71 results for "7471853726"
Page 2 of 3
EFTA00271928.pdf
...877-534-2264
Account Summary - 7471853726
09/01 Beginning Balance
Checks
Withdrawals / Debits
Deposits / Credits
09/30
Ending Balance
$4.4 17.45
$4.4 I 7.45
Number of Days in Period
30
Analysis Period: 07/01/16 - 07/31/16
Standard Monthly Service Charge
Standard Monthly Service Charge...
EFTA00271910.pdf
...877-534-2264
Account Summary - 7471853726
12/01 Beginning Balance
Checks
Withdrawals / Debits
Deposits / Credits
12/31
Ending Balance
$146,849.35
$146,849.35
Number of Days in Period
31
Analysis Period: 11/01/15 - 11/30/15
Standard Monthly Service Charge
Standard Monthly Service Charge Waived (see below...
EFTA00271866.pdf
...1-866-475-0729
Account Summary - 7471853726
02/01 Beginning Balance
Checks
Withdrawals / Debits
I
Deposits / Credits
02/28
Ending Balance
$17,452.00
52.308.80
$19,760.80
Number of Days in Period
28
Analysis Period: 01/01/14 - 01/31/14
Standard Monthly Service Charge
Standard Monthly...
EFTA00271878.pdf
...877-534-2264
Account Summary - 7471853726
08/01 Beginning Balance
$9,558.30
Number of Days in Period
31
Checks
1
Withdrawals / Debits
$(10.00)
Deposits / Credits
08/31 Ending Balance
$9,548.30
Analysis Period: 07/01/14 - 07/31/14
Standard Monthly Service Charge
Standard Monthly Service Charge...
EFTA00271956.pdf
...877-534-2264
Account Summary - 7471853726
11/01
Beginning Balance
Checks
I
Withdrawals / Debits
Deposits / Credits
11/30
Ending Balance
51,921.43
$(20.00)
$1,901.43
Number of Days in Period
30
Analysis Period: 10/01/17 - 10/31/17
Standard Monthly Service Charge
$11.00
Standard Monthly...
EFTA00271922.pdf
...877-534-2264
Account Summary - 7471853726
06/01 Beginning Balance
$9,889.35
Number of Days in Period
30
Checks
1
Withdrawals / Debits
$( I 0.00)
Deposits / Credits
06/30
Ending Balance
$9,879.35
Analysis Period: 05/01/16 - 05/31/16
Standard Monthly Service Charge
Standard Monthly Service...
EFTA00271920.pdf
...877-534-2264
Account Summary - 7471853726
05/01 Beginning Balance
$159,889.35
Number of Days in Period
31
Checks
1
Withdrawals / Debits
$(150.00).00)
Deposits / Credits
05/31
Ending Balance
$9,889.35
Analysis Period: 04/01/16 - 04/30/16
Standard Monthly Service Charge
Standard Monthly Service...
EFTA00271868.pdf
...1-866-475-0729
Account Summary - 7471853726
03/01 Beginning Balance
$19,760.80
Number of Days in Period
31
Checks
1
Withdrawals / Debits
5(202.00)
Deposits / Credits
03/31 Ending Balance
$19,558.80
Analysis Period: 02/01/14 - 02/28/14
Standard Monthly Service Charge
Standard Monthly...
EFTA00271930.pdf
...877-534-2264
Account Summary - 7471853726
10/01 Beginning Balance
$4,417.45
Number of Days in Period
31
Checks
Withdrawals / Debits
1
Deposits / Credits
S ln.91)0.00
10/31
Ending Balance
$15,317.45
Analysis Period: 09/01/16 - 09/30/16
Standard Monthly Service Charge
Standard...
EFTA00271886.pdf
...877-534-2264
Account Summary - 7471853726
12/01 Beginning Balance
Checks
Withdrawals / Debits
Deposits / Credits
12/31
Ending Balance
$22,698.30
$22,698.30
Number of Days in Period
31
Analysis Period: 11/01/14 - 11/30/14
Standard Monthly Service Charge
Standard Monthly Service Charge Waived (see below...
EFTA00271904.pdf
...877-534-2264
Account Summary - 7471853726
09/01 Beginning Balance
$149.669.35
Number of Days in Period
30
Checks
1
Withdrawals / Debits
Sc I(U/00.00)
Deposits / Credits
09/30
Ending Balance
$139,669.35
Analysis Period: 08/01/15 - 08/31/15
Standard Monthly Service Charge
Standard...
EFTA00271862.pdf
...1-866-475-0729
Account Summary - 7471853726
12/01
Beginning Balance
Checks
I
Withdrawals / Debits
Deposits / Credits
12/31 Ending Balance
$2,480.00
$(14.00)
$2,466.00
Number of Days in Period
31
Analysis Period: 11/01/13 - 11/30/13
Standard Monthly Service Charge
Standard Monthly Service...
