Text extracted via OCR from the original document. May contain errors from the scanning process.
Deutsche Bank
E
l
Deutsche Bank Imre Co. .Americas
345 Park Avenue - NYC20-0102
New York. NY 10154
JEFFREY EPSTEIN
6100 RED HOOK QTR, 113
SAINT THOMAS
00802
January 1. 2014 to January. 31. 2014
Summary of Account Balance(%)
Account
t:t: Strolsr
Valance
For pers.:nal assistance call:
Amanda Kirby
27 F.nclostres
Balance
Elie Checking With lateral
52,821,738.81
IkgSing Balance a. or January 1. 2014
52.146.215.33
Deposit. and (Mice Credits
$2,245,481.91
Checks Paid
(5297.128.12 )
AIN1 and Debit Card withdrawals
50.00
Service Charges and Other Fees
93.00
Other Debits
(81.275.830.31 )
Failing Balance as of January 31. 2014
Transaction Detail
Dale
Description
Debit
82.821.738.81
Ctedit
Beginning Balance as of January 1, 2014
52,146,215.33
0l -02
a Tran,fer Of Funds
(150.000.00 )
1,996,215.33
01-02
k Outgoing Money Tinsf
WO
(21,849.82 )
1,974,365.51
01-02
Check 626
(1.275.00 )
1.973.090.51
01-03
Check 632
(287.40 )
1.972.803.11
01-06
9 Deposit
0150443630
11.35(too
1.984.153.11
01-06
a Deposit
7.80
1.984.160.91
0150443750
All items are credited subject to final collection and receipt of proceeds in cash oe by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
CONFIDENTIAL
SDNY_GM_00040711
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0003535
EFTA_00151320
EFTA01284648
Deutsche Bank El
Date
Description
Debit
Credit
Balance
01-06
g Outgoing Money Tnisf
(945.00 )
1.983.215.91
TO 1ST UNITED BANK AC I=I
W. CBE
01-06
k Outgoing Money Trnsf
•
(480.00 )
1.982.735.91
01-06
# Outgoing Money Tmsf
(5.475.20 )
1977.260.71
5 TRADE AIR AIRLINE SUPPORT LTD
01-06
N
(4.124.28 )
TO IIANDELSBANKEN 3,000.00 EUR
FX RATE 1.37475941
1973.136.43
01-06
Chei,ic 618
01-08
I/TransferOrFun&
(25.030.00 )
(100.000.00 )
1.948.136.43
1.848,136.43
01-09
N Outgoing Money Tmsf
TO BANK OF AMERICA At
01-09
N Outgoing Money Trust
10713 BANK A/C
WO
(1.694.66 )
1.846.441.77
(40.000.00 )
1806.441.77
OI-09
ft Outgoing Money Tmsf
(50.103.16 )
1.756.338.61
C
01.09
g Outgoing Money Tmsf
(3,000.00 )
1,753,338.61
01-09
N
(2,751.33 )
1,750,587.28
TO TATRA BANK 2,000.00 EUR
FX RATE 1.37566719
01-09
Check 629
01.10
N Outgoing Money Tmsf
TOM AND T B.ANK AfC
01.10
it Outgoing Money Tmsf
(5.342.89 )
1.723.736.98
WO
01.13
x Outgoing Money Twist
(5.670.00 )
1.718.066.98
F.
