📄 Extracted Text (288 words)
April 30,2005 - NES, LLC
31, 2005
Primary Account Ni,,,,!, ° JPMorgan Private Bank
Page 4 of 22
Business Checki
Account Number (cant)
NES. LLC
Activity
Date Description Debit Credits Balance
May 19 Check Paid k 21707 $358.95 $69,574.18
May 19 Check Paid a 21713 $517.22 $69,056.96
May 19 Check Paid it 21726 $423.30 $68,633.66
May 20 Check Paid 0 21712 $121.80 $68,511.88
May 20 Check Paid a 21720 $123.50 $68,388.36
May 23 Check Paid* 21715 $287.13 $68,101.23
May 23 Check Paid 0 21718 $125.45 $67,975.78
May 24 Internal Funds Transfer S50,000.00 $117,975.78
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA AC..
0 DDA AC* LE
TIER FROM CUENT
May 24 Check Paid St 21710 $29.77 $117,946.01
May 25 Electronic Funds Transfer $19,848.83 $98,099.18
ADP TXJFINCL SVC Re' ADP - TAX
Ret
May 25 Electronic Funds Transfer 536,547.70 $61,551.48
ADP TXIFINCL SVC Re: ADP -TAX
Ret
May 25 Check Paid 0 1152 $800.00 $80,751.48
May 26 Electronic Funds Transfer $3,141.47 $57,610.01
ADP • ADP -TAX
Ret
May 27 Ch a $77.84 $57,532.37
May 27 Check Paid ft 21729 $79.49 $57,452.88
May 27 Check Paid* 21730 $22.88 $57,430.22
May 27 Chedc Paid N 21731 $838.72 $56,591.50
May 27 Check Paid ft 21732 $81.09 $58,610.41
May 27 Check PaidIt 21738 $759.86 $55,750.75
May 27 Check Paid 0 21737 $83.20 $55,867.55
May 27 Check Paid IS 21739 $1,813.08 $54,054.47
May 31 Check Paid 0 1153 $89.32 $53,985.15
May 31 Check Paid 5 21733 $949.22 $53,035.93
May 31 Check Paid 0 21734 $104.93 $52,931.00
May 31 Check Paid 5 21738 $8,13983 $44,791.37
May 31 Check Paid 0 21742 $118.24 $44,875.13
May 31 Check PaidIt 21743 $78.84 $44,598.29
$188,141.28 $100,000.00
Ending Balance $44,698.29
Confidential Treatment Requested by JPM-SDNY-00020625
JPMorgan Chase
CONFIDENTIAL SDNY GM_00289823
EFTA01497203
ℹ️ Document Details
SHA-256
ea6a387e394b63ea2bb3a299ef3630a6b84324e0af537e800a27bb8d4de0010b
Bates Number
EFTA01497203
Dataset
DataSet-10
Document Type
document
Pages
1