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July 01,2004 - NES, LLC
July 30,2004
Primary Accounl Number ° JPMorgan Private Bank
Page 2 of 22
Business Checkin
Account Number
NES, LLC
Summary
Opening Balance 5149.1 57.69
Deposits and Credits $236,604.49
Checks, Withdrawals and Debits $308,841 24
Ending Balance $76,920.94
Activity
Date Description Debit Credits Balance
Opening Balance $149,167.69
Jul 01 Check Paid N 21005 $502.28 $148,655.41
Jul 01 Chedc Paid 0 21011 $206.39 $148,449.02
Jul 02 Fedwire Credit $136,604.49 $285,053.51
VIA: COLONIAL BANK NA
/052001319
8/0: JEGE INC
PAW BEACH. FL 33480-
REF: CHASE NYC/C7R/BNF=NES. LLC NEW
YORK NY 10022-/AC-000739121472 RFB
=0/B COLONIAL BAN BBI4TIME/11:18
MUD: 0702F20C258C000180
Jul 06 Check Paid it 1089 $138,982.89 $146,070.62
Jul 07 Electronic Funds Transfer $15,328.32 $130,742.30
ADP TX/FINCL SVC Re: ADP -TAX
Ret 66TPW 070826A01
Jul 07 Electronic Funds Transfer $31,514.91 $99,227.39
ADP TX/FINCL SVC Re: ADP - TAX
Ret 150003395283TPW
Jul 08 Electronic Funds Transfer $2,451.54 $96,775.85
ADP TX/FINCL SVC Re: ADP - TM
Ret 66TPW 070826V01
Jul 08 Check Paid N 1094 $8,472.72 $88,303.13
Jul 09 Chedc Paid 0 21029 $268.95 $88,034.18
Jul 12 Chedc Paid N 21017 $25.52 $88,008.03
Jul 12 Chedc Paid N 21018 $38.03 $87,972.83
Jul 12 Check Paid is 21020 $393.47 $87,579.18
Jul 12 Check Paid 0 21021 $50.57 $87,828.59
Jul12 Check Paid a 21022 $50.57 $87,478.02
Jul 12 Check Paid it 21023 $50.57 $87,427.45
Jul 12 Check Paid 0 21024 $459.78 $86,967.67
Jul 12 Check Paid/ 21025 $372.04 $88,595.83
Jul12 Check Paid it 21028 $29.99 $86,&55.84
Jul 12 Check Paid IP 21028 $143.08 $88,422.58
Jul 12 Check Paid N 21030 $155.34 $88,267.22
Jul 13 Check Paid * 1095 $8,153.80 $80,113.42
Confidential Treatment Requested by JPM-SDNY-00020356
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00289554
EFTA01496940
ℹ️ Document Details
SHA-256
82c59c325e28628a4aad6c5d975abd91603b041d5946359c5a804c3bf8a8dada
Bates Number
EFTA01496940
Dataset
DataSet-10
Type
document
Pages
1
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