EFTA00273251.pdf

DataSet-9 2 pages 433 words document
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📄 Extracted Text (433 words)
Statement Period Date: 3/1/2017 - 3/31/2017 Account Type: 5/3 BUS STANDARD CKG FIFTH THIRD BANK Account Number: )SOUTH FLORIDA) BOX 630900 CLNCLNNATI OH 43263.0900 Relationship Manager Name: Cesar Taverns RE IRO TERRA L1C Phone: 0 Business Banking Support: 544 03/01 Beginning Balance $216,187.94 Number of Days in Period 31 1 Checks $(138.75) 14 Withdrawals / Debits $(426.676.11) 2 Deposits / Credits $585,057.89 03/31 Ending Balance $374,430.97 Analysis Period: 02/01/17 - 02/28/17 Standard Monthly Service Charge $11.00 Standard Monthly Service Charge Waived (see below) -$11.00 MISCELLANEOUS $10.00 Service Charge withdrawn on 03/10/17 $10.00 Standard Monthly Service Charge waived if: Current Relationship Overview: Your business maintains a total monthly average Balance Criteria Met? Yes balance of $3.500 across its business checking. savings. Total Combined Monthly Average Balance $259.121.67 and certificate of deposit accounts. OR your business spends at least $500 per month on Other Criteria Met? No its business credit card. $500 Business Credit Card Spend? No Check 1 check totaling $138.75 • Indicates gap in check sequence = Electrum: linage s = Substitute Check Number Date Paid Amount 1286 i 03/20 138.75 Withdrawals / Debits 14 items totaling $426,676.11 Date Amount Description 03/01 2,152.50 OUTGOING WIRE TRANS 030117 03/01 6.339.60 OUTGOING WIRE TRANS 030117 03/01 23.475.35 OUTGOING WIRE TRANS 030117 03/01 20.000.00 FUNDS TRANSFER TO CK: XXXXXX9564 REF * 00775042069 03/03 5.000.00 5/3 ONLINE TRANSFER TO CK: XXXXXX2315 REF # 004664771 16 03/06 3.720.23 WEB INITIATED PAYMENT AT Camelot Realty G RESIDENT 03/09 101000.00 5/3 ONLINE TRANSFER TO CK: XXXXXX2323 REF # 00467371596 03/10 10.00 SERVICE CHARGE 03/27 237,563.51 OUTGOING WIRE TRANS 032717 03/30 3,720.23 WEB INITIATED PAYMENT AT Camelot Realty G RESIDENT- For additional information and account asclosures, please visit Page I of 2 EFTA00273251 FIFTH THIRD BANK WithdrawaLs / Debits - continued Date Amount Description 03/30 440.00 OUTGOING WIRE TRANS 033017 03/30 1.376.40 OUTGOING WIRE TRANS 033017 03/30 17.354.41 OUTGOING WIRE TRANS 033017 03/31 5.523.88 WEB INITIATED PAYMENT AT PUREINS Deposits / Credits 2 items totaling $585,057.89 Date Amount Description 03/08 583.000.00 FUNDS TRANSFER CREDIT REF # 00776475379 03/31 2.057.89 FUNDS TRANSFER CREDIT REF # 00780657583 Daily Balance Summary Date Amount Date Amount Date Amount 03/01 164.220.49 03/09 638.500.26 03/27 400.788.00 03/03 159.220.49 03/10 638.490.26 03/30 377.896.96 03/06 155,500.26 03/20 638.351.51 03/31 374.430.97 03/08 738.500.26 INTRODUCTORY OFFER FROM OUR NEW CHECK PROVIDER. HARLAND CLARKE: RECEIVE 20 PERCENT OFF ANY BUSINESS CHECK PRODUCT ORDERED THROUGH MAY 31. 2017. USE OFFER CODE: JD. CALL 1-800-503-2345 OR VISIT MENTION THE OFFER CODE WHEN ORDERING BY PHONE. THIS OFFER IS NOT VALID WITH ANY OTHER OFFER AND NOT REDEEMABLE FOR CASH. Page 2 of 2 EFTA00273252
ℹ️ Document Details
SHA-256
616ad76e3f08518ab8244a345ab1a67c0b98563b9bca58e8084f0e688f577bae
Bates Number
EFTA00273251
Dataset
DataSet-9
Type
document
Pages
2

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