11/01/2011
08:11:07
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ACOSTA, AMELIA 67-007595 1 69.95 313189401 ******9957 11/02/2011
BENIGAR, SANDY 67-005356 1 49.50 313189391 ******2320 11/02/2011
BYRD, KRISTIE C NOTES 67-006968 1 49.95 113122655 ***4746 11/02/2011
CULPEPPER, OLIVIA 67-004581 1 69.95 313176715 ******5636 11/02/2011
GOLDSBERRY, SHARI 67-006065 1 5.00 111000614 *****7253 11/02/2011
GOMEZ, DANA 67-004621 1 69.95 313083992 ******4320 11/02/2011
HEILEMAN, CANDICE 67-001216 1 34.95 113011258 ******8642 11/02/2011
KALLAY, ROSANNA 67-007121 1 59.95 111000614 ******0435 11/02/2011
KRAINOCK, AMBER 67-000233 1 39.95 313189391 ******5320 11/02/2011
LERUM, CANDICE 67-003470 1 39.95 313189391 ******2020 11/02/2011
LIVELY, JENNIFER 67-008398 1 5.00 113011258 ******0620 11/02/2011
LONG, LYNETT 67-000230 1 5.00 313189401 **8277 11/02/2011
ROGERS, CAT 67-001797 1 39.95 313083992 *****6147 11/02/2011
WYNN, JUNE 67-006938 1 99.00 311979752 ******0001 11/02/2011
  Count:  14 Total: 638.05      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
  Count:  0 Total: 0