05/13/2014
06:09:05
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ALVAREZ, JANICE NH-1956 2 19.50 274973196 *******5379 05/15/2014
CORLDELL, DONALD NH-3558 2 24.00 071212128 ***3660 05/15/2014
DESJARDINS, MARION KAY NH-3573 2 39.00 074000065 *****6168 05/15/2014
ENTERLINE, BRYAN NH-3722 2 60.00 074908594 ******7902 05/15/2014
HARPER, GRAHAM NH-3647 2 19.50 074900275 ******0741 05/15/2014
HEIDENREICH, ERIC NH-3715 2 19.00 274973196 *4885 05/15/2014
MILLER, NICOLE NH-3718 2 24.00 274973141 *********2472 05/15/2014
RORICK, JAMIE NH-3918 2 49.50 074908594 ******1253 05/15/2014
SCHAEFER, JOHN NH-3980 2 19.00 074014035 ****5820 05/15/2014
SCHAEFER, KIM NH-3971 2 19.00 074000010 *****8106 05/15/2014
TURNER, CHARLES NH-3668 2 34.50 274973141 *********3634 05/15/2014
UMPHREY, CHERYL NH-3667 2 19.00 274973206 **7502 05/15/2014
  Count:  12 Total: 346.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
KLINE, LINDA NH-3933 2 27.00 Invalid Bank Account No. 05/15/2014
  Count:  1 Total: 27.00