📄 Extracted Text (1,492 words)
Deutsche Bank El
Deutsche Bank Must Co. .Amerieas
345 Park Avenue - NYC20-0102
New York. NY 10154
JEFFREY EPSTEIN
6100 RED HOOK QTR, B3
SAINT THOMAS
00802
UNITED STATES VIRGIN ISLANDS
For personal assistance call:
Amanda Kirby
212-454-6439
April 1. 2014 to April 30. 2014
8 Ent:loans
Summary of Account Balance(s)
Account Mooing Number Ilalance
Elite Checking With Serest 35-266-976 54,333,917.43
Fkginning Balance as of April I. 2014 51,505,440.45
Ikpos its and Other Crethis S3,905,447.95
Checks Paid (544.277.00 )
ATM and Debit Card Withdrauals $0.00
Service Charges and Other Fees 50.00
Other Debits (SL032.693.97 )
Ending Balance as of April 30. 2014 54.333.917.43
Transaction Detail
Date lk-Acription Debit Credit Balance
Beginning Balance as of April I. 2014 $1,505,440.45
04.02 # Outgoing Money Triad' (20,000.00 ) 1,485,440.45
TO CMBANK AC 4972699678 SLK DESIG
NS I.I.0
04.02 Check 685 (10.000.00 ) 1.475.440.45
04-02 Preauthorized Debit (24.68831 ) 1.450.751.74
101091000018175077
PAYMENT UBS CREDIT CARD
04-03 *I Outgoing Money Tmsf (28.193.06 1.422.558.68
TO BANK OF AMERICA NC 5800678525 WO
RLD FUEL SERVICES
All items an credited subject to final collection and receipt of proceeds in cash •OT by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
35266976
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
CONFIDENTIAL SDNY_GM_00040944
DB-SDNY-0003768
EFTA_00151553
EFTA01253393
Deutsche Bank El
Date Description Debit Credit Balance
04-08 N Transfer Of Funds Cr 500.62996 1.923.188.64
TRANSFER FROM ACCOUNT
42953440
04-08 N Deposit 139.79 1.921328.43
0150373920
04-08 N Outgoing Money Tmsf (51.618.95 ) 1.871.709.48
TO FIRST BANK PUERTO RICO A/C 724107
9396 13011LKE INTERNATIONAL AIRWAYS. I
NC
0408 N Outgoing Money Tmsf (8.250.00 ) 1,863,459.48
TO BANK OF AMERICA At 4426601636 CA
MBRIDGE MERCANTILE CORP
04-08 Check 683 (10,000.00 ) 1,853,459.48
0408 Cheek 682 (10,000.00 ) 1.843.459.48
0408 N Preauthotized Debit (7,04734 ) 1.836.412.14
102021000022662164
EPAY CHASE
04-08 N Preauthorized Debit (9.761.70 ) 1.826.650.44
102091409682665489
PAYMENT CM CARD ONLINE
04-09 Check 686 (747.00 ) 1.825.903.44
Ck4-10 "Outgoing Money Tine (19.839.47 ) 1.806.063.97
TO ALOSTAR BANK OF COMMERCE AC 1000
7094 KELLERIIALS FEROUSON KROBLIN PLL
C
04-10 N Outgoing Money Tmsf (25.500.00 ) 1.780.563.97
TO ALOSTAR BANK OF COMMERCE A/C 1000
7094 KELLERHALS FERGUSON KROBLIN PLL
C
04-10 a Outgoing Money Tmsf (5,209.00 ) 1.775,35437
TO SOVEREIGN BANK A/C 61804935890 MA
RT1N G WEINBERG PC
04-10 N Outgoing Money Tmsf (182.219.06 ) 1.593.135.91
TO CITIBANK A C 37055646 301166 OWNE
RS CORP
04-11 N Incoming Money Trnsf 3.400.000 00 4.993.135.91
ORG-N4G-024935-1 JEEPERS INC 6100 R
ED 1100K QUARTER B 3 ST THOMAS VI 00
0411B1Q8152C004329
0411 N (4.036.32 ) 4989.079.59
TO NATWEST BANK 2400.00 GBP
FN RATE 1.69013132
04-15 N Outgoing Money Tnuf (13,000.00 ) 4,976,079.59
TO WELLS FARGO BANK AC 4125504373 II
AWTHORNE FIX) HOLDINGS LLC
04-17 N Outgoing Money Trnsf (48,679.32 ) 4,927,400.27
TO WELLS FARGO BANK A/C 200001824158
7 LINDSEY CORAL HARPER INTERIOR DFS1
GN
0.4-21 N Transfer Of Funds (138.050.00 ) 4.789350.27
TRANSFER TO ACCOUNT
680519
04-21 Check 687 (5,000.00 ) 4,784,350.27
04-22 Check 663 (3.330.00 ) 4.781,020.27
All bans are credited subject to final collection and receipt of proceeds in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company America
