Case File
efta-01540955DOJ Data Set 10OtherEFTA01540955
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01540955
Pages
10
Persons
0
Integrity
Extracted Text (OCR)
EFTA DisclosureText extracted via OCR from the original document. May contain errors from the scanning process.
00008760401000000024
JPMorgan Chase Bank, N.A.
P O Box 6076
Newark, DE 19714- 6076
September 29, 2007 through October 31, 2007
Account Number:
YOUR JPMORGAN PRIVATE BANK TEAM:
Client Service Information
00000876 DLI 802 WP 30907 - NNN P 1 000000000 D1 0000
HYPERION AIR INC
C/O NEW YORK STRATEGY GROUP LLC
457 MADISON AVE
4TH FL
NEW YORK NY 10022-6843
FRANCISCO VILLACIS
AMY WEBB
Private Bank ServiceLine
For assistance after business hours, 7 days a week:
JPMorgan Classic Business Checking
HYPERION AIR INC
Checking Account Summary
Beginning Balance
Checks Paid
Ending Balance
Deposits and Additions
ABBREVIATED TRANSACTION INFORMATION MAY BE DISPLAYED ON YOUR
STATEMENT FOR CASH TRANSFERS BETWEEN YOUR PIVATE BANK ACCOUNTS,
DATED BETWEEN 10/9 AND 10/25. CONTACT YOUR JPMORGAN PRIVATE BANK
CLIENT SERVICE TEAM IF YOU REQUIRE ADDITIONAL DETAIL.
Other Withdrawals, Fees & Charges
Amount
$26,879.40
25,671.48
- 15,353.06
- 17,114.31
$20,083.51
(888) 207-5225
Checks Paid
Check
Number
1061
1063 *
1065 *
1066
Date
Paid
10/01
10/03
10/18
10/16
Amount
$260.65
297.06
1,437.75
121.00
Check
Number
1067
1068
1069
EFTA01540955
1070
Date
Paid
10/16
10/16
10/17
10/31
Amount
214.83
9,402.03
499.15
228.74
Page of 1 8
EFTA01540956
September 29, 2007 through October 31, 2007
Account Number:
Checks Paid
Check
Number
1071
1072
(continued)
Date
Paid
10/31
10/31
Amount
859.32
273.98
Check
Number
1073
1075 *
Total Checks Paid
Date
Paid
10/30
10/31
Amount
21.40
1,737.15
$15,353.06
* Checks may not appear on your bank statement because they have not yet cleared
or appeared on a previous statement. Checks that cleared as an electronic withd
rawal will not be include
All checks that cleared during this statement cycle will appear in the Transacti
on Detail section of the statement. All checks included in the Checks Paid secti
on are viewable as images on Ch
Transaction Detail
Date
10/01
10/03
10/16
10/16
10/16
10/17
10/18
10/18
10/22
10/22
10/23
10/23
10/30
10/31
10/31
Description
Check
Check
Check
Check
Check
Check
Check
# 1061
# 1063
# 1068
EFTA01540957
# 1067
# 1066
# 1069
10/17/2007 Research ADJ 7546-18Oct07 Credit For $8,557.14 For A Deposit Reported
Missing On
10/17/07. Our Case #7546-18Oct07.
# 1065
10/17/2007 Research ADJ 8408-22Oct07 Credit For $8,557.17 For A Deposit Reported
Missing On
10/17/07. Our Case #8408-22Oct07.
10/17/2007 Research ADJ 8472-22Oct07 Credit For $8,557.17 For A Deposit Reported
Missing On
10/17/07. Our Case #8472-22Oct07.
10/17/2007 Research ADJ 8408-22Oct07
t Posted On
Debit For $8,557.17 To Reverse An Adjustmen
10/17/07. Our Case #8408-22Oct07.
10/17/2007 Research ADJ 7546-18Oct07 Debit For $8,557.14 To Reverse An Adjustmen
t Posted On
10/17/07. Our Case #7546-18Oct07.
Check
Check
Check
# 1073
# 1075
# 1071
Amount
- 260.65
- 297.06
- 9,402.03
- 214.83
- 121.00
- 499.15
8,557.14
- 1,437.75
8,557.17
8,557.17
- 8,557.17
- 8,557.14
- 21.40
- 1,737.15
- 859.32
Balance
26,618.75
26,321.69
16,919.66
16,704.83
16,583.83
16,084.68
24,641.82
23,204.07
31,761.24
40,318.41
31,761.24
23,204.10
23,182.70
21,445.55
20,586.23
Page of 2 8
EFTA01540958
10008760402000000064
September 29, 2007 through October 31, 2007
Account Number:
Transaction Detail
Date
10/31
10/31
Description
Check
Check
Ending Balance
(continued)
# 1072
Y 1070
Amount
- 273.98
- 228.74
Balance
20,312.25
20,083.51
$20,083.51
The combined banking balances in your business account(s) were sufficient to cov
er transaction fees for services rendered this statement period. Please contact
your Account Officer with qu
discuss our wide array of business banking services.
Page of 3 8
EFTA01540959
September 29, 2007 through October 31, 2007
Account Number:
JPMorgan Classic Business Checking
Hyperion Air Inc
008770352798 OCT 01 #0000001061 $260.65
008770352798 OCT 01 #0000001061 $260.65
009170060611 OCT 03 #0000001063 $297.06
009170060611 OCT 03 #0000001063 $297.06
009070315181 OCT 18 #0000001065 $1,437.75
009070315181 OCT 18 #0000001065 $1,437.75
Need more information for any of these images of cleared items? Registered users
of Chase Online see BOTH front and back of image of
cleared items. Chase Online is a free service. Visit www.Chase.com to enroll or
log in.
