04/27/2011
07:14:02
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
CARRELL, DOUG 15-30147 1 33.00 111000025 ********6731 05/02/2011
CRAVEN, JENNIFER 15-30047 1 95.00 111000025 ********5687 05/02/2011
EDEN, BILLY 15-30286 1 25.00 114000093 *****2785 05/02/2011
FELDER, BRIAN 15-FELDER 1 27.00 303085638 ******2313 05/02/2011
MAUSER, LISA 15-15-MAUSER 1 37.00 111900659 ******9611 05/02/2011
MCCULLEY, FRANK 15-30039 1 27.00 114000093 *****8698 05/02/2011
MEINEN, JACKIE 15-30140 1 25.00 111000025 ********1088 05/02/2011
OLIVER, DEBRA 15-30165 1 27.00 111000025 *****8509 05/02/2011
PARMER, ELIZABETH 15-30401 1 40.00 111900659 ******6058 05/02/2011
RUDDICK, LARRY 15-30199 1 27.00 111000025 ********3018 05/02/2011
SMART, CARL 15-30217 1 37.00 311981669 ******3013 05/02/2011
SOLLOWS, LAURIE 15-30374 1 27.00 111900659 ******0275 05/02/2011
STARLING, LORETTA 15-STARLING 1 20.00 111001150 *******4252 05/02/2011
TAYLOR, CHARLES (STORMY 15-30226 1 20.00 111912744 ******1220 05/02/2011
VILLALOBOS, PHYLLIS 15-30119 1 27.00 111000614 ******2753 05/02/2011
VILLARREAL, GABRIEL 15-30222 1 25.00 111000614 *****8525 05/02/2011
WOOTEN, CARTER 15-30175 1 43.00 111000614 *****8663 05/02/2011
  Count:  17 Total: 562.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
WILSON, JANE 15-30378 1 25.00 Invalid Bank Account No. 05/02/2011
  Count:  1 Total: 25.00