📄 Extracted Text (269 words)
Primary Account
NES LLC For the Period 10/1/11 to 10/31/11
IMPORTANT INFORMATION
FUNDS AVAILABILITY POLICY STATEMENT
Effective July 17, 2011. the `Longer Delays May Apply' section was replaced
with the following:
Longer Delays May Apply: In some cases, we may not make all of the funds that you
deposited by check available by the first business day after the day of your deposit.
Funds may not be available until the second business day after the day of your deposit.
However, at least the first $200 of these deposits will be available on the first business
day after the day of your deposit.
Unless indicated above, all other terms and conditions of your Deposit Account
Agreement still apply. Please contact your J.P. Morgan team if you have any questions
about these changes or would like additional information.
Checks Paid
Check Date Check Date Check Date
Number Paid Amount Number Paid Amount Number Paid Amount
24687" 10/06 809 60 24803^ 10/13 1,232 00 25000" 10/13 14,233 23
24688 A 10/05 809 60 24804 A 10/11 2,123.07 25001 " 10/12 1,561.80
24689 A 10/06 1.214 40 24805 A 10/26 1,796.44 25002 A 10/13 345.00
24802 A 10/12 108.88 24806 A 10/26 8,369.00
Total Checks Paid ($32,603.02)
^ All image ofibis check Ls mullable as otganOnlbte.olm. To enrollInMorgan Offline, please contacorour J.P. Almon Team
Transaction Detail
Deposits 8 Transfers 8
Date Description Credits Withdrawals Balance
10/01 Beginning Balance 42,030.67
10/05 Funds Transferred From DOA Aoti To DDA Ac# 100,000.00 142,030.67
As Requested
10/05 Check #24688 809.60 141,221.07
J.P. Morgan Pap 2 of 18
Confidential Treatment Requested by JPMorgan JPM-SDNY-00022330
Chase
CONFIDENTIAL SDNY_GM_00291528
EFTA01498689
ℹ️ Document Details
SHA-256
f60f7a0b2521720d521ed21b6f8d116bff029151dd829941e21e677cb2ad01b0
Bates Number
EFTA01498689
Dataset
DataSet-10
Document Type
document
Pages
1
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