ACH Settlement
The Fitness Center
November 4, 2019
Total EFT Submitted 11/4/19 $2,434.80
First American $25,442.39
CC Discount Fee $0.00
Return Items - Chargeback $0.00
Return Item Fees  $0.00
Wire Transfer $10.00
Club Systems Service Fee $313.95
($323.95)
Net Due $2,110.85
Payout ACH 11/5/19 $2,110.85
CC 11/7/19 $0.00 $2,110.85
EFT
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A7 - Returns/Changes
A7 - Return/Change Totals 0 $0.00