04/29/2015
12:36:10
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
CERRA, DEREK AM-1024 1 25.00 221373707 *9539 05/01/2015
CONSTANTINO, PETER AM-7050 1 50.00 021303618 ******1082 05/01/2015
COOPER, GREGORY AM-3617 1 25.00 021303618 ****8631 05/01/2015
DAVIS, WARREN AM-1165 1 41.95 221379905 **********4492 05/01/2015
DOUGLASS, SHAUNA AM-1750 1 40.00 021303618 ******9870 05/01/2015
DUVALL, GARY AM-6217 1 15.00 021303618 ******4080 05/01/2015
FRENCH, BRADON AM-7059 1 25.00 021303618 ************6584 05/01/2015
GOLDEN, EMMA AM-6499 1 50.00 021303618 ******1477 05/01/2015
HARRIS, KARLI AM-6862 1 15.00 021303618 ******2813 05/01/2015
JEFFERY, TIM AM-7210 1 20.00 021303618 ****2334 05/01/2015
KILLMEIER, ALEXANDER AM-7052 1 25.00 021303618 ************9012 05/01/2015
LEWIS, AUSTIN AM-6448 1 25.00 021303618 ******8707 05/01/2015
MONROE, ALISON AM-6286 1 25.00 022000046 ******4579 05/01/2015
MULLIN, DEB AM-5758 1 25.00 221379905 **********5442 05/01/2015
PAGE, CINDY AM-6757 1 45.00 221379905 **********3915 05/01/2015
SALATANI, CARLY AM-7485 1 15.00 021303618 ******6245 05/01/2015
SANTOS, JOSHUA AM-6777 1 25.00 021303618 ******1950 05/01/2015
WHALEY, BRANDON AM-7010 1 25.00 221375378 **********9007 05/01/2015
WOOD, JOSH AM-7230 1 15.00 031100649 ************3523 05/01/2015
  Count:  19 Total: 531.95      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
LEONE, TANNER AM-7311 1 25.00 021303618 Invalid Bank Account No. 05/01/2015
  Count:  1 Total: 25.00