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📄 Extracted Text (3,392 words)
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Total enclosures: 85
Page 1 of 24
967 000 PB
NES, LLC
ERIC GANY
NEW YORK STRATEGY GROUP
457 MADISON AVENUE, 4TH FLOOR
NEW YORK NY 10022
JPMorgan Chase Bank
Your JPMorgan Private Bank Team:
CAMILLO D'ORAZIO
ETHAN HORNBECKER
Private Bank ServiceLine
For assistance after business hours,
7 days a week.
Relationship Banking Summary
Deposit Accounts
Business Checking
Description
Total
Number
Opening
Balance
$90,755.15
Total Credits
$400,858.58
Total Debits
$400,015.33
Ending
Balance
$91,598.40
$91,598.40
JPMorgan Private Bank
EFTA01542933
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Page 2 of 24
JPMorgan Private Bank
Business Checkin
Account Number
NES, LLC
Summary
Opening Balance
Deposits and Credits
Checks, Withdrawals and Debits
Ending Balance
Activity
Date
$90,755.15
$400,858.58
$400,015.33
$91,598.40
Description
Debit
Opening Balance
Mar 01
Mar 01
Mar 01
Mar 01
Mar 02
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 66TPW 020505V01
Check Paid # 20703
Check Paid # 20709
Check Paid # 20710
Internal Funds Transfer
JEFFREY E EPSTEIN
Mar 03
Mar 03
Mar 03
Mar 05
FUNDS TRANSFERRED FROM DDA AC# 0007
39110438 TO DDA AC# 000739121472 LE
TTER FROM CLIENT
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 66TPW 030409A01
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 696001856183TPW
Check Paid # 1048
Internal Funds Transfer
EFTA01542934
JEFFREY E EPSTEIN
Mar 05
Mar 08
FUNDS TRANSFERRED FROM DDA AC# 0007
39110438 TO DDA AC# 000739121472 LE
TTER FROM CLIENT
Check Paid # 1049
Internal Funds Transfer
JEFFREY E EPSTEIN
Mar 08
Mar 08
Mar 08
Mar 08
Mar 08
Mar 08
FUNDS TRANSFERRED FROM DDA AC# 0007
39110438 TO DDA AC# 000739121472 LE
TTER FROM CLIENT
Check Paid # 20714
Check Paid # 20715
Check Paid # 20717
Check Paid # 20720
Check Paid # 20721
Check Paid # 20728
$2,052.17
$806.14
$99.93
$211.97
$50,000.00
Credits
Balance
$90,755.15
$88,702.98
$87,896.84
$87,796.91
$87,584.94
$137,584.94
$17,072.76
$120,512.18
$31,146.32
$5,538.42
$100,000.00
$89,365.86
$83,827.44
$183,827.44
$1,944.48
$50,000.00
$181,882.96
$231,882.96
$687.00
$567.02
EFTA01542935
$577.50
$32.72
$137.90
$178.65
$231,195.96
$230,628.94
$230,051.44
$230,018.72
$229,880.82
$229,702.17
EFTA01542936
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Page 3 of 24
JPMorgan Private Bank
Business Checkin
Account Number
NES, LLC
Activity
Date
Mar 08
Mar 08
Mar 09
Mar 09
Mar 09
Mar 09
Mar 09
Mar 09
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 10
Mar 11
(cont.)
