EFTA01524962.pdf

DataSet-10 1 page 377 words document
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CHASE 0 November 01, 2011 through Nemember 30. 2011 1Phlorgan Chase Bank, N A. P 0 Box 659754 Account Number San Antonio. TX 78265 -9754 CUSTOMER SERVICE INFORMATION Web site: Chase com /100657007167/ Strom Center. 1400-242-7338 00000118GRE 802 NO 33711 YNNNTINNNNICH000000800 D60099 Hearing Impaired 1.800.242.7383 HOLD - RETURN MAIL Para Espanol 1-888422-4273 MAX HOTEL SERVICES CORP International Calls 1-713-262-1679 116665111ST NEW YORK NY 10065 4037 Important information about your Chase Business Checking Account Statanents Starting November 14. 3)11, we are making it easier in track your Chase ATM and debit card transactions On your deposit statemenk lock fora new section called 'ATM and Debit Card Summary' to set all of your ATM and debit card transactions organized by each authorized cardholder. Please note that any ATNI or Debit card transactions that post to your account before November 14. XIII will not show under this new section The *ATM and Debit Card Withdrawals' section will not change and will continue to display all of your Am4 and debit card mausolea* m date order We value you as a Chase eintomer. If you have any questions, please call us at 1.800-CHAS138 (1.800.242.7338). We arc making some (lunges that affect Chase personal and business chocktng, savings and fl ed-Kate of Deposit (CD) accounts. including retirement accounts*. Enclosed with this statement is a rewritten Deposit Account Agreement (formerly known as the Account Rules and Resulateas) The new design of this booklet will make it eases for you to read and find the information you need quickly. Please review the information and keep this as reference with your other financial documents. Please note: If you would like to receive the Deposit Account Isgreement in Spanish, they will be available at your nearest Chase branch. starting February 1. 2012 *Ea checking and swings accounts, all changes we effective en February 1, 3312. For CD accounts, the changes are effective en the first CD matunty date occurring on or idler February I. 3312 Chase BusineisCusiom Checking CHECKING SUMMARY INSTANCES AMOUNT Beginning Balance $3,038 IS Fees and Other Withdrawals - 19.69 Ending Balance 1 83,018 49 FEES AND OTHER WM1DRAWALS DATE. DESCRIPTION 1103 SammyCharges For The Month of October $19.69 Taal Fees &Other Withdrawals Sign,/ Confidential Treatment Requested by JPM-SDNY-00052784 JPMorgan Chase CONFIDENTIAL SDNY_GM_00321982 EFTA01524962
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ee9df8cf8c329d90026934257fd803038011f125ad4a31d6067fbf7a6c4f20a7
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EFTA01524962
Dataset
DataSet-10
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document
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1

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