Case File
efta-01496902DOJ Data Set 10OtherEFTA01496902
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01496902
Pages
1
Persons
0
Integrity
Extracted Text (OCR)
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Jane
30, 2004
I NES, LLC
May
29, 2004 -
Page 2 of 31
Business Cheekin
Account Numbe
NES, LLC
Summary
Opening Balance
Deposits and Credits
Checks, Withdrawals and Debits
Ending Balance
Primary Accouni Number_
$85,302.26
$375,000.00
S311,144.57
$149,157.69
° JPMorgan Private Bank
Activity
Date
Description
Debit
Credits
Balance
Opening Balance
$85,302.26
Jun 01
Check Paid 5 1084
$6,153.80
$79,148.48
Jun 02
Check Paid* 1081
$434.52
$78,713.94
Jun 02
Check Paid 0 1082
$459.78
$78,254.18
Jun 02
Check Paid ft 20870
$260.00
$77,994.16
Jun 02
Check Paid N 20934
$8,553.00
$89,441.18
Jun 02
Check Paid 0 20935
$394.95
$69,046.21
Jun 02
Check Paid 0 20936
$726.43
$68,319.78
Jun 03
Electronic Funds Transfer
ADP PAYROLL FEES Re: ADP - FEES
Ret
$85.17
$68,234.61
Jun 03
Check Paid 0 20909
$102.79
$88,131.82
Jun 03
Check Paid 0 20910
$76.93
868,054.89
Jun 03
Check Paid 5 20911
$29.65
$68,025.24
Jun 03
Check Paid 5 20912
$492.59
$87,532.65
Jun 03
Check Paid 5 20913
$224.50
$67 308 15
Jun 03
Check Paid 5 20914
$82.08
$67,226.07
Jun 03
Check Paid 5 20916
$50.57
$67,175.50
Jun 03
Check Paid 0 20917
$987.87
$86,187.63
Jun 03
Check Pald 0 20919
$441.75
$85,746.88
Jun 03
Check Paid 0 20926
$60.72
$65,685.16
Jun 03
Check Paid 0 20928
$50.57
$65,634.59
Jun 03
Check Paid 5 20929
$50.57
$65,584.02
Jun 03
Check Paid 0 20930
$138.44
$65,446.58
Jun 03
Check Paid 5 20932
$230.78
$65,214.80
Jun 04
Check Paid 5 20923
$124.92
$655,089.88
Jun 04
Check Paid 5 20924
$153.31
$64,938.57
Jun 04
Check Paid 5 20925
$156.60
$64,780.07
Jun 04
Check Paid it 20931
$923.38
583,858.71
Jun 07
Check Paid il 20915
$43.20
$63,813.51
Jun 07
Check Paid* 20918
$498.14
$83,315.37
Jun 07
Check Paid 0 20920
$505.07
$62,810.30
Jun 07
Check Paid 0 20921
$101.93
$82,708.37
Jun 07
Check Paid 5 20933
$15,500.00
$47,208.37
Jun 08
Check Paid 0 20908
$84.46
$47,143.91
Jun 08
Check Paid* 20922
$1,425.70
$45,718.21
Confidential Treatment Requested by
JPMorgan Chase
CONFIDENTIAL
JPM-SDNY-00020317
SDNY_GM_00289515
EFTA01496902
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