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📄 Extracted Text (163 words)
J.P.Morgan
Primary Account:
SHMITKA AIR, INC. For the Period 2/27/10 to 3/31/10
Checks Paid
Check Date
Number Paid Amount
1122 A 03/15 501 00
1251 A 03/30 6,750.00
Total Checks Paid ($9,251.00)
A An image of ilds check is mailable ai AforganOtilinecont 7U enroll in Aforgan Online. please conuicovairJ.P. Morgatireani
Transaction Detail
Deposits & Transfers &
Date Description Credits Withdrawals Ratans
02/27 Beginning Balance 35,220.75
03/10 Fed Wire Credit Via: Citibank-B/O: Asset Preservation Inc. 746 Ret Chase 3,144,091 81 3,179,312.56
Nyc/Ctr/Bnf=Shmitka Air, Inc. New York NY 10085-8218/ IbmD/B
Citibank N c 0bi=08 70958 Air Ghista Ret. Simed: Tm:
03/15 kChec # 1122 501.00 3,178,811.58
03/30 Check # 1251 8,750.00 3,170,061.56
03/31 Ending Balance $3,170,061.56
Total 53,144,091.81 (59,251.00)
The combined banking balances boyar business accounils) were sufficient to cover irestsacnonfeesfio services rendered this statement period Please contact our Accouni Officer with questions aria
tics our wide array ((business banking services.
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Confidential Treatment Requested by JPMorgan JPM-SDNY-00008978
Chase
CONFIDENTIAL SDNY_GM_00278176
EFTA01487424
ℹ️ Document Details
SHA-256
78c1690353c8afe4a5f5bd2ce116399e3715e64d01df828d96569ece93d4dc00
Bates Number
EFTA01487424
Dataset
DataSet-10
Type
document
Pages
1
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