📄 Extracted Text (283 words)
July 01,2004 - I NES, LLC
July 30,2004
Primary Account Nunther. 'ffi °JPMorgan Private Bank
Page 2 of 6
Business Checkl
Account Number
NES. LLC
Summary
Opening Balance $149.157.69
Deposits and Credits 3236.604.49
Checks, Wthdrawals and Debils $308.841.24
Ending Balance 376,920.94
Act ivily
Date Deheription Dalt Credies Bakos
Opening Balance 3149,157.69
Jul 01 Check Paid # 21005 $502.28 1148,655.41
Jul 01 Check Paid # 21011 1206.39 3148,449.02
Jul 02 Fedwire Credit 3136,604.49 1285,053.51
VIA: COLONIAL BANK NA
/062001319
B/O: JEGE INC
PALM BEACH, FL 33480-
REF: CHASE NYC/CTR/B___,...
NFANES LLC NEW
YORK NY 100224AC FB
aZt/B COLONIAL BAN BBI4TIME/11:18
MAD: 0702F20C258C000180
Jul 06 Check Paid # 1089 8138,982.89 1146,070.82
Jul 07 Eledronic Funds Transfer 115,329.32 1130,74230
ADP TY/FINCL SVC Re: ADP - TAX
Ret 66TPW 070826A01
Jul 07 Electronic Funds Transfer 131,514.91 199,227.39
ADP TX/FINCL SVC Ra: ADP - TAX
Ref 150003395283TPW
Jul 0B Ekctronk Funds Transfer $2,451.54 396,775.85
ADP TX/FINCL SVC Re: ADP - TAX
Ret 66TPW 070826V01
Jul 08 Check Pald # 1094 18,472.72 188,303.13
Jul 09 Check Pald ar 21029 1268.95 188,034.18
Jul 12 Check Pair! ft 21017 125.52 188 008.66
Jul 12 Check Paid I 21018 138.03 187,972.63
Jul 12 Check Paid ft 21020 1393.47 187,579.18
Jul 12 Check Pald # 21021 aso.s7 187,528.59
Jul 12 Check Paid # 21022 150.57 187,478.02
Jul 12 Check Paid # 21023 $50.57 187,427.45
Jul 12 Check Pald # 21024 1459.78 188,987.87
Jul 12 Check Pald # 21025 1372.04 188,595 63
Jul 12 Check Pald aT 21026 129.99 188,585.64
Jul 12 Check Paid # 21028 1143.08 $88,422.56
Jul 12 Check Pald i 21030 $155.34 188,287.22
Jul 13 Check Pald i 1095 18,153.80 180,113.42
Contidential Treatment Requested by JPM-SDNY-00020378
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00289576
EFTA01496962
ℹ️ Document Details
SHA-256
fd1dcb0c2c371214132e4873a4f6408931b2c34e37717b25d456ef808bce66a6
Bates Number
EFTA01496962
Dataset
DataSet-10
Document Type
document
Pages
1
Comments 0