Description
Debit
Check Paid # 20737
Check Paid # 20738
Check Paid # 1047
Check Paid # 1050
Check Paid # 20723
Check Paid # 20724
Check Paid # 20736
Check Paid # 20741
Electronic Funds Transfer
ADP PAYROLL FEES Re: ADP - FEES
Ref: 13TPW 0749447
Check Paid # 1053
Check Paid # 20708
Check Paid # 20718
EFTA01542937
Check Paid # 20719
Check Paid # 20722
Check Paid # 20725
Check Paid # 20726
Check Paid # 20727
Check Paid # 20731
Check Paid # 20732
Check Paid # 20733
Check Paid # 20735
Check Paid # 20740
Internal Funds Transfer
AS OF MAR 10, 2004
JEFFREY E EPSTEIN
Mar 12
Mar 12
Mar 15
Mar 15
Mar 16
Mar 16
Mar 16
Mar 16
Mar 16
Mar 16
Mar 17
FUNDS TRANSFERRED FROM DDA AC# 0007
39110438 TO DDA AC# 000739121472 LE
TTER FROM CLIENT
Check Paid # 20716
Check Paid # 20739
Check Paid # 1028
Check Paid # 1051
Check Paid # 1054
Check Paid # 20734
Check Paid # 20744
Check Paid # 20745
Check Paid # 20747
Check Paid # 20748
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 66TPW 031811A01
$74.30
$102.68
$104,797.00
$56,987.07
$50.56
$50.56
$113.24
$84.60
$87.16
$5,182.00
$386.33
EFTA01542938
$113.55
$47.42
$82.07
$50.56
$1,613.08
$310.34
$145.31
$50.56
$71.53
$210.10
$800.00
$50,000.00
Credits
Balance
$229,627.87
$229,525.19
$124,728.19
$67,741.12
$67,690.56
$67,640.00
$67,526.76
$67,442.16
$67,355.00
$62,173.00
$61,786.67
$61,673.12
$61,625.70
$61,543.63
$61,493.07
$59,879.99
$59,569.65
$59,424.34
$59,373.78
$59,302.25
$59,092.15
$58,292.15
$108,292.15
$205.50
$6.28
$5,000.00
$100.00
$1,808.69
$454.69
$2,000.00
$2,800.00
$412.24
$10,914.45
$16,033.44
$108,086.65
$108,080.37
$103,080.37
EFTA01542939
$102,980.37
$101,171.68
$100,716.99
$98,716.99
$95,916.99
$95,504.75
$84,590.30
$68,556.86
EFTA01542940
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Page 4 of 24
JPMorgan Private Bank
Business Checkin
Account Number
NES, LLC
Activity
Date
Mar 17
Mar 17
Mar 17
Mar 17
Mar 18
(cont.)
Description
Debit
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 686002152478TPW
Check Paid # 20730
Check Paid # 20743
Check Paid # 20746
Internal Funds Transfer
JEFFREY E EPSTEIN
Mar 18
Mar 19
Mar 19
Mar 19
Mar 22
Mar 22
Mar 22
Mar 22
Mar 22
Mar 22
Mar 22
Mar 22
Mar 22
Mar 22
Mar 23
Mar 23
Mar 23
Mar 23
Mar 23
Mar 24
Mar 24
Mar 24
Mar 24
Mar 24
EFTA01542941
Mar 24
Mar 24
Mar 25
Mar 25
Mar 25
Mar 25
Mar 25
FUNDS TRANSFERRED FROM DDA AC# 0007
39110438 TO DDA AC# 000739121472 LE
TTER FROM CLIENT
Check Paid # 20749
Check Paid # 1052
Check Paid # 20729
Check Paid # 20742
Check Paid # 20760
Check Paid # 20762
Check Paid # 20763
Check Paid # 20765
Check Paid # 20766
Check Paid # 20769
Check Paid # 20770
Check Paid # 20771
Check Paid # 20772
Check Paid # 20773
Check Paid # 20759
Check Paid # 20768
Check Paid # 20774
Check Paid # 20775
Check Paid # 20776
Electronic Funds Transfer
ADP PAYROLL FEES Re: ADP - FEES
Ref: 13TPW 1183952
Check Paid # 1056
Check Paid # 20750
Check Paid # 20751
Check Paid # 20755
Check Paid # 20757
Check Paid # 20777
Check Paid # 1055
Check Paid # 20753
Check Paid # 20754
Check Paid # 20758
Check Paid # 20764
$30,029.98
$600.00
$543.12
$361.10
$50,000.00
Credits
Balance
$38,526.88
EFTA01542942
$37,926.88
$37,383.76
$37,022.66
$87,022.66
$25.91
$300.00
$4.56
$3,421.69
$49.13
$25.70
$30.90
$10.31
$53.55
$510.55
$53.35
$32.18
$14.07
$51.26
$266.90
$7,663.29
$122.59
$50.56
$109.14
$85.17
$3,000.00
$248.38
$586.58
$7,335.41
$283.95
$163.71
$3,100.00
$103.04
$407.34
$659.79
$8,352.04
$86,996.75
$86,696.75
$86,692.19
$83,270.50
$83,221.37
$83,195.67
$83,164.77
$83,154.46
$83,100.91
$82,590.36
$82,537.01
$82,504.83
$82,490.76
$82,439.50
$82,172.60
$74,509.31
EFTA01542943
$74,386.72
$74,336.16
$74,227.02
$74,141.85
$71,141.85
$70,893.47
$70,306.89
$62,971.48
$62,687.53
$62,523.82
$59,423.82
$59,320.78
$58,913.44
$58,253.65
$49,901.61
EFTA01542944
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Page 5 of 24
JPMorgan Private Bank
Business Checkin
Account Number
NES, LLC
Activity
Date
Mar 26
Mar 26
Mar 26
Mar 29
Mar 29
Mar 30
(cont.)
