09/17/2018
08:34:34
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
CEJA, SERAFIN 07-885199 2 17.99 321172594 ***9545 09/18/2018
CERVANTES, ANDREA 07-WEB864996 2 15.00 121000358 ********2701 09/18/2018
CHAVEZ, LORENA 07-1086957 2 15.00 321177706 ****7673 09/18/2018
GAITAN, JUAN 07-908620 2 15.00 121042882 ******2234 09/18/2018
GARCIA, CONNIE 07-687921 2 15.00 121000358 ********0903 09/18/2018
GONZALES, CHARLENA 07-885220 2 17.99 121042882 ******2855 09/18/2018
RHARBI, MOSTAFA 07-764578 2 17.50 322271627 ******8092 09/18/2018
RHARBI, TERI 07-764579 2 17.50 322271627 ******8092 09/18/2018
ROBERTS, BROCK 07-WEB332288 2 9.00 322271627 ******5974 09/18/2018
ROBERTS, KYLE 07-WEB374858 2 10.00 322271627 ******5974 09/18/2018
SIERRA, RACHELLE 07-820190 2 1.00 321173522 **********1082 09/18/2018
  Count:  11 Total: 150.98      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
LEWIS, MARIA 07-895867 2 239.84 Invalid Bank Account No. 09/18/2018
RODRIGUES, AYRIANA 07-920252 2 150.00 Invalid Bank Account No. 09/18/2018
RODRIGUES, AYRIANA 07-WEB160855 2 150.00 Invalid Bank Account No. 09/18/2018
RODRIGUES, AYRIANA 07-WEB682806 2 150.00 Invalid Bank Account No. 09/18/2018
RODRIGUES, AYRIANA 07-WEB804504 2 150.00 Invalid Bank Account No. 09/18/2018
RODRIGUES, AYRIANA 07-WEB880542 2 150.00 Invalid Bank Account No. 09/18/2018
  Count:  6 Total: 989.84