01.13
# Outgoing Money Tmsf
7 NF-XTRAN TRUCK CENTER
01.13
Check 642
(14.000.00 )
1.703.408.13
01-13
Check 640
(14.000.00 )
1.689.408.13
01.13
Check 641
(14.000.00
1.675.408.13
01-13
Check 645
(14.000.00 )
1.661.408.13
01-13
Cheek 643
(14.000.00 )
1.647.408.13
01.13
Check 644
(14.000.00 )
1.633.408.13
01.14
k Outgoing Money Tmsf
(24.021.25 )
1.609.386.88
TO FIRST BANK PUERTO RICO NC 718103
7545 OFFSHORE MARINE
INTER
(7.526.05 )
1.743.061.23
(13.981.36 )
17754079.87
(658.85 )
1,717,408.13
All items at credited subject to final collection and receipt of proceeth in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company America
CONFIDENTIAL
SDNY_GM_00040712
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0003536
EFTA_00151321
EFTA01284649
Deutsche Bank
E
l
DAC
I X`Wri KM
Debit
Credit
Balance
01.14
-
(967.13 )
1.608.419.75
TOTATRA BANK 700.00 EUR
EN RATE 1.38161621
01-14
Check 636
01.14
Chair 635
01-14
N Preauthorized Debit
101021000024334865
EPAY CHASE
01.14
(11.000.00 )
(10.924.68
(13.822.64 )
1.597.419.75
1.586.495.07
1.572.672.43
Preauthorized Debit
101021000024334866
EPAY CHASE
(78.151.05 )
1.494.521 38
01.14
N Preauthorized Debit
101021000024334867
EPAl" CHASE
(1.535.36 )
1,492,986.02
01.14
Er ['reauthorized Debit
(133,306.39 )
1,359,679.63
102091000014051875
ACII PMT AMEX EProanent
01.14
N Preauthocized Debit
(35.024.32 )
1.324.655.31
102091000014051879
AChI PMT AMEX EPayment
01-15
# Deposit
0150266570
01.15
# Deposit
0150266650
01.15
Check 634
(2.559.25 )
01.15
Check 649
(6,550.00
01.16
Cheat 638
(17,199.86 )
01.16
Check 639
(4,040.65 )
01.17
ft Deposit
0150266010
01.17
N Transfer Of Funds
4.829.04
1.329.484.35
656.00
1.330.140.35
3,000.00
1,327,581.10
1.321.031.10
1.101.831.24
I.2W.790.59
1.302.790.59
(100,000.00 )
1.202.790.59
01.17
N Outgoing Money Tmsf
TO US BANK AFC
ADVANCED
01-17
tt Outgoing Money Tmsf
TOTD BANK AC
(23.351.64 )
1.179.438.95
(125.000.00 )
1.054.438.95
01.17
Check 647
01.21
N Outgoing Money Tmsf
(7.754.77 )
(14,000.00 )
1,046,684.18
1,032,684.18
01.21
N Outgoing Money Tins(
TO TI) BANK AiC
MANAGEMENT
01-21
N Outgoing Money hnsf
MC2 MODEL
(25,000.00 )
1,007,684.18
(14.000.00 )
993.684.18
01-21
Check 637
01-22
# Deposit
0150326920
(954.38 )
508.92
992.729.80
993.238.72
All items se credited subject to final collection and receipt of proceeds in cash of by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
CONFIDENTIAL
SDNY_GM_00040713
CONFIDENTIAL - PURSUANT TO FED R. CRIM. P. 6(e)
DB-SDNY-0003537
EFTA 00151322
EFTA01284650
Deutsche Bank El
Date
Desersmion
Debil
Credil
Balsnes
01-22
g
(6.836.58 )
986.402.14
TO ALIOR BANK 5,000.00 EUR
FX RATE 1.36731568
01-22
Clieck 646
(560.03 )
985.842.14
01-22
Clx‘ic 650
(25.000.00
960.842.14
01-22
(»herk 652
19 84561
940996 53
01-22
# Prcaudionzed Debil
(89.293.30 )
851.703.23
102021000027140474
EPAY CIIASE
01-23
N Transfer Of Fund(
(100.000.00 )
751.703.23
01.23
#
(4,132.74 )
747,570.49
TO BNP PARIBAS 3,000.00 RYR
FX RATE 1.11374697
01.23
#
(4,132.74 )
743,437.75
TO ALIOR BANK 3.000.00 EUR
FX RATE 1.11374697
01-23
#
(4.132.74 )
739.305.01
TO SOC1ETE GENERALE
3.000.00 FUR FN RATE 1.11374697
01-23
~k
651
01-24
# 'morning Moncy Timt
ORO
0124C1B76E1C002324
(12.000.00 )
727.305.01
