Case File
efta-01279223DOJ Data Set 10OtherEFTA01279223
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01279223
Pages
26
Persons
0
Integrity
Extracted Text (OCR)
EFTA DisclosureText extracted via OCR from the original document. May contain errors from the scanning process.
02262014 101WA258641000
Value Date: 02/26/2014
Bankaccount: 101WA258641000 (UBS-FINSVC RETAIL)
Amount:
27,047.74
Wire: 000999 PW Book Date: 02/26/2014
Credit Type: CREDIT TRANSFER
PW Client/GL. Y1 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
47066
INCOMING WIRE BOOKING
Date: 05/30/2014
Credit Party (Client):
GHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IS: S5 QP:
Code: IN
Ordering Customer (Tag 50):
/739116312
GHISLAINE MAXWELL
1000 VENETIAN WAY APT 801
MIAMI FL 33139-1043
Ordering Institution (Tag 52D):
//Fw021000021
CHASUS33
Details of Payment (Tag 70):
/RFB/OS1 OF 14/02/26
Final Beneficiary (Tag 59):
/YI23576
GHISLAINE MAXWELL
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//0224111QGC06C01226502261756FT02
Status
Description
Wire Status
Reference
Date
Time
1) 11 PBK PEND BOOKING
2) 21 IBK INITIALLY BOOKED
3) 41 APP APPROVED
4) 65 JRN JOURNALED
9930057KT0300000
022681QGC06C013265
SYSTEM
ZINB
02/26/2014
02/26/2014
02/26/2014
02/26/2014
02/26/2014
17:56:47
17:56:47
17:56:47
18:06:16
19:31:05
CONFIDENTIAL
SDNY_GM_00027999
EFTA 00138619
EFTA01279223
03052014 101WA258649000
Value Date: 03/05/2014
Bankaccount: 101(4A258649000 (UBS-FINSVC RET OUT)
Amount:
672.86
Wire: 005544
Model.
PH Client/GL. Yl 23576
Type. 1 (CASH)
QP.
ABAF 021000021 JPMORGAN CHASE BANK, NA
Further Credit Instructions:
1 Name.
City.
2 Name.
3 Name.
Beneficiary Acct
Third Party? N
B-Notes.
Addr.
Acct.
Addr.
Acct.
Addr.
Acct.
(Final Dost). 739116312
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Time
TYPe
Wire Approvals
FED FUNDS TRANSFER SYSTEM
7952
OUTGOING WIRE DETAIL
Date: 06/30/2014
By order of (Client):
OHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IE: 55 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Statue: JOURNALED
Fee:
0.00 Exempt. SYS
FREE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
11:33:04
2)
11:38:12
3)
11:38:50
4)
19:30:53
Releaser ID:
NE03845
FED Reference Number:
0305B687IK1C001875
BANK reference Number:
US01064KU0772708
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
03/05/2014
2)55 REL TREAS RELEASE / SENT 03/05/2014
3)80 COM TRANSFER COMPLETE
03/05/2014
4)85 JRN JOURNALED
CONFIDENTIAL
03/05/2014
SONY_GM_00028000
EFTA (()138620
EFTA01279224
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SWK
03/05/2014 11:33:04
LAST UPDATE TO WIRE
NE03845
03/05/2014 11:36:12
CONFIDENTIAL
SONYGM_00028001
EFTA (()138621
EFTA01279225
03262014 101WA258649000
Value Date: 03/26/2014
Bankaccount: 101WA258649000 (UBS-FINSVC RET OUT)
Amount:
3,649.58
Wire: 005559
Model.
PW Client/GL. Yl 23576
Type. 1 (CASH)
QP.
ABAS 021000021 JPMORGAN CHASE BANK, NA
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
Acct.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Bost). 739474235
Third Party? Y 116 East 65th Street LLC
B-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Time
TYPe
Wire Approvals
FED FUNDS TRANSFER SYSTEM
50872
OUTGOING WIRE DETAIL
Date: 06/30/2014
By order of (Client):
GHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
25 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee:
0.00 Exempt. SYS
FREE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
11:15:04
2)
11:16:27
3)
11:17:03
4)
19:30:56
Releaser ID:
AALY
FED Reference Number:
0326B6B7IK1C002062
BANK reference Number:
US01085KU0032774
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
03/26/2014
2)55 REL TREAS RELEASE / SENT 03/26/2014
3)80 COM TRANSFER COMPLETE
03/26/2014
4)85 JRN JOURNALED
CONFIDENTIAL
03/26/2014
SDNY_GM_00028002
EFTA (()138622
EFTA01279226
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SWK
03/26/2014 11:15:04
LAST UPDATE TO WIRE
AALY
03/26/2014 11:16:27
CONFIDENTIAL
SDNY_GM_00028003
EFTA (()138623
EFTA01279227
12152014 101WA258649000
Value Date: 12/15/2014
Bankaccount: 101(4A258649000 (UBS-FINSVC RET OUT)
Amount:
300.00
Wire: 006192
Model.
