12/30/2013
07:23:30
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BETZ, KAY NH-1091 1 39.00 071921891 ******9705 01/02/2014
CHEVIRON, TAMARA NH-1564 1 24.00 274975518 ****7103 01/02/2014
FOX, TERI NH-1181 1 24.00 274973183 ******3306 01/02/2014
LANGFORD, CHRISTOPHER NH-3448 1 20.00 071921891 ******8454 01/02/2014
MANSBERGER, BOB NH-3300 1 19.50 074900275 ******9131 01/02/2014
MARTIN, RANDALL NH-3088 1 49.00 074000010 *****7044 01/02/2014
MCCLANAHAN, JOHN NH-1647 1 24.00 074908594 ******8472 01/02/2014
NAGEL, MARLENE NH-3413 1 24.00 071921891 ******0962 01/02/2014
NEHER, MAXINE NH-1125 1 39.00 074000010 ********2018 01/02/2014
SCHULTISE, KARL NH-3493 1 24.00 074000010 ********7841 01/02/2014
SHEEHAN, KEVIN NH-1497 1 24.50 061000052 ********4738 01/02/2014
WALTON, TIMOTHY NH-3958 1 19.50 074000010 *****8028 01/02/2014
WHITLOW, RONALD NH-1809 1 24.00 074914229 ****9690 01/02/2014
WITHAM, JOHN NH-1776 1 24.00 274973222 **4848 01/02/2014
  Count:  14 Total: 378.50      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
HOERING, JUSTIN NH-3236 1 39.00 ************4118 Invalid Bank Route/Transit 01/02/2014
KLINE, LINDA NH-1193 1 19.00 Invalid Bank Account No. 01/02/2014
  Count:  2 Total: 58.00