225.000.00
952.305.01
01-27
k
(3,185.75 )
949,119.26
TO CrtEDIT LYONNAIS 2,307.69 EUR
FN RATE. 1.3801909
01.29
# Ouigoing Money Tind'
(800.00 )
948.319.26
CA
NIBRIDGE NIERCAN11LE CORP
# Ineoming Money Tmsf
2.000.000.00
2.948.319.26
O11(1-
JEEPERS INC 6100 R
ED HOOK QUARTER B 3 ST THOMAS VI 00
0130131Q8153C007453
01-30
01-30
# Prcaulboriecd Debil
(15.905.78 )
2.932.413.48
102021000022782631
EPAY CIIASE
01.30
0 Preawborked Debil
101021000023003260
EPAY CIIASE
01.30
# Preauthoriz.ed Dcbit
102091000012786135
ACI PMT AMEN EPayintin
01-31
Cha* 666
01-31
# Offl Chuck Purdhase
25140131100010002
AFEX 02000062293
01-31
#
(2.734.00 )
2.839.259.13
TO TATRA BANK 2.000330 alt
FN RATE 0.73153
01-31
Chark 655
01-31
Cha-k 627
(303.90 )
2932.109.58
(29,341.45 )
2,902,768.13
(40.000.00 )
(20.775.00 )
2.862.768.13
2.841.993.13
(480.08 )
(1,500.00 )
2,838,779.05
2.837.279.05
All hems arc cnaJiled subjet io final colleclion and reeeipl of procced< in c=411 or by uneondilional sndil io and x -central by Deutsche Bank Teull Company Arncricas.
CONF1DENTIAL
SDNY_GM_00040714
CONFIDENTIAL - PURSUANT TO FED R. CRIM. P. 6(e)
DB-SDNY-0003538
EFTA_00151323
EFTA01284651
Deutsche Bank
E
l
Date
Description
Debit
Credit
Ba/anre
01-31
Check 653
(2.900.00 )
2.834.379.05
01.31
Cheek 654
(12.770.39 )
2.821.608.66
01-31
k Interest Payment
130.15
2.821.738.81
Ending Balance as ofJanuar) 31. 2014
(1.369.958.43 )
82.245.481.91
52.821.738.81
Checks Paid
Number
Date
Amount
Number
Dale
Amount
Number
Date
Amount
618
01-06
25,000.00
639
01.16
4.04045
630
01.22
25,000.00
626 •
01-02
1,275.00
640
01.13
14,000.00
651
01.23
12,000.00
627
01-31
1300.00
641
01.13
14.000.00
652
01.22
19,845.61
629 •
01.09
7.526.05
642
01.13
14.000.00
653
01.31
2.900.00
632 •
O1.O3
287.40
643
01.13
14,000.00
654
01.31
12.77039
634 •
01.15
2.559.25
644
ii i. di
14.000.00
655
01.31
480.08
635
01-14
10.924.68
645
0I-It
14.000.00
666 •
01-31
-wow%
636
01-14
11.000.00
646
O1.22
560.00
• Skip in check sequence
637
01-21
954.38
647
O1.17
-.754.77
638
01-16
17,199.86
649 •
O1.15
6.550.00
Deposits and Other Credits
Dale
Description
Amoimt
01.06
01.06
Uyaail
Deposit
$11,350.00
$7.80
01.15
Deposit
84,829.04
01.15
Deposit
$656.00
01.17
l/cis6it
53,000.00
01.22
$508.92
01-24
incoming NIMKA TMSI
$225.000.00
01.30
Incoming. Moms Tins(
S2.000.000.00
01-31
Interest Pas mein
S130.15
Service Charges and Other Fees
NSF return item fees for this statement period
50.00
NSF return item fees for this calendar year
$0.00
Overdraft Ices for this statement period
$0.00
Osadmit Ices For this calendar sear
80.00
Other Debits
Dolt
Description
Amount
01-02
Transfer Of Funds
(5050.000.00 )
01-02
Outgoing Money Tria
(821.849.82 )
01-06
Outgoing Money Trust
(S945.00 )
01-06
Outgoing Money Trnsf
(5480.00 )
01-06
Outgoing Money Trust
($5,475.20 )
01-06
(54.124.28 )
01-08
Transfer Or Funds
($100.000.00 )
01-09
Outgoing Money Trust
(51.694.66 )
01-09
Outgoing Money Tmsf
(840.000.00 )
01-09
Outgoing Money Trill
(850.103.16 )
01-09
Outgoing Money Trnsf
(53,000.00 )
All ileitis at credited subject to final collection and receipt of proceeds in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
CONFIDENTIAL
SDNY_GM_00040715
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0003539
