📄 Extracted Text (1,226 words)
MC
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I. Strong
lip Trusted
Growing Account Number:
Statement Period: 01/01/19 - 01/31/19
P.O SOX 3205. NEW YORK. not i(*C7-321:4
1212i69.1490001;(800323.6n3;m1 Page 1 of 4
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BROOKLYN NY 11205-2228
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Deposits Balance
Primary Share 1.50 Apply today at nymcu.org/personal
Strontg
Checking 4,554.41 MCU Trusted
rused
GroMno
TOTAL DEPOSITS 4,555.91
Loans Balance
TOTAL LOANS 0.00
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PRIMARY SHARE SO1
Date Transaction Withdrawals Deposits Balance
Jan 01 Previous Balance 0.00
Jan 25 Deposit - ATM FEE REFUND 1.50 1.50
Jan 25 ATM FEE REFUND
Jan 31 New Balance 1.50
Totals For This Period: 0.00 1.50
www.nymcu.org
EFTA00124688
MCU Account # Statement Period: 01/01/19 - 01/31/19 Page 2 of 4
FASTRACK CHECKING S 02
Date Transaction Withdrawals Deposits Balance
Jan 01 Previous Balance 1,466.93
Jan 01 Withdrawal - VISA - Visa Purchase -14.30 1,452.63
01101 RITE AID STORE - 4202 NEW YORK NY
Jan 02 Withdrawal - VISA - Visa Purchase -15.24 1,437.39
01102 REDBOX 'DVD RENTAL 866-733-2693 IL
Jan 02 Withdrawal - POS #429831 -28.49 1,408.90
MET Fresh Supermarket 9606 3rd Avenue
Brooklyn NY
Jan 02 Withdrawal - ACH - SPRINT8006396111 -128.40 1,280.50
TYPE: ACHBILLPAY ID: 2521616695
CO. SPRINT8006396111
Jan 03 Withdrawal - VISA - Visa Purchase -33.10 1,247.40
01102 HOTEL TORTUGA NEW YORK NY
Jan 03 Withdrawal - POS #012321 -247.02 1,000.38
BJS WHOLESALE CL 1752 SHORE PKWY BROOKLYN
NY
Jan 03 Withdrawal - POS #473214 -12.05 988.33
MET Fresh Supermarket 9606 3rd Avenue
Brooklyn NY
Jan 03 Withdrawal - VISA - Visa Purchase -3.81 984.52
01102 REOBOX 'DVD RENTAL OAK8ROOK TER IL
Jan 04 Withdrawal - VISA - Visa Purchase -37.72 946.80
01104 Duane Reade STO 436 86T BROOKLYN NY
Jan 05 Withdrawal - VISA - Visa Purchase -9.99 936.81
01105 APIATUNES.COMIBILL 800-275-2273 CA
Jan 06 Withdrawal - VISA - Visa Purchase -58.00 878.81
01104 168 NEW LUCKY NAIL SALO BROOKLYN NY
Jan 07 Withdrawal - VISA - Visa Purchase -6.29 872.52
01/06 DI)18R #351339 035 NEW YORK NY
Jan 09 Withdrawal - VISA - Visa Purchase -9.24 863.28
01107 MCDONALD'S F4025 BROOKLYN NY
Jan 09 Withdrawal - ACH - COMENITY PAY IO -64.00 799.28
TYPE: PHONE PYMT ID: 1651180275
CO. COMENITY PAY 10
Jan 10 Withdrawal - POS #027980 -5.50 793.78
AITRAIETROCARD MACHINE 2 BROADWAY NEW YORK
NY
Jan 10 Withdrawal - ACH - AMEX EPAYMENT -122.50 671.28
TYPE: ACH NAT ID. 0005000008
CO. AMEX EPAYMENT
Jan 11 Withdrawal - Adjustment VISA - Credit Voucher 9.99 681.27
01/10 APIATUNES.COMIBILL 800.275-2273 CA
Jan 11 Withdrawal - POS #294509 -5.50 675.77
AITA'AIETROCARD MACHINE 2 BROADWAY NEW YORK
NY
Jan 11 Withdrawal - ATM - #002479 -500.00 175.77
AICU 2 LAFAYETTE ST.P4 NEW YORK NY A1A00423
Jan 13 Withdrawal - POS #056621 -16.33 159.44
DEALS 2120 ROCKAWAY PKWY BROOKLYN NY
Jan 13 Withdrawal - VISA - Visa Purchase -1.51 157.93
01/13 RITE AID STORE 3888 BROOKLYN NY
Jan 13 Withdrawal - VISA - Visa Purchase -17.51 140.42
01/13 WALGREENS STORE 9408 3R BROOKLYN NY
Jan 14 Withdrawal - VISA - Visa Purchase -33.00 107.42
01/14 DAINICN HR SW BY THERES BROOKLYN NY
Jan 15 Withdrawal - VISA - Visa Purchase -3.26 104.16
01115 RITE AID STORE - 4202 NEW YORK NY
EFTA00124689
MCU Account # Statement Period: 01/01/19 - 01/31/19 Page 3 of 4
FASTRACK CHECKING (continued) S 02
Date Transaction Withdrawals Deposits Balance
Jan 17 Withdrawal - POS #550183 -5.50 98.66
IATKMETROCARD MACHINE 2 BROADWAY NEW YORK
NY
Jan 17 Withdrawal - ACH - PLANET FIT -10.45 88.21
TYPE. CLUB FEES ID: 1710602737
