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📄 Extracted Text (461 words)
Statement Period Date: 4/1/2018 - 4/30/2018
Account Type: 5/3 PRIVATE BK OW
FIFTH THIRD
PRIVATE BANK Account Number:
(SOUTH ILORWAI
P.O. DUX 63(19W CINCINNATI OH 45263419W
Fifth Third Private Banker: Cesar Taverns
0 Phone: 239-449-7151
Internet Banking & Bill Payment: 53.com
Private Bank Client Service Center: 866-488-0017
63
CONTACT YOUR FIFTH THIRD PRIVATE BANK ADVISOR TODAY TO FIND OUT HOW FIFTH THIRD PRIVATE BANK CAN HELP YOU MEET YOUR
FINANCIAL GOALS.
04/01 Beginning Balance $12366.60 Interest Earned $6.15
Checks 5(441.75) Number of Days in Period 30
12 Withdrawals / Debits 5(45.875.20) Annual Percentage Yield Earned 0.40%
5 Deposits / Credits 533.351.48 Interest Earned YID $19.96
04/30 Ending Balance $1.13 Prior Year Interest $66.83
Check 1 check totaling $441.75
• Indicates gap in cheek sequence i = Electronic Image = Substitute (beck
Number Date Paid Amount
1283 i 04/09 441.75
Withdrawals / Debits 12 items totaling $45,875.20
Date Amount Description
04/02 1.00 DEBIT CARD PURCHASE AT APPLE PAY - SENT M. 877-233-8552. CA ON 033118 FROM CARD#:
XXXXXXXXXXXX2957
04/02 23.00 DEBIT CARD PURCHASE AT APPLE PAY - SENT M. 877-233-8552. CA ON 033118 FROM CARD*:
XXXXXXXXXXXX2957
04/02 7,500.03 OUTGOING WIRE TRANS 040218
04/03 3.267.17 CHASE CREDIT CRD AUTOPAY 004XXXX/00005413 040318
04/05 1.093.50 SMART LLC SMART LLC 20907403 040518
04/16 137.51 FPL DIRECT DEBIT ELEC PYMT 7434046491 PPDA 041618
04/17 545.84 CHASE CREDIT CRD AtTTOPAY 000000000013477 041718
04/18 1.020.77 CON ED OF NI' INTELL CK 435125003717017 041818
04/18 6.000.00 OUTGOING WIRE TRANS 041818
04/20 150.00 DEBIT CARD PURCHASE AT APPLE PAY CASH - A. 877-233-8552. CA ON 041918 FROM CARD#:
XXXXXXXXXXXX69I5
04/30 5.03 CHASE CREDIT CRD ALTTOPAY 000000000378193 043018
04/30 26.131.38 FUNDS TRANSFER TO IL: )000000C4I33 REF # 00857193971
Deposits / Credits S items totaling $33,351.48
Date Amount Description
04/03 12,000.00 MOBILE DEPOSIT
04/09 23.00 DEBIT CARD RETURN AT APPLE PAY - MONEY. 877-233-8552. CA ON 040918 TO CARD#:
XvvvvvvvXXXX2957
04/12 3,000.00 INCOMING WIRE TRANS 041218
04/17 18,322.33 SCIO VERUM CORPO PAYROLL 75841900014760X 041718
04/30 6.15 INTEREST
For ro,ENtirtfitneom SDNY_GM_00036378
Page I of 2
EFTA_00146991
EFTA01281718
FIFTH THIRD
PRIVATE /3.041(
Daily Balance Summary
Date Amount Date Amount Date Amount
04/02 5.442.60 04/12 15,663.18 04/18 26.281.39
04/03 14.175.43 04/16 15,525.67 04/20 26.131.39
04/05 13.081.93 04/17 33,302.16 04/30 1.13
04/09 12,663.18
Deposit and credit products by Fifth Third Bank. Member FDIC. Cl Equal Housing Lender.
Fifth Third Private Bank is a division of Fifth Third Bank offering banking. swestment and insurance products and services. Fifth Third Bancorp provides access to
investments and investment services through various subsidiaries. Investments and Investment Services:
Are Not FDIC insured I Offer No Bank Guarantee May Lose Value
Are Not Insured By My Federal Government Agency Are Not A Deposit
Insurance products made available through Fifth TIC Insurance Agency. Inc.
SDNY_GM 00036379
CnKIFIDENTIAL Pine 2 of 2
EFTA 00146992
EFTA01281719
ℹ️ Document Details
SHA-256
d29cf9b7b2c118747486e09f925408125eaf3c4cfacc7ebed850786c04801d26
Bates Number
EFTA01281718
Dataset
DataSet-10
Type
document
Pages
2
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