12/30/2015
08:49:12
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 01/04/2016
BURKEMPER, KAREN P9-11144 1 10.85 081000032 ********0034 01/04/2016
COE, VANESSA P9-12186 1 15.18 081000210 ********3371 01/04/2016
COFER, GLEN P9-03886 1 5.00 101000019 *****2105 01/04/2016
COLEMAN, PATRICK P9-12337 1 32.53 081000032 ********7485 01/04/2016
DIEPENBROCK, MICHAEL P9-15779 1 5.00 081000032 ********2670 01/04/2016
DUNKER, ANTHONY P9-02719 1 21.70 081006162 ***2493 01/04/2016
DUNKER, MARY P9-02717 1 28.19 081006162 ***2493 01/04/2016
DUNKER, MATT P9-15744 1 24.85 081006162 ***2493 01/04/2016
JONES, DUSTIN P9-16198 1 22.76 281082915 *****0903 01/04/2016
JUBAK, CHRISTINE P9-03401 1 16.27 081000032 ********5416 01/04/2016
KENNISON, JEANETTE P9-14971 1 16.26 081905768 ***4870 01/04/2016
KOHL, LUKE P9-13177 1 32.52 071174431 ******2782 01/04/2016
LANN, SHANE P9-15659 1 21.68 081000032 ********6113 01/04/2016
MAGASANO, ANGEL P9-15893 1 5.00 101000019 *****9018 01/04/2016
MOORE, TODD P9-16871 1 21.68 281080739 *****1130 01/04/2016
NORRIS, ANDREA P9-14565 1 10.83 101000019 *****0598 01/04/2016
PEASEL, LISA P9-03659 1 5.42 081009428 ******5143 01/04/2016
PLEASANT, BRIAN P9-02863 1 21.68 101000019 *****9458 01/04/2016
PLEASANT, SUSAN P9-02862 1 15.18 101000019 *****9458 01/04/2016
TODD, KYLE P9-16235 1 21.68 081000210 ********6215 01/04/2016
  Count:  21 Total: 359.26      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
HUGHES, RYAN P9-16542 1 178.86 Invalid Bank Account No. 01/04/2016
  Count:  1 Total: 178.86