EFTA00731369.pdf
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3:46 PM
11/23/10
Accrual Basis
Jeffrey E. Epstein
Account QuickReport
As of November 23, 2010
Type
Date
Name
10000- Bank
10011 • JPMorgan Chase MM
Memo
Amount
Balance
45,877.56
45,877.56
Transfer
11/8/2010
Funds Transfer
-20,000.00
25,877.56
Deposit
11/8/2010
Deposit
1,000,000.00
1,025,877.56
Check
11/8/2010
Jeffrey Epstein
PB house acc
-10,000.00
1,015,877.56
Check
11/8/2010
NES. LLC
-100,000.00
915,877.56
Check
11/9/2010
Chase Gold Master Card
Acc# 5263 2710 0972 1356
-23,919.49
891.958.07
Check
11/912010
Abbott 8 Lineham Mechanical
LSJ Mechanical Req #3
-12.140.68
879.817.39
Check
11/912010
Scott Graf
11/5 8 11/8 invoices
-4.000.00
875,817.39
Check
11/9/2010
LSJ. LLC
-150,000.00
725,817.39
Check
11/9/2010
Dennis Boone
LSJ inv #16 Kitchen Floor
-20,130.00
705,687.39
Check
11/9/2010
Cambridge Mercantile Corp.
LSJ trees 50% inv # 10-50-2010
-6.425.00
693262.39
Check
11/9/2010
Caricement USVI
Inv #4912, 4932
-11,767.01
687.49338
Check
11/9/2010
Buy Computer now
Fling cabinets
-700.96
686.79442
Check
11/9/2010
Island Tile and Marble LLC
LSJ Existing Compound - Req 1
-11.268.92
675.525.50
Check
11/9/2010
Brian Moseley and Associates....
Inv9049
-1.616.62
673.908.88
Check
11/10/2010
Tax Collector. Palm Beach Co...
Property control # 50-43-43-27-...
-113.374.23
560.534.65
Check
11/16/2010
American Express 3727-6863...
Account # 3727-686332-61005
-186,127.65
374.40730
Check
11/17/2010
Zorro Trust
-58,000.00
316407.00
Check
11/17/2010
Washoe Equipment Inc.
inv # S20606
-1.556.00
314851.00
Check
11/17/2010
Kraus-Manning. Inc
LSJ inv # 7714-35 8 36
-8.353.00
306.49300
Check
11/17/2010
American Export Company
LSJ inv #R101114.5, R101037 ...
-7.543.85
298.95415
Check
11/17/2010
LSJ. LLC
-61,000.00
237.95415
Check
11/17/2010
William R Nash VI Inc.
Inv # 10-01V-227
-2.313.81
235.64334
Check
11/17/2010
Ismail Unerli c/o Ml Develop...
LSJ inv # 1101108-1
4.165.00
231.47334
Check
11/17/2010
Refrigeration Service
LSJ 'November 2nd statement
-1.480.00
229.99334
•Atlanta
Check
11/17/2010
reimb.exp.
-1.035.82
228.95352
Check
11/19/2010
New County Motor Cars of Pf3
ViN # WMEEK38A6AK343524
-17,115.20
211,844.32
Check
11/19/2010
DPMG. Inc.
Inv #19 -October 2010
-25,101.08
186,743.24
Check
11/19/2010
Michael Keesling
-10,000.00
176,743.24
Check
11/19/2010
Arthur Gensler. Jr 8 Associate...
Inv *Wool Area - Work Authoriz...
-23,750.00
152,993.24
Deposit
11/22/2010
Deposit
5,000.00
157,993.24
Check
11/23/2010
Apex Equipment Sales. Inc
Inv # 39744
-3.590.00
154,403.24
Check
11/23/2010
Arthur Gensler. Jr 8 Associate...
50% inv - Work Authorization ...
-25,000.00
123403.24
Check
11/23/2010
Montetaistnbutors. Inc
Ref # 201CV11-004
-6.850.00
122353.24
Check
11/23/2010
-600.00
121.953.24
Check
11/23/2010
Chase Visa NES
-56,943.83
65.00341
Total 10011 • JPMorgan Chase MM
19,131.85
65.00941
Total 10000 • Bank
19,131.85
65.00341
TOTAL
19,131.85
65,009.41
Page 1
EFTA00731369
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| Filename | EFTA00731369.pdf |
| File Size | 57.3 KB |
| OCR Confidence | 85.0% |
| Has Readable Text | Yes |
| Text Length | 3,115 characters |
| Indexed | 2026-02-12T13:53:31.151397 |