11/30/2021
08:34:04
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BRITTAIN, CHUCK F5-026264 1 37.45 267084131 *****0535 12/01/2021
DETOMA, DYLAN F5-025506 1 37.45 267084131 *****9757 12/01/2021
DOWDY, SIOBHAN F5-026915 1 37.45 263079276 ******8989 12/01/2021
GARNER, DIXON F5-015262 1 44.94 256074974 ******9700 12/01/2021
HOWLAND, JAMES F5-024962 1 44.94 051000017 ********4204 12/01/2021
KOCH, JIM F5-027395 1 48.15 063100277 ********1719 12/01/2021
LODER, HANNAH F5-027347 1 37.45 061000104 *********9780 12/01/2021
MAHONEY, TOM F5-027016 1 37.45 063000047 ********2725 12/01/2021
MCGLOCKLING, GERALDINE F5-017389 1 44.94 063107513 *********3043 12/01/2021
MCWHINNEY, JODI F5-021689 1 44.94 256074974 ******6612 12/01/2021
MOKTADER, ANNABELLE F5-027892 1 37.45 121000358 *******7900 12/01/2021
MONFORTE, JARETT F5-024846 1 37.45 063107513 ******7367 12/01/2021
MUGFORD, ALEXIS F5-027392 1 37.45 063107513 ******6393 12/01/2021
ROMERO, RENE F5-027199 1 48.15 061000104 *********4179 12/01/2021
SKIFFINGTON, ROBBIE F5-027075 1 37.45 063107513 *********6429 12/01/2021
SLATER, SUSAN F5-024700 1 44.94 063116562 ****4494 12/01/2021
STEWART, KATHLEEN F5-025886 1 48.15 111900659 ******6282 12/01/2021
WEAKS, SABRINA F5-025636 1 82.39 021000089 ****6645 12/01/2021
WHITE, MONTIE F5-025583 1 44.94 063102152 *********7173 12/01/2021
WHITLEY, PAUL F5-028093 1 37.45 063107513 ******9019 12/01/2021
  Count:  20 Total: 870.98      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
HAMM, JEANETTE F5-025557 1 898.80 237084199 *******4588 Invalid Bank Route/Transit 12/01/2021
  Count:  1 Total: 898.80