EFTA00273546.pdf
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FIFTH THIRD BANK
Statement Period Date: 3/1/2014 - 3/31/2014
Account Type: 5/3 Bus Standard Ckg
Account Number:
iLatrm FLORIDA)
BOX 630900 CINCLNNATI OH 45263.0900
SCIO VERUM CORPORATION
0
421
Relationship Manager Name: Helene Tolentino
Phone:
Commercial Client Services: I
03/01 Beginning Balance
$75,370.15
Number of Days in Period
31
6
Checks
$(1.468.75)
8
Withdrawals / Debits
$(458.273.65)
4
Deposits / Credits
$477,818.82
03/31 Ending Balance
$93,446.57
Analysis Period: 02/01/14 - 02/28/14
Standard Monthly Service Charge
Standard Monthly Service Charge Waived (see below)
WIRE INCOMING NON-STRUCTURED
Service Charge withdrawn on 03/12/14
$11.00
-$11.00
$26.50
$26.50
Standard Monthly Service Charge waived if:
Your business maintains a total monthly average
balance of $3,500 across its business checking. savings.
and certificate of deposit accounts.
OR your business spends at least $500 per month on
its business credit card.
Current Relationship Overview:
Balance Criteria Met?
Yes
Total Combined Monthly Average Balance
$142.661.38
Other Criteria Met?
55(x) Business Credit Card Spend?
No
No
Checks
• Indic:Ha gap in check sequence
Number
5101 i
03/04
160.00
5103i
03/03
500.00
5105 i
03/19
340.00
5102 i
03/06
160.00
5104 i
03/07
150.00
5106 i
03/21
158.75
Date Paid
= Llectrunic Image
s = Substitute Check
Amount
Number
Date Paid
Amount
Number
6 checks totaling $1,468.75
Date Paid
Amount
Withdrawals / Debits
Date
Amount
03/07
31.212.12
03/10
115.15
03/10
25.168.88
03/11
0.50
03/12
26.50
03/24
1.750.00
03/31
400.000.00
03/31
0.50
Desert ion
PAYCHEX INC. PAYRO
PAYCHEX EIB INVOIC
PAYCHEX TPS 27043
MOBILE DEPOSIT FEE
SERVICE CHARGE
NW TRUST CONTRIB
5/3 ONLINE TRANSFER TO CR: XXXXXX2331 REF # 00344164618
MOBILE DEPOSIT FEE
8 items totaling $458,273.65
O VERUM CORPORATION 030714
VERUM CORPORATION 031014
SCIO VERUM CORPORATION 031014
For additional information and account asclosures, please visit
Page 1 of 2
EFTA00273546
FIFTH THIRD BANK
Deposits / Credits
Date
Amount
Description
03/10
456.300.00
DEPOSIT
03/11
681.93
MOBILE CHECK DEPOSIT
03/18
20.833.33
INCOMING WIRE TRANS 031814
03/31
3.56
MOBILE CHECK DEPOSIT
4 items totaling $477,818.52
Daily Balance Summary
Date
%mount
U Ito
Amount Date
Amount
03/03
74,870.15
03/10
474.204.00
03/19
495,352.26
03/04
74,710.15
03/11
474,885.43
03/21
495.193.51
03/06
74,550.15
03/12
474,858.93
03/24
493.443.51
03/07
43.188.03
03/18
495,692.26
03/31
93.446.57
Page 2 of 2
EFTA00273547
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Document Details
| Filename | EFTA00273546.pdf |
| File Size | 81.0 KB |
| OCR Confidence | 85.0% |
| Has Readable Text | Yes |
| Text Length | 2,613 characters |
| Indexed | 2026-02-11T12:46:30.384580 |