11/09/2020
07:40:33
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ALLARD, DANIEL F5-026663 2 74.90 063107513 ******1244 11/10/2020
BAKER-HUDSON, DOROTHY F5-003092 2 119.84 063000047 ********6710 11/10/2020
COOK, ALAINA F5-025969 2 37.45 301081508 ******9702 11/10/2020
DAVIDSON, KRISTIN F5-026203 2 37.45 063107513 ******6292 11/10/2020
DUMET, MARIA F5-026689 2 44.94 063100277 ********9169 11/10/2020
EDWARDS, PAIGE F5-026650 2 37.45 267084131 *****1392 11/10/2020
HOFFMAN, IRENE F5-026635 2 48.15 263191387 *********6422 11/10/2020
ISHAM, DEBRA F5-024832 2 37.45 263079276 ******0428 11/10/2020
KNIGHTON, YVETTE F5-025999 2 37.45 063000047 ********6733 11/10/2020
MAHONEY, TOM F5-025947 2 37.45 063000047 ********6027 11/10/2020
MCDOWALL, BOB F5-025532 2 37.45 063000047 ********1064 11/10/2020
NOLLMAN, SCOTT F5-025314 2 48.15 061000104 *********3782 11/10/2020
NORWOOD, SUNNY F5-025434 2 37.45 063107513 ******0247 11/10/2020
PAFFUMI, JEFF F5-021112 2 157.29 267084199 ******5717 11/10/2020
RESTUCCIA, JOHN F5-026648 2 37.45 267084199 ******2359 11/10/2020
RIDGEWAY, KATHLEEN F5-019640 2 44.94 055003308 *********2083 11/10/2020
RIVERA, KEISHNELL F5-025794 2 74.90 267084131 *****0522 11/10/2020
SUPINSKI, KRYSTYNA F5-023420 2 37.45 063000047 ********4653 11/10/2020
TATARIAN, KEVIN F5-025760 2 37.45 063107513 ******1340 11/10/2020
TIPTON, NEAL F5-023466 2 74.90 063000047 ********0804 11/10/2020
VIVIAN, WILLIAM F5-009413 2 82.39 263079276 ******6530 11/10/2020
WALKER, KYLE F5-024753 2 37.45 263079276 ******2510 11/10/2020
WEEKS, KIMBERLE F5-012150 2 42.80 063100277 ********1037 11/10/2020
WERNING, DAVE F5-025580 2 37.45 051000020 *********2496 11/10/2020
WHEAT, KEVIN F5-023682 2 44.94 314074269 *****4724 11/10/2020
  Count:  25 Total: 1344.99      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
SIMEUS, MYRTHA F5-026742 2 42.45 245850204 ****9138 Invalid Bank Route/Transit 11/10/2020
  Count:  1 Total: 42.45