03/30/2015
09:55:26
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
AMBROSE, AARON EL-1017185 1 25.91 301081061 **2306 04/01/2015
BALDWIN, DANIEL EL-1017130 1 42.11 101201892 *****8775 04/01/2015
BERRYMAN, STEVE EL-650623 1 37.80 101201892 ****7898 04/01/2015
CRANE, PATTI EL-1017127 1 42.11 081000032 ********0578 04/01/2015
CRAWFORD, DAWN EL-1014675 1 25.91 101003773 ****3828 04/01/2015
DAMPF, MEGAN EL-1014639 1 21.60 101201892 ****5573 04/01/2015
ETTER, RAMONA EL-1014690 1 21.60 101000035 ********0124 04/01/2015
FAIN, JIMMY EL-1020820 1 25.91 101201892 ****7268 04/01/2015
GONZALES, ROBERT EL-1014679 1 25.91 101000019 *****2322 04/01/2015
KELLER, JACQUIE EL-1014607 1 21.60 082900872 ******8619 04/01/2015
KILBURN, MORGAN EL-1029882 1 42.11 101201892 *****7658 04/01/2015
MINEAR, SHEILA EL-1014666 1 54.00 101000187 ******0696 04/01/2015
MOLBY, CHRISTY EL-1017153 1 42.11 101908577 **6996 04/01/2015
MORRISON, MICHAEL EL-1014651 1 25.91 301081786 *****0981 04/01/2015
RAAK, TODD EL-650602 1 45.20 101006699 ******6017 04/01/2015
ROBISON, SHARON EL-1017107 1 37.80 301081508 ********8708 04/01/2015
SANCHEZ, MATT EL-1029869 1 25.91 322274925 ****3820 04/01/2015
SHEWMAKER, VICKI EL-1017131 1 25.91 101000019 *****1443 04/01/2015
SMITH, SUSAN EL-1017190 1 25.91 101000035 ********1838 04/01/2015
STUTZMAN, SAM EL-1020855 1 25.91 101000035 ********0116 04/01/2015
TANNER, ANGELA EL-1014604 1 25.91 101000187 ********0293 04/01/2015
TIEMAN, JAMES EL-1014692 1 37.80 101908577 **1289 04/01/2015
TUBBER, DALTON EL-1020814 1 25.91 301080392 *******0719 04/01/2015
WARRENER, MATT EL-1014677 1 58.31 301081508 ********1707 04/01/2015
WILLIAMS, BOBBY EL-1029905 1 42.11 101000035 ********8691 04/01/2015
  Count:  25 Total: 831.27      



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