10/18/2011
07:21:50
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
CAIN, JOE DR-00885 2 24.35 081908833 **5091 10/20/2011
FORTNER, KEVIN DR-00274 2 19.47 081000210 ********4149 10/20/2011
FRANKLIN, LAURI DR-00712 2 19.47 081000210 ******7124 10/20/2011
GIDEON, PAIGE DR-00482 2 30.00 101000019 *****3035 10/20/2011
MARTIN, SEAN DR-00703 2 19.47 081918425 ***1765 10/20/2011
MCCOY, ERIC DR-00729 2 21.65 081908833 **7068 10/20/2011
NASH, MICHELLE DR-00599 2 15.00 081910436 **6200 10/20/2011
NIVENS, DEIRDRE DR-00329 2 40.00 081910436 **0771 10/20/2011
PICKETT, TIMOTHY DR-00121 2 32.47 081908833 **7655 10/20/2011
RAYFIELD, AMBER DR-00346 2 37.50 081918425 ***3312 10/20/2011
RULO, MICKEY DR-00953 2 22.50 081918425 ***6160 10/20/2011
SKILES, LINDSEY DR-00325 2 15.00 081910588 ***4807 10/20/2011
SNYDER, MARY DR-00096 2 32.47 081908833 **8292 10/20/2011
THOMPSON, CODY DR-00245 2 48.70 081910436 **4763 10/20/2011
VANCE, SHANNON DR-00433 2 19.47 081910436 **1514 10/20/2011
  Count:  15 Total: 397.52      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
DEAN, DARRELL DR-00983 2 22.50 Invalid Bank Account No. 10/20/2011
  Count:  1 Total: 22.50