Autobill Bank EFT Payment Listing Report
| Name |
Member No. |
Cycle |
Amount |
Transit |
Acct No. |
Trans. Date |
| BACHLER JR, DAVE |
GF-10563 |
1 |
16.06 |
291074722 |
*******8021 |
11/04/2015 |
| BACHLER, DAN |
GF-10452 |
1 |
16.06 |
091000019 |
******3185 |
11/04/2015 |
| BACHLER, DAVE |
GF-10459 |
1 |
10.70 |
291074722 |
*******6021 |
11/04/2015 |
| CREW, ANN |
GF-11208 |
1 |
26.77 |
122105278 |
******3612 |
11/04/2015 |
| DAVIS, JAMES ALANA |
GF-10583 |
1 |
45.70 |
291074793 |
******7598 |
11/04/2015 |
| DU MONCEAUX, TRAVIS |
GF-11176 |
1 |
26.77 |
291070001 |
******8512 |
11/04/2015 |
| HUNKLE, BYRON |
GF-11078 |
1 |
10.70 |
091000019 |
******0390 |
11/04/2015 |
| HUNKLE, CODY |
GF-11081 |
1 |
10.70 |
091000019 |
******0390 |
11/04/2015 |
| HUNKLE, DERRIK |
GF-11075 |
1 |
10.70 |
091000019 |
******0390 |
11/04/2015 |
| KOVAL, BRYANT |
GF-10669 |
1 |
42.83 |
091000019 |
******1792 |
11/04/2015 |
| OELKERS, MICHELLE |
GF-11095 |
1 |
120.00 |
291070001 |
******2346 |
11/04/2015 |
| PETERSON, JANET |
GF-10138 |
1 |
42.83 |
075972147 |
******8710 |
11/04/2015 |
| WELSCH, KAY |
GF-WELSCH |
1 |
139.98 |
091000022 |
********0402 |
11/04/2015 |
| |
Count: 13 |
Total: |
519.80 |
|
|
|
Rejected Input Items
| Name |
Member No. |
Cycle |
Amount |
Transit |
Acct No. |
Reason |
Trans. Date |
| |
Count: 0 |
Total: |
0 |
|
|
|
|