35266976
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
CONFIDENTIAL SDNY_GM_00040945
DB-SDNY-0003769
EFTA_00151554
EFTA01253394
Deutsche Bank El
Date Description Debit Credit Balance
04-22 # Preauthorized Debit (96.946.70 ) 4.684.073.57
102091000018001756
ACII PMT AMEX &aliment
04-22 * Preauthorized Debit (87.700.95 ) 4.596.372.62
102091000018001758
ACII PMT AMEX EPayment
04-22 # Preauthorized Debit (116.365.42 ) 4.480.007.20
102091000018001759
AeII PMT AMEX EPainnent
0422 0 Preauthorized Debit (472.45 ) 4,479,534.75
102091409687998374
PAYMENT CM CARD ONLINE
04-24 # Deposit 1,377.73 4,480,912.48
0150227570
0424 # Incoming Money Turf 3,000.00 4.483.912.48
ORG- 483047989798 ADAM BIN 148 GREEN
F. ST APT 2E NEW YORK NY 10012-3292
04-24 k Outgoing Money Trnsf (5,500.00 ) 4.478.412.48
TO BANK OF AMERICA A/C 4426601636 CA
MBRIDGE MERC.UIII.f CORP
04-24 Chant 688 (2.600.00 ) 4475.812.48
04-24 Check 689 (2.600.00 4.473.212.48
04-25 # (3.440.07 ) 4.469.772.41
To CREDIT LYONNAIS2,461.54 EUR
FX RATE 1.39752637
0425 0 Preauthorized Debit (6.653.00 ) 4.463.119.41
102021000020934474
EPAY CHASE
04-28 # Outgoing Money Trmf (5,400.00 ) 4,457,719.41
TO DEUTSCHE BANK NC 083210346358000
I OSMANOVA GUISYUM
04-29 14 Preauthorized Debit (67.92634 ) 4.389.792.87
102091000012184603
ACII PMT AMEX EPayrnent
04-29 F Preauthorized Debit (43.375.91 ) 4.346.416.96
101091000012355064
PAYMENT UBS CREDIT CARD
04-30 *Outgoing Money Trust (5.500.00 ) 4.340.916.96
TO BANK OF AMERICA A/C 442660'636 CA
MBRIDGE MERCANTILE CORP
04-30 8 Preauthorized Debit (790090 ) 4.333.616.96
102021000023142518
EPAY CHASE
04-30 tO Intact* Payment 300.47 4.333917.43
Ending Balance as of April 30. 2014 (1.074970.97 ) 53.905.447.95 54,333,917.43
Checks Paid
Number Date Amount Number Date Amount Number Date Amount
663 0.4-22 3,330.00 685 • 04-02 mooaoo 688 04-24 2,600.00
682 • 04-08 10,000.00 686 04-09 747.00 689 04-24 2,600.00
683 04-08 10.000.00 687 04-21 5900.00 • Skip in chock sequence
All items are credited subject to final collectice and receipt of proceeds in cash OT by unconditional sxedit to and accepted by Deutsche Bank Trust Company Antrricas
35266976
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
CONFIDENTIAL SDNY_GM_00040946
DB-SONY-0003770
EFTA_0015 1555
EFTA01253395
Deutsche Bank
El
Deposits and Other Credits
Date Description Amount
04-08 Transfer Of Funds Cr 5500.629.96
04-08 Deposit SI 39.79
04-I I Incoming Money Trust 53.400.000.00
04-24 Deposit 51377.73
04-24 Incoming Money Trust 53.000.00
04-30 Interest Payment 9303.47
Unice Charges and Other Fees
NSF mum hem fees for this statement period 50.00
NSF return item fees for this calendars ear $0.00
Overdraft fees for this statement period $0.00
Overdraft fees for this calendar vear $000
Other Debits
Date Description Amount
04-02 Outgoing Money Tmsf ($20-000.00 )
04-02 Preauthorized Ikbit (524.688.71 )
04-03 Outgoing Money Trust (828.193.06 )
04-08 Outgoing Money Ina (&S1418.95 )
04-08 Outgoing Money Tmsf (5250.00 )
04.08 Preauthorized Debit (57.047.34 )
0608 Preauthorized Debit (59,761.70 )
04-10 Outgoing Money Trust ($19,839.47 )
04-10 Outgoing Money Trust- 525 50000
04-10 Outgoing Money Tmsf (5.209.00 )
04-10 Outgoing Money Tmsf (5182.2190_2_5)
04-11 (54.056.32 )
