02/20/2013
05:50:27
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BLAYLOCK, MIKE 45-46684 3 42.00 261375684 ********3105 02/21/2013
DAY, RACHEL 45-20228 3 17.94 061000227 *********0336 02/21/2013
DEBORD, DANIELLE 45-37755 3 35.00 061103182 **5565 02/21/2013
DURHAM, FREDA 45-02632 3 75.00 061103182 **6473 02/21/2013
HANCOCK, DEREK 45-04762C 3 55.00 061000227 *********3935 02/21/2013
HARMON, DEBRA 45-375701 3 10.00 061103182 **7044 02/21/2013
HARRISON, JOE 45-08071 3 25.00 061101375 ******8044 02/21/2013
HERPST, SCOTT 45-659291 3 29.00 061000227 *********0135 02/21/2013
HERRERA, RACHEL 45-21130G 3 35.88 061103182 **4079 02/21/2013
HOWARD, TINA 45-08463 3 35.00 061107010 ******1006 02/21/2013
HUMFLEET, KARIN 45-00706 3 25.00 061000227 *********5851 02/21/2013
HUNTER, PHYLLIS 45-00915 3 49.00 061103182 **6136 02/21/2013
INGRAM, DOUG 45-41590 3 55.00 061103182 **6021 02/21/2013
JACKSON, ELLEN 45-37583 3 49.00 061103182 **4319 02/21/2013
KINLAW, KATIE 45-12983 3 39.00 061000227 *********9731 02/21/2013
LINAM, JONATHON 45-20859 3 35.00 061103182 **6133 02/21/2013
MOORE, BETTY 45-MOOREBE 3 25.00 061000227 ******5233 02/21/2013
RASMUSSEN, PAM 45-43538 3 39.00 325180595 ***7227 02/21/2013
RODGERS, NIKKI 45-21095G 3 59.00 061103182 **9914 02/21/2013
SAUNIER, ROBERT 45-37587 3 35.88 061101375 ******7864 02/21/2013
  Count:  20 Total: 770.70      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
  Count:  0 Total: 0