01/30/2015
05:14:15
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BARBAY-JOANN, CHARLIE BARBAYS D3-88368 1 35.00 022302935 *****6998 02/02/2015
BARRY, LAWRENCE D3-88865 1 25.00 022304030 *****5391 02/02/2015
BERTINO, STEPHANIE D3-88349 1 35.00 222380692 *****0030 02/02/2015
BIELOWICZ, AMANDA D3-88918 1 30.00 021307559 *****5428 02/02/2015
BROWN, DOUG D3-00722 1 20.00 021301115 *****6505 02/02/2015
BURRUTO, JAMES D3-88921 1 35.00 022303659 ******9645 02/02/2015
CARSON, LYNN D3-88810 1 50.00 022304030 *****7022 02/02/2015
CIESLAK, EDMUND D3-88513 1 35.00 021000322 ********4548 02/02/2015
DRISCOLL, DEBORAH D3-88706 1 35.00 021307559 ******1689 02/02/2015
FITZSIMMONS, JOHN D3-88873 1 40.00 221373451 **********7004 02/02/2015
GRAHAM, DEBRA D3-88849 1 30.00 221371194 *******7399 02/02/2015
GRIFFITH, DEBBIE D3-88770 1 30.00 022304616 *****8956 02/02/2015
HAY, DOUGLAS D3-88296 1 30.00 222382315 ******3963 02/02/2015
LAFIER, ANDREW D3-88906 1 35.00 022304030 *****6706 02/02/2015
LANSING, KATHY D3-88571 1 35.00 022304616 *****2848 02/02/2015
LEBBON, NICHOLE D3-88284 1 30.00 022304030 *****9578 02/02/2015
MALYJ, JAMES D3-88200 1 25.00 022304030 *******02-3 02/02/2015
MURPHY, LARRY D3-88910 1 35.00 221371194 *******4663 02/02/2015
PERRAULT, CLAUDIA D3-00816 1 30.00 021307559 ******6810 02/02/2015
POORMON, PATTY D3-88468 1 45.00 022304030 ******1479 02/02/2015
REESE, ANDREW D3-00380 1 30.00 221371194 *******2638 02/02/2015
RHINEHART, MELONIE D3-88877 1 35.00 022304030 *****1408 02/02/2015
SARGENT, STEPHEN D3-88525 1 45.00 022304030 *****1280 02/02/2015
SULLIVAN, SUMMER D3-88172 1 30.00 022304616 ****6940 02/02/2015
VANNO, BRITTANY D3-88952 1 35.00 221380790 *8399 02/02/2015
  Count:  25 Total: 840.00      



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