02/16/2012
12:21:59
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BARKER, TERRANCE 98-0310393 2 39.00 322281617 ********4991 02/21/2012
BURKHALTER, SCOTT 98-0312235 2 39.00 122000496 ******6480 02/21/2012
CARMEL, JENNIFER 98-0315464 2 39.00 122000661 *******7472 02/21/2012
DASHE, MARILYN 98-0315126 2 59.00 122000247 ******5820 02/21/2012
DINH, LEE 98-0310759 2 25.00 122000247 ******7950 02/21/2012
FRIEDMANN, JOE 98-0315232 2 39.00 122000661 ******4458 02/21/2012
GARDNER, SCOTT 98-0313579 2 39.00 322281617 ********8591 02/21/2012
GLANCY, SEAN 98-0314630 2 29.00 122238200 ****1149 02/21/2012
JESSE, JEFF 98-0313914 2 25.00 322271627 *****9498 02/21/2012
KAYAJANIAN, KERRY 98-0311008 2 68.00 122000247 ******3183 02/21/2012
MAY, GENE 98-0315174 2 59.00 122238200 ***2755 02/21/2012
MOREY, SONJA 98-0312684 2 79.00 322077779 ******3900 02/21/2012
OXHORN, LOUISE 98-0315283 2 29.00 122000661 ******1009 02/21/2012
REEVE, DAVID 98-0314533 2 39.00 322281507 *****4669 02/21/2012
RISCHMAN, RALF 98-0311111 2 78.00 122232109 ******0061 02/21/2012
SCERNI, AMANDA 98-0314175 2 39.00 122000661 ******0100 02/21/2012
SCHMUCKLE, ARLENE 98-0315049 2 29.00 122000496 ******0440 02/21/2012
SPENCER, JANE 98-0314724 2 32.00 322281507 *****9743 02/21/2012
WEINBERG, BETZI 98-0310656 2 68.00 122000661 ******5749 02/21/2012
ZAYER, JAM 98-0310617 2 58.00 322281507 *****8401 02/21/2012
  Count:  20 Total: 911.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
GRAY, JULIA 98-0314401 2 25.00 Invalid Bank Account No. 02/21/2012
  Count:  1 Total: 25.00