02/27/2012
10:53:09
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
AMOUR, NINA 05-105675 1 18.00 121000358 ******1351 03/01/2012
BALAKIAN, PATRICK 05-103448 1 22.00 121202211 ********6814 03/01/2012
BELL, JOHN 05-104210 1 30.00 121042882 ******3486 03/01/2012
BENDER, ANTOINETTE 05-104579 1 30.00 122000496 ******4667 03/01/2012
BERNAL, ANDRES 05-105098 1 20.00 122000496 ******7066 03/01/2012
BOTERO, JONATHAN 05-104222 1 25.00 122000247 ******6221 03/01/2012
BOTERO, JULIAN 05-104221 1 25.00 122000247 ******9999 03/01/2012
BROWN, MEGHAN 05-104169 1 18.00 256074974 ******5725 03/01/2012
CABALLERO, GABRIELA 05-105845 1 30.00 322281691 ***4124 03/01/2012
COSTA, PAUL 05-106064 1 20.00 122000247 ******5527 03/01/2012
DIVINCENZO, ANTHONY 05-102450 1 26.00 122000247 ******7578 03/01/2012
FORE, AARON 05-102129 1 37.00 121042882 ******7578 03/01/2012
GARCIA, JESSICA 05-106084 1 25.00 311981669 ******4216 03/01/2012
GILLMEISTER, LIDJA 05-102400 1 25.00 051000017 ********5545 03/01/2012
GOMEZ, SLOAN 05-102944 1 25.00 322271627 ******9255 03/01/2012
LOUISON, CLAURA 05-106017 1 30.00 322271627 ******6836 03/01/2012
PAYTON, ERIC 05-106085 1 30.00 311981669 ******4216 03/01/2012
RUSSO, LISA 05-335820300 1 36.00 322281507 *****1580 03/01/2012
SCHUENEMAN, DUSTIN 05-103891 1 25.00 121042882 ******0033 03/01/2012
TUCCI, PAUL 05-103233 1 25.00 321171184 ******6718 03/01/2012
VAUCHELET, RAYOLA 05-104988 1 30.00 122000661 ******1033 03/01/2012
  Count:  21 Total: 552.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
MOULTON, MICHAEL 05-106049 1 47.00 0207 *****4974 Invalid Bank Route/Transit 03/01/2012
  Count:  1 Total: 47.00