CO: PLANET FIT
Jan 19 Withdrawal - VISA - Visa Purchase -3.00 85.21
01/18 NYCDOT PARKING METERS LONG IS CITY NY
Jan 19 Withdrawal - VISA - Visa Purchase -12.98 72.23
01/18 DUNKIN #352504 035 BROOKLYN NY
Jan 21 Withdrawal - VISA - Visa Purchase -13.05 59.18
01/21 WALGREENS STORE 9408 3R BROOKLYN NY
Jan 22 Withdrawal - ACH - CAPITAL ONE -15.00 44.18
TYPE. PHONE PYMT ID. 9541719987
C0: CAPITAL ONE
Jan 24 Withdrawal - VISA - Visa Purchase -20.00 24.18
01/24 SUNOCO 0007172008 BROOKLYN NY
Jan 24 Withdrawal - POS #031539 -16.30 7.88
T.J. MAXX # 1197 502 86TH ST BROOKLYN NY
Jan 28 Withdrawal - VISA - Visa Purchase -7.62 0.26
01/28 REDBOX 'DVD RENTAL 866-733-2693 IL
Jan 29 Deposit - ACH - AGRI TREAS 310 5,377.86 5,378.12
TYPE. FED SAL ID: 9101036009
C0: AGRI TREAS 310
Jan 29 Withdrawal - VISA - Visa Purchase -14.04 5,364.08
01/29 WALGREENS STORE 9408 3R BROOKLYN NY
Jan 31 Withdrawal - VISA - Visa Purchase -5.00 5,359.08
01/30 GOURMET GARDEN 8 BROOKLYN NY
Jan 31 Withdrawal - VISA - Visa Purchase -11.66 5,347.42
01/31 MADISON BAGEL 8 GRILL NEW YORK NY
Jan 31 Withdrawal - POS #057403 -10.88 5,336.54
T.J. MAXX # 1197 502 86TH ST BROOKLYN NY
Jan 31 Withdrawal - POS #033340 -44.95 5,291.59
BJS WHOLESALE CL 1752 SHORE PKWY BROOKLYN
NY
Jan 31 Withdrawal - ACH - GEICO -253.60 5,037.99
TYPE. GEICO PYMT ID. 1530075853
CO: GEICO
Jan 31 Withdrawal - ACH - CAPITAL ONE AUTO -483.58 4,554.41
TYPE. CARPAY ID. 9541719806
CO: CAPITAL ONE AUTO
Jan 31 New Balance 4,554.41
Totals For This Period: -2,290.38 5,377.86
YEAR TO DATE TOTALS
Total Dividends YTD 0.00
IN CASE OF ERRORS OR QUESTIONS ABOUT YOUR ELECTRONIC TRANSFERS
Write to us at P.O. Box 3205. New York. NY 10007 or telephone us at (212)693-4900 (or (800)323.6713 if outside the five boroughs) if you think
your statement or receipt is wrong, or if you need more information about a transfer on your statement or receipt. Write to us as soon as possible.
We must hear from you no later than 60 days after we sent you the FIRSt statement on which the error or problem appeared. Tell us the following:
• Your name and MCU account number (if any):
• The amount of the suspected error or questioned transfer (and transaction date if known):
• A description of the error or the questioned transfer, and an explanation why you believe there is an error or need more information.
We will investigate your complaint and correct any error promptly. If we take more than 10 business days to do this, we will credit your account for
the amount you think is in efror, so that you will have use of the money during the time it takes us to complete our investigation.
EFTA00124690
MCU Account # Statement Period: 01/01/19 - 01/31/19 Page 4 of 4
fl USE THE FOLLOWING FORM TO ASSIST YOU IN BALANCING YOUR CHECKING ACCOUNT
LIST CHECKS OUTSTANDING
INOT CHARGED TO YOUR CHECKING ACCOUNT YETI PERIOD ENDING
CHECK NUMBER CHECK DATE $ AMOUNT
1. SUBTRACT FROM YOUR REGISTER ANY CHARGES LISTED ON THIS
STATEMENT BUT NOT DEDUCTED FROM YOUR BALANCE.
2. ENTER CHECKING BALANCE SHOWN $
ON THIS STATEMENT.
4, $
3. ENTER DEPOSITS MADE
AFTER THE ENDING DATE OF 4. $
THIS STATEMENT.
+ $
4. TOTAL (2 PLUS 3): $
5. CARRY OVER OUTSTANDING CHECK $
TOTAL:
TOTAL.
6. REGISTER BALANCE (4 MINUS 5): $
SHARES ARE TRANSFERABLE ONLY TO QUALIFIED MEMBERS
Your savings federally insured to at least $200000
and backed by the full faith and credit of the United States GOVOIllalell
NCUA
National Credit Union Administradcm, a U.S. Government Agency
EFTA00124691
ℹ️ Document Details
SHA-256
21323722dbb02ff8fd51c334c717baa3acf00fe3d94bfa09adc0db0487db6fa2
Bates Number
EFTA00124688
Dataset
DataSet-9
Document Type
document
Pages
4
Comments 0