02/13/2015
07:12:00
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ANAYA, MISTY FM-10611 2 50.00 102001017 *****5700 02/17/2015
BAUCUM, JENNIFER FM-10128 2 40.00 107004776 ***5770 02/17/2015
BERTRON, KRISTI FM-10733 2 50.00 102000966 ******8542 02/17/2015
BROOKS, ROBERTA FM-11095 2 50.00 107000262 ****3362 02/17/2015
CRABB, MATTHEW FM-10839 2 40.00 102104419 *****3747 02/17/2015
DADE, GRETCHEN FM-11196 2 50.00 307077545 ****4547 02/17/2015
DE LA ROSA, ALYSSA FM-10974 2 30.00 314074269 *****8879 02/17/2015
FLAUGHER, AIMEE FM-10501 2 35.00 107001481 ***4029 02/17/2015
FRANK, KARA FM-10912 2 32.50 107003463 *****5621 02/17/2015
FREY, KRISTINNA FM-11212 2 75.00 107000262 ****7898 02/17/2015
GOODMAN, DAVID FM-10459 2 40.00 102000076 ******5066 02/17/2015
ISON, FORREST FM-11206 2 30.00 107005319 ******4359 02/17/2015
KEY, KALEIGH FM-11129 2 25.00 102000076 ******6382 02/17/2015
MARTINEZ, JENNIFER FM-10599 2 50.00 307074551 ******7924 02/17/2015
MULKEY, RAQUEL FM-10300 2 32.50 102303841 ***1893 02/17/2015
OSTERMILLER, CLAYTON FM-11105 2 30.00 107000262 ***5166 02/17/2015
OSTRANDER, DANIKA FM-10362 2 40.00 102000076 ******0030 02/17/2015
PAPACHECK, PRESLEY FM-11140 2 40.00 107003353 ******5027 02/17/2015
PATRICK, MICHELLE FM-11078 2 85.00 107002147 *****7036 02/17/2015
SOMERVILLE, BRYAN FM-9342000998 2 25.00 107000262 ****5971 02/17/2015
STEWART, DIANNA FM-11027 2 30.00 107003463 *****3083 02/17/2015
STOLPA, WALTER FM-10157 2 25.00 107000262 ****9685 02/17/2015
TONI, WANDA FM-10811 2 35.00 302075128 *********3800 02/17/2015
TORRES, GILBERT FM-10710 2 25.00 314074269 ****0820 02/17/2015
VARGAS, JOE FM-11065 2 40.00 107000262 ****3163 02/17/2015
WATSON, BETTYJO FM-11252 2 25.00 107000262 ****6473 02/17/2015
WHITE, DONALD FM-11054 2 30.00 107004776 ***9791 02/17/2015
WILSON, SHELLEY FM-10112 2 65.00 107003463 *****8307 02/17/2015
  Count:  28 Total: 1125.00      



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