EFTA01576990.pdf

DataSet-10 6 pages 882 words document
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JPMorgan Chase Bank, N.A. P 0 Box 659754 San Antonio, TX 78265 - 9754 Account Number: June 01, 2011 through June 30, 2011 CUSTOMER SERVICE INFORMATION /100657007167/ 00000311DRE 802 080 18711 - NNNNNNNNNNN1 000000000 D6 0099 HOLD - RETURN MAIL MAX HOTEL SERVICES CORP 116 E 65TH ST NEWYORK NY 10065 -7007 Web site: Service Center: Hearing Impaired: Para Espanol: International Calls: Chase.com Effective July 17, 2011, we are making changes to the following sections of our Funds Availability Policy for business accounts: For Chase Commercial Checking (with or without Interest): Next Day Availability: If you make the deposit in person to one of our employees, funds from the following deposits are also available on the first business day after the day we receive your deposit: Federal Reserve Bank checks, Federal Home Loan Bank checks, and postal money orders that are payable to you. State and Local government checks that are payable to you if you use a special deposit slip available at any branch upon request. Cashier s, certified, and teller s checks that are payable to you if you use a special deposit slip available at any branch upon request. Second Business Day Availability: At least the first $200 of these deposits will be available on the first business day after the day of your deposit. Longer Delays May Apply: For all business accounts other than Chase Commercial Checking (with or without interest): At least the first $200 of these deposits will be available on the first business day after the day of your deposit. All other terms of your account remain the same. If you have any questions, please call us at 1-800-CHASE38 EFTA01576990 (1-800-242-7338). CHECKING SUMMARY Beginning Balance Fees and Other Withdrawals Ending Balance FEES AND OTHERWITHDRAWALS DATE DESCRIPTION 06/03 Service Charges For The Month ofMay Total Fees & Other Withdrawals DAILY ENDING BALANCE DATE 06/03 AMOUNT $3,116.95 Page ofl 4 AMOUNT $19.67 $19.67 1 1 Chase BusinessCustom Checking INSTANCES AMOUNT $3,136.62 - 19.67 $3,116.95 00003110201000020022 EFTA01576991 Account Number: June 01, 2011 through June 30, 2011 BALANCING YOUR CHECKBOOK Note: Ensure your checkbook register statement or not. is up to date with all transactions to date whether they are included on your 1. Write in the Ending Balance shown on this statement: 2. List and total all deposits & additions Date Amount Date Step 1 Balance: not shown on this statement: Amount Date Amount 3. Add Step 2 Total to Step 1 Balance. Step 2 Total: Step 3 Total: 4. List and total all checks, ATM withdrawals, debit card purchases and other withdrawals not shown on this statement. Check Number or Date Amount Check Number or Date Amount Step 4 Total: 5. Subtract Step 4 Total from Step 3 Total. This should match your Checkbook Balance: IN CASE OF ERRORS OR QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS: Your name and account number The dollar amount of the suspected error A description of the error or transfer you are unsure of, why you believe it is an error, or why you need more information. We will investigate your complaint and will correct any error promptly. Ifwe take more than 10 business days (or 20 business days for new accounts) to do this, we will credit your account for the amount you think is in error so that you will have use of the money during the time it takes us to complete our investigation . IN CASE OF ERRORS OR QUESTIONS ABOUT NON-ELECTRONIC TRANSACTIONS: Contact the bank immediately if your statement is incorrect or if you need more information about any non-electronic transactions (checks or deposits) on this statement. If any such error appears, you must notify the bank in writing no later than 30 days after the statement was made available to you. For more complete EFTA01576992 details, see the Account Rules and Regulations or other applicable account agreement that governs your account. -$ $ Call or write us at the phone number or address on the front of this statement (non-personal accounts contact Customer Service) if you think your statement or receipt is incorrect or if you need more information about a transfer listed on the statement or receipt. We must hear from you no later than 60 days after we sent you the FIRST statement on which the problem or error appeared. Be prepared to give us the following information: JPMorgan Chase Bank, N.A. Member FDIC P 24 age of EFTA01576993 Account Number: June 01, 2011 through June 30, 2011 SERVICE CHARGE SUMMARY Maintenance Fees Transaction Fees Other Service Charges Total Service Charges Less Earnings Credit Net Service Charges SERVICE CHARGE DETAIL DESCRIPTION ACCOUNT Account Maintenance - Check Safekeeping Deposit Insurance Char e Total Service Charges Less Earnings Credit Net Service Charges (assessed on 7/6/11) * A money saving feature of your Chase BusinessCustom Checking checking account is that the maintenance fees can be waived by maintaining a combined average collected balance in your checking accounts of $40,000 or more. $3,118 0.0002040 $20.00 $0.00 $0.33 $20.33 -$0.64 $19.69 Will be assessed on 7/6/11 VOLUME ALLOWED CHARGED PRICE/ UNIT TOTAL 1 3,118 0 0 $20.00 $0.00 $20.00 * $0.33 $20.33 -$0.64 $19.69 P 34 age of 10003110202000000062 EFTA01576994 Account Number: June 01, 2011 through June 30, 2011 This Page Intentionally Left Blank P 44 age of EFTA01576995
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639ca81f3592d933a1466864bac5943f61bfbca4b46f50b7ce95b0d1852ef87d
Bates Number
EFTA01576990
Dataset
DataSet-10
Type
document
Pages
6

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