ACH Settlement

Capitola Fitness

August 2, 2011

$0.00

Total EFT Submitted

8/2/2011

$3,252.00

  Return Items/Chargebacks

($39.00)

  Return Item Fees

($10.00)

Total EFT for Disbursement

$3,203.00

FNBO CC

$11,454.00

Total Revenue Collected

$3,203.00

Club Systems Fees

  Wire Service Fee

$20.00

  Service Fees

$245.00

($265.00)

Net Due

$2,938.00

Payout

ACH

8/3/2011

$2,938.00

CC

8/5/2011

$0.00

$2,938.00

EFT

121143736 / 043003086

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TC - Return/Chargebacks

7/21/2011

1

39.00

TC - Return/Chargeback Totals

1

$39.00