Description
Debit
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 66TPW 0428110VV
Check Paid # 20756
Check Paid # 20778
Check Paid # 1057
Check Paid # 20752
Internal Funds Transfer
JEFFREY E EPSTEIN
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
FUNDS TRANSFERRED FROM DDA AC# 0007
39110438 TO DDA AC# 000739121472 LE
TTER FROM CLIENT
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 66TPW 040113A01
Electronic Funds Transfer
ADP TX/FINCL SVC Re: ADP - TAX
Ref: 698001989316TPW
Check Paid # 1059
Check Paid # 20782
Check Paid # 20783
Check Paid # 20784
Check Paid # 20785
EFTA01542945
Check Paid # 20786
Ending Balance
Checks Paid
Check
1028
1047
1048
1049
1050
1051
1052
1053
1054
1055
1056
1057
1059
*
Date
*
Mar 15
Mar 09
Mar 03
Mar 05
Mar 09
Mar 15
Mar 19
Mar 10
Mar 16
Mar 25
Mar 24
Mar 29
Mar 31
Amount Check
$5,000.00
$104,797.00
$5,538.42
$1,944.48
$56,987.07
$100.00
$300.00
$5,182.00
$1,808.69
$3,100.00
$3,000.00
$5,538.42
$6,153.80
20703
20708
20709
20710
EFTA01542946
20714
20715
20716
20717
20718
20719
20720
20721
20722
*
*
*
Date
Mar 01
Mar 10
Mar 01
Mar 01
Mar 08
Mar 08
Mar 12
Mar 08
Mar 10
Mar 10
Mar 08
Mar 08
Mar 10
Amount Check
$806.14
$386.33
$99.93
$211.97
$687.00
$567.02
$205.50
$577.50
$113.55
$47.42
$32.72
$137.90
$82.07
20723
20724
20725
20726
20727
20728
20729
20730
20731
20732
20733
EFTA01542947
20734
20735
Date
Mar 09
Mar 09
Mar 10
Mar 10
Mar 10
Mar 08
Mar 19
Mar 17
Mar 10
Mar 10
Mar 10
Mar 16
Mar 10
Amount
$50.56
$50.56
$50.56
$1,613.08
$310.34
$178.65
$4.56
$600.00
$145.31
$50.56
$71.53
$454.69
$210.10
$361.00
$212.00
$5,538.42
$415.45
$100,000.00
Credits
$858.58
Balance
$50,760.19
$50,399.19
$50,187.19
$44,648.77
$44,233.32
$144,233.32
$15,788.59
$128,444.73
$30,029.93
$6,153.80
$77.53
$110.34
$82.07
EFTA01542948
$43.20
$349.46
$400,015.33
$400,858.58
$91,598.40
$98,414.80
$92,261.00
$92,183.47
$92,073.13
$91,991.06
$91,947.86
$91,598.40
EFTA01542949
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Page 6 of 24
JPMorgan Private Bank
Business Checkin
Account Number
NES, LLC
Checks Paid
Check
20736
20737
20738
20739
20740
20741
20742
20743
20744
20745
20746
20747
20748
20749
20750
20751
Date
Mar 09
Mar 08
Mar 08
Mar 12
Mar 10
Mar 09
Mar 19
Mar 17
Mar 16
Mar 16
Mar 17
Mar 16
Mar 16
Mar 18
Mar 24
Mar 24
Total Checks
Enclosed Checks: 85
Fees and Charges for Business Accounts
We value your relationship with JPMorgan Private Bank. You were not charged
for
services this statement period. Thank You.
