02/28/2012
09:23:53
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BARKER, HEATHER 42-1792 1 25.00 061092387 *****5553 02/29/2012
BRIGNAC, CHERYL 42-9086 1 27.50 111993776 ******7517 02/29/2012
BRITT, SHARONDA 42-1045 1 25.00 061000227 ******0382 02/29/2012
GRAHAM, WILLIS 42-1023 1 25.00 061101375 ******0876 02/29/2012
MCGRIER, CYNDI 42-9081 1 27.50 061102400 ****7146 02/29/2012
RINSLO, ANNETTE 42-1089 1 30.00 061000052 ********4013 02/29/2012
ROBERTS, MAGHAN 42-8087 1 30.00 053207766 *********7576 02/29/2012
ROBERTS, PATTI 42-9063 1 22.50 053100850 ******9127 02/29/2012
ROOF, GARNER 42-1070 1 30.00 061000227 *********1277 02/29/2012
TURNER, ANGLEA 42-1015 1 27.50 061000104 *********5004 02/29/2012
  Count:  10 Total: 270.00      



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