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📄 Extracted Text (911 words)
Activity - Deposit Accounts
https://db.ebanking-services.com/Nubi/Services_2_0/Reports/S...
Activity - Deposit Accounts
Report created:
Accounts:
Date range:
Detail option:
05/03/2019 04:25:53 PM (ET)
All accounts
5/1/2019 to 5/3/2019
Transaction types: All transactions
Account sort:
Account number
Includes transaction detail
• *IIII • DBTCA Savings • Butterfly Trust - MMDA • Available
$97,828.79
No items to display
• = • DB AG Checking • SOUTHERN FINANCIAL LLC - DDBAG •
Available $0.00
No items to dl!play
• *IIII • DB AG Checking • SOUTHERN TRUST COMPANY, INC. - DDBAG
Available $0.00
No items to dl!play
• *IIII • DBTCA Checking • SOUTHERN FINANCIAL LLC - DDA •
Available $0.00
Post Date
Reference
05/03/2019
04:24 PM (ET)
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO CITIBANK, N.A. A/C
CHARLES SCHWAB AND CO INC
05/02/2019
600002308330061
INCOMING MONEY TRANSFER
ORG=4306892533 HARLEQUIN
DANE LLC 6 030 LE LAC RD BOCA
RATON, FL 33496- 0502C
1676E1C004278
05/01/2019
05/03/2019
998000501125559
Totals
OUTGOING MONEY TRANSFER
TO CITIBANK, N.A. A/C
CHARLES SCHWAB AND CO INC
$156,947.36
$207,947.36 $51,000.00
EFTA01426617
• *IIII • DBTCA Checking • NEPTUNE, LLC - DDA • Available
$157,816.93
Post Date
Reference
05/03/2019
04:24 PM (ET)
05/02/2019
998000502111730
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO JPMORGAN CHASE BANK, NA
A/C CKG PAINTING INC
OUTGOING MONEY TRANSFER
TO WELLS FARGO BANK, NA A/C
CKG PAINTING INC
$1,100.00
$1,000.00
Debit
$51,000.00
Credit
Calculated
Balance
$0.00
$51,000.00
$51,000.00
$0.00
Debit Credit
Calculated
Balance
$157,816.93
$158,916.93
1 of 4
5/3/19, 4:26 PM
EFTA01426618
Activity - Deposit Accounts
https://db.ebanking-services.com/Nubi/Services_2_0/Reports/S...
05/01/2019
05/03/2019
FPUC/EZ-PAY
Totals
PREAUTHORIZED ACH DEBIT
102021000029191714UTILITY FPUC
/EZ-PAY
$616.36
$159,916.93
$2,716.36 $0.00
• *IIII • DBTCA Checking • Hyperion Air, LLC - DDA • Available
$0.00
Post Date
Reference
05/03/2019
04:24 PM (ET)
05/03/2019
Totals
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO TD BANK, NA A/C
HBRK A SSOCIATES INC
Debit Credit
$58,333.07
$58,333.07 $0.00
• *mi • DBTCA Checking • Plan D, LLC - DDA • Available
$248,970.44
No items to display
• *IIII • DBTCA Checking • JEGE, LLC DDA • Available $0.00
Post Date
Reference
05/03/2019
04:24 PM (ET)
05/03/2019
Totals
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO TD BANK, NA A/C
HBRK A SSOCIATES INC
Calculated
Balance
$0.00
Debit Credit
$31,289.83
$31,289.83 $0.00
EFTA01426619
• *IIII • DBTCA Checking • NES, LLC - DDA • Available $196,878.16
Post Date Reference
Additional
Reference
05/02/2019 WELLS FARGO
05/01/2019
NYC WATER
BD/DEP
05/03/2019 Totals
Description
BILL PAYMENT
UBVC229E WELLS FARGO CARD
S1436717
PREAUTHORIZED ACH DEBIT
102028000089191076WATER&SWR NY
C WATER BD/DEP
Calculated
Balance
$0.00
Debit Credit
$544.38
$959.73
$1,504.11 $0.00
• *IIII • DBTCA Checking • Zorro Management, LLC DDA • Available
$113,847.11
Post Date
Reference
05/03/2019
04:24 PM (ET)
05/03/2019
04:24 PM (ET)
05/03/2019
04:24 PM (ET)
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO WELLS FARGO BANK, NA A/C
RMC ELECTRIC
OUTGOING MONEY TRANSFER
TO WELLS FARGO BANK, NA A/C
RMC ELECTRIC
OUTGOING MONEY TRANSFER
TO WELLS FARGO BANK, NA A/C
RMC ELECTRIC
Debit Credit
$1,021.85
$1,000.45
$2,327.25
Calculated
Balance
EFTA01426620
$196,878.16
$197,422.54
Calculated
Balance
$107,913.96
$108,935.81
$109,936.26
2 of 4
5/3/19, 4:26 PM
EFTA01426621
Activity - Deposit Accounts
https://db.ebanking-services.com/Nubi/Services_2_0/Reports/S...
