03/08/2011
08:05:13
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ANDREWS, TERE GE-0311710703 3 25.00 323274461 ********7072 03/10/2011
CHOPOT, MARK GE-0313610703 3 10.00 123006800 ******9200 03/10/2011
HANSON, CHRISTINA GE-0335150703 3 39.95 323274445 **********5118 03/10/2011
LABAC, KAREN GE-0335090703 3 39.95 323276524 ****8824 03/10/2011
NELSON, MADISON GE-0339590703 3 19.95 325070760 *****1235 03/10/2011
NELSON, SHEILA GE-0339650703 3 19.95 325070760 *****1235 03/10/2011
PING, RUSSEL GE-0315510703 3 22.00 323276524 **1764 03/10/2011
RAY, TRAVIS GE-0315390703 3 22.00 323276524 **1764 03/10/2011
SCHAFER, TIFFANY GE-0319880703 3 30.00 123000220 ********3288 03/10/2011
THOMAS, LATOYA GE-0324350703 3 19.95 323070380 ********5262 03/10/2011
VADER, ISAIAH GE-0321970448 3 19.95 123006800 ******1522 03/10/2011
WELCH, CHRIS GE-W7888 3 24.99 323274160 ******9839 03/10/2011
  Count:  12 Total: 293.69      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
DITLEFSEN, MICHAEL GE-0318130703 3 10.00 Invalid Bank Account No. 03/10/2011
JENSEN, CALEB GE-0312030413 3 39.00 Invalid Bank Account No. 03/10/2011
  Count:  2 Total: 49.00