03/13/2020
06:30:20
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
COFFEY, SAM 05-8691 2 30.00 256074974 ******0058 03/16/2020
COLLIFLOWER, RICKI 05-7958 2 30.00 121000358 ********2301 03/16/2020
CRISTOFANI, NATALE 05-4891 2 30.00 321175261 ***7067 03/16/2020
DUNNING, FOREST 05-7101 2 34.99 121042882 ******6332 03/16/2020
GOLDKIND, IGOR 05-8206 2 274.95 211075086 ******3765 03/16/2020
GUINN, OLIVIA 05-8687 2 30.00 322271627 *****2458 03/16/2020
HEMPHILL, HUNTER 05-6700 2 30.00 122000247 ******0060 03/16/2020
KELLER, KIMBERLY 05-7679 2 34.99 322281617 ********3490 03/16/2020
LAHART, MARK 05-7352 2 34.99 121042882 ******9629 03/16/2020
LEACH, BRITTANY 05-2892 2 27.00 322271627 *****5894 03/16/2020
MARQUEZ, FRANK 05-4272 2 31.99 322281578 *****6108 03/16/2020
MARQUEZ, KRISTY 05-3962 2 28.99 322281578 *****6108 03/16/2020
MCLAUGHLIN, BRIAN 05-3727 2 25.00 122000247 ******4935 03/16/2020
SZCZEPANSKI, AMY 05-107465 2 25.00 264279800 ****3570 03/16/2020
  Count:  14 Total: 667.90      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
BERGERON, MAGDALENA 05-2903 2 1080.00 Invalid Bank Account No. 03/16/2020
VALENCIA-NARANJ, DAISY 05-6834 2 297.00 099290578 ******3471 Invalid Bank Route/Transit 03/16/2020
  Count:  2 Total: 1377.00