08/03/2011
08:10:15
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ALBADAN, DANILO FF-40673 1 37.45 063100277 ********9934 08/05/2011
BURNELL, MICHAEL FF-70160 1 48.15 067014822 ******3606 08/05/2011
CAMPBELL, BROCK FF-1889 1 42.80 063103915 ******5275 08/05/2011
CRUTCHFIELD, JORI FF-9338 1 34.24 063107513 ********1520 08/05/2011
DABROWSKI, BELINDA FF-5870 1 32.10 063102152 *****2152 08/05/2011
ESOP, MARCUS FF-47662 1 48.15 267084131 ******9521 08/05/2011
FOX, MATTY FF-30002 1 26.75 267084131 *****2980 08/05/2011
KEENE SR., CHARLIE FF-3139196 1 34.40 063116287 ***9685 08/05/2011
KEENE-MINARDI, CHARLIE FF-48224272 1 26.75 063116287 *****6287 08/05/2011
MEDINA, ALEXANDER FF-2953247 1 26.75 063100277 ********5950 08/05/2011
MOJICA, JOSH FF-0573 1 26.75 063100277 ********2322 08/05/2011
YATES, ROXY FF-30178 1 37.45 051400549 *********9754 08/05/2011
  Count:  12 Total: 421.74      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
WILDE, DAN FF-9621979 1 25.00 Invalid Bank Account No. 08/05/2011
  Count:  1 Total: 25.00