02/02/2011
06:18:44
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ASHCRAFT, DIANA GE-0321290448 1 34.00 124103799 ******1099 02/03/2011
BARRETT, MALEAH GE-0306140413 1 29.00 123000220 ********6495 02/03/2011
CARMICHAEL, SCOTT GE-0310610413 1 10.00 323274461 ********0172 02/03/2011
CHRISMAN, VICTORIA GE-0328350703 1 38.00 091408734 ******7378 02/03/2011
CIANCIULLI, DAWN GE-0324560448 1 29.00 123000220 ********4305 02/03/2011
DAVIS, LYNDSEY GE-0321340448 1 30.00 123002011 ********4346 02/03/2011
EVANS, CLARISSA GE-0312220703 1 24.00 123205973 *****7109 02/03/2011
FARLEY, ANITA GE-0314210703 1 10.00 323274461 ********9020 02/03/2011
HETHRINGTON, CAROL GE-CH6435 1 19.99 123205054 ****0643 02/03/2011
HILLS, BOBBI-JO GE-0316360703 1 25.00 323270300 *******8553 02/03/2011
KILLINGSWORTH, MEAGAN GE-0312650413 1 34.99 123006800 ******9195 02/03/2011
LEE, MICHEL GE-0323250448 1 38.00 325070760 ******0127 02/03/2011
MORA MORA, SERGIO GE-0301630703 1 27.00 123000220 ********4062 02/03/2011
MORIN, LYNNE GE-0307800703 1 25.00 323276498 **7987 02/03/2011
NORMAN, JOEL GE-0314630703 1 10.00 123000220 ********5650 02/03/2011
PEMBENTEN, KATHRINE GE-0309450448 1 49.00 123006800 ******8514 02/03/2011
ROBSON, KATHERINE GE-0305460703 1 34.00 323274445 **********0124 02/03/2011
SPEILBERG, MELISSA GE-0309640413 1 10.00 123000220 ********0791 02/03/2011
WEINSTEIN, MICHAEL GE-0328120703 1 19.95 092900383 ********9165 02/03/2011
  Count:  19 Total: 496.93      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
NEWMAN, STEFANI GE-0318440448 1 39.00 12300220 ********3075 Invalid Bank Route/Transit 02/03/2011
  Count:  1 Total: 39.00