04-15 Outgoing Money Trust (S13.03041:_l )
04-17 Outgoing Money Tmsf (848.679.32 )
04-21 Transfer Of Funds (5138.050.00 )
04-22 Prcaudiorized Debit (896.946.70 )
04-22 Prcauthorized Debit (S87.70091
04-22 Preauthorized Debit ($116,365.42 )
04-22 Preauthorized Debit ($472.45 )
04-24 Outgoing Money Tmsf (55.950.00 )
04-25 (53,440.07 )
0445 Preauthorized Debit 653.00
04-28 Outgoing Money Tried (55.400.00 )
04-29 Reauthorized Debit ($67.926.54 )
04-29 Preauthorized Debit (513.375.91 )
04-30 Outgoing Money Trust (85.500.00 )
04-30 Preauthorized Debit ($7.3C0.00 )
Interest Calculation
Annual Percentage Yield Earned 0.10%
[merest famed This Period 5300.47
Interest Paid Year To Date 5792.20
All items are credited subject to final collection and receipt of proceeds in cash OT by unconditional credit to and accepted by Deutsche Bank Trust Company Americas.
35266976
CONFIDENTIAL - PURSUANT TO FED R. CRIM. P. 6(e)
CONFIDENTIAL SDNY_GM_00040947
DB-SDNY-0003771
EFTA_00151556
EFTA01253396
Deutsche Bank
El
In Case of Fawn o Questions
I. Electronic Funds Transfers:
Telephone us at 1-866-362-4796. or write to us at Deutsche Bank Trust Company Americas. 345 Park Avenue. PWNI Banking Team -
NYC20-0102. New York Na. York 10154 as soca as you can. if you think your statement or receipt is wrong or if you need more
information stout a transfer listed on the statement or receipt. We MUST hear from you no later than 60 days after we sent you the
FIRSTstatement on which the enur or problem appeared.
(I )Tell us your name and account number.
(2) Describe the error or transfer you we unsure about. and explain as clearly you can why you believe it is an error or why you
need more information.
(3)Tell us the dollar amount of the suspected error.
Please note that if you initially provide the above information to us via telephone. we will require that you send your complaint or
inquiry in writing within ID business days.
We will investigate your complaint and will correct any error promptly. If we take more than 10 business days (or 20 days for new
accounts) to do this. we will provisionally credit your account for the amount you think is in error. so that you will have the use of the
money during the time it takes us to complete ow investigation. At the conclusion of our invatigation we will inform you of our results.
2. Non-Electronic Funds Transfers:
Contact the Bank immediately at 1466-362-4796 if your statement is incorrect or if you need more information about any non-electronic
funds tr.ursastions (checks or deposits) on this statement. If any such error appears. you must notify the Bonk in writing no later than
60 days after the statement was made available to you. Please see your Tenn.: and Conditions for flintier information on the terms
governing your account.
3. Verilying ['reauthorized Credits:
If you have arranged to have direct deposits made to your account at least once every 60 days from the same person or company, you
can telephone us at 1.866-362.4796 to find out whether the deposit has been made.
35266976
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
CONFIDENTIAL SDNY_GM_00040948
DB-SDNY-0003772
EFTA_0015 1557
EFTA01253397
ℹ️ Document Details
SHA-256
e84692883107651b8b63e8541c12be782fa8fdf540216080dee09885491c2da5
Bates Number
EFTA01253393
Dataset
DataSet-9
Document Type
document
Pages
5
Comments 0