6625 04/22/2025
KILLMOND, WILL 86-46398 2 64.00 322271627 *****0270 04/22/2025
MANAGMENT, ANAGNOSTON 86-ANAGNOSTOU 2 78.00 121142287 ***1004 04/22/2025
MAYO, FANNY 86-46523 2 44.00 121042882 ******2223 04/22/2025
MILLER, MICHAEL 86-2893 2 25.00 121042882 ******2132 04/22/2025
MITCHELL, DAVID 86-40282 2 33.00 121100782 *****5291 04/22/2025
SANDS, CHARLIE 86-28343 2 30.00 321076470 **********2711 04/22/2025
SCHALLER, MICHAEL 86-40670 2 50.00 121042882 ******8811 04/22/2025
SCHMIDT, ERNIE 86-45350 2 33.00 321171184 ******2960 04/22/2025
TOMATIS, DAVID 86-9873 2 27.00 321174851 *********1816 04/22/2025
  Count:  13 Total: 535.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
SMITH, ED 86-46493 2 175.00 Invalid Bank Account No. 04/22/2025
  Count:  1 Total: 175.00