📄 Extracted Text (278 words)
October 01,2004- I NEW YORK STRATEGY GROUP, LLC
October 29,2004
Primary Account Number. JPMorgan Private Bank
Page 2 of 6
Business Dbeckin
Account Number
NEW YORK STRATEGY GROUP. LLC
Summary
Opening Balance *40,025.18
Deposits and Credits $150,000.00
Checks, Withdrawals and Debits $145,754.14
Ending Balance $64,271.04
Activity
Date Description Debit Credits Balance
Waning Balance $60,025.18
Oct 01 Electronic Funds Transfer $176.25 $59,848 93
ADP PAYROLL FEES Re: ADP -FEES
Ret 660082777147509
Oct 04 Electronic Funds Transfer $3,619.13 $56,229.80
ADP TXIFINCL SVC Re: ADP - TAX
Ret. 94256093040V01
Oct 04 Check Pald 0 1736 $101.74 $56 128.06
Oct 04 Chet* Paid a 1750 $112.50 $56,015.58
Oct 04 Chedc Paid If 1753 $897.56 $55118.00
Oct 05 Check Paid I 1719 $50.07 $55,067.93
Oct 05 Check Paid 0 1746 $48.18 $55 019 75
Oct 05 Check Paid* 1747 $572.72 $54,447.03
Oct 05 Check Paid it 1752 $32,489.00 $21,958.03
Oct 06 Check Paid it 1748 $800.00 $21,158.03
Oct 07 Check Pald it 1749 $144.38 $21,013.65
Old 07 Check Paid it 1751 $287.31 $20,726.34
Oct 08 Electronic Funds Transfer $118.46 $20,607.88
ADP PAYROLL FEES Re: ADP - FEES
Ret 11256 7353338
Oct 13 Electronic Funds Transfer 515,033.43 $5.574.45
ADP TXIFINCL SVC Re: ADP - TAX
Ret 94258 101442A01
Oct 13 Electronic Funds Transfer $27,923.16 422,348.71
ADP TXIFINCL SVC Re: ADP - TAX
Ret 240004550693256
Oct 14 Internal Funds Transfer S50 000 CO $27,651.29
AS OF OCT 13, 2004
NEW YORK STRATEGY GROUP, LLC
FUNDS TRANSFERRED FROM MIRA ACC 000
739123157 TO DOA ACC 000739123130 A
S REQUESTED
Oct 18 Electronic Funds Transfer $2,458.24 $25,195.05
ADP TXIFINCL SVC Re: ADP - TAX
Ref: 94256 101442V01
Confidential Treatment Requested by JPM-SDNY-00040159
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00309357
EFTA01514047
ℹ️ Document Details
SHA-256
68b1b00fbf847245f7f286063e8ea1ec1d2e50cce6b01cc2cce9b8c4f78beeb8
Bates Number
EFTA01514047
Dataset
DataSet-10
Document Type
document
Pages
1
Comments 0