*Gap in check sequence
EFTA01542950
Amount Check
$113.24
$74.30
$102.68
$6.28
$800.00
$84.60
$3,421.69
$543.12
$2,000.00
$2,800.00
$361.10
$412.24
$10,914.45
$25.91
$248.38
$586.58
20752
20753
20754
20755
20756
20757
20758
20759
20760
20762
20763
20764
20765
20766
20768
20769
Date
*
Mar 29
Mar 25
Mar 25
Mar 24
Mar 26
Mar 24
Mar 25
Mar 23
Mar 22
Mar 22
Mar 22
Mar 25
Mar 22
Mar 22
Mar 23
EFTA01542951
Mar 22
Amount Check
$415.45
$103.04
$407.34
$7,335.41
$361.00
$283.95
$659.79
$266.90
$49.13
$25.70
$30.90
$8,352.04
$10.31
$53.55
$7,663.29
$510.55
$257,689.81
20770
20771
20772
20773
20774
20775
20776
20777
20778
20782
20783
20784
20785
20786
Date
Mar 22
Mar 22
Mar 22
Mar 22
Mar 23
Mar 23
Mar 23
Mar 24
Mar 26
Mar 31
Mar 31
Mar 31
Mar 31
Mar 31
Amount
$53.35
EFTA01542952
$32.18
$14.07
$51.26
$122.59
$50.56
$109.14
$163.71
$212.00
$77.53
$110.34
$82.07
$43.20
$349.46
(cont.)
EFTA01542953
February 28, 2004 -
March 31, 2004
NES, LLC
Primary Account Number:
Page 7 of 24
JPMorgan Private Bank
Important Information about Your Statement
Personal accounts are subject to the Deposit Accounts Agreement or the
General Terms For Accounts and Services. Business accounts are
subject to the Terms and Conditions for Commercial Accounts or the General
Terms For Accounts and Services. Your accounts, unless otherwise
indicated on the statement, are held by JPMorgan Chase Bank (the "Bank").
Deposit accounts held at the Bank, including checking, savings, CD, and
money market accounts, are FDIC insured.
In Case of Errors or Questions About Your Electronic Funds Transfers
(personal accounts only)
Telephone or write to the Bank if you think your statement or receipt is
wrong, or if you need more information about an electronic transaction on
a statement or receipt. The phone number for inquiries is printed on the
front of this statement. The address for inquiries appears below. 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 your name and account number.
Describe the error or the transfer you are unsure about,
and explain as clearly as you can why you believe it is an
error or why you need more information.
• Tell us the dollar amount of the suspected error.
We will investigate your complaint and will correct any error promptly. If
we take more than 10 business days to do this (20 business days for
transactions outside the U.S. and point-of-sale transactions), we will
recredit your account for the amount you think is in error so that you will
have use of the money during the time it takes us to complete our
investigation.
In Case of Errors or Questions About Non Electronic Transfers
Please examine your account at once. If you feel an error has taken place or
have questions concerning a non-electronic transaction, telephone or
write us within 30 days. The phone number is printed on the front of this
statement. The address appears above. If no report is received within
this period, your account will be considered correct.
Mutual Funds/Securities
Securities (including Mutual Funds) and annuities are not bank deposits and
are not FDIC insured nor are they obligations
of or guaranteed by JPMorgan Chase Bank, or its affiliates or any federal or
state government or government agency or
government sponsored agency. Securities (including mutual funds) and
annuities involve investment risks, including the
possible loss of the principal amount invested.
The distributor of the JPMorgan Funds is JPMorgan Fund Distributors, Inc.
which is not affiliated with the Bank. The Bank and its affiliates
EFTA01542954
receive compensation from the JPMorgan Funds for providing services to the
funds. Read the JPMorgan Funds prospectuses carefully for details,
including fees and expenses, before investing or sending money.
JPMorgan Select Shares of the Connecticut Daily Tax Free Income Fund, Inc.
and JPMorgan Select Shares of the New Jersey Daily Municipal
Income Fund, Inc. are not part of, or affiliated with, the JPMorgan Family
of Mutual Funds. Reich & Tang Distributors Inc. and Reich & Tang
Asset Management L.P., which are unaffiliated with JPMorgan, are the funds'
distributors and investment advisor. Reich & Tang Distributors
Inc. is a member NASD.
The Bank is not a registered broker-dealer. Securities transactions may be
through JPMorgan Fund Distributors, Inc. a subsidiary of the Bank, is
a member of NASD/SIPC.