EFTA00271934.pdf
...877-534-2264
Account Summary - 7471853726
12/01
Beginning Balance
$15,317.45
Number of Days in Period
31
1
Checks
8(995.00)
Withdrawals / Debits
Deposits / Credits
12/31 Ending Balance
$14,322.45
Analysis Period: 11/01/16 - 11/30/16
Standard Monthly Service Charge
Standard Monthly Service...
EFTA00271970.pdf
...877-534-2264
Account Summary - 7471853726
06/01
2
06/21
Beginning Balance
Checks
Withdrawals / Debits
Deposits / Credits
Ending Balance
8133.42
5(133.42)
$0.00
Number of Days in Period
21
Analysis Period: 05/01/18 - 05/31/18
Standard Monthly Service Charge
Standard Monthly Service Charge Waived...
EFTA00271926.pdf
...877-534-2264
Account Summary - 7471853726
08/01 Beginning Balance
$14,417.45
Number of Days in Period
31
1
Checks
Si I 0.(K)0.00)
Withdrawals / Debits
Deposits / Credits
08/31 Ending Balance
$4.4 1 7.45
Analysis Period: 07/01/16 - 07/31/16
Standard Monthly...
EFTA00271950.pdf
...877-534-2264
Account Summary - 7471853726
08/01
Beginning Balance
Checks
Withdrawals / Debits
Deposits / Credits
08/31 Ending Balance
$18,354.45
$18,354.45
Number of Days in Period
31
Analysis Period: 07/01/17 - 07/31/17
Standard Monthly Service Charge
Standard Monthly Service Charge Waived (see below...
EFTA00271918.pdf
...877-534-2264
Account Summary - 7471853726
04/01 Beginning Balance
$152,399.35
Number of Days in Period
30
Checks
I
Withdrawals / Debits
$( I 0.00)
I
Deposits / Credits
$7,500.00
04/30
Ending Balance
$159,889.35
Analysis Period: 03/01/16 - 03/31/16
Standard Monthly Service...
EFTA00271874.pdf
...877-534-2264
Account Summary - 7471853726
06/01 Beginning Balance
$19,558.80
Number of Days in Period
30
Checks
1
Withdrawals / Debits
$(2.50)
1
Deposits / Credits
$2.50
06/30
Ending Balance
$19,558.80
Analysis Period: 05/01/14 - 05/31/14
Standard Monthly Service Charge
Standard...
EFTA00271958.pdf
...877-534-2264
Account Summary - 7471853726
12/01
Beginning Balance
$1,901.43
Number of Days in Period
31
1
Checks
S(1.750.00)
1
Withdrawals / Debits
$(11.00)
Deposits / Credits
12/31 Ending Balance
$140.43
Analysis Period: 11/01/17 - 11/30/17
Standard Monthly Service Charge...
EFTA00271864.pdf
...1-866-475-0729
Account Summary - 7471853726
01/01 Beginning Balance
$2,466.04)
Number of Days in Period
31
Checks
1
Withdrawals / Debits
$(14.00)
1
Deposits / Credits
515.000.00
01/31 Ending Balance
$17,452.00
Analysis Period: 12/01/13 - 12/31/13
Standard Monthly Service...
EFTA00271908.pdf
...877-534-2264
Account Summary - 7471853726
11/01 Beginning Balance
$146,859.35
Number of Days in Period
30
Checks
1
Withdrawals / Debits
$(10.00)
Deposits / Credits
11/30
Ending Balance
$146,849.35
Analysis Period: 10/01/15 - 10/31/15
Standard Monthly Service Charge
Standard Monthly Service Charge...
EFTA00271968.pdf
...877-534-2264
Account Summary - 7471853726
05/01 Beginning Balance
$664.42
Number of Days in Period
31
Checks
$(500.00)
I
Withdrawals / Debits
$(31.00)
Deposits / Credits
05/31 Ending Balance
$133.42
Analysis Period: 04/01/18 - 04/30/18
Standard Monthly Service Charge
Standard Monthly Service Charge...
EFTA00271890.pdf
...877-534-2264
Account
Summary
- 7471853726
02/01 Beginning Balance
$22,698.30
Number of Days in Period
28
1
Checks
5(200.00)
Withdrawals / Debits
1
Deposits / Credits
$8.693.60
02/28
Ending Balance
$31,191.90
Analysis Period: 01/01/15 - 01/31/15
Standard Monthly Service...
EFTA00271912.pdf
...877-534-2264
Account Summary - 7471853726
01/01 Beginning Balance
I
Checks
Withdrawals / Debits
I
Deposits / Credits
01/31 Ending Balance
$146,849.35
Sc 1.250.(0)
$19.500.00
$165,099.35
Number of Days in Period
31
Analysis Period: 12/01/15 - 12/31/15
Standard Monthly...
EFTA00271916.pdf
...877-534-2264
Account Summary - 7471853726
03/01 Beginning Balance
$165,099.35
Number of Days in Period
31
I
Checks
St 200.00)
I
Withdrawals / Debits
St 12.500.00)
Deposits / Credits
03/31 Ending Balance
$152,399.35
Analysis Period: 02/01/16 - 02/29/16
Standard Monthly...
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