PH Client/GL. Yl 23576
Type. 1 (CASH)
QP.
ABAS 021000021 JPMORGAN CHASE BANK, NA
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
Acct.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dest). 752369429
Third Party? Y Lionel Beehner
B-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Time
TYPe
Wire Approvals
FED FUNDS TRANSFER SYSTEM
34139
OUTGOING WIRE DETAIL
Date: 03/31/2015
By order of (Client):
OHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
55 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee(
0.00 Exempt. WIRE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
12:35:0S
2)
12:40:41
3)
12:42:19
4)
19:31:09
Releaser ID:
R608472
FED Reference Number:
1215B687IK1C003244
BANK reference Number:
US01349KU0329740
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
12/15/2014
2)55 REL TREAS RELEASE / SENT 12/15/2014
3)80 COM TRANSFER COMPLETE
12/15/2014
4)85 JRN JOURNALED
CONFIDENTIAL
12/15/2014
SDNY_GM_00028004
EFTA 00138624
EFTA01279228
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SWK
12/15/2014 12:35:05
LAST UPDATE TO WIRE
RE08472
12/15/2014 12:40:41
CONFIDENTIAL
SDNY_GM_00028005
EFTA (()138625
EFTA01279229
10012015 101WA258649000
Value Date: 10/01/2015
Bankaccount: 101(4A258649000 (UBS-FINSVC RET OUT)
Amount:
555.26
Wire: 006841
Model.
PW Client/GL. Yl 23576
Type. 1 (CASH)
QP.
ABAS 321081669 FIRST REPUBLIC BANK
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
Acct.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dost). 80001058065
Third Party? Y Colin Cowie
B-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Time
TYPe
Wire Approvals
FED FUNDS TRANSFER SYSTEM
1479
OUTGOING WIRE DETAIL
Date: 01/29/2016
By order of (Client):
OHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IE: 55 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee;
0.00 Exempt. SYS
FREE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
13:39:04
2)
13:40:05
3)
13:41:04
4)
20:02:38
Releaser ID:
R600472
FED Reference Number:
1001B6B7IK1C003124
BANK reference Number:
US01274KU0729590
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
10/01/2015
2)55 REL TREAS RELEASE / SENT 10/01/2015
3)80 COM TRANSFER COMPLETE
10/01/2015
4)85 JRN JOURNALED
CONFIDENTIAL
10/01/2015
SIDNY_GM_00028006
EFTA 00138626
EFTA01279230
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SWK
10/01/2015 13:39:04
LAST UPDATE TO WIRE
RE08472
10/01/2015 13:40:05
CONFIDENTIAL
SDNY_GM_00028007
EFTA _00138627
EFTA01279231
04122016 101WA258649000
Value Date: 04/12/2016
Bankaccount: 101WA258649000 (UBS-FINSVC RET OUT)
Amount:
7,064.82
Wire: 006292
Model.
PW Client/GL. Yl 23576
Type. 1 (CASH)
QP.
ABAk 021000021 JPMORGAN CHASE BANK, NA
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
Acct.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dost). 4010447913
Third Party? Y Morgan Manhattan
B-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Time
Type
Wire Approvals
FED FUNDS TRANSFER SYSTEM
25236
OUTGOING WIRE DETAIL
Date: 07/29/2016
By order of (Client):
GHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IE: 55 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee:
0.00 Exempt. SYS
FREE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
13:35:53
2)
13:47:08
3)
13:48:42
4)
19:30:49
Releaser ID:
CE10312
FED Reference Number:
0412B6B7IK1C002327
BANK reference Number:
US01103KU0867649
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
04/12/2016
2)55 REL TREAS RELEASE / SENT 04/12/2016
3)80 COM TRANSFER COMPLETE
04/12/2016
4)85 JRN JOURNALED
CONFIDENTIAL
04/12/2016
SDNY_GM_00028008
EFTA (()138628
EFTA01279232
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SWK
04/12/2016 13:35:53
LAST UPDATE TO WIRE
CE10312
04/12/2016 13:47:08
CONFIDENTIAL
SDNY_GM_00028009
EFTA (()138629
EFTA01279233
05252016 101WA258641000
Value Date: 05/25/2016
Bankaccount: 101WA258641000 (UBS-FINSVC RETAIL)
Amount:
35,720.00
Wire: 000290 PW Book Date: 05/25/2016
Credit Type: PAYMENT ADVICE
PW Client/GL. Y1 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
50342
INCOMING WIRE BOOKING
Date: 08/31/2016
Credit Party (Client):
GHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IS: $5 QP:
Code: IN
Ordering Customer (Tag 52D):
/693221686
CHRISTIE'S INC.
