📄 Extracted Text (135 words)
After Five Days Return To:
PO Box 9146 1 First Bank
San Juan PR 00908-0146
STATEMENT OF ACCOUNT
I STATEMENT
05/30/18
DATE
OCC00374 MFBI'RV05.31I 00SC:90200 1000000000 201-INDIVIDUAL CHECKING
KARYNASHULIAK
6100 RED HOOK QUARTER 83 0* 7171055276
ST THOMAS VI 00802
DEPDSRS/O7NERCREDUS CHECKS/OTHERDEBRS SERVICE
BEGINNING BALANCE ENDING BALANCE
NUMBER AMOUNT CREDITED NUMBER AM0UNT0EBRED CHARGES
.00 3 4412.69 0 .00 .00 4,412.69
CHECKING ACCOUNT TRANSACTIONS
DEPOSITS AND OTHER CREDITS
DATE AMOUNT DESCRIPTION
05/01 250.00 DEPOSIT
05/04 2,081.35 DEPOSIT
05/17 2,081.34 ACH CR -051718-221571470636126
LSJ EMPLOYEES LL PAYROLL
OVERDRAFT AND RETURN ITEMS FEES SUMMARY
TOTAL OVERDRAFT FEES/ THIS PERIOD 0.00
TOTAL OVERDRAFT FEES/ YEAR TO DATE 0.00
TOTAL RETURN ITEMS FEES/THIS PERIOD 0.00
TOTAL RETURN ITEMS FEES/YEAR TO DATE 0.00
DAILY BALANCE INFORMATION
DATE BALANCE DATE BALANCE DATE BALANCE
05/01 .00 05/04 2,331.35
05/01 250.00 05/17 4,412.69
EFTA00525148
ℹ️ Document Details
SHA-256
1cc776f48fa60226b1e5e9f3501782133269abc69faab24dfc4c570a82a0e5aa
Bates Number
EFTA00525148
Dataset
DataSet-9
Document Type
document
Pages
1
Comments 0