03/01/2021
09:36:57
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
ALLRED, SHEILA 44-5992 1 55.00 123002011 ********7884 03/02/2021
EASTMAN, AMANDA 44-2341 1 32.00 323274461 ********4041 03/02/2021
EGOROFF, LAUREN 44-10664 1 32.00 323274445 **********0108 03/02/2021
GOODMAN, DEBBIE 44-10614 1 57.00 123000220 ********8004 03/02/2021
HARPER, WHITNEY 44-8796 1 52.00 092900383 ********7110 03/02/2021
HEITZ, JODY 44-5629 1 32.00 323274445 **********5124 03/02/2021
HOOKLAND, CHAD 44-2407 1 32.00 123000220 ********0571 03/02/2021
KEATHLEY, ALEXANDER 44-10641 1 77.00 323274461 ********1485 03/02/2021
MILLS, BAILEY 44-2177 1 32.00 323276524 ******4151 03/02/2021
MINOR, CHABLIS 44-5113 1 75.00 121000358 ********1938 03/02/2021
NELSON, REBECCA 44-2108 1 77.00 323274461 ********3216 03/02/2021
ORIANO, RALPH 44-2418 1 32.00 121042882 ******0484 03/02/2021
PARSONS, ORION 44-9154 1 32.00 123205054 ******3452 03/02/2021
SEMELING, SHANE 44-2468 1 32.00 323274461 ******0807 03/02/2021
STRAW, RICAHRD 44-5229 1 34.00 323274351 ****4013 03/02/2021
STRODA, JOLYNN 44-9172 1 32.00 123205054 ******2780 03/02/2021
THOMPSON, CLODAGH 44-2382 1 77.00 123006800 ******1704 03/02/2021
WILLIAMS, SALLY 44-5946 1 30.00 323274445 **********2105 03/02/2021
  Count:  18 Total: 822.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
ATWATER, JAMIE 44-9753 1 32.00 Invalid Bank Account No. 03/02/2021
  Count:  1 Total: 32.00