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EFTA01285090

Dataset 10 · 5 pages · 345 KB · 1,359 words

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Deutsche Bank
Deutsche Bank Must Co. Americas
345 Park Avenue - NYC20-0102
New York. NY 10154
Jeffrey Epstein
6100 RED HOOK QTR, B3
SAINT THOMAS
00802
UNITED STATES VIRGIN ISLANDS
For personal assistance call:
Amanda Kirby
September 1. 2014 to September 30. 2014
6 F.nclosures
Summary of Account Balances)
Account                                                  A:c.suit Number                                  Balance
Elite Checking With Interest                                                                          $187,085.36
a
Beginning Balance at of Seplember 1. 2014                                                           S2.944.005.02
Deposits and Other Credit,                                                                              54.75723
Cheeks Paid                                                                                        (51.934.573.10 )
ATM and Debit Card Ulthdrauals                                                                             50.00
Senice Charges and Other Pecs                                                                              50.00
Other Debits                                                                                         (s327.1o4 39 )
Ending Balance as of September 30. 2014                                                               5187.085.36
Transaction Detail
Dale         Description                                                                 Debit                   Credit                         Balance
&Riming Balance as of September 1, 2014                                                                                                   52,944,005.02
09.02      g Outgoing Money Tmsf                                                    (1,000.00 )                                            2,943,005.02
TO WELLS FARGO BANK NA At 200019365
1652                      KONSTANTINOVN
A
0903       # Outgoing Money Must'                                                     (409.00 )                                             2.942.596.02
TO DST UNITED BANK At 130104 W. CITE
STER BREWER. JR...
0903       # Outgoing Money Tmsf                                                    (20.000.00 )                                            2.922.596.02
TO FIRST BANK OF PUERTO RICO At
MAPLE. INC
All items are credited subject to final collection and receipt of meet& in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company Anterica.
35266976
I of 5                                                          SDNY_GM_00041249
CONFIDENTIAL - PURSUANT TO FED. R. cc?.
FlDENTIAL
v(e)                                                                   DB-SDNY-0004073
EFTA_00I 51858
EFTA01285090
Deutsche Bank ID
Date         Description                                                                  Debit                      Credit                         Balance
09-03      # Outgoing Money Trnsf                                                   (17.758.99 )                                                2.904.837.03
TO JP MOROAN CHASE ASIOL
LAND AND SHERRY INC
09-03      N Prtautborind Debit                                                     (62.17533 )                                                 2.842.661.50
PAYMENT CBS CREDIT CARD
09-03      tt Preauthorized Debit                                                   (1.742.00 )                                                 2.840.919.50
COLUMBIA COLUMBIA
09-04      N Outgoing Money Trnsf                                                   (10.000.00 )                                                2.830.919.50
TO CMBANK AC
09415         Check 738                                                             (7,500.00 )                                                 2.823.419.50
09-09         Check 734                                                             (4,075.60 )                                                 2.819.343.90
09.10      N Outgoing Money Tmsf                                                    (5,100.00 )                                                 2.814.243.90
TO SABADELL UNITED ASO
NM IIADDAD PA TRUST ACCOUNT
09-10      N Outgoing Money Tali(                                                   (11.450.00 )                                                2.802.793.90
10 BANK OF AMERICA AC IM=CA
N1BRIDGE MERCANTILE CORP
09-10      N Outgoing Money T                                                       (4.620.00 )                                                 2.798.173.90
TO CMBANK A               OWNE
RS CORP
09-12      8 Deposit                                                                                                 450.00                     2.798.623.90
0150189400
0942       ii Deposit                                                                                              1.159.88                     2.799.783.78
0150189720
09-12         Check 739                                                             (7,500.00 )                                                 2.792.283.78
09.16      # Outgoing Motu*. Trite                                                  (8,300.00 )                                                 2,783,983.78
TO BANK OF AMERICA A/CISA
MBRIDGE MERCANTILE CORP
09-16      N Outgoing Money Tmsf                                                    (7,997.00 )                                                 2.775.986.78
TO SUNTRUST BANK A/C          D
ISCOUNT RENTAL ANDS    S  '
09-16      N Preauthorized Debit                                                   (107.750.71 )                                                2.668.236.07
ACH PMT AMEX EPayment
09-16                                                                               (58.993.52 )                                                2.609.242.55
°
ACH PMT AMEX EPayment
09-17      ft Incoming Money Triad'                                                                                3.000.00                     2.612.242.55
ORO-483047989798 Adam Bly AYA BDEIR
148 GREENE. ST APT 2E NEW YORK NY 10
09.17      N Outgoing Money T                                                       (87,955.98 )                                                2.524,28&57
TO liSBC PLC A            OLLS ROYCE
an
PLC
09-18      N Outgoing Money Tmsf                                                   (125.000.00 )                                                2.399.286.57
TO FIRST BANK OF PUERTO RICO A/C •
CYPRESS INC
09-18      N Prtauthorned Debit                                                     (9.549.65 )                                                 2389.736.92
PAYMENT CM CARD ONLINE
09-19          Check 740                                                       (1.900.000.00 )                                                   489.736.92
All items at credited subject to final collection and receipt of proceeeki in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Antericas.
