EFTA00168709.pdf
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Deutsche Bank El
Deutsche
Bank Trust Co. Americas
345 Park Avenue - NYCM-01C12
New York. NY 10154
NEPTUNE. LLC
JEFFREY EPSTER4
6100 RED HOOK QUARTER. B3
ST. THOMAS
00802
UNITED STATES VI
For personal
assistance
call:
Stewart Oldf,eld
May 1. 2019 to May 31. 2019
Summary of Account Balance(s)
Account
Account Number
Balance
Business Checking
42-953-424
50.00
Beginning Balance as of May I. 2019
$160533.29
Deposits
and Other Credits
$1200.00
Checks Paid
(82,350.00 )
ATM and Debit Card Withdrawals
$0.00
Service Charges and Other Fees
$0.00
OW Debits
IS159 181 19 )
Ending Balance as of May 31. 2019
$0.00
2 Enclosures
Transaction
Detail
Date
Description
Debit
Credit
Balance
Beginning Balance as of May I. 2019
S160.533.29
05-01
Y Pmaudiorized
Debit
(616.36)
159.916.93
102021000029191714
UTILITY FPUC/EZ-PAY
05-02
# Outgoing
Money Trnsf
(1.000.00)
158.916.93
TO WELLSFARGO BANK. NA A/C
CKG PAINTING INC
05-03
4 Outgoing
Money Trnsf
(1.100.00)
157.816.93
TO JPMORGAN CHASE BANK. NA A/C I=
CKG PAINTING INC
05-06
p Outgoing
Money Trnsf
TO TD BANK. NA A/C
BRITTAIN LAND DESIGN INC
05-06
Check
1019
(1550.00)
153.933.93
GEORGE
(2.333.00 )
155.483.93
All items arc credited
subject
to final collection
and receipt of proceeds
in cash or by unconditional
credit to and accepted
by Deutsche
Bank Trust
I of 3
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e).
DB-SONY-000006B
USAO_001052
EFTA_000 18962
EFTA00168709
Deutsche Bank ID
Date
Description
05-07
# ',reauthorized
Debit
(1037.06)
151896.87
101111000013221029
ELECPYMT FPL DIRECT DEBIT
05-10
# Outgoing Money Tmsf
(152.096.87)
800.00
TO TD BANK. NA A/C
HBRK A
SSOCIATES INC
05-10
Check
1130
(800.00)
0.00
05-13
*Credit Memo
1.200.00
1200.00
RETURN OF WIRE VD 04-26-2019
PER YOURREOUEST
05-14
*Outgoing Money Tmsf
(600.00)
600.00
TO JPMORGAN CHASE BANK. NA A/C
CKG PAINTING INC
05-14
*Outgoing Money Tmsf
(600.00 )
0.00
TO TD BANK. NA A/C
HBRK A
SSOCIATES INC
Ending Balance as of May 31. 2019
(161.733.29 )
Debit
Credit
Balance
$1200.00
$0.00
Checks Paid
Number
Date
Amount
Number
Date
Amount
Number
Date
1019
05-06
1.550.00
1130 *
05-10
800.00
• Skip in check sequence
Deposits
and Other Credits
Date
Description
05-13
Credit Mcmo
S1200.00
Amount
Service Charges and Other Fees
Total NSF return item fees for this statement
pealed
$0.00
Total NSF return item fees for this calendar
year
50.00
Total Overdraft
fees for this statement
period
$0.00
Total Overdraft
fees for this calendar
year
50.00
Other Debits
Date
Description
05-01
Pitauthorized
Debit
($616.36 )
05-02
Outgoing Money Tmsf
(51.000.00 1
05.03
Outgoing Money Tmsf
(51.100.00 1
05.06
Outgoing Money Tmsf
(52.333.00 1
05.07
Pitauthorimd
Debit
(51.037.06 )
05-ID
Outgoing Money Tmsf
15152.096.87 )
05.14
Outgoing
Money Tmsf
($600.00 1
05.14
Outgoing
Money Tmsf
($600.00 1
Amount
Amount
All items arc credited
subject
to final collection
and receipt of proceeds
in cash or by unconditional
credit to and accepted by Deutsche
Bank Trust
2 of 3
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e).
DB-SDNY-0000089
USAO_001053
EFTA_000 18963
EFTA00168710
Deutsche Bank
In Cane of Errors or Questions
I. Electronic Funds Transfers
Telephone
us at I-866-362-4796.
or write to us at Deutsche
Bank Trust Company
Americas. 345 Park Avenue. WM Banking Team -
NYCM-0102.
New York. New York 10154 as soon as you can. if you think your statement
or receipt is wrong or if you need more
information
about a transfer
listed on the statement
or receipt.
We MUST hear from you no later than 60 days after we sent you the
FIRST statement
on which the error or problem
appeared.
- Tell us your name and account number
- Describe the error or transfer
you arc unsure
about. and explain as clearly as you can why you believe it is an error or why you
need more information
- Tell us the dollar amount of the suspected
error
Please note that if you initially provide the above information
to us via telephone.
we may require
that you send your complaint
or
inquiry in writing within ID business
days.
We will investigate
your complaint
and will correct
any error promptly.
If we take more than 10 business
days (or 20 business
days for
new accounts)
to do this. we will provisionally
credit your account for the amount
you think is in error, so that you will have the use of
the money during the time it takes us to complete
our investigation.
At the conclusion
of our investigation,
we will inform you of our
results.
2. Non-Electronic
Funds Transfers
Contact
the Bank immediately
at 1-866-362-4796
if your statement
is incorrect
or if you need more information
about any non-electronic
funds transactions
(checks or deposits) on this statement.
If any such error appears.
you must notify the Bank in writing no later than
30 days after the statement
was made available to you. Please sec your Terms and Conditions
for further
information
on the terms
governing
your account.
3. Verifying Preauthorized
Credits
If you have arranged
to have direct deposits
made to your account at least once every 60 days from the same person or company,
you
can telephone
us at 1-866-362-4796
to find out whether
the deposit
has been made.
Deutsche
Bank Trust Company
Americas. Member FDIC
3 of 3
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(0).
DB-SDNY-0000090
USAO_001054
EFTA_00018964
EFTA00168711
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Document Details
| Filename | EFTA00168709.pdf |
| File Size | 131.2 KB |
| OCR Confidence | 85.0% |
| Has Readable Text | Yes |
| Text Length | 5,594 characters |
| Indexed | 2026-02-11T11:04:38.171890 |