📄 Extracted Text (302 words)
November 01,20115 - I NEW YORK STRATEGY GROUP, LLC
November 30,2005 JPMorgan
Primal) Account Number Private Bank
Page 2 of 6
Business Check
Account Number
NEW YORK STRATEGY GROUP, LLC
Summary
Opening Balance $38,123.34
Deposits and Credits $395,000.00
Checks, Withdrawals and Debits $388,021.89
Ending Balance $45,101.45
Activity
Date Description Debit Credits Balance
Opening Balance $38,123.34
Nov 01 Check Paid 0 2251 $158.63 537,964 71
Nov 01 Check Paid 0 2252 $9.75 $37,954.96
Nov 02 Check Paid # 5 $51.47 $37,903.49
Nov 02 Check Paid 0 2240 $50.05 $37,453.44
Nov 02 Check Paid # 2243 $800.00 $37 053.44
Nov 02 Check Paid # 2247 $8.50 $37 044 94
Nov 02 Check Paid 0 2249 $105.50 $36,939.44
Nov 03 Check Paid 2 21 $1,178.83 $35,760.61
Nov 03 Check Paid a 2237 $335.54 $35,425.07
Nov 03 Check Paid a 2254 $29.40 $35 395.67
Nov04 Electronic Funds Transfer $102.44 $35,293.23
ADP PAYROLL FEES Re: ADP - FEES
Ret 11258 0941175
Nov 04 Check Paid # 2242 $551.00 $34,742.23
Nov 04 Check Paid 1 2244 $294.69 $34,447.54
Nov 04 Check Paid 0 2248 $313.75 $34,133.79
Nov04 Check Paid a 2250 $109.95 $34,023.84
Nov 07 Check Paid a 2238 $42.37 $33 981 47
Nov 07 Check Pald # 2239 $23.77 $33,957.70
Nov Oa Check Paid 0 2246 $282.86 $33,674.84
Nov 09 Internal Funds Transfer $75,000.00 $108,674.84
NEW YORK STRATEGY GROUP, LLC
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F F RED FROM MMIA a
TO DDA Ara
S REQUESTED
Nov 09 onto u s Transfer $15,188.75 $93,506.09
ADP TX/FINCL SVC Re' ADP - TAX
Ret
Nov 09 Electronic Funds Transfer $25,711.52 $67,794.57
ADP TX/FINCL SVC Re ADP - TAX
Ret
Nov 09 Check Paid 0 2258 S32,290.00 $35,504.57
Nov 14 Check Paid # 2265 $231.37 $35,273.20
Nov 14 Check Paid 0 2271 $2,22286 $33,050.34
Confidential Treatment Requested by JPM-SDNY-00040238
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00309436
EFTA01514092
ℹ️ Document Details
SHA-256
b2be5483b92a330418453919bfd690dde3c5abd2865b5e94ffda17df3b6cceae
Bates Number
EFTA01514092
Dataset
DataSet-10
Document Type
document
Pages
1
Comments 0