Text extracted via OCR from the original document. May contain errors from the scanning process.
Deutsche Bank El
Deutsche Bank Must Co. Americas
345 Park Avenue - NYC20-0102
New York. NY 10154
JEFFREY EPSTEIN
6100 RED HOOK QTR, B3
SAINT THOMAS
00802
October I. 2018 to 0,gober 31. 2018
Summary of Amount Balamx(s)
Account
Account Number
Balance
For personal assistance call:
Stewart OW ield
212-454.2881
2 Enclommes
Balance
Elite Checks na With human
Beginning Balance at of October I. 2018
S4 187 846.41
83.097.520.70
IAposit. and Other Credits
S7,135,507.14
Checks Paid
(546.613.64 )
MN and Debit Card Withdrawals
(53.000.00 )
Service Charges and Other Fees
50.00
Other Debits
153.995.104 40 )
Ending Balance as of October 31. 2018
Transaction Detail
Date
Description
❑obit
54.187.846.41
Credit
Beginning Balance as of October 1. 2018
53,097,520.70
10-01
a Outgoing Money Trial'
TO FIRSTBANK PUERTO RICO A/C 7191447
802 GREAT ST JIM LI.0
(70.000.00
3,027,520.70
10-01
# Outgoing Money Tmsf
TO VALLEY NATIONAL BANK At 10040094
27 AlTERBURY. GOLDBERGER AND WEISS P
(1.690.00
3,025,830.70
10-01
# Reauthorized IX•bit
102091000015167608
(32.731.83 )
2.993.098.87
All items an credited subject to final collection and receipt of proceeds in cash a by unconditional credit to and accepted by Deutsche Bank Trust Compsty Americas..
35269691
I of 6
SDNY_GM_00044826
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0007650
EFFA_00155435
EFTA01287941
Deutsche Bank
Date
Description
Debit
Credit
Balance
10-02
# Preauthorized Debit
(100.00 )
2.992.998.87
101018275005439284
10-03
N 0111 Check Purchase
(7.518.86 )
2.985.480.01
CHK N 2000072549
10.03
0 Out of
Mon • Tmsf
(2.118.94 )
2.983.361.07
2.977.361.07
10-03
# Outgoing Money Tmsf
(6000.00 )
TO JPMOROAN CHASE BANK. NA NC 34113
34927 MEIIMET ARDA BESKARDES. ESQ.
10.03
N Outgoing Money Trite
(65,000.00 )
2912,361.07
TO FIRST REPUBLIC BANK A C 800011096
37 DAVID MITCHEI I.
10.03
k Preauthorized Debit
(730.96 )
2,911,630.11
101091000018765151
Aft CASH AMERICAN EXPRESS
10-05
N ATM Withdrawal
(1,000.00 )
2.910.630.11
CASH WITHDRAWAL TERMINAL NY1684
8503RD AVE NEW YORK NY
10-05-18 10:13 AM SEQ N 827814743918
1005
N Cash Mgynt Trsfr Dr
(500.000.00 )
2.410.630.11
REF 27814441 FUNDS TRANSFER TO
DEP 42959295 FROM
10-10
0 Outgoing Money Tmsf
(70.000.00 )
2440.630.11
TO FIRST REPUBLIC BANK NC 800011096
37 DAVID NIITCHF.LI.
10-10
N Preauthorized Debit
(100.00 )
2,340,530.11
101018283000379075
10-11
P Incoming Money Tmsf
125.00000
2.465.530.11
ORG- 80001109637 DAVID I MITCHE1.1.110
USEIIOLD ACCOUNT 45 E 66111 ST APT PH
10111.1B7811H:003596
10-15
N Cash ',hart Tar Cr
REF 28813241 FUNDS TRANSFER FRII
DEP 44129244 FROM
10-15
N Cash Mgml Tar Dr
(500.000.00 )
REF 28813251 FUNDS TRANSFER TO
DEP 42953467 FROM
10-15
P Cash Mgml Tar Dr
(250.000.00 )
REF 28813261 FUNDS TRANSFER TO
DEP 42966807 FROM
10-15
N Cash Mgmt Tnfr Dr
(250000.00 )
REF 28813271 FUNDS TRANSFER TO
DF.P 42953758 FROM
10-15
N Outgoing Money Tmsf
(3.000.00 )
2.462.530.11
1.000.000.00
3.465.530.11
2.965.530.11
2,715,530.11
2,465,530.11
10-15
k Outgoing Money Tms1
(4.000.00 )
2.458.530.11
All items are credited subject to final collection and receipt of proceeth in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
35269691
2 of 6
SONY_GM_00044827
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0007651
EFTA_00 155436
EFTA01287942
Deutsche Bank
Date
Description
Debit
Credit
Balance
10-15
# Outgoing Money Tntsf
(315.68 )
2.458.214.43
TO ALOSTAR BANK OF COMMERCE NC 2000
001806 MERCHANTS COMMERCIAL BANK
10-13
Check 1190
(7.178.00 )
10-15
N Preauthorized Debit
(73.628.25 )
102091000011138277
10-16
x Deposit
0150003590
10-16
0 Preauthorized Debit
101018289001281434
10-16
# Preauthorized Debit
(48.547.78 )
329,028.36
101091000011259707
ACI1 PMT AMEX EPAYMENT
10-16
# Preauthorized Debit
(309,773.91 )
2.019.254.45
101091000011259708
10-17
N ATM Withdrawal
(1.000.00 )
2.018.254.45
CASH WITHDRAWAL TERMINAL NY1683
8303RD AVE NEW YORK NY
10-16-118 5:57 PM SE0 a 828921441429
10-18
# Ekctronic Bill Pay
NIEUC690S WELLS FARO* CARD S
1332273
10-18
0 Preauthorited Debit
(18.397.73 )
1.999.393.33
102091000011863163
10.19
# Preauthorized Debit
102091000012043486
10-22
*Outgoing Money Tmsf
TO FIRST REPUBLIC BANK A/C 800011096
37 imviDmircilE1.1.