IRA Accounts
Accounts of the Bank as trustee, or as discretionary investment manager for
an ERISA plan or an IRA that hold Fiduciary Shares (as described
below) do not bear any portion of investment, administrative, custodian or
other charges paid to the Bank or its affiliates for services to JPMorgan
Funds for which a rebate process has been established since these charges
are subject to rebate as defined below. For accounts of the Bank as
trustee, or discretionary investment manager for an ERISA plan or an IRA,
which hold shares in the JPMorgan Funds other than Fiduciary
Shares, the Bank receives fees for services from the JPMorgan Funds but
waives account fees with respect to the funds so held. "fiduciary
Shares" means shares of JPMorgan Select Funds and Institutional Shares of
the JPMorgan Bond Fund II, JPMorgan Short-Term Bond Fund II,
JPMorgan Intermediate Bond Fund II, and JPMorgan Large Cap Equity Fund held
in Bank trust accounts or in discretionary investment
management accounts at the Bank held by ERISA plans or IRAs. "Rebate" means
an amount returned by the Bank to the account which holds the
Fiduciary Shares. The rebate amount represents the portion of servicing fees
paid to the Bank by the mutual fund with respect to Fiduciary
Shares.
Please direct all inquiries to your Morgan Account Officer at
JPMorgan Private Bank Client Service
500 Stanton Christiana Road, 1/OPS3
Newark, DE 19713-2107
EFTA01542955
February 28, 2004 -
March 31, 2004
Page 8 of 24
Business Checking
CHECK NO. 1028
$5,000.00
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/15
CHECK NO. 1047
$104,797.00
PAID 03/09
CHECK NO. 1048
$5,538.42
PAID 03/03
CHECK NO. 1049
$1,944.48
PAID 03/05
CHECK NO. 1050
$56,987.07
PAID 03/09
EFTA01542956
February 28, 2004 -
March 31, 2004
Page 9 of 24
Business Checking
CHECK NO. 1051
$100.00
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/15
CHECK NO. 1052
$300.00
PAID 03/19
CHECK NO. 1053
$5,182.00
PAID 03/10
CHECK NO. 1054
$1,808.69
PAID 03/16
CHECK NO. 1055
$3,100.00
PAID 03/25
EFTA01542957
February 28, 2004 -
March 31, 2004
Page 10 of 24
Business Checking
CHECK NO. 1056
$3,000.00
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/24
CHECK NO. 1057
$5,538.42
PAID 03/29
CHECK NO. 1059
$6,153.80
PAID 03/31
CHECK NO. 20703
$806.14
PAID 03/01
CHECK NO. 20708
$386.33
PAID 03/10
EFTA01542958
February 28, 2004 -
March 31, 2004
Page 11 of 24
Business Checking
CHECK NO. 20709
$99.93
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/01
CHECK NO. 20710
$211.97
PAID 03/01
CHECK NO. 20714
$687.00
PAID 03/08
CHECK NO. 20715
$567.02
PAID 03/08
CHECK NO. 20716
$205.50
PAID 03/12
EFTA01542959
February 28, 2004 -
March 31, 2004
Page 12 of 24
Business Checking
CHECK NO. 20717
$577.50
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/08
CHECK NO. 20718
$113.55
PAID 03/10
CHECK NO. 20719
$47.42
PAID 03/10
CHECK NO. 20720
$32.72
PAID 03/08
CHECK NO. 20721
$137.90
PAID 03/08
EFTA01542960
February 28, 2004 -
March 31, 2004
Page 13 of 24
Business Checking
CHECK NO. 20722
$82.07
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/10
CHECK NO. 20723
$50.56
PAID 03/09
CHECK NO. 20724
$50.56
PAID 03/09
CHECK NO. 20725
$50.56
PAID 03/10
CHECK NO. 20726
$1,613.08
PAID 03/10
EFTA01542961
February 28, 2004 -
March 31, 2004
Page 14 of 24
Business Checking
CHECK NO. 20727
$310.34
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/10
