EFTA01516240.pdf

DataSet-10 1 page 254 words document
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ilebruatt 01,2007 - 116 EAST 65TH ST LLC Februaiy 28,2007 JPMorgan 0 Primary Account Number: Private Bank Page 2 of 4 Business Check Account Number 116 EAST 65TH ST LLC Summary Opening Balance $6,260.85 Deposits and Credits $25,200.26 Checks, Withdrawals and Debits $7,954.84 Ending Balance $23,506.27 Activity Dale Description Debit Credits Balance Opening Balance $6,260.85 Feb 02 Check Paid I 1038 $800.00 $5,460.85 Feb 05 Electronic Funds Transfer $200.26 $5,661.11 PAYPAL Re: TRANSFER Ret 4V8222SGKYCSC Feb 07 Check Paid # 1037 $599.83 $5.081.28 Feb 07 Check Paid I 1039 $6 000.00 4938.72 Feb 08 Internal Funds Transfer $25,000.00 $24,061.28 FUNDS TRANSFERRED FROM DDA AC# 7391 18312 TO DDA AC# 739474235 As reque sted Feb 08 Check Paid 1 1033 $95.41 $23 965.87 Feb 08 Check Paid # 1040 $100.00 $23,965.87 Feb 21 Check Paid # 1041 $57.12 $23,808.75 Feb 28 Check Paid # 1043 $177.15 $23 831 60 Feb 28 Check Paid # 1044 $124.63 $23,506.97 Feb 28 Overdralt Interest Charge-Current Month $0.70 $23,506.27 $7,954.84 $25,200.26 Ending Balance $23,508.27 Cheeks Paid tiled. lbw Amount Cheek Date Amount Cheek Date Amount I, Feb 08 $95.41 1039 Feb 07 $6,000.00 1013• Feb 26 $177.15 iI r Feb 07 $599.83 1046 Feb 08 $100.00 1044 Feb 26 $124.63 Iota Feb 02 $800.00 1041 Feb 21 $57.12 Total Checks $7,964.14 Enclosed Checks 8 •Cap in check sequence 01.erci rail Interest Balance on which Effective Interest Date Interest is computed Rate Charged Feb 01-28 2007 -52.60 17.11 % 07C Confidential Treatment Requested by JPM-SDNY-00043133 JPMorgan Chase CONFIDENTIAL SDNY_GM_00312331 EFTA01516240
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fa244c52ceb49bdb64f8373501d0946201a00fd01c16416514951b1b48047db9
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EFTA01516240
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DataSet-10
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document
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1

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