EFTA_00151324
EFTA01284652
Deutsche Bank El
Date
Description
Amount
01-09
02.751.33
01.10
Outgoing Money Tmsf
(513.981.36 )
01-10
Outgoing Money Trust
(55.342.89 )
01.13
Outgoing Money Tmsf
($5.670.00 )
01-13
Outgoing Money Told
(8658.85 )
01.14
Outgoing Money Tmsf
(524.021.25 )
01-14
(S967.13 )
01.14
Prtauthorized Debit
(513.822.61 )
01-14
Preauthoriad Debit
(578.151.05_)
01.14
Preauthorized Debit
($1,535.36 )
01-14
Preaudwrized Debit
($133,306.39 )
01.14
Preataborized Debit
(535.024.32 )
01.17
Transfer Of Funds
($100000.00 )
01.17
Outgoing Money Tmsf
S23 351 64
01-17
Outgoing Money Trim&
(5125.00000 )
01.21
Outgoing Money Inks!'
($14.030.00 )
01-21
Outgoing Money Trnsf
(525.000.00 )
01.21
Outgoing Money Tm.f
(S14.000.00 )
01-22
(56.836.58 )
01-22
Reauthorized Debit
(S89.293.30 )
01-23
Transfer Of Funds
($103.000.00 )
01-23
34.132.74
01-23
(44.132.74 )
01.23
($4,132.74 )
01.27
(5.185.75 )
01-29
Outgoing Money Tmsf
($800.00 )
0140
Preauthonied Debit
(515.905.78 )
01-30
Preainhonic.1 Debit
(5303.90 )
01-30
Preauthurizedl)ebit
(529.341.45 )
01.31
0111 Check Purchase
(520.775.00 )
01-31
(52.734.00 )
Interest Calculation
Annual Percentage Yield Famed
0.10%
Interest Famed This Period
S130.15
Interest Paid Year To Date
5130.15
\II items are credited subject to final collection and receipt of proceeds in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company .Americas
CONFIDENTIAL
SDNY_GM_00040716
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0003540
EFTA 00151325
EFTA01284653
Deutsche Bank O
In Case of F.rron or Qumtions
I. Electronic Funds Transfen:
Telephone us at S
or write to us at lkursche Rank 'trust Company Americas. 345 Park Avenue. PWM Banking 'ream -
NYC20-0102. New York. New York 10154 as soon as you can. if 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 ihe error or problem appeared.
(I) Tell us ,our name and account number.
(2) Describe the error or transfer you arc to
about. and explain as clearly
need more infonnarion
(3)Tell us the dollar amount of the suspekied error.
you can why you believe it is an error or why you
Please note that if you initially provide the above incarnation to us via telephone. we will require that you send your complaint or
inquiry in writing 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 amount you think is in error, so that you will have the use of the
money during the time it takes us to complete our investigation. At the conclusion of our invatigation we will inform you of our results.
2. Non-Electronic Funds Transfers:
Contact the Bank immediately at
f your statement is incorrect or if you need more infonnation about any non-electronic
funds transactions (checks or deposits) on this statement. If any such error appear:. >ou must notify the Bark in writing no later tan
60 days after the statement was made available to yens Please see youTenn.. and Conditions for further intonation on the terms
governing your account
3. VeriBing Preauthorizud 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 tekphone us at
to find out whether the deposit has been made.
CONFIDENTIAL
SDNY_GM_00040717
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0003541
EFTA_00151326
EFTA01284654