10-22
* Preauthorized Debit
101041036042097726
10-23
Check 1192
(39.435.64 )
10-23
# Preauthorized Debit
(100.00 )
101018296002614630
10-24
04 Cash Mgmt Ink Cr
REF 29711021. FUNDS TRANSFER FRM
DEP 44129244 FROM
10-24
# Incoming Money Tmsf
10,000.00
4,695,970.67
OR(i- 80001109637 DAVID.' MITCHELL HO
USEHOLD ACCOUNT 45 E 66111 ST APT PH
10241.1B711HIC002121
10-24
# Outgoing Money hint
TO WELLS FARGO BANK. NA A/C 27859789
21 LINK AND RCCKENBACH
2.451.036.43
2.377.408.18
267.96
2.377.676.14
(100.00 )
2.377.576.14
(463.39 )
2.017.791.06
(193,753.02 )
1,805,640.31
(80,000.00 )
1,725,640.31
(134.00 )
1.725.506.31
1.686.070.67
1.683.970.67
3000.000.00
4.685.970.67
(3.000.000.00 )
1.695.970.67
All items are credited subject to final collection and receipt of proceed., in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company "%nit-rice&
35269691
3 of 6
SDNY_GM_0004.4828
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0007652
EFTA_00155437
EFTA01287943
Deutsche Bank
Date
Description
Debit
Credit
Balance
10-25
X Incoming Money Tmsf
3.000.000.00
4.693.970.67
ORO '.100002785978921 LINK ROCKENBACH
. PA 1555 PALM BEACH LAKES BLVD STE
102511B7033R014399
10-29
Y Outgoing Money Tmsf
(6.805.00 )
4.689.165.67
TO WELLS FARGO BANK. NA AC 20000332
23276 STEPTOE AND JOILNSON LLP
10-30
0 ATM Withdrawal
(1.000.00 )
4.688.165.67
CASH WMIDRAWAL TERMINAL NYI683
850 3RD AVE NEW YORK NY
10.2948 5:32 PM SF.O a 830221321406
10.30
ft Preauthorized Debit
(100.00 )
4.688,065.67
101018303006944036
10-30
x Preauthorized Debit
(50.72199 )
4.637.342.68
102091000016945254
10-31
0 Outgoing Money Tmsf
(774.86 )
4.636.56722
10-31
St Outgoing Money Trust
(400.000.00 )
4.236.567.M
TO FIRSTBANK PUERTO RICO A/C 7322001
709 LSJE, LLC
10-31
0 Outgoing Money Tmsf
(48.960.59 )
4.187.607.23
TO WEDS FARGO BANK, NA A/C 20327003
05792 TROUTMAN SANDERS LLP
10.31
tt Interest Payment
239.18
4,187346.41
Ending Balance as of October 31, 2018
(6,045,181.43 )
57,135,507.14
34.187246.41
Checks Paid
Number
Date
Amount
Number
Date
Amount
Number
Date
1190
10-IS
7.178.00
1192 •
10-21
39.4”.64
• Skip in elxvk sequence
Deposits and Other Credits
Dale
Description
Antotmt
10-11
Incoming Money Tmsf
$125.000.00
10-13
Cash Man In.fr Cr
S1,000,000.00
10,16
Deposit
3267.96
10,24
Cash Munn Ti* Cr
83200,000.00
10,24
Incoming Money Tim(
S10000.00
10-25
Incoming Money Tmsf
83,000,000.00
10-31
hums* Payment
$239.18
NMI and Debit Card Withdrawals
Dale
Dmaiption
Amount
10-03
ATM Withdrawal
(51.000.00 )
10-17
ATM Withdrawal
(51.000.00 )
10-30
ATM Withdrawal
(51.000.00 )
Amount
All items are credited subject to final collection and receipt of proceeds in cash a by unconditional 4-redit to and accepted by Deutsche Bank Trust Company Americas.
