EFTA00726702
EFTA00726707 DataSet-9
EFTA00726708

EFTA00726707.pdf

DataSet-9 1 page 432 words document
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1:30 PM Jeffrey E. Epstein 07/19/10 Account QuickReport Accrual Basis As of July 19, 2010 Type Date Name Memo Amount Balance 10000 • Bank 78,718.31 10011 • JPMorgan Chase MM 78,718.31 Check 6/28/2010 Valdson Vieira Collin Euro 2307.69 -2,877.11 75341.20 Check 6/28/2010 Pro-Teckt Services. Inc -21,700.50 54,140.70 Check 6/28/2010 NES. LLC -200,000.00 -145,859.30 Check 6/28/2010 Larry Visoski -4,000.00 -149,859.30 Check 6/28/2010 Caricement USVI inv #4758 -3,304.65 -153,163.95 Deposit 6/28/2010 Deposit 1,000,000.00 846,836.05 Check 6/29/2010 JEGE. Inc. -100,000.00 746,836.05 Check 6/29/2010 Hyperion Al -100,000.00 646,836.05 Check 6/29/2010 American Express Gold Car... Account # 3718 463688 42008 -4,961.22 641,874.83 Check 6/29/2010 -7.500.00 634,374.83 Check 6/30/2010 Loan -25.000.00 609,374.83 Check 6/30/2010 American Export Company LSJ inv # R100548, R100552, R... -16,662.05 594712.78 Deposit 6/30/2010 Interest 68.35 594781.13 Check 7/1/2010 American Express 3715-65... -64.94 594716.19 Check 7/1/2010 LSJ, LLC -250,000.00 344716.19 Check 7/1/2010 Cabinet Experton SPRL Retainer for June 2010 1650 Eur -2,110.85 340,605.34 General... 7/2/2010 return of s-76 deposit plus interest 10.191,72530 10332,330.34 General... 7/2/2010 FTC JPM -10.000,000.00 534330.34 Check 716/2010 -512.66 531,817.68 Deposit 716/2010 Deposit 3,368.52 535,186.20 Check 716/2010 Atlanta Refrigeration Service -1,608.45 533,577.75 Check 716/2010 Scott Graf 7/02/10 and 618/2010 invoices -3.600.00 529,977.75 Check 716/2010 Dennis Boone -4.000.00 525.977.75 Check 716/2010 Schumacher Automotive. Inc. NES Vin it 1GNUKKE3OAR2511... -28.644.88 497.33/87 Deposit 7/7/2010 Deposit 1,123.89 498.456.76 Check 7/7/2010 Jeffrey Epstein -50,000.00 448.456.76 Deposit 7/8/2010 Deposit 420.79 448.87735 Deposit 7/8/2010 Deposit 30,000.00 478.87735 Check 7/9/2010 LSJ, LLC -5.000.00 473377.55 Check 7/9/2010 ACR Process Equipment Inc. inv # 7178 Customer # 1018 -1,490.00 472.38735 Check 7/9/2010 The deJongh Group, PC inv #2008.21.2010.11 - 3 o(3 C... -19,138.46 451249.09 Check 7/9/2010 DPMG. Inc. Inv #15 - June 2010 -25,101.08 428.148.01 Check 7/12/2010 Charles D. Barnett. Esq. 10... -50,000.00 378.148.01 Check 7/12/2010 American Express 3727-68... Account # 3727-686332-61005 -103,091.40 275,056.61 Check 7/12/2010 Burman. Udall. Luttier 8 C... -5,500,000.00 -5.224,943.39 Deposit 7/12/2010 Deposit 5,500,000.00 275,056.61 Check 7/12/2010 -5,000.00 270,056.61 Deposit 7/14/2010 Deposit 18,048.80 288.10341 Check 7/14/2010 Chase Visa NES -66,147.03 221.958.38 Check 7/14/2010 Chase Visa JEGE -857.23 221.101.15 Check 7/16/2010 Brian Moseley and AssociaL.. Inv 8907 -1,649.18 219,451.97 Check 7/16/2010 3B's LLC -3,919.20 215,532.77 Check 7/16/2010 Lafayette Contractors, LLC -50.000.00 163532.77 Check 7/16/2010 Tempaire International. Inc. Inv 151901 -17.807.75 147,725.02 Check 7/16/2010 Tom Hoch Interior Designs.... Inv# 15690. 15691A - Final 8 15... -30.301.50 117.42152 Check 7/16/2010 Maguire Group Inc. Projects: Office pavilion, -1.240.00 116.183.52 Check 7/19/2010 NES. LLC -50.000.00 66.18152 Check 7/19/2010 Zorro Development Corpora... -50.000.00 16.183.52 Deposit 7/19/2010 Gerald Goldsmith Deposit 60.000.00 76.18152 Deposit 7/19/2010 Deposit 8.000.00 84.18152 Total 10011 JPMorgan Chase MM 5.465.21 84.18152 Total 10000 • Bank 5.465.21 84.18152 TOTAL 5,485.21 84,183.52 Page 1 EFTA00726707
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EFTA00726707
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DataSet-9
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document
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1

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