EFTA01504499.pdf

DataSet-10 1 page 148 words document
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1111 11WARIM eArliefte, Primary Account 1DARREN INDY E PLLC ATTY TR ACCT- CLIENT FUNDS ACCOUNT For the Period 9/1/11 to 9/30111 JPMorgan Client Fund Checking Checking Account Summary Instances Amount Beginning Balance 0.00 Deposits & Credits 2 9,200,000.00 Ending Balance 2 $9,200,000.00 The combined banking balances in ;war business accouniMi weresillficieni to corer transactionfeeshr services nmderedibis statement period Please contact your Account Officer with Tinhorn or to &scum our wide army of business banking services. Deposits & Credits Date Description Amount 09/23 Book Tran r r dit B/O: JPMorgan Chase Accounts Payablhouston TX 77002- Ref: Ref: Bear Steams Settlement Tm: 7,000,000.00 09/23 Book Transfer Credit B/O: JPMorgan Chase Accounts Payablhouston TX 77002- Ref: Ret Bear Steams Settlement Tm: 2,200,000.00 Total Deposits & Credits $9,200,000.00 Daily Ending Balance Date Amount 09,23 9200,000 00 J.P. Morgan Page 3 of 6 Confidential Treatment Requested by JPMorgan JPM-SDNY-00029390 Chase CONFIDENTIAL SDNY_GM_00298588 EFTA01504499
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1d94b01166e781696997d9fccbe2cd3e8e00a3133674c8535419e75f6012ae72
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EFTA01504499
Dataset
DataSet-10
Type
document
Pages
1

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