11/11/2010
08:57:55
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
FRANKLIN, BUDDY PT-6385 3 120.75 321380328 **0112 11/15/2010
JACKSON, DAVID PT-6259 3 78.75 125200057 ******6941 11/15/2010
KELLY, SANDRA PT-5652 3 131.25 051000017 ********9977 11/15/2010
KISSNER, JAIME PT-7191 3 120.75 125200057 ******3338 11/15/2010
LOPEZ, JANET PT-4831 3 78.75 125200057 ******3747 11/15/2010
MAHLE, HEATHER PT-7130 3 78.75 325272021 *********2028 11/15/2010
MARVIN, CARL PT-6381 3 78.75 125200057 ******0127 11/15/2010
MASON, JIM PT-774839501 3 78.75 325272021 **5840 11/15/2010
MASON, KATHERINE PT-6918 3 78.75 125200044 ******8920 11/15/2010
MCCAIN, JEFF PT-4684 3 70.88 125200057 ******1581 11/15/2010
MIXSON, LYNDA PT-6402 3 70.88 325272270 *****9376 11/15/2010
MIXSON, ZACHARY PT-6038 3 54.00 325272270 *****9376 11/15/2010
PANNONE, DOMINIC PT-6112 3 120.75 325272021 ***0330 11/15/2010
PARRISH, ANITA PT-5691 3 131.25 125200044 ******1419 11/15/2010
PETRIE, MARK PT-PETRIE 3 76.13 125200060 ****9622 11/15/2010
POOLE, KIM PT-6136 3 78.75 325270049 ******2066 11/15/2010
PORTIS, TROY PT-5674 3 227.50 125200057 ******7703 11/15/2010
PURCELL, JOE PT-7303 3 146.75 125200057 ******1714 11/15/2010
REED, DOROTHY PT-156170701 3 93.45 125200044 ******0320 11/15/2010
REETZ, GERI PT-4037 3 120.75 325272021 *********5039 11/15/2010
STEDMAN, JAMES PT-348407701 3 78.75 325272047 *******3476 11/15/2010
WEHRMANN, MANUELA PT-6485 3 78.75 325270049 ******3369 11/15/2010
WHITMORE, JEREMY PT-4965 3 63.54 325272021 *********6417 11/15/2010
WILDER, AMANDA PT-6921 3 70.88 325272021 *********4310 11/15/2010
WILWERT, ANTHONY PT-5039 3 66.60 325272021 **2066 11/15/2010
WINK, TANIA PT-7420 3 78.75 125200057 ******8587 11/15/2010
  Count:  26 Total: 2473.61      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
SHEWMAKE, JAMES PT-394548401 3 78.75 275560309 *****0057 Invalid Bank Route/Transit 11/15/2010
  Count:  1 Total: 78.75