| ACH Settlement | |||||
| Club at Christmas Mtn | |||||
| April 3, 2018 | |||||
| Online Payments | $0.00 | ||||
| Total EFT Submitted | 4/3/2018 | $840.00 | |||
| Hold for Returns | $0.00 | ||||
| Return Items/Chargebacks | $0.00 | ||||
| Return Item Fees | $0.00 | ||||
| Total EFT for Disbursement | $840.00 | ||||
| FNBO CC | |||||
| Total CC Payments | 4/3/2018 | $1,185.00 | |||
| CC Discount Fee | ($41.48) | ||||
| Total CC for Disbursement | $1,143.53 | ||||
| Total Revenue Collected | $1,983.53 | ||||
| Club Systems Fees | |||||
| Wire Transfer Fee | $0.00 | ||||
| Service Fees | $233.95 | ||||
| ($233.95) | |||||
| Net Due | $1,749.58 | ||||
| Payout | ACH | 4/4/2018 | $606.05 | ||
| CC | 4/6/2018 | $1,143.53 | $1,749.58 | ||
| EFT | |||||
| 211070175 / 1321439811 | |||||
| ******************************************************************************************************************** | |||||
| CT - Return/Chargebacks | |||||
| CT - Return/Chargeback Totals | 0 | $0.00 | |||