ACH Settlement
Main Street Gym
March 1, 2019
Total EFT Submitted 3/1/2019 $367.75
  Return Items/Chargebacks $0.00
  Return Item Fees $0.00
Total EFT for Disbursement $367.75
FDR CC $5,001.65
Collection Payments 3/1/2019 $0.00
  CC Discount Fee $0.00
Total CC for Disbursement $0.00
Total Revenue Collected $367.75
Club Systems Fees
Wire Transfer Fee $20.00
  Service Fees $129.95
($149.95)
Net Due $217.80
Payout ACH 3/2/2019 $217.80
CC 3/4/2019 $0.00 $217.80
EFT
031302955 / 9844685736
********************************************************************************************************************
E9 - Return/Chargebacks
E9 - Return/Chargeback Totals 0 $0.00