EFTA00728703.pdf
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JEFFREY EPSTEIN
INVOICE - SUMMARY
OUTSTANDING
AS OF MARCH 8, 2010
US Dollars
Description
Amount
Legal Invoices
864,423.89
Miscellaneous Invoices
503,016.72
Construction Contracts
7 736 118.11
Total Outstanding Invoices as of 3/8/2010
9,103,558.72
EFTA00728703
JEFFREY EPSTEIN
OUTSTANDING INVOICES - LEGAL
AS OF MARCH 8, 2010
Vendor Name
Amount
Notes
Critton
346,082.38
Jan & Feb 2010 invoices
Martin Weinberg
116,703.45
Jan & Feb 2010 invoices
Richard Hall
104,614.36
Dec 2009 - Feb 2010 invoices
Storch
99,361.23
2009 invoices less 25k retainer
Susman Godfrey
Cohen & Gresser
56,971.65
Oct 2009 - Jan 2010 invoices
55,056.25
Oct 2009 - Feb 2010 invoices - GM
John K Dema
28,006.06
Oct 2009 - Feb 2010 invoices
Roy Black
25,125.50 Feb 2010 invoices
Bruce Reinhart
16,834.77
Nov - Feb invoices - JEE & Sarah
McIntosh
14,273.24
Nov - Feb invoices
Kreusier Walsh
1,395.00
Oct 2009 invoice
TOTALS
864,423.89
EFTA00728704
JEFFREY EPSTEIN
MISCELLANEOUS INVOICES
AS OF MARCH 8, 2010
Vendor Name
Amount
Notes
0ssa Properties - 301 E 66th
165,653.79
Common Charges, RE Taxes & Utilities
GenAmerica Life Insurance
108,225.00
Due Date 3-20-2010 - 75,000,000 proceeds
Gensler
81,945.78
Screening Room, Consultants & Expenses
Doctor Victor Invoice
53,434.37
Medi-Khan USA ????????
Peggy Siegal Cannes trip
37,644.00
Hotel, Air, Transportation & Food
JP Molyneux
31,050.00
Fancelli Invoice 22,500 Euro Balance
DPMG
25,063.78
Gary Only - February 2010
TOTALS
503 016.72
EFTA00728705
JEFFREY EPSTEIN
CONSTRUCTION BALANCES PER PROJECT
AS OF MARCH 8, 2010
Approved
Paid
Outstanding
Proj #
Name
Budget
to date
Balance
Notes
1001
Office Pavilion
2,732,459.23
2,283,574.82
448,884.41
1002
Mechanical Building
3,759,669.57
1,895,820.26
1,863,849.31
1004 Master Suite Expansion
1,003,790.00
316,242.18
687,547.82
1005 lice-MS Site I mprovemer
530,196.00
175,323.38
354,872.62
1006
Laundry
221,006.00
19,432.01
201,573.99
1007
Kitchen
580,708.00
-
580,708.00
1009
Main House Remodel
496,000.00
-
496,000.00
1010
Mechanical Desal
3,234,370.00
75,366.75
3,159,003.25
1011
Main House
-
9,972.55
(9,972.55)
(A)
1012
Island Trails
-
46,348.74
(46,348.74)
(A)
Total
12,558,198.80
4,822,080.69
7,736,118.11
Notes
(A)
There is no approved Budget
EFTA00728706
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| Filename | EFTA00728703.pdf |
| File Size | 152.3 KB |
| OCR Confidence | 85.0% |
| Has Readable Text | Yes |
| Text Length | 2,382 characters |
| Indexed | 2026-02-12T13:53:02.263515 |