📄 Extracted Text (280 words)
July 01,2003 - NEW YORK STRATEGY GROUP, LLC O
July 31,2003
Priinar% Account Number. JPMorgan Private Bank
Page 2 of 6
Business Cheekin
Account Number
NEW YORK STRATEGY GROUP, LLC
Summary
Opening Balance $56.352.64
Deposits and Credits $200.170.00
Checks, Withdrawals and Debits 5233.537.54
Ending Balance $22,985.10
Activity
Date Dc cription Debit Credits Balance
Opening Balance $56,352.64
Jul 01 Cheek Paid 0 1129 $2,000.00 $54,35284
Jul 03 Check Paid 0 1097 $523.81 $53,829.03
Jul 03 Check Paid 0 1118 $925.38 $52,903.65
Jul 03 Check Paid I 1130 $25,000.00 $27,903.65
Jul 07 Customer Transfer Credit $75,000.00 $102,903.85
CUSTOMER TRANSFER CREDIT FROM NC
REF
Jul 07 Internal Funds Transfer $75,000.00 $177,903.85
NEW YORK STRATEGY GROUP, LLC
FUNDS TRANSFERRED FROM ROMA ACM
TO DOA NC#
LETTER FROM CLIENT
Jul 07 Electronic Funds Transfer $80.49 $177,823.16
ADP PAYROLL FEES Re ADP - FEES
Ret
Jul 07 Check Paid 0 1116 $69.55 $177,753.61
Jul 07 Check Paid 0 1127 0528.00 $177,227.61
Jul 07 Check Paid 0 1128 $501.00 $176,728.61
Jul 07 Cheek Paid 0 1134 $101.65 $178,624.96
Jul 07 Check Paid 0 1137 $14.11 $176,610.85
Jul 07 Check Paid 0 1138 $188.37 $178,442.48
Jul 08 Internal Funds Transfer $75,000.00 $101,442.48
AS OF JUL 07.2003
NEW YORK STRATEGY GROUP, LLC
FUNDS TRANSFERRED FROM CDA AC=
TO MMIA AC10 A
S REQUESTED - TO REVERSE TRANSFER R
EQUESTED ON 07/07)2003
Jul 08 Check Paid I 1108 $459.31 $100,983.17
Jul 08 Check Paid 0 1119 $283.74 $100,699.43
Jul OB Check Paid 0 1125 $519.00 $100,180.43
Jul 08 Check Paid 0 1131 $261.78 $99,918.85
Jul OB Check Paid 0 1135 $502.20 $99,416.45
Jul 08 Check Paid 0 1139 $587.70 $98,828.75
Confidential Treatment Requested by JPM-SDNY-00040068
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00309266
EFTA01513990
ℹ️ Document Details
SHA-256
744844366d8c4aed77a9c058daf594a72b164ceeb2ce6bae4cfbeff5b3d62703
Bates Number
EFTA01513990
Dataset
DataSet-10
Document Type
document
Pages
1
Comments 0