| ACH
Settlement |
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| Gym Inc |
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| February 15, 2012 |
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| Total EFT Submitted |
2/15/2012 |
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$4,773.84 |
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| Hold for Returns |
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($600.00) |
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| Return Items/Chargebacks |
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($59.40) |
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| Return Item Fees |
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($20.00) |
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| Total EFT for
Disbursement |
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$4,094.44 |
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| FNBO CC |
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$8,981.36 |
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| Online Payments |
2/15/2012 |
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$0.00 |
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| CC Discount Fee |
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$0.00 |
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| Total CC for Disbursement |
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$0.00 |
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| Total Revenue Collected |
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$4,094.44 |
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| Club Systems Fees |
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| Wire Transfer Fee |
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$10.00 |
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| Service Fees |
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$230.00 |
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($240.00) |
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| Net Due |
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$3,854.44 |
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| Payout |
ACH |
2/16/2012 |
$3,854.44 |
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CC |
2/18/2012 |
$0.00 |
$3,854.44 |
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| EFT: |
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| 125000105 / 153505471356 |
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| ******************************************************************************************************************** |
| 1Q - Return/Chargebacks |
2/3/2012 |
2 |
59.40 |
1Q-002370 |
ACH Returns |
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| 1Q - Return/Chargeback
Totals |
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2 |
$59.40 |
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