10/30/2014
07:55:03
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ANTINORE, KIMBERLY VF-72281 A 25.00 222381183 ***5843 11/03/2014
BISIG, MARY VF-703007 A 37.95 022304030 ******4952 11/03/2014
BOSS, LAURA VF-704305 A 34.15 022304616 *****9831 11/03/2014
COLEMAN, JULIE VF-72278 A 79.00 022306818 *****3317 11/03/2014
COOK, MICHAEL VF-700533 A 60.00 222370440 *****0953 11/03/2014
COTSONAS, JANE VF-701002 A 22.00 222371863 ******6825 11/03/2014
CROUCH, RAY VF-703305 A 37.95 022303659 ******7340 11/03/2014
HAGEN, THERESA VF-72533 A 30.00 022304616 *****3981 11/03/2014
HAYWARD, AMY VF-703471 A 34.15 022000127 ******4092 11/03/2014
HILL, DEBRA VF-72317 A 59.00 222381183 **********9202 11/03/2014
KELLY, SHAWN VF-704330 A 66.00 222381183 ***9736 11/03/2014
LARSON, KATHY VF-72201 A 66.50 022306818 *****6583 11/03/2014
LAWRENCE, CYNTHIA VF-703788 A 79.00 022306818 *****5867 11/03/2014
LOGSDON, GAIL VF-702336 A 25.00 222381183 ***3553 11/03/2014
MCDOWELL, ANNETTE VF-72551 A 30.00 022000046 ******4882 11/03/2014
MOORE, TRACY VF-001587 A 25.00 022306818 *****7953 11/03/2014
PERZIA, ONOFRIO VF-72612 A 42.95 021000322 ********3375 11/03/2014
SHEFLIN, MIKE VF-703958 A 25.00 222381183 **********6509 11/03/2014
SHUSTERIC, CAROL VF-704206 A 30.00 022300173 *****0696 11/03/2014
WRIGHT, MICHAEL VF-002257 A 79.00 021000322 ********8128 11/03/2014
  Count:  20 Total: 887.65      



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