05/03/2019
04:24 PM (ET)
05/02/2019
05/03/2019
998000502130939
Totals
OUTGOING MONEY TRANSFER
TO WELLS FARGO BANK, NA A/C
RMC ELECTRIC
OUTGOING MONEY TRANSFER
TO DEL NORTE CREDIT UNION A/C
HOUSE
INCORPORATED
$1,583.60
$112,263.51
$4,230.00
$113,847.11
$10,163.15 $0.00
• *IIII • DBTCA Checking • Prytanee, LLC - DDA • Available
$397,882.14
No items to dl!play
• *IIII • DBTCA Checking • ZORRO MANAGEMENT, LLC (HOUSE - DDA •
Available
$5,175.17
No items to dl play
• *IIII • DBTCA Checking • SOUTHERN TRUST COMPANY, INC. -DDA •
Available $0.00
Post Date
Reference
05/03/2019
04:24 PM (ET)
05/03/2019
Totals
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO BELLA KLEIN A/C
SOUTHE RN TRUST COMPANY, INC.
Debit Credit
$91,098.69
$91,098.69 $0.00
• *IIII • DBTCA Checking • LSJE, LLC - DDA • Available $57,026.37
Post Date
Reference
05/03/2019
04:24 PM (ET)
05/02/2019
998000502133115
EFTA01426622
Additional
Reference
Description
OUTGOING MONEY TRANSFER
TO CAISSE D'E PARGNE ILE DE
FRANCE 3 BIS ARCHITE EUR 21000
RATE 1.1233683
OUTGOING MONEY TRANSFER
TO CITIBANK, N.A. A/C
SERAFIN CAAMANO
05/02/2019
998000502132103
OUTGOING MONEY TRANSFER
TO BANK OF AMERICA, N.A., NY A/C
TROPICAL SHIPPINGA
NDCONSTRUCTIO N CO
05/02/2019
998000502103950
OUTGOING MONEY TRANSFER
TO SUNTRUST BANK A/C
FLETCHER A LARKIN
ANDASSOCIATES INC
05/01/2019
841000501142516
OUTGOING MONEY TRANSFER
TO BARCLAYS B ANK PLC MISS
GBP 15000 RATE
1.31047858
05/01/2019
998000501081704
OUTGOING MONEY TRANSFER
TO WELLS FARGO BANK, NA A/C
LUND AND PULLARA
Calculated
Balance
$0.00
Debit Credit
$23,590.73
Calculated
Balance
$33,435.64
$2,500.00
$57,026.37
$40,989.74
$59,526.37
$1,200.00
$100,516.11
$19,657.18
$101,716.11
$385.00
$121,373.29
EFTA01426623
3 of 4
5/3/19, 4:26 PM
EFTA01426624
Activity - Deposit Accounts
https://db.ebanking-services.com/Nubi/Services_2_0/Reports/S...
INC
05/03/2019
Totals
$88,322.65 $0.00
• *IIII • DBTCA Checking • Jeffrey Epstein NOW • Available
$501,254.79
Post Date
Reference
05/03/2019
12:00 AM (ET)
Additional
Reference
Description
DDA WITHDRAWAL
DDA WITHDRAWAL 850 3RD AVE
NEW YORK NY USA NY1684
912312796947
In process
ATM DEBIT
05/02/2019
CASH
WITHDRAWAL TE
CASH WITHDRAWAL TERMINAL
NY1683 850 3RD AVE NEW YORK
NY05-02 -19 9:17 AMSEQ #
912213766548
05/01/2019
998000501123237
OUTGOING MONEY TRANSFER
TO FIRST FOUNDATION BANK A/C
JETSUITE AIR
ATM DEBIT
05/01/2019
CASH
WITHDRAWAL TE
CASH WITHDRAWAL TERMINAL
NY1684 850 3RD AVE NEW YORK
NY05-01 -19 9:45 AMSEQ #
912113735849
ATM DEBIT
05/01/2019
05/03/2019
CASH
WITHDRAWAL TE
Totals
CASH WITHDRAWAL TERMINAL
NY1683 850 3RD AVE NEW YORK
NY04-30 -19 5:58 PMSEQ #
912021409028
EFTA01426625
$1,000.00
$57,753.00 $0.00
$558,007.79
$1,000.00
$557,007.79
$1,000.00
$502,257.79
Debit Credit
Calculated
Balance
$1,003.00
$501,254.79
$53,750.00
$503,257.79
4 of 4
5/3/19, 4:26 PM
EFTA01426626
ℹ️ Document Details
SHA-256
4043ba5a83935d04aa76448d31969f318323fd1cd71df74d099471af689b1410
Bates Number
EFTA01426617
Dataset
DataSet-10
Type
document
Pages
10
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