03/05/2025
07:35:39
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ANRATHER, HELENA RM-3467888 1 189.00 021000021 *****7597 03/06/2025
ASLANIAN, DEANE RM-76769999 1 189.00 121000358 ********6396 03/06/2025
BANDLER, KYLE RM-75645 1 190.00 021000021 *****8376 03/06/2025
BANDLER, LEAH RM-156777 1 345.00 021000021 *****8376 03/06/2025
BENITEZ, JASMIN RM-7565444 1 189.00 021000322 ********9873 03/06/2025
CAULFIELD, SHAUN RM-98655444 1 189.00 021000021 *****8296 03/06/2025
ESTABROOK, ELIZABETH RM-78676767 1 250.00 021000021 *****3035 03/06/2025
FOGEL, MATT RM-1012 1 181.73 026013673 ******7859 03/06/2025
GRAMAROSSA, MICHAEL RM-88776544 1 189.00 021000021 *****1985 03/06/2025
GROW, WYATT RM-92333333 1 189.00 124000054 *****3611 03/06/2025
HALPER, ADAM RM-454544 1 189.00 011000138 ********7108 03/06/2025
INGUI, DAYAN RM-568878 1 1100.00 021000089 ******0939 03/06/2025
JORDAN, DAPHNE RM-58883 1 298.08 021000089 ******9013 03/06/2025
KISKEN, SAWYER RM-45488888 1 189.00 021000021 *****0067 03/06/2025
MATTHEWS, CAROLINE RM-567765 1 189.00 321171184 *******0354 03/06/2025
MCCARTER, MELISSA RM-19873 1 1000.00 021000021 *****2317 03/06/2025
NAPOLETANO, JOELLE RM-1085 1 189.00 031176110 *******0963 03/06/2025
NEY, JEREMY RM-334554354 1 189.00 044000037 *****9141 03/06/2025
POOLE, MARIEL RM-886555 1 875.00 256078446 ******8026 03/06/2025
RALLO, WHITNEY RM-567 1 126.92 021000021 ********5265 03/06/2025
RICKERT, STEWART RM-844484448 1 189.00 021000021 *****8952 03/06/2025
ROCHA, JOAO RM-73454455 1 189.00 267084131 *****1870 03/06/2025
SUBAL, SIMONE RM-6743333 1 189.00 021000021 *******2865 03/06/2025
VOLPE, MARISSA RM-5577753322 1 500.00 322271724 *******4399 03/06/2025
WHITE, ALEX RM-1233355 1 189.00 211370545 ******1622 03/06/2025
WOLFOWITZ, BETH RM-49202 1 470.00 026013673 ******2435 03/06/2025
  Count:  26 Total: 8171.73      



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