Case File
efta-01524373DOJ Data Set 10OtherEFTA01524373
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01524373
Pages
1
Persons
0
Integrity
Extracted Text (OCR)
Text extracted via OCR from the original document. May contain errors from the scanning process.
JPMorgan 0
Private Bank
September 29, 2007 throw h October 31, 2007
Account Num
Checks Paid
Check
Number
Date
Paid
Amount
1082
10/03
$192.00
1083
10/02
50,000.00
1084
10/23
4,345.00
1085
10/15
1,100.00
1086
10/19
183.00
1087
10/22
2,354.00
1088
10/30
350.00
Total Checks Paid
$58,524.00
Transaction Detail
Date
Description
Amount
Balance
10/02
Deposit
231740786
5,067.70
186,484.87
10/02
Deposit
231740788
23.52
186,508.39
10/02
Check
# 1083
-50,000.00
136,508.39
10/03
Book Transfer Debit NC: Fx USD Incoming/Fed/Chips/DDA Boumemouth United Kingdom Bh7
-52,063.68
84,444.71
7-Dborg: Fx USD Incoming/Fed/Chips/DDA C/O Chase Manhattan Bk, Chaseside Ogb: Fx Operations
New York NY Ref:/Ocmt/USD52063,68/Bnf/Gbp25000.00 Trn: 7678300276Fx
10/03
Check
# 1082
-192.00
84,252.71
10/11
Nes LIc
Direct Dep
pw PPD ID:
6,856.05
91,108.76
10/15
Check
# 1085
-1,100.00
90,008.76
10/17
Funds Transferred From DDA Aan=To
DDA Ac#
As Req
-10,000.00
80.008.76
10/19
Check
# 1086
-183.00
79,825.76
10/22
Check
# 1087
-2,354.00
77,471.76
10/23
Check
# 1084
-4,345.00
73,126.76
10/25
Nes LIc
Direct Dep
l-pw PPD ID:
6,856.05
79,982.81
10/30
Check
# 1088
-350.00
79,632.81
10/31
Interest Payment
125.67
79,758.48
Ending Balance
$79,758.48
Pag& of8
Confidential Treatment Requested by JPMorgan
JPM-SDNY-00052181
Chase
CONFIDENTIAL
SDNY_GM_00321379
EFTA01524373
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