06/09/2022
07:26:01
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
BOIKE, ANGELINA MC-10059 3 30.00 072000096 ******6730 06/10/2022
DECKER, JEANNE MC-10382 3 30.00 072000326 *****6305 06/10/2022
DUVALL, SHAWN MC-10223 3 35.00 272480173 *********2598 06/10/2022
FINCH, SALENA MC-10680 3 20.00 073972181 ********2406 06/10/2022
GRABOWSKI, NATHAN MC-10631 3 30.00 072403473 *******9341 06/10/2022
HERNANDEZ, KEVIN MC-10679 3 35.00 272483633 *******1430 06/10/2022
HERNDEN, KIMBERLY MC-10723 3 50.00 044000024 *******3898 06/10/2022
ITRICH, CHELSEA MC-10004 3 35.00 072403473 *******9888 06/10/2022
JABLYNSKI, HUNTER MC-10719 3 40.00 272078365 ******6972 06/10/2022
MILLER, NICOLE MC-10630 3 65.00 044000024 *******5424 06/10/2022
MORSE, MAKENNA MC-10667 3 35.00 072414064 ****8916 06/10/2022
RAZZAK, RYLAH MC-10718 3 60.00 272483905 ******3023 06/10/2022
SCHARNWEBER, STEVE MC-10128 3 40.00 072000805 ********1190 06/10/2022
SKRINNER, JIM MC-10060 3 65.00 072000326 *****0100 06/10/2022
SPANSKI, JEREMY MC-10614 3 35.00 314074269 ******0763 06/10/2022
WEUST, SUSAN MC-10699 3 45.00 072000096 ******9365 06/10/2022
  Count:  16 Total: 650.00      



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