35266976
of 5                                                               SDNY_GM_00041250
CONFIDENTIAL - PURSUANT TO FED. R CRIM.                                   ,
FIDENTIAL                                                            DB-SDNY-0004074
EFTA_00151859
EFTA01285091
Deutsche Bank     El
Date         Description                                                               Debit                      Credit                        Balance
09-19      # Preauthorized Debit                                                 (75.229.49 )                                                414,507.43
Ylnent
09-22      p Outgoing Money Tmsf                                                 (49.64&88 )                                                 364.85835
ANK
-111.10
09-23    Cheek 742                                                                (7.500.00 )                                                357)58.55
09-24 0 Outgoing Money Trnsf                                                     (36.246.30 )                                                321.112.25
TO US BANK AC            LLERY
CHEVROLET OPERATING ACCOUNT
09-26    Check 741                                                                (7,997.50 )                                                313,114.75
09.29 ii Outgoing Money Tried'                                                    (3.260.00 )                                                30%854.75
NK AC
09-30      # Outgoing Money Tn                                                    (6,175.00 )                                                303,679.75
To MY BANK Ai                   MIS LLC
09-30      # Preauthorized Debit                                                 (54.40&87 )                                                 249,270.88
PAYMENT UBS CREDIT CARD
09-30      0 Preauthorized Debit                                                 (61.232.47 )                                                188.018.41
ACII PMT AMEX EPsonment
09-30      to Preauthoriztd Debit                                                 (1.081.00 )                                                186,937.41
09.30
IMPRIPPIMN
0 Interest Payment
LINE
147.95                      187,083.36
Ending Balance as of September 30, 2014                                        (2.761,677.49 )               S4,757.83                      $187,085.36
Checks Paid
Number             Date              Amount       Number         Date                 Amount     Number           Date                AMOtall
734                09-09            4.075.60      740            09-19           1.900.000.00    • Skip in check sequence
738 •              09-05            7,500.00      741            09-26               7.99730
739                09-12            7,500.00      742            09-23               7,500.00
Deposits and Other Credits
Date        Description                                                                                    Amount
09-12       Deposit                                                                                      $450.00
09.12       Deposit                                                                                     S1.159.811
09.47       Incoming Money Tmsf                                                                         43,000.00
09-30       Interest Payment                                                                             $147.95
Senice Charges and Other Fees
NSF mum item Ices for this statement period                                                                  $0.00
NSF return item fees for this calendar year                                                                 50.00
Overdraft fees for this statement period                                                                     $0.00
Overdraft Ices for this calendar year                                                                       S0.00
MI items an credited subject to final collection and receipt of proceed< in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company American
35266976
or                                                               SDNY_GM_012O41251
CONFIDENTIAL - PURSUANT TO FED R
FIDENTIAL                                                             DB-SONY-0004075
EFTA_00151860
EFTA01285092
Deutsche Bank 0
Other Debits
Date         Description                                                                                   Amount
09-02        Outgoing Money Tnnf                                                                       (51.000.00 )
09-03        Outgoing Money Tms1                                                                         (5409.00 )
09-03        Outgoing Money Tmsr                                                                      (520.000.00 )
09-03        Outgoing Money Tmsf                                                                      ($17,758.99 )
09-03        Preauthorized Debit                                                                      (562.175.53 )
09-03        Preauthorized Debit                                                                       (S1,742.00 )
