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Novanter 29, 2003 - I NEW YORK STRATEGY GROUP, LLC
December 31, 2003
Primal) Account Number. JPMorgan Private Bank
Pap 2 of 7
Business Checkin
Account Number
NEW YORK STRATEGY GROUP, LLC
Summary
Opening Balance $31,337.68
Deposits and Credits $163,757.18
Checks, Withdrawals and Debits $188,184.78
Ending Balance $6,910.06
Activity
Date Description Debit Credits Balance
Waning Balance $31,337.68
Dec 01 Electronic Funds Transfer $2,369.01 $28,968.67
ADP TX/FINCL SVC Re: ADP -TAX
Ret
Dec 01 Check Paid 0 1335 $102.25 $28,866.42
Dec 01 Check Paid X 1336 $321.53 $28,544.89
Dec 02 Internal Funds Transfer $50,000.00 $78,544.89
NEW YORK STRATEGY GROUP, LLC
FUNDS TRANSFERRED FROM MAMA AIC.
iO DOA A/Oft
REDEMPTION FROM THE JP MORGAN FUND
S
Dec 03 Check Paid ft 1343 $30,000.00 $48,544.69
Dec 03 Check Paid # 1356 $236.43 $48,308.46
Dec 03 Check Pald # 1357 $241.72 $48,088.74
Dec 03 Check Paid # 1362 $62.86 $48,003.88
Dec04 Check Paid R 1346 $277.92 $47,725.98
Dec04 Check Paid 5 1349 $46.82 $47,879.14
Dec 05 Electronic Funds Transfer $83.22 $47,595.92
ADP PAYROLL FEES Re: ADP - FEES
Ret
Dec 05 Electronic Funds Transfer $178.25 $47,419.67
ADP PAYROLL FEES Re: ADP - FEES
Ret
Dec 05 Check Paid ar 1353 $800.00 $46,619.67
Dec 05 Check Paid X 1361 $8.34 $46,611.33
Dec 05 Check Paid 0 1385 $141.20 $48,470.13
Dec 05 Check Paid a 1367 $188.37 $48,301.78
Dec 08 Check Paid R 1344 $350.00 $45,951.78
Dec 08 Check Paid 0 1345 $245.57 $45,706.19
Dec 08 Check Paid/ 1347 $1,194.88 $44,511.31
Dec 08 Check Paid X 1351 $501.00 $44,010.31
Dec 08 Check Paid X 1352 $526.00 $43 484 31
Dec 08 Check Paid # 1354 $227.90 $43,256.41
Dec 08 Chedc Pald 0 1359 $50.43 $43,205.98
Dec 08 Check Paid a 1380 8181.75 $43,044.23
Confidential Treatment Requested by JPM-SDNY-00040100
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00309298
EFTA01514006
ℹ️ Document Details
SHA-256
9d05a1648e0a2a422d9bc5bf0aacd7845ea53787c6a4f945e3dd76a2a750caf8
Bates Number
EFTA01514006
Dataset
DataSet-10
Type
document
Pages
1
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