CHECK NO. 20728
$178.65
PAID 03/08
CHECK NO. 20729
$4.56
PAID 03/19
CHECK NO. 20730
$600.00
PAID 03/17
CHECK NO. 20731
$145.31
PAID 03/10
EFTA01542962
February 28, 2004 -
March 31, 2004
Page 15 of 24
Business Checking
CHECK NO. 20732
$50.56
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/10
CHECK NO. 20733
$71.53
PAID 03/10
CHECK NO. 20734
$454.69
PAID 03/16
CHECK NO. 20735
$210.10
PAID 03/10
CHECK NO. 20736
$113.24
PAID 03/09
EFTA01542963
February 28, 2004 -
March 31, 2004
Page 16 of 24
Business Checking
CHECK NO. 20737
$74.30
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/08
CHECK NO. 20738
$102.68
PAID 03/08
CHECK NO. 20739
$6.28
PAID 03/12
CHECK NO. 20740
$800.00
PAID 03/10
CHECK NO. 20741
$84.60
PAID 03/09
EFTA01542964
February 28, 2004 -
March 31, 2004
Page 17 of 24
Business Checking
CHECK NO. 20742
$3,421.69
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/19
CHECK NO. 20743
$543.12
PAID 03/17
CHECK NO. 20744
$2,000.00
PAID 03/16
CHECK NO. 20745
$2,800.00
PAID 03/16
CHECK NO. 20746
$361.10
PAID 03/17
EFTA01542965
February 28, 2004 -
March 31, 2004
Page 18 of 24
Business Checking
CHECK NO. 20747
$412.24
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/16
CHECK NO. 20748
$10,914.45
PAID 03/16
CHECK NO. 20749
$25.91
PAID 03/18
CHECK NO. 20750
$248.38
PAID 03/24
CHECK NO. 20751
$586.58
PAID 03/24
EFTA01542966
February 28, 2004 -
March 31, 2004
Page 19 of 24
Business Checking
CHECK NO. 20752
$415.45
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/29
CHECK NO. 20753
$103.04
PAID 03/25
CHECK NO. 20754
$407.34
PAID 03/25
CHECK NO. 20755
$7,335.41
PAID 03/24
CHECK NO. 20756
$361.00
PAID 03/26
EFTA01542967
February 28, 2004 -
March 31, 2004
Page 20 of 24
Business Checking
CHECK NO. 20757
$283.95
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/24
CHECK NO. 20758
$659.79
PAID 03/25
CHECK NO. 20759
$266.90
PAID 03/23
CHECK NO. 20760
$49.13
PAID 03/22
CHECK NO. 20762
$25.70
PAID 03/22
EFTA01542968
February 28, 2004 -
March 31, 2004
Page 21 of 24
Business Checking
CHECK NO. 20763
$30.90
NES, LLC
JPMorgan Private Bank
Primar Account Number:
MI
PAID 03/22
CHECK NO. 20764
$8,352.04
PAID 03/25
CHECK NO. 20765
$10.31
PAID 03/22
CHECK NO. 20766
$53.55
PAID 03/22
CHECK NO. 20768
$7,663.29
PAID 03/23
EFTA01542969
February 28, 2004 -
March 31, 2004
Page 22 of 24
Business Checking
CHECK NO. 20769
$510.55
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/22
CHECK NO. 20770
$53.35
PAID 03/22
CHECK NO. 20771
$32.18
PAID 03/22
CHECK NO. 20772
$14.07
PAID 03/22
CHECK NO. 20773
$51.26
PAID 03/22
EFTA01542970
February 28, 2004 -
March 31, 2004
Page 23 of 24
Business Checking
CHECK NO. 20774
$122.59
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/23
CHECK NO. 20775
$50.56
PAID 03/23
CHECK NO. 20776
$109.14
PAID 03/23
CHECK NO. 20777
$163.71
PAID 03/24
CHECK NO. 20778
$212.00
PAID 03/26
EFTA01542971
February 28, 2004 -
March 31, 2004
Page 24 of 24
Business Checking
CHECK NO. 20782
$77.53
NES, LLC
JPMorgan Private Bank
Primar Account Number:
PAID 03/31
CHECK NO. 20783
$110.34
PAID 03/31
CHECK NO. 20784
$82.07
PAID 03/31
CHECK NO. 20785
$43.20
PAID 03/31
CHECK NO. 20786
$349.46
PAID 03/31
EFTA01542972
ℹ️ Document Details
SHA-256
4046994a112320b0b82db37bed06290cd32ae71c458156db677185033882c696
Bates Number
EFTA01542933
Dataset
DataSet-10
Type
document
Pages
40
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