05/21/2014
10:06:49
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BLOCK, BRIAN WF-116884 4 39.00 123006800 ******9900 05/23/2014
BUNCH, CHELSEA WF-115266 4 65.00 323075880 *********9618 05/23/2014
CHAPUT, CHRIS WF-106804 4 65.00 323274461 ********8990 05/23/2014
COOPER, REBECCA WF-114451 4 65.00 323274461 ********0107 05/23/2014
DAVIS, JEAN WF-109778 4 19.50 323075880 ***3374 05/23/2014
DRENKHAHN, BETTY WF-107975 4 19.50 123000220 ********1557 05/23/2014
EWALD, JAMES WF-110754 4 19.50 123006800 ******8192 05/23/2014
FOILES, STACEY WF-101921 4 35.00 323075880 *********4968 05/23/2014
HARRIGAN, NOELLE WF-100463 4 65.00 323274461 ********0515 05/23/2014
HINDMAN, CAROLYN WF-106755 4 65.00 123000220 ********4467 05/23/2014
KOHLHOFF, THERESA WF-105234 4 109.50 123006651 *****7585 05/23/2014
LEE, JENNIFER WF-105931 4 39.00 325070760 ******9892 05/23/2014
MCCORMACK, ALISHA WF-109907 4 35.00 323075356 *****0009 05/23/2014
PETRAUSKAS, KATHLEEN WF-110475 4 35.00 123000220 ********3044 05/23/2014
ROOT, DEBBIE WF-100239 4 38.00 325070760 ******4478 05/23/2014
STROY, SOMMER WF-113141 4 103.00 325070760 *****4969 05/23/2014
VALLE, KATHLEEN WF-104995 4 68.00 323075181 **********4003 05/23/2014
WELDON, BRIAN WF-113537 4 39.00 323070380 ********8354 05/23/2014
WILD, JEANETTE WF-114088 4 65.00 323075880 *********2757 05/23/2014
  Count:  19 Total: 989.00      



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