06/22/2015
07:18:38
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BECKER, PAMELA AM-6187 4 36.00 221379905 **********0056 06/23/2015
BROWN, JOSH AM-6781 4 25.00 021303618 ******5685 06/23/2015
BROWN, MICHELLE AM-7426 4 20.00 021307559 ******9076 06/23/2015
BRYANT, ROSEMARY AM-7138 4 25.00 021303618 ****8800 06/23/2015
CADY, DEENA AM-6992 4 25.00 221373707 **********8363 06/23/2015
CARNRIKE, GEORGE AM-3235 4 10.00 021303618 ******4222 06/23/2015
CHIRSTIAN, SHERI AM-7270 4 25.00 021303618 ******6422 06/23/2015
CONRON, MAUREEN AM-2369 4 40.00 021303618 ******1025 06/23/2015
COOPER, KAYLEE AM-6487 4 20.00 021303618 ******7187 06/23/2015
COTTER, MARISSA AM-6768 4 25.00 253279167 ***********0880 06/23/2015
DELORENZO, MICHELLE AM-7062 4 25.00 221379905 ************2419 06/23/2015
DIXSON, HEATHER AM-2009 4 25.00 221373383 ********8280 06/23/2015
DUVALL, JAMES AM-6964 4 25.00 021303618 ******1709 06/23/2015
FATHALLA, VICKIE AM-5262 4 25.00 022000046 *****6461 06/23/2015
GRAMSTAD, RIIS AM-6718 4 15.00 221373707 *2992 06/23/2015
HUFF, HOLLIE AM-6517 4 25.00 021305577 ******5014 06/23/2015
HULBERT, CONNIE AM-7045 4 25.00 221379905 **********1562 06/23/2015
KAYS, JACKI AM-6546 4 25.00 221379905 **********3407 06/23/2015
LEVIX, JASON AM-7081 4 25.00 221379905 **4966 06/23/2015
MATTS, THERESA AM-6756 4 30.00 221379905 *********6009 06/23/2015
MEEHAN, PAT AM-7215 4 10.00 211871691 ***3032 06/23/2015
SANFORD, MARY AM-7061 4 25.00 021303618 ****1786 06/23/2015
WILEY, GEORGE AM-6404 4 25.00 021307559 ******1038 06/23/2015
  Count:  23 Total: 556.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
DEAN, BETH AM-7018 4 15.00 Invalid Bank Account No. 06/23/2015
WHITE, DARSHAN AM-7312 4 35.00 021330318 ******4760 Invalid Bank Route/Transit 06/23/2015
  Count:  2 Total: 50.00