06/29/2015
07:41:10
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
FICKLIN, BLAIR WD-10703 1 37.95 101201863 ***3191 07/01/2015
FRENCH, ERIN WD-11870 1 54.21 101001018 ********9731 07/01/2015
MAZUR, PAIGE WD-11799 1 32.52 101201863 ***2875 07/01/2015
PAYNE, CHERYL WD-10373 1 32.52 301281984 **5464 07/01/2015
THOMAS, SCOTT WD-10007 1 54.21 101000187 ********0404 07/01/2015
THORNTON, JOSH WD-10338 1 43.37 101006699 ******2939 07/01/2015
  Count:  6 Total: 254.78      



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