CONSIGNORS WIRES
NEW YORK NY 10020-1513
Ordering Institution (Tag 56D):
//F11021000021
JPMORGAN CHASE BANK, N.A.
US-NEW YORK 10017
Ordering Institution Ref. (Tag 21):
ATS OF 16/05/25
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//0525814=04C00322005251102FT03
/BNF/FFC GHISLAINE MAXWELL ACCNT
//NUMBER Y123576
Status
Description
Wire Status
Reference
Date
Time
1) 11 PBK PEND BOOKING
2) 21 IBK INITIALLY BOOKED
3) 41 APP APPROVED
4) 65 JRN JOURNALED
9930146KT0551629
052581QGC04C003220
98LT
AX00666
05/25/2016
05/25/2016
05/25/2016
05/25/2016
05/25/2016
11:02:23
11:02:23
11:33:55
13:14:18
19:30:57
CONFIDENTIAL
SDNY_GM_00028010
EFTA_OOB863O
EFTA01279234
05252016 101WA258641000
Value Date: 05/25/2016
Bankaccount: 101(4A258641000 (UBS-FINSVC RETAIL)
Amount:
126,900.00
Wire: 000064 PW Book Date: 05/25/2016
Credit Type: PAYMENT ADVICE
PW Client/GL. Y1 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
50411
INCOMING WIRE BOOKING
Date: 08/31/2016
Credit Party (Client):
GHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IE: S5 QP:
Code: IN
Ordering Customer (Tag 52D):
/693221686
CHRISTIE'S INC.
CONSIGNORS WIRES
NEW YORK NY 10020-1513
Ordering Institution (Tag 56D):
//FN021000021
JPMORGAN CHASE BANK, N.A.
US-NEW YORK 10017
Ordering Institution Ref. (Tag 21):
ATS OF 16/05/24
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//0525B14=07C00014:105250235FT03
/8NF/FFC GHISLAINE MAXWELL ACCNT
//NUMBER Y123576
Status
Description
Wire Status
Reference
Date
Time
1) 11 PBK PEND BOOKING
9930146KT0525648
05/25/2016 07:00:35
052581QGC07C000144
05/25/2016 07:00:35
2) 21 IBK INITIALLY BOOKED
SX01409
05/25/2016 08:20:29
3) 91 APP APPROVED
AX00666
05/25/2016 08:31:42
4) 85 JRN JOURNALED
05/25/2016 19:30:57
CONFIDENTIAL
SDNY_GM_00028011
EFTA _0013863I
EFTA01279235
06082016 101WA258641000
Value Date: 06/08/2016
Bankaccount: 101(4A258641000 (UBS-FINSVC RETAIL)
Amount:
16,430.00
Wire: 000060 PW Book Date: 06/08/2016
Credit Type: PAYMENT ADVICE
PW Client/GL. Y1 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
16871
INCOMING WIRE BOOKING
Date: 09/30/2016
Credit Party (Client):
GNISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
IS: S5 QP:
Code: IN
Ordering Customer (Tag 52D):
/FCH3008735682455011333
1/CHRISTIE'S ECONMERCE SA
6/CH/BARCCHGG/8166299
Ordering Institution (Tag 56D):
//CP0257
BARCLAYS BANK PLC
US-NEW YORK 10166
Ordering Institution Ref. (Tag 21):
137806787/1XXXXX
Information for Beneficiary (Tag 72):
/REC/RCVD VIA CHIPS. SSN 0168814
/BNF/FFC GHISLAINE MAXWELL AC NO
//Y123576 962156
/ACC/USD 20
//FEE DEDUCTED
Wire Status
Status
Description
Reference
Date
Time
1) 11 PBK PEND BOOKING
9930160KQ0244997
06/08/2016 07:00:25
06/08/2016 07:00:25
2) 21 IBK INITIALLY BOOKED
AX01389
06/08/2016 08:42:42
3) 91 APP APPROVED
AX00666
06/08/2016 09:37:55
4) 65 JRN JOURNALED
06/08/2016 19:31:01
CONFIDENTIAL
SDNY_GM_00028012
EFTA 00138632
EFTA01279236
06152016 101WA258641000
Value Date: 06/15/2016
Bankaccount: 101(4A258641000 (UBS-FINSVC RETAIL)
Amount:
4,492.00
