01/30/2013
08:25:04
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
CHAMNESS, TRACI LEANN 95-G10086 1 32.46 111921777 ****0001 02/01/2013
CONNER, ASHLEY 95-G10311 1 32.46 111921777 ****3531 02/01/2013
DAVIS, CHRISTY 95-G20189 1 58.46 113010547 ******7813 02/01/2013
ERICKSON, DEBORAH 95-G20187 1 27.06 111921777 ****0700 02/01/2013
GREER, JAMES 95-G20229 1 32.46 111901519 *****8877 02/01/2013
GRIMES, GARY 95-B00410 1 32.46 111909993 ****6069 02/01/2013
HARTLINE, ASHLEY 95-G20223 1 32.46 111921777 ****7281 02/01/2013
HOLUBAR, TANNER 95-G20125 1 32.46 113122655 ****0009 02/01/2013
ISOM, LISA 95-G10306 1 54.13 111909993 ****9039 02/01/2013
KEITH, MARTYN 95-G20172 1 32.46 113008465 ******8375 02/01/2013
LAARITS, FRANK 95-G20140 1 32.46 113008465 ******0664 02/01/2013
LILLEY, JONATHAN 95-G20090 1 32.46 113122655 ***1331 02/01/2013
MAYHUGH, JAYSON 95-G20179 1 21.65 111923607 ***1211 02/01/2013
MCKEE, JIM 95-G00359 1 21.65 111921777 ****7051 02/01/2013
RAMOS, MICHAEL 95-G20149 1 47.63 111921777 ****4545 02/01/2013
REYNOLDS- AIR B, JOHNNY 95-G10243 1 139.58 111901632 ****0001 02/01/2013
RHODES, SHARON 95-G20096 1 27.06 311988976 *4562 02/01/2013
SHAEFFER, MIRANDA 95-G20203 1 54.13 111921777 ****5217 02/01/2013
SHUE, GABRIEL 95-G20117 1 21.64 111921777 ****7689 02/01/2013
SMITH, ROBERT 95-G20202 1 32.46 111921777 ****5726 02/01/2013
ST.AMA, DANIEL 95-G01080 1 27.06 111903151 ******4271 02/01/2013
STAPLES, GENE 95-G10368 1 21.65 111923607 ***8979 02/01/2013
STENTZ, DAVID SCOTT 95-G00878 1 54.11 111909993 ****3537 02/01/2013
WARD, ANDRE 95-G01077 1 21.65 111909993 ****9774 02/01/2013
  Count:  24 Total: 922.06      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
LINDLEY, ERIK 95-G10358 1 194.85 Invalid Bank Account No. 02/01/2013
  Count:  1 Total: 194.85