11/29/2013
06:15:49
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BURKHALTER, CANDICE 19-0962 1 25.00 061120576 *****1875 12/02/2013
DEFOOR, RUSSELL 19-0324 1 106.00 061101375 ******8767 12/02/2013
FITZWATER, BILL 19-000025 1 29.00 061000227 *********8650 12/02/2013
GARLAND, MARK 19-0947 1 37.00 061103690 ***9239 12/02/2013
GLAZE, GRIFFEN 19-1554 1 29.00 061113415 *********3211 12/02/2013
MARTIN, RHONDA 19-1069 1 20.00 061119642 ****8838 12/02/2013
MEADOWS, PATTI 19-0685 1 187.00 061103690 ******7074 12/02/2013
PATE, HANNA 19-1371 1 39.00 061101375 ******3344 12/02/2013
PETROVICH, BOBBY 19-1090 1 30.00 061000227 *********2728 12/02/2013
PROKOP, DANIEL 19-1758 1 25.00 061000104 *********6964 12/02/2013
REEVES, BILLY 19-1039 1 32.00 061103690 ***8959 12/02/2013
SELF, MICHELE 19-0964 1 29.00 262287195 *********7625 12/02/2013
SMITH, JENNY 19-1007 1 39.00 082907273 ******0765 12/02/2013
VELAZGUEZ, DIANA 19-00087 1 25.00 064208165 ******1365 12/02/2013
WALDEN, ZACHERY 19-0959 1 25.00 061103690 ******2991 12/02/2013
WOODARD, MASON 19-1399 1 29.00 061103690 ******3436 12/02/2013
  Count:  16 Total: 706.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
BURGESS, TREY 19-1652 1 48.00 557 Invalid Bank Route/Transit 12/02/2013
WILLIAMS, DEVONE 19-00039 1 225.00 061106690 ***3264 Invalid Bank Route/Transit 12/02/2013
  Count:  2 Total: 273.00