3
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3
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Organization referenced in documents
EFTA01577045
Ending Balance 1 1 Chase BusinessCustom Checking INSTANCES AMOUNT $2,959.40 - 19.72 $2,939.68 FEES AND OTHERWITHDRAWALS DATE DESCRIPTION 03/05 Service Charges For The Month ofFebruary Total Fees & Other Withdrawals DAILY ENDING BALANCE DATE EFTA01577045 03/05 SERVICE CHARGE SUMMARY Maintenance Fees
EFTA01577120
k to you or show you an image. ^ An image of this check may be available for you to view on Chase.com. FEES AND OTHERWITHDRAWALS DATE DESCRIPTION 03/05 Service Charges For The Month ofFebruary Total Fees & Other Withdrawals AMOUNT $19.76 $19.76 DESCRIPTION DATE PAID 03/20 AMOUNT $25.00 $25.00 P 1 4 age
EFTA01577195
0 49.99 - 49.99 $0.00 DEPOSITS AND ADDITIONS DATE DESCRIPTION 03/31 Total Deposits and Additions FEES AND OTHERWITHDRAWALS DATE DESCRIPTION 03/05 Service Charges For The Month ofFebruary Total Fees & Other Withdrawals DAILY ENDING BALANCE DATE 03/05 03/31 AMOUNT EFTA01577195 -$49.99 0.00 AMOUNT $49