Wire: 000098 PW Book Date: 06/15/2016
Credit Type: CREDIT TRANSFER
PW Client/GL. Y1 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
31643
INCOMING WIRE BOOKING
Date: 09/30/2016
Credit Party (Client):
GHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: $5 (210:
Code: IN
Ordering Customer (Tag 50):
/CH3008735682455011333
1/CHRISTIE'S ECONMERCE SA
6/CH/BARCCHGG/8166299
Ordering Institution (Tag 52D):
BARCCHGG
Details of Payment (Tag 70):
FFC GHISLAINE MAXWELL AC NO Y123576
962954
/RFB/138129264/1XXXXX
Final Beneficiary (Tag 59):
MISS GHISLAINE MAXWELL
116 EAST 65TH STREET
NEW YORK NY 10065
Information for Beneficiary (Tag 72):
/REC/RCVD VIA CHIPS, SSN 0255189
/INS/CP0257
//BARCLAYS BANK PLC
//US-NEW YORK 10166
Wire Status
Status
Description
Reference
Date
Time
1) 11 PBK PEND BOOKING
9930167KO0607560
06/15/2016 07:00:32
06/15/2016 07:00:32
2) 21 IBK INITIALLY BOOKED
98LT
06/15/2016 09:38:36
3) 91 APP APPROVED
ZP89
06/15/2016 10:23:02
4) 85 JRN JOURNALED
06/15/2016 19:31:01
CONFIDENTIAL
SDNY_GM_00028013
EFTA_00B8633
EFTA01279237
09132016 101WA258649000
Value Date: 09/13/2016
Bankaccount: 101WA258649000 (UBS-FINSVC RET OUT)
Amount:
2,805.00
Wire: 006070
Model.
PW Client/GL. Y1 23576
Type. 1 (CASH)
OP.
ABA* 011002343 THE BOSTON PRIVATE BK. & TR CO
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
ACCL.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dest). 0004065728
Third Party? Y Tracey and Associates PC Opera
ting Account
-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Rome Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Type
Time
Wire Approvals
FED FUNDS TRANSFER SYSTEM
24146
OUTGOING WIRE DETAIL
Date: 12/30/2016
By order of (Client):
OHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: $5 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee:
0.00 Exempt. WIRE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
13:28:23
2)
13:33:49
3)
13:46:12
4)
19:31:06
Releaser ID:
00UD
FED Reference Number:
0913B6B7IK1C002224
BANK reference Number:
US01257KU0586076
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
09/13/2016
2)55 REL TREAS RELEASE / SENT 09/13/2016
3)80 COM TRANSFER COMPLETE
09/13/2016
4)85 JRN JOURNALED
09/13/2016
CONFIDENTIAL
SDNY_GM_00028014
EFTA_00138634
EFTA01279238
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
LAST UPDATE TO WIRE
SWK
00UD
SWK
09/13/2016 13:28:23
09/13/2016 13:33:49
CONFIDENTIAL
SONYGM_00028015
EFTA_00138635
EFTA01279239
09282016 101WA258641000
Value Date: 09/28/2016
Bankaccount: 101(4A258641000 (UBS-FINSVC RETAIL)
Amount:
14,970.76
Wire: 000045 PW Book Date: 09/28/2016
Credit Type: PAYMENT ADVICE
PW Client/GL. Yl 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
54933
INCOMING WIRE BOOKING
Date: 12/30/2016
Credit Party (Client):
GHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: S5 QP:
Code: IN
Ordering Customer (Tag 52D):
/693221686
CHRISTIE'S INC.
CONSIGNORS WIRES
NEW YORK NY 10020-1513
Ordering Institution (Tag 56D):
//FN021000021
JPMORGAN CHASE BANK, N.A.
