03/21/2022
08:21:20
Autobill Bank EFT Payment Listing Report
Name Member No. Cycle Amount Transit Acct No. Trans. Date
AMEIGH, GARRETT PM-15928 2 102.00 256074974 ******0653 03/22/2022
BAHR, DANIEL PM-16819 2 65.00 275979076 *****6601 03/22/2022
CONNELLY, DANA PM-15882 2 52.00 075912712 **7011 03/22/2022
FISKE, ADELAIDE PM-11355 2 65.00 275978721 **********0758 03/22/2022
FISKE, MARLENE PM-11341 2 49.95 275978721 **********0758 03/22/2022
HOSE, AMIT PM-15337 2 94.00 086300012 ******5288 03/22/2022
HUMPHREY, KYLE PM-15938 2 50.00 275979076 *****3301 03/22/2022
LOOMIS, TOM PM-16171 2 10.00 275979076 ******1702 03/22/2022
RICHMOND, KYLE PM-10801 2 55.00 275979034 *********4000 03/22/2022
STUMBRAS, SHARON PM-15695 2 52.00 275979034 ****5009 03/22/2022
SUMI, MARYANN PM-15955 2 2.00 086300012 ******5099 03/22/2022
VANDER SLUIS, STEVE PM-12223 2 94.00 071025661 ****4753 03/22/2022
ZANONI, STEPHEN PM-015594 2 55.00 075000051 ******8556 03/22/2022
  Count:  13 Total: 745.95      



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