Autobill Bank EFT Payment Listing Report
| Name |
Member No. |
Cycle |
Amount |
Transit |
Acct No. |
Trans. Date |
| ALLEN, KENNETH |
P9-14564 |
1 |
5.00 |
101000019 |
*****6686 |
11/02/2015 |
| BICE, DOUGLASS |
P9-01131 |
1 |
21.68 |
101000019 |
*****0492 |
11/02/2015 |
| BURKEMPER, KAREN |
P9-11144 |
1 |
32.54 |
081000032 |
********0034 |
11/02/2015 |
| COE, VANESSA |
P9-12186 |
1 |
15.18 |
081000210 |
********3371 |
11/02/2015 |
| COFER, GLEN |
P9-03886 |
1 |
5.00 |
101000019 |
*****2105 |
11/02/2015 |
| COLEMAN, PATRICK |
P9-12337 |
1 |
21.68 |
081000032 |
********7485 |
11/02/2015 |
| DIEPENBROCK, MICHAEL |
P9-15779 |
1 |
5.00 |
081000032 |
********2670 |
11/02/2015 |
| DUNKER, ANTHONY |
P9-02719 |
1 |
10.85 |
081006162 |
***2493 |
11/02/2015 |
| DUNKER, MARY |
P9-02717 |
1 |
17.34 |
081006162 |
***2493 |
11/02/2015 |
| DUNKER, MATT |
P9-15744 |
1 |
14.00 |
081006162 |
***2493 |
11/02/2015 |
| JONES, DUSTIN |
P9-16198 |
1 |
22.76 |
281082915 |
*****0903 |
11/02/2015 |
| JUBAK, CHRISTINE |
P9-03401 |
1 |
16.27 |
081000032 |
********5416 |
11/02/2015 |
| KENNISON, JEANETTE |
P9-14971 |
1 |
16.26 |
081905768 |
***4870 |
11/02/2015 |
| KOHL, LUKE |
P9-13177 |
1 |
10.83 |
071174431 |
******2782 |
11/02/2015 |
| LANN, SHANE |
P9-15659 |
1 |
21.68 |
081000032 |
********6113 |
11/02/2015 |
| MAGASANO, ANGEL |
P9-15893 |
1 |
5.00 |
101000019 |
*****9018 |
11/02/2015 |
| MOORE, TODD |
P9-16871 |
1 |
21.68 |
281080739 |
*****1130 |
11/02/2015 |
| NORRIS, ANDREA |
P9-14565 |
1 |
10.83 |
101000019 |
*****0598 |
11/02/2015 |
| PEASEL, LISA |
P9-03659 |
1 |
5.42 |
081009428 |
******5143 |
11/02/2015 |
| PLEASANT, BRIAN |
P9-02863 |
1 |
21.68 |
101000019 |
*****9458 |
11/02/2015 |
| PLEASANT, SUSAN |
P9-02862 |
1 |
15.18 |
101000019 |
*****9458 |
11/02/2015 |
| |
Count: 21 |
Total: |
315.86 |
|
|
|
Rejected Input Items
| Name |
Member No. |
Cycle |
Amount |
Transit |
Acct No. |
Reason |
Trans. Date |
| HUGHES, RYAN |
P9-16542 |
1 |
135.50 |
|
|
Invalid Bank Account No. |
11/02/2015 |
| |
Count: 1 |
Total: |
135.50 |
|
|
|
|