10/09/2024
07:00:16
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ABBOTT, BROOKE MC-10590 3 25.00 072403473 *******5813 10/10/2024
AUD, JEFFREY MC-11021 3 25.00 072000326 *****3799 10/10/2024
BEAKER, CHRIS MC-10953 3 25.00 072403473 *******1229 10/10/2024
BEAKER, MOLLY MC-10701 3 25.00 072403473 *******1229 10/10/2024
BEAKER, RENEE MC-10148 3 25.00 072403473 *******1229 10/10/2024
CHADRA, JORDAN MC-11070 3 35.00 041000124 ******5401 10/10/2024
DESNYDER, TIMOTHY MC-10945 3 20.00 072405455 ******6527 10/10/2024
DIBBLE, TIMOTHY MC-10957 3 20.00 072405455 ******9254 10/10/2024
FARHAT, JACOB MC-10847 3 25.00 072405455 ******8687 10/10/2024
GAYTAN, EDGAR MC-11006 3 25.00 072405455 ******3067 10/10/2024
HEATH, BEN MC-11020 3 65.00 072403473 *******0440 10/10/2024
HELZER, JACOB MC-10770 3 20.00 072403473 *******7798 10/10/2024
JONES, ANDREW MC-10822 3 35.00 072403473 *******1981 10/10/2024
KETELHUT, CHRISTOPHER MC-10956 3 25.00 072403473 *******0284 10/10/2024
KETELHUT, JENNIFER MC-10955 3 25.00 072403473 *******0284 10/10/2024
KLEPAK, JESSE MC-10843 3 65.00 072405455 ******5965 10/10/2024
LEE, JARRED MC-11038 3 35.00 102000021 ********3919 10/10/2024
MILLER, ALEC MC-11046 3 35.00 072000326 *****9892 10/10/2024
MILLER, CONNER MC-10890 3 25.00 072403473 *******5700 10/10/2024
PAKLEDINAZ, ANDREW MC-11035 3 9.00 031176110 *******3143 10/10/2024
PENNELL, DAWN MC-10193 3 15.00 072405455 ******0894 10/10/2024
PETERS, AMBER MC-10766 3 166.00 072403473 *******1580 10/10/2024
RAZZAK, RYLAH MC-10718 3 25.00 272483905 ******3023 10/10/2024
SABICH, MELISSA MC-10424 3 25.00 072405455 ******2082 10/10/2024
SCHARNWEBER, STEVE MC-10128 3 65.00 072000805 ********1190 10/10/2024
SKRINNER, JIM MC-10060 3 70.00 072000326 *****0100 10/10/2024
STEWARD, HOLLY MC-10938 3 30.00 072000326 *****2136 10/10/2024
  Count:  27 Total: 985.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
  Count:  0 Total: 0