04/27/2012
06:52:46
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ANDRADE, ANNA A3-10158 1 16.22 113193532 ******8500 05/01/2012
BERGER, CHARLES A3-10119 1 32.43 314088828 **1101 05/01/2012
BOULLOSA, MARGARET A3-10035 1 21.63 314089681 ****4052 05/01/2012
COMPTON, SHUN A3-10163 1 16.22 113008465 ******3601 05/01/2012
DEITCH, JEFF A3-10049 1 43.15 114000093 *****3819 05/01/2012
DELGADO, MARCO A3-11053 1 29.19 114013284 ******3316 05/01/2012
GOLLADAY, PATRICK A3-10165 1 86.49 314074269 ****3047 05/01/2012
GREEN, JAMES A3-D00843 1 32.43 323274160 ****54-1 05/01/2012
HANKINS, TAMBI A3-MED-174 1 100.00 111900659 ******9515 05/01/2012
HAYES, MARIA ELIA A3-11011 1 27.03 314088284 ****0396 05/01/2012
HAYES, MARIA ELIA A3-MEDICAL153 1 80.00 314088284 ****9527 05/01/2012
HIRSH, BARBARA A3-11006 1 21.63 111000614 *****6919 05/01/2012
HOLGUIN, VILMA A3-MEDICAL43 1 69.99 314074269 *****1205 05/01/2012
JOSEPHSON, DON A3-D00871 1 32.43 113000023 ******3880 05/01/2012
MILLER, CYNTHIA A3-10229 1 24.33 256074974 ******5633 05/01/2012
NILES, ZACK A3-D00364 1 32.43 111900659 ******0719 05/01/2012
NINE, BARBARA A3-D00675 1 32.43 314088637 ******6071 05/01/2012
PEREZ, ROSIE A3-D00698 1 32.43 314088637 ******1071 05/01/2012
RAINEY, PERRY A3-D00669 1 54.05 314074269 ****7607 05/01/2012
RENNIE, MISHELLE A3-10034 1 59.46 113010547 ****0167 05/01/2012
ROWELL, REBECA A3-MED-152 1 120.00 114911577 ***0244 05/01/2012
SESSLER, NICOLAS A3-10957 1 27.02 114000093 *****0418 05/01/2012
SIPOS, ROBERT A3-D00587 1 75.42 314088598 ******8571 05/01/2012
TUTTLE, TAMMY A3-D00828 1 21.63 114000093 *****6422 05/01/2012
VARELAS, CHRIS A3-10029 1 70.09 314088284 **********5599 05/01/2012
  Count:  25 Total: 1158.13      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
ROBLES, SERGIO A3-10115 1 16.22 11900659 ******3581 Invalid Bank Route/Transit 05/01/2012
  Count:  1 Total: 16.22