09-04        Outgoing Money Tens(                                                                     (510.000.00 )
09-10        Outgoing Money Tnr.1                                                                      ($5,100.00 )
09.10        Outgoing Money Inuf                                                                      ($11.450.00 )
09.10        Outgoing Mono. "Uno.l.                                                                    (54.620.00 )
09.16        Outgoing Stoney Trnsf                                                                            .00
09-16        Outgoing Money BIM                                                                        ($7.997.00 )
09-16        Preauthorized Debit                                                                     (5107.750.71 )
09.16        Preauthorized Debit                                                                      (558.993.52 )
09-17        Outgoing Money Tnts(                                                                     (587.955.98 )
09-18        Outgoing Mono. 'Fria                                                                    (5125.000.00 )
09-18        Preauttioniett Mint                                                                       (59.549.65 )
09-19        Prcanitionzed Debit                                                                      (575.229.49 )
09-22        Outgoing Money Trust'                                                                    (549.648.88 )
09.24        Outgoing Money Trust                                                                      $36.246.30
09-29        Outgoing Money mil                                                                        (53.260.00 )
09-30        Outgoing Money Tnuf                                                                       (54175.00 )
09-30        Preauthorized Debit                                                                      (554A08.87 )
09-30        Preauthorized Debit                                                                      ($61,252.47 )
09.30        Preauthorized Debit                                                                       ($1,081.00 )
Interest Calculation
Annual Percentage Yield Eames!                                                                               0.10%
Interest Earned This ',cried                                                                              5147.95
Interest Paid Year To Date                                                                               $1.639.66
All items an credited subject to final collection and receipt of proem& in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
35266976
of 5                                                             SDNY_Ohl_00041252
CONFIDENTIAL - PURSUANT TO FED. R.
IN FIDENTIAL
u( e)                                                                    DB-SDNY-0004076
EFTA_00151861
EFTA01285093
Deutsche Bank
In Case of Enron or Questions
I. Electronic Funds Musters:
Telephone us at 1                  or stile to us at Deutsche Bank 'Irate Company Americas. 345 Park Avenue. PWNI Banking Team -
NYC20-0102. New York New York 10154 as sour as you can. it 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
FIRSTstatement on which the error or problem appeared.
(I) Tell us your name and account number.
(2) Describe the error or transfer you me unsafe about. and explain as clearly as you can why you believe it is an error or shy you
need more infomision
(3)Tell as the dollar amount of the suspected error.
Please note that if you initially provide the above information to us via telephone. we will inquire that you send your complaint or
inquiry in suiting within 10 business days.
We will investigate your complaint and will correct any error promptly. If we take more than 10 business days (or 20 days for new
accounts) to do this. we will provisionally credit your account for the amoral you think is in error. so that you will have the use of the
money during the time it takes us to complete ow investigation. At the conclusion of our invotigation we will inform you of our results.
2. Non-Electronic Funds Transfers:
Contact the Bank immediately at 1                   if your statement is incorrect or if you need more inlimnation about any non-electronic
funds tratraesions (checks or deposits) on this statement. If any such error appears. you must notify the Rank in writing no later than
60 days after the statement was made available to you. Please see your Terms and Conditions fir further infonnsion on the terms
governing your account.
3. Verifying Prcauthori/ext 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 I.               to find out whether the deposit has been made.
33266976                                                                                                                                      SONY_GM_00041253
CONFIDENTIAL - PURSUANT TO FED. R. cfPIN(e
141DENTIAL                                                       DB-SDNY-0004077
EFTA_0015 1862
EFTA01285094
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