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Account Report Q1 2018 OFFICE USE ONLY CII r Of BC i'h 1 ON BEACH OFFICE ACCOUNT REPORT CITY CLERICS OFFICE (Section 106.141, F.S.) 18 APR I 0 AN 10: 30 (PLEASE TYPE) Na 0 'ce to Which Elect7),I Address / Aty j State Zip Code Fdl, ( 1< lrAN Ail, r( Name of Bank ()(4`./ 10,5 Address City State Zip Code 316' 0V-R)r7 /;41/14 IrAJ 4 This report contains pages of Deposits and Disbursements, upon which I have written my initials covering the period of //, 41 throughr'/ / V/% Balance on hand at beginning of reporting period $ Deposits during reporting period - $ Disbursements during reporting period $ __ ,`, i • Balance on hand at end of reporting period $ /71; i , v(° L C / certifythat this report is corn lete, true and correct. X ig - • re • Elec rd Official DS-DE 48(Rev. 08/03) OFFICE ACCOUNT DISBURSEMENT OR DEPOSIT INFORMATION (PLEASE TYPE) AMOUNT DATE NAME AND ADDRESS PURPOSE Disbursement Deposit ffl; / 77, .4scE oieA V31 J/7,1 44, 16,4,/eiiloofiA, p�i - (9/Y7 /( / 1 ,6") 15'(./ ./ .4 r / ELECTED OFFICIAL'S INITIALS TOTAL TOTAL 7V‘/I DS-DE 48A(Rev. 08/03) SUNTRUST BANK Page 1 of 1 PO BOX 305183 66 00 0 5/0 40 NASHVILLE TN 37230-5183 1/3 /2018 Account SUNTRUST Statement MACK MCCRAY Questions?Please call OFFICE EXPENSE 1-800-786-8787 806 NW 4TH ST BOYNTON BEACH FL 33435-3732 Financial confidence gives you all kinds of confidence. Join the movement at onUp.com. Confidence Starts Here. Account Account Type Account Number Statement Period Summary 01/01/2018-01/31/2018 PRIMARY BUSINESS CHECKING 1111111.111 Description Amount Description Amount Beginning Balance $464.46 Average Balance $386.66 Deposits/Credits $.00 Average Collected Balance $386.66 Checks $.00 Number of Days in Statement Period 31 Withdrawals/Debits $254.66 Ending Balance $209.80 Overdraft Account Number Protected By Protection 1000207069005 Not enrolled For more information about SunTrust's Overdraft Services,visit www.suntrust.com/overdraft. Withdrawals/ Date Amount Serial# Description Debits Paid 01/22 239.66 CHECK CARD PURCHASE TR DATE 01/19 STAPLES 00111948 BOYNTON BEACHFL 01/31 15.00 MAINTENANCE FEE Withdrawals/Debits: 2 Balance Date Balance Collected Date Balance Collected Activity Balance Balance History 01/01 464.46 464.46 01/31 209.80 209.80 01/22 224.80 224.80 The Ending Daily Balances provided do not reflect pending transactions or holds that may have been outstanding when your transactions posted that day. If your available balance wasn't sufficient when transactions posted,fees may have been assessed. 84010 Member FDIC SUNTRUST BANK Page 1 of 1 PO BOX 305183 66/E00/0175/0/40 NASHVILLE TN 37230-5183 201 Account TRUST Statement MACK MCCRAY Questions?Please call OFFICE EXPENSE 1-800-786-8787 806 NW 4TH ST BOYNTON BEACH FL 33435-3732 It's common for businesses to experience ebbs and flows with available cash. That's why it's smart to have a reserve account to help you cover things like seasonal changes, spikes in accounts receivable, unexpected expenses or growth opportunities. A SunTrust business money market account can help you manage the expected and unexpected. To learn more or open an account stop by your nearest branch or visit www.suntrust.com/bmma Account Account Type Account Number Statement Period Summary PRIMARY BUSINESS CHECKING IIIIIIIIIIOIR 02/01/2018-02/28/2018 Description Amount Description Amount Beginning Balance $209.80 Average Balance $209.26 Deposits/Credits $.00 Average Collected Balance $209.26 Checks $.00 Number of Days in Statement Period 28 Withdrawals/Debits $15.00 Ending Balance $194.80 Overdraft Account Number Protected By Protection 1000207069005 Not enrolled For more information about SunTrust's Overdraft Services,visit www.suntrust.com/overdraft. Withdrawals/ Date Amount Serial# Description Debits Paid 02/28 15.00 MAINTENANCE FEE Withdrawals/Debits: 1 Balance Date Balance Collected Date Balance Collected Activity Balance Balance History 02/01 209.80 209.80 02/28 194.80 194.80 The Ending Daily Balances provided do not reflect pending transactions or holds that may have been outstanding when your transactions posted that day. If your available balance wasn't sufficient when transactions posted,fees may have been assessed. 84032 Member FDIC I SUNTRUST BANK Page 1 of 1 PO BOX 305183 66/E00 0175 0 40 NASHVILLE TN 37230-5183 03/31/2 Account UST Statement MACK MCCRAY Questions?Please call OFFICE EXPENSE 1-800-786-8787 806 NW 4TH ST BOYNTON BEACH FL 33435-3732 It's common for businesses to experience ebbs and flows with available cash. That's why it's smart to have a reserve account to help you cover things like seasonal changes, spikes in accounts receivable, unexpected expenses or growth opportunities. A SunTrust business money market account can help you manage the expected and unexpected. To learn more or open an account stop by your nearest branch or visit www.suntrust.com/bmma Account Account Type Account Number Statement Period Summary PRIMARY BUSINESS CHECKING 41111111111111 03/01/2018-03/31/2018 Description Amount Description Amount Beginning Balance $194.80 Average Balance $193.83 Deposits/Credits $.00 Average Collected Balance $193.83 Checks $.00 Number of Days in Statement Period 31 Withdrawals/Debits $15.00 Ending Balance $179.80 Overdraft Account Number Protected By Protection 1000207069005 Not enrolled For more information about SunTrust's Overdraft Services,visit www.suntrust.com/overdraft. Withdrawals/ Date Amount Serial# Description Debits Paid 03/30 15.00 MAINTENANCE FEE Withdrawals/Debits: 1 Balance Date Balance Collected Date Balance Collected Activity Balance Balance History 03/01 194.80 194.80 03/30 179.80 179.80 The Ending Daily Balances provided do not reflect pending transactions or holds that may have been outstanding when your transactions posted that day. If your available balance wasn't sufficient when transactions posted,fees may have been assessed. 84621 Member FDIC