10/03/2011
09:59:23
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BLAKE, MICHELE 58-005124 1 69.95 021001088 *****4031 10/04/2011
CHEN, XI 58-010232 1 39.95 021300912 ****3233 10/04/2011
GAILOR, CASSIE 58-010542 1 29.95 221373383 ********3048 10/04/2011
GALLI, DARLENE 58-000268 1 5.00 222370440 ******5172 10/04/2011
HEMPSTEAD, CHRIS 58-005447 1 29.95 221373273 *********9618 10/04/2011
HOLMES, KELLY 58-005643 1 5.00 021300077 ****9475 10/04/2011
HOLODAY, THERESA 58-003140 1 49.95 021300912 ****1644 10/04/2011
KNAPP, LYNDSIE 58-009087 1 79.95 222370440 ******5861 10/04/2011
PELC, MARK 58-007248 1 5.00 221374984 **********3267 10/04/2011
ROBACK, ROBYN 58-009866 1 69.00 021305577 ******9006 10/04/2011
SCRANTON, LISA 58-003625 1 50.00 021302884 ***1373 10/04/2011
SMITH, THERESA 58-004374 1 5.00 021300912 ******8416 10/04/2011
SNYDER, JAIME 58-003764 1 5.00 021300019 ******5412 10/04/2011
SPIRE, KIMBERLY 58-000078 1 79.95 021001088 *****2814 10/04/2011
WOOD, PATTY 58-002039 1 5.00 021300077 ********4150 10/04/2011
  Count:  15 Total: 528.65      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
MIRANDA, CYNTHIA 58-001629 1 99.95 Invalid Bank Account No. 10/04/2011
  Count:  1 Total: 99.95