35269691
4 of 6
SDNY_GM_00044829
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0007653
EFFA_00155438
EFTA01287944
Deutsche Bank 0
Senice Charges and Other Fees
Total NSF return item lees for this statement period
Total NSF room item fees for this calendar %car
Total Overdraft rem l'or this statement period
Mid Overdraft foes for this calendoz year
$000
woo
woo
$0.00
Other Debits
Date_
Description
Amount
1041
Outgoing Money Tmsf
($70.0(10.00 )
1041
Outgoing Money Trio(
(51490.00 )
1041
Preauthorizcd Debit
(532.731.83 )
10402
Preauthonzed Debit
($100.00
10-03
001 Cheek Purchase
(37.518.86 )
10-03
Outgoing Money Misr
(52.118.94 )
10-03
Outgoing Money Thud'
(36.003.00 )
1003
Outgoing Money Must
(565.000.00 )
1043
Preauthorind Debit
($730.96 )
1005
Cash Mimi' 'Intl.Dr
(5500.000.00 )
10-10
Outgoing Money Tmsf
(870.000.00 )
10-10
Preauthorized Debit
(5100.00 )
10-15
Cash \toil Trsfr Dr
5500.000.00
1045
Cash Mott Trsfr Dr
(5250403.00 )
10-15
Cash Moil Trsfr Dr
(3asomo.00 )
lads
Outgoing Money Tmsf
(33.003.00 )
1045
Outgoing Money Tmsf
($4,000.00 )
1045
Outgoing Money Tnnt'
(5315.68 )
1045
Preauthori/ed Debit
(573,628.25 )
10-16
Preauthorized Debit
(5100.00 )
10-16
Reauthorized Debit
($4&547.78 )
10-16
Preauthorized Debit
(5309.773.90
10-18
Preauthorized Debit
(518.397.73 )
10-19
Preauthorized Debit
(3193.753.02_)
10-22
Outgoing Money Tmsf
($80.000.00 )
10-22
Preatahorized Debit
(5134.00 )
10-23
Preauthorized Debit
(8100.00 )
10-24
Outgoing Money Tntsf
(53.000.000.00 )
10-29
Outgoing Money Tmsf
(86.805.00 )
10-30
Preauthorized Debit
(5100.00 )
10.30
Preauthorized Debit
(530,722.99 )
1081
Outgoing Money Tmsf(5774.86
)
10.31
Outgoing Money Tim(
(5400400.00 )
1041
Outgoing Money Tmsf
($4&960.59 )
Interest Calculation
Annual PerCallage Yield Famed
Interest Earned This Period
Interest Paid Year To Date
0.10%
$239.18
51429.96
All items are credited subject to final collection and receipt of proceeth in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
35269691
5 of 6
SDNY_GM_00044830
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0007654
EFFA_00155439
EFTA01287945
Deutsche Bank
In Case of Furors or Questions
I. Electronic Funds Transfers
Telephone us at 1-866-362-4796. or write to us at Deutsche Dank Trust Company Americas. 345 Park Avenue. WNI Banking Team -
NYC20•0102. New York Na. 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 front you no later than 60 days after we sent you the
FIRSTstatement on which ihe error or problem appeared.
• Tell us your name and account number
- Describe the err or transfer you arc unsure about. and explain as clearly as you can why you believe it is an error or why you
need more information
- Tell in the dollar amount of the suspected error
Please note that if you initially provide the above information to If% via telephone. we may require that you send your complaint or
inquiry in writing within ID business days.
We will investigate your complaint and will correct any enor promptly. If we take more than 10 business days (or 20 business 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 investigation. we will info= you of our
results.
1 Non-Electronic Funds Transfers
Contact the Bank immediately at 1-866-362-4796 if your statement is incorrect or if you need mole information about any non-electronic
funds Introadions (checks or deposits) on this statement. If any such error appears. you must notify the Bank in writing no later than
30 days after the statement was made available to you. Please see your Tenn< and Conditions for further information on the tens
governing your account.
3. Verifying Preauthorired Credits
If you have arranged to have direct deposits made to your account at least once every 60 days from the same person or compans you
can telephone us at 1.866.362.4796 to find out whether the deposit has been made.
Deutsche Bank Tmst Company Americas. Member FDIC
( :C.'S:1 I
SDNY_GM_00044831
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0007655
EF1'A_00155440
EFTA01287946