12/01/2011
11:15:18
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ANDERSON, STEVE WM-193486144 1 40.00 104000029 ********8233 12/05/2011
BRADY, RITA WM-346689 1 19.50 104000029 ********4334 12/05/2011
CAMPION, JANET WM-1012-0 1 19.50 104000016 *****3468 12/05/2011
CLAWSON, SHARON WM-4025728486 1 39.00 091408734 ***9113 12/05/2011
DANNER, JEFF WM-7068010 1 40.00 304083448 *********8483 12/05/2011
FEHR, KEITH WM-7068150 1 63.00 104913912 ******6610 12/05/2011
HOYME, CHRIS WM-6359 1 66.00 104000854 ***7583 12/05/2011
JENKINS, JAMES WM-4024454227 1 44.00 104000058 ******4898 12/05/2011
KELLEY, KATHLEEN WM-3125291 1 39.00 104000854 ***4716 12/05/2011
KIZER, JOE WM-1546320 1 22.00 104000854 ***6610 12/05/2011
KIZER, RENEE WM-3077351 1 17.50 104000016 *****0024 12/05/2011
KOCH, KELLY WM-505023695 1 40.00 107002147 *****0014 12/05/2011
LANGENFELD, SUSAN WM-5583145 1 59.00 104000016 *****1032 12/05/2011
NELSON, ANDY WM-6462 1 24.00 104000854 ***9815 12/05/2011
NICOL, DERRICK WM-5159690 1 39.00 073900807 ****1337 12/05/2011
PASCALE, TIM WM-4027069402 1 35.00 104000702 *****1625 12/05/2011
PETERSON, ANNE WM-81554 1 19.50 104000029 ********6708 12/05/2011
PETROVICH, DAN WM-3025 1 38.00 104000058 ******0711 12/05/2011
PRITCHARD, MARK WM-1640520 1 40.00 104001808 *****1427 12/05/2011
ROBINO, RICK WM-9644 1 39.00 104901678 *****0356 12/05/2011
RODRIGUEZ, JORGE WM-7037610 1 69.00 104112409 *****0473 12/05/2011
SALINAS, TAMARA WM-4026819434 1 66.00 104002894 ******8121 12/05/2011
SHIMERDLA, JACK WM-2571530 1 43.00 101000695 ******2162 12/05/2011
SMITH, DONNA WM-6999230 1 70.00 104000016 *****5298 12/05/2011
SORNSON, HAL WM-479541077 1 43.00 104000058 ******4920 12/05/2011
WATERS, JOHN WM-5001230 1 39.00 104000854 ***3409 12/05/2011
YAGER, PATTY WM-8309 1 21.00 104000029 ********0411 12/05/2011
  Count:  27 Total: 1094.00      



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