06/13/2017
06:44:57
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ALDRIDGE, KEITH 05-2708 2 30.00 322274488 ****2980 06/15/2017
CHANDLER, ANNA L 05-4320 2 30.00 322271627 ************9043 06/15/2017
DAX, JIM 05-2601 2 30.00 091000019 ******0047 06/15/2017
DIAZ, ROBERTO 05-110550 2 20.00 122000496 ******1769 06/15/2017
DUFFY, ERIN 05-103272 2 30.00 322281604 ***1163 06/15/2017
HEMPHILL, HUNTER 05-2921 2 30.00 122000247 ******0060 06/15/2017
LARKIN, KEVIN 05-335821605 2 29.00 122235821 ********9624 06/15/2017
LEACH, BRITTANY 05-2892 2 27.00 322271627 *****5894 06/15/2017
MARQUEZ, FRANK 05-4272 2 31.99 322281578 *****6108 06/15/2017
MARQUEZ, KRISTY 05-110164 2 28.99 322281578 *****6108 06/15/2017
MCLAUGHLIN, BRIAN 05-107658 2 25.00 122000247 ******4935 06/15/2017
MONSON, JAY 05-2680 2 30.00 091000019 ******0047 06/15/2017
RODGERS, SOLOMON 05-3090 2 30.00 122235821 ********3756 06/15/2017
SZCZEPANSKI, AMY 05-107465 2 25.00 264279800 ****3570 06/15/2017
THURMAN, ALBA 05-2265 2 27.00 322281617 *****2690 06/15/2017
VAZQUEZ, OCTAVIO 05-111000 2 20.00 122000496 ******1769 06/15/2017
  Count:  16 Total: 443.98      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
BERGERON, MAGDALENA 05-2903 2 90.00 Invalid Bank Account No. 06/15/2017
  Count:  1 Total: 90.00