US-NEW YORK 10017
Ordering Institution Ref. (Tag 21):
ATS OF 16/09/27
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//092881QCC07C00034209280238FT03
/BNF/FFC CHISLAINE MAXWELL FFC
//ACCOUNT Y123576
Status
Description
Wire Status
Reference
Date
Time
1) 11 PBK PEND BOOKING
9930272KT0105272
09/28/2016 07:02:08
0928B1QGCO7C000342
09/28/2016 07:02:08
2) 21 IBK INITIALLY BOOKED
SYSTEM
09/28/2016 07:02:08
3) 41 APP APPROVED
AX00666
09/28/2016 09:38:45
4) 85 JRN JOURNALED
09/28/2016 19:31:16
CONFIDENTIAL
SDNY_GM_00028016
EFTA 00138636
EFTA01279240
10052016 101WA258641000
Value Date: 10/05/2016
Bankaccount: 101(4A258641000 (UBS-FINSVC RETAIL)
Amount:
1,890.71
Wire: 000140 PW Book Date: 10/05/2016
Credit Type: PAYMENT ADVICE
PW Client/GL. Yl 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
7743
INCOMING WIRE BOOKING
Date: 01/31/2017
Credit Party (Client):
GHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: S5 QP:
Code: IN
Ordering Customer (Tag 52D):
/693221686
CHRISTIE'S INC.
CONSIGNORS WIRES
NEW YORK NY 10020-1513
Ordering Institution (Tag 56D):
//Fw021000021
JPMORGAN CHASE BANK, N.A.
US-NEW YORK 10017
Ordering Institution Ref. (Tag 21):
ATS OF 16/10/05
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//100581QGCOSC00559910050945FT01
/BNF/FFC CHISLAINE MAXWELL FFC
//ACCOUNT Y121576
Status
Description
Wire Status
Reference
Date
Time
1) 11 PHK PEND BOOKING
9930279KT0506177
10/05/2016 09:46:02
100581OGC08C005599
10/05/2016 09:46:02
2) 21 IEK INITIALLY BOOKED
SYSTEM
10/05/2016 09:46:02
3) 41 APP APPROVED
AX00666
10/05/2016 09:52:27
4) 65 JRN JOURNALED
10/05/2016 19:30:51
CONFIDENTIAL
SDNY_GM_00028017
EFTA_00138637
EFTA01279241
10122016 101WA258641000
Value Date: 10/12/2016
Bankaccount: 101(4A258641000 (UBS-FINSVC RETAIL)
Amount:
6,648.02
Wire: 000139 PW Book Date: 10/12/2016
Credit Type: PAYMENT ADVICE
PW Client/GL. Yl 23576
Type: 1 Multi? N
Status: JOURNALED
FED FUNDS TRANSFER SYSTEM
20555
INCOMING WIRE BOOKING
Date: 01/31/2017
Credit Party (Client):
GHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: $5 QP:
Code: IN
Ordering Customer (Tag 52D):
/693221686
CHRISTIE'S INC.
CONSIGNORS WIRES
NEW YORK NY 10020-1513
Ordering Institution (Tag 56D):
//Fw021000021
JPMORGAN CHASE BANK, N.A.
US-NEW YORK 10017
Ordering Institution Ref. (Tag 21):
ATS OF 16/10/12
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//1012B140C08C00744910120928FT01
/BNF/FFC CHISLAINE MAXWELL FFC
//ACCOUNT Y121576
Status
Description
Wire Status
Reference
Date
Time
1) 11 PBK PEND BOOKING
9930286KT0843135
10/12/2016 09:28:59
101281QGC08C007449
10/12/2016 09:28:59
2) 21 IBK INITIALLY BOOKED
SYSTEM
10/12/2016 09:28:59
3) 91 APP APPROVED
AX00666
10/12/2016 09:48:49
4) 85 JRN JOURNALED
10/12/2016 19:31:10
CONFIDENTIAL
SDNY_GM_00028018
EFTA_00B8638
EFTA01279242
11082016 101WA258649000
Value Date: 11/08/2016
Bankaccount: 101WA258649000 (UBS-FINSVC RET OUT)
Amount:
3,477.00
Wire: 005741
Model.
PH Client/GL. Y1 23576
Type. 1 (CASH)
(2P.
