09/21/2022
07:38:14
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BROWN, JOHN A1-751686 4 88.00 211370503 ***9213 09/23/2022
CHAN, CONNIE A1-723815 4 88.00 211371447 ******7184 09/23/2022
DARBE, TAREENA A1-751420 4 151.72 031176110 *******4877 09/23/2022
DEPAULO, AMANDA A1-752068 4 187.00 011301798 ******6561 09/23/2022
FOLEY, DANIEL A1-751160 4 76.80 211373348 *****8064 09/23/2022
FURTADO, TRICIA A1-751756 4 96.00 211070175 ******1005 09/23/2022
JENKINS, KATIE A1-723874 4 158.54 011000138 ********0181 09/23/2022
MASKELL, JAMES A1-752004 4 177.00 211371447 ******3835 09/23/2022
MAURER, JUDITH A1-703821 4 159.86 011301798 ******5451 09/23/2022
MCDONNELL, TIM A1-723596 4 244.00 011304478 ******6299 09/23/2022
NATALE, MICHELLE A1-751144 4 187.00 011304478 ******8552 09/23/2022
NAZZARO, DANIEL A1-722317 4 88.00 211070175 ******2658 09/23/2022
OCASIO, MELINDA A1-750470 4 148.63 211385556 ******3102 09/23/2022
QIN, VERNON A1-751163 4 96.00 011000138 ********9339 09/23/2022
SPINALE, JOEL A1-723803 4 88.00 211371447 ******7184 09/23/2022
THOMPSON, EMILY A1-750347 4 284.00 211381372 ******7760 09/23/2022
TRAINOR, JODIE A1-702425 4 162.00 211381990 ********8020 09/23/2022
WALSH, TIFFANI A1-751670 4 187.00 211373348 ********9753 09/23/2022
WHITE, BRITTANY A1-750431 4 209.45 011304478 ******0837 09/23/2022
  Count:  19 Total: 2877.00      



Rejected Input Items
Name Member No. Cycle Amount Transit Acct No. Reason Trans. Date
  Count:  0 Total: 0