12/28/2011
09:13:22
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BRAUN, ROBIN EW-757743 1 31.39 311981533 *****4012 01/03/2012
CHASE, COLETTE EW-757704 1 42.39 111000025 ********7661 01/03/2012
COPPIN, MARI EW-800147 1 42.22 064000020 ********7382 01/03/2012
GOLDEN, REBECCA EW-800215 1 42.22 111000025 ********1395 01/03/2012
HAMNER, LISA EW-800211 1 42.22 111000614 *****7321 01/03/2012
HERNANDEZ, MONICA EW-800187 1 42.22 111000614 *****4512 01/03/2012
HIGGINS, MARION EW-757734 1 191.61 111904817 ***6078 01/03/2012
MARTINEZ, SHARON EW-757742 1 42.22 111000614 ******4483 01/03/2012
MODGLIN, COOKIE EW-800103 1 42.22 111000025 ********8331 01/03/2012
PHILLIPS, MARIE EW-757705 1 31.39 111000025 ********7661 01/03/2012
TAYLOR, TIFFANY EW-800104 1 53.28 111017694 *********9517 01/03/2012
WILLIAMS, MARSHA EW-800219 1 42.22 111906271 *****7360 01/03/2012
  Count:  12 Total: 645.60      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
LIVELY, KATHY EW-757803 1 53.04 Invalid Bank Account No. 01/03/2012
TRUJILLO, GERALDINE EW-800221 1 62.79 Invalid Bank Account No. 01/03/2012
  Count:  2 Total: 115.83