ABA* 021000021 JPMORGAN CHASE BANK, NA
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
Acct.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dest). 4010447913
Third Party? Y Morgan Manhattan
-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Type
Time
Wire Approvals
FBD FUNDS TRANSFER SYSTEM
16572
OUTGOING WIRE DETAIL
Date: 02/28/2017
By order of (Client):
OHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: S5 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Statue: JOURNALED
Fee:
0.00 Exempt. WIRE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
12:16:25
2)
12:22:52
3)
12:23:44
4)
19:30:58
Releaser ID:
OONH
FED Reference Number:
1108B6B7IK1C001804
BANK reference Number:
US01313KU0216965
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
11/08/2016
2)55 REL TREAS RELEASE / SENT 11/08/2016
3)80 COM TRANSFER COMPLETE
11/08/2016
4)85 JRN JOURNALED
11/08/2016
CONFIDENTIAL
SDNY_GM_00028019
EFTA_00B8639
EFTA01279243
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
LAST UPDATE TO WIRE
00NH
SWK
11/08/2016 12:18:25
11/08/2016 12:22:52
CONFIDENTIAL
SDNY_GM_00028020
EFTA_00138640
EFTA01279244
11212016 101WA258649000
Value Date: 11/21/2016
Bankaccount: 101WA258649000 (UBS-FINSVC RET OUT)
Amount:
9,015.00
Wire: 006096
Model.
PW Client/GL. Y1 23576
Type. 1 (CASH)
OP.
ABA* 021000021 JPMORGAN CHASE BANK, NA
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
Acct.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dest). 4010447913
Third Party? Y Morgan Manhattan
-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Type
Time
Wire Approvals
FED FUNDS TRANSFER SYSTEM
42626
OUTGOING WIRE DETAIL
Date: 02/28/2017
By order of (Client):
OHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: 55 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee:
0.00 Exempt. WIRE
Intl. N UNITED STATES
Memos. (NONE)
User ID
Dept
Date
Time
1)
12:56:51
2)
13:25:37
3)
13:26:54
4)
19:30:59
Releaser ID:
CR10312
FED Reference Number:
1121B6B7IK1C002599
BANK reference Number:
US01326KU0357420
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
11/21/2016
2)55 REL TREAS RELEASE / SENT 11/21/2016
3)80 COM TRANSFER COMPLETE
11/21/2016
4)85 JRN JOURNALED
11/21/2016
CONFIDENTIAL
SDNY_GM_00028021
EFTA_00138641
EFTA01279245
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SWK
11/21/2016 12:56:51
LAST UPDATE TO WIRE
CE10312
11/21/2016 13:25:37
CONFIDENTIAL
SDNY_GM_00028022
EFTA_00138642
EFTA01279246
12282016 101WA258649000
Value Date: 12/28/2016
Bankaccount: 101WA258649000 (UBS-FINSVC RET OUT)
Amount:
6,385.99
Wire: 006764
Model.
PW Client/GL. Y1 23576
Type. 1 (CASH)
(213.
ABA* 042000314 FIFTH THIRD BANK
Further Credit Instructions:
1 Name.
City.
2 Name.
Addr.
ACCL.
Addr.
Acct.
3 Name.
Addr.
Acct.
Beneficiary Acct (Final Dest). 75521599
Third Party? Y Insurance Office of Central Oh
io
-Notes.
Loa Document:
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo.
Lending Services Department:
Memo.
Correspondent Services Department:
Memo.
Treasury Department:
Memo.
Status
Type
Time
Wire Approvals
User ID
FED FUNDS TRANSFER SYSTEM
PACE:
66562
OUTGOING WIRE DETAIL
Date: 03/31/2017
By order of (Client):
OHISLAINE MAXWELL
P.O. BOX 308
TEANECK NJ 07666-0308
IE: 85 QP:
Code: IN
SI: AFLNT35
DIV: 32
OR ABA.
OR ABA.
OR ABA.
Status: JOURNALED
Fee:
0.00 Exempt. WIRE
Intl. N UNITED STATES
Memos. (NONE)
Dept
Date
Time
1)
15:11:25
2)
15:19:49
3)
15:20:24
4)
19:31:02
Releaser ID:
CE10312
FED Reference Number:
1228B6B7IK1C002882
BANK reference Number:
US01363KU0771013
Wire Status
Status
Description
Date
1)50 PTR PEND TREAS RELEASE
12/28/2016
2)55 REL TREAS RELEASE / SENT 12/28/2016
3)80 COM TRANSFER COMPLETE
12/28/2016
4)85 JRN JOURNALED
12/28/2016
CONFIDENTIAL
SDNY_GM_00028023
EFTA_00I38643
EFTA01279247
5)
5)
6)
6)
7)
7)
8)
8)
9)
9)
10)
10)
11)
11)
12)
12)
INITIATOR OF WIRE
SWK
SNK
12/28/2016 15:11:25
LAST UPDATE TO WIRE
CE10312
12/28/2016 15:19:49
CONFIDENTIAL
SDNY_GM_00028024
EFTA_OOI38644
EFTA01279248
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