02/27/2012
10:53:10
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
DOBSON, DARLENE 88-001043 1 37.89 313183368 *******3901 03/01/2012
EMERY, DAVID 88-000146 1 43.30 111000753 *************0911 03/01/2012
FREEMAN, JOHN 88-001294 1 32.48 113000023 ********9233 03/01/2012
GALVIN, FISHER 88-000554 1 27.06 313085288 ******0007 03/01/2012
HARRIS, DAVID 88-000644 1 37.89 111000614 *****2910 03/01/2012
HEBERT, MILISSA 88-30360 1 37.89 111900659 ******6914 03/01/2012
LIUCCI, DOLORES 88-001351 1 37.89 111000753 ******4449 03/01/2012
NULISCH, ZAK 88-30150 1 43.30 313085288 ******0100 03/01/2012
OTIS, MAUREEN 88-001384 1 27.06 111900785 ******5982 03/01/2012
PERKINS, DESMOND 88-000938 1 54.13 314074269 ****5948 03/01/2012
SCHMIDT, KERI 88-000984 1 97.43 313084593 ******7850 03/01/2012
SHEPPARD, JILL 88-JISHEPPARD 1 97.43 111000614 *****6699 03/01/2012
WELLS, DALE 88-30047 1 37.89 111900659 ******5553 03/01/2012
WHITE, DEBBY 88-000927 1 54.13 113015500 **8382 03/01/2012
  Count:  14 Total: 665.77      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
LEBER, LESLIE 88-000903 1 0.00 114000093 *****4877 Zero Dollar Amount 03/01/2012
MILLER, AMMI 88-000523 1 0.00 111900659 ************1413 Zero Dollar Amount 03/01/2012
  Count:  2 Total: 0.00