March 01, 2007 - March 30, 2007 Page 3 of -1 Business Checking Account Number 116 EAST 65TH ST LLC 116 EAST 65TH ST LLC Primary Accotmt Number: JPMorgan 0 Private Bank (cont ) Activity Date Description Debit Credits Balance Mar 22 Electronic Funds Transfer CON ED OF NY Re: INTELL CK Ref. 427327036000086 $5310.00 $38,582.83 Mar 28 Check Paid N 1058 $5,700.00 $32,882.63 Mar 28 Check Paid 0 1083 $45.87 $32,838.98 Mar 28 Check Paid 0 1084 $208.71 $32 830 25 Mar 29 Check Paid 0 1062 $108.38 $32,521.67 Mar 30 Overdraft Interest Charoe-Current Month $2.93 $32,518.94 Ending Balance Checks Paid Check Date Amount Check Date $54,450.00 Amount Check $83,482.87 Date $32,518.94 Amount 1042 Mar 01 $243.84 1052 Mar 14 $8,000.00 1060 Mar 20 $5,100.00 1045* Mar 08 $54.10 1053 Mar 14 $13,200.00 1061 Mar 20 $2,021.19 1046 Mar 05 $43.44 1054 Mar 13 $558.19 1062 Mar 29 $108.38 1047 Mar 05 $342.22 1055 Mar 19 $243.84 1063 Mar28 $45.87 1048 Mar Oa $208.71 1056 Mar28 $5,700.00 1064 Mar28 $206.71 1049 Mar 05 $108.38 1057 Mar 20 $541.88 I05I• Mar 12 $188.07 1059• Mar 18 $7,588.25 Total Cheeks Enclosed Checks: 19 Overdraft Interest Daly •Gap in check sequence Balance on it hich Effectit e Interest Is computed Rate $42,479.07 Interest Charged Mar 01-31. 2007 Fees and Charges for Business Accounts -197.00 17.27 % 2.93 We value your relationship with JPMorgan Private Bank. You were not charged for services this statement period. Thank You. Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-00043142 SDNY_GM_00312340 EFTA01516247