Page of 4 8
EFTA01540960
September 29, 2007 through October 31, 2007
Account Number:
JPMorgan Classic Business Checking
Hyperion Air Inc
008570477051 OCT 16 #0000001066 $121.00
008570477051 OCT 16 #0000001066 $121.00
009070187945 OCT 16 #0000001067 $214.83
009070187945 OCT 16 #0000001067 $214.83
008870432054 OCT 16 #0000001068 $9,402.03
008870432054 OCT 16 #0000001068 $9,402.03
Need more information for any of these images of cleared items? Registered users
of Chase Online see BOTH front and back of image of
cleared items. Chase Online is a free service. Visit www.Chase.com to enroll or
log in.
Page of 5 8
10008760403000000064
EFTA01540961
September 29, 2007 through October 31, 2007
Account Number:
JPMorgan Classic Business Checking
Hyperion Air Inc
008370523627 OCT 17 #0000001069 $499.15
008370523627 OCT 17 #0000001069 $499.15
008770804288 OCT 31 #0000001070 $228.74
008770804288 OCT 31 #0000001070 $228.74
008970087871 OCT 31 #0000001071 $859.32
008970087871 OCT 31 #0000001071 $859.32
Need more information for any of these images of cleared items? Registered users
of Chase Online see BOTH front and back of image of
cleared items. Chase Online is a free service. Visit www.Chase.com to enroll or
log in.
Page of 6 8
EFTA01540962
September 29, 2007 through October 31, 2007
Account Number:
JPMorgan Classic Business Checking
Hyperion Air Inc
008370688228 OCT 31 #0000001072 $273.98
008370688228 OCT 31 #0000001072 $273.98
008770286210 OCT 30 #0000001073 $21.40
008770286210 OCT 30 #0000001073 $21.40
008870428303 OCT 31 #0000001075 $1,737.15
008870428303 OCT 31 #0000001075 $1,737.15
Need more information for any of these images of cleared items? Registered users
of Chase Online see BOTH front and back of image of
cleared items. Chase Online is a free service. Visit www.Chase.com to enroll or
log in.
Page of 7 8
10008760404000000064
EFTA01540963
September 29, 2007 through October 31, 2007
Account Number:
Important Information About Your Statement
Accounts are subject to the General Terms For Accounts and Services and applicab
le appendices and account agreements. Your accounts, unless otherwise indicated
on the statement, a
by JPMorgan Chase Bank, N.A. (the "Bank"), Member FDIC.
In Case of Errors or Questions About Your Electronic Funds Transfers (personal a
ccounts only)
Telephone or write to the Bank if you think your statement or receipt is wrong,
or if you need more information about an electronic transaction on a statement o
r receipt. The phone number
for inquiries is printed on the front of this statement. The address for inquiri
es appears below. We must hear from you no later than 60 days after we sent you
the FIRST statement on which
the error or problem appeared.
Tell us your name and account number.
Describe the error or the transfer you are unsure about,
Tell us the dollar amount of the suspected error.
and explain as clearly as you can why you believe it is an error or why you need
more
information.
Please direct all inquiries to your Morgan Account Officer at
JPMorgan Private Bank Client Service
500 Stanton Christiana Road, 1/OPS3
Newark, DE 19713-2107
We will investigate your complaint and will correct any error promptly. If we to
ke more than 10 business days to do this (20 business days for new accounts), we
will recredit your account fo
the amount you think is in error so that you will have use of the money during t
he time it takes us to complete our investigation.
In Case of Errors or Questions About Non Electronic Transfers
Contact the bank immediately if your statement is incorrect or if you need more
information about any non-electronic transactions (checks or deposits) on this s
tatement. If any such error
appears, you must notify the bank in writing no later than 30 days after the sta
tement was made available to you. For more complete details, see the applicable
account agreements and
appendices that govern your account.
Mutual Funds/Securities
JPMorgan Select Shares of the Connecticut Daily Tax Free Income Fund, Inc. and J
PMorgan Select Shares of the New Jersey Daily Municipal Income Fund, Inc. are no
t part of, or affiliate
with, the JPMorgan Family of Mutual Funds. Reich & Tang Distributors Inc. and Re
ich & Tang Asset Management L.P., which are unaffiliated with JPMorgan, are the
funds' distributors
and investment advisor, respectively. Reich & Tang Distributors Inc. is a member
NASD.
JPMorgan Funds are distributed by JPMorgan Distribution Services, Inc., which is
an affiliate of JPMorgan Chase & Co. Affiliates of JPMorgan Chase & Co. receive
fees for providing
various services to the funds.
JPMorgan Private Bank is a marketing name for private banking business conducted
by JPMorgan Chase & Co. and its subsidiaries worldwide. Bank products and servi
ces are offered b
JPMorgan Chase Bank, N.A. and its affiliates. Securities are offered by J.P. Mor
gan Securities Inc., member NYSE, NASD and SIPC.
Investment Products: Not FDIC insured No bank guarantee May lose value
Page of 8 8
EFTA01540964
Related Documents (6)
DOJ Data Set 10OtherUnknown
EFTA01494893
1p
DOJ Data Set 10CorrespondenceUnknown
EFTA Document EFTA01472339
0p
DOJ Data Set 10CorrespondenceUnknown
EFTA Document EFTA01494419
0p
DOJ Data Set 10OtherUnknown
EFTA01541077
4p
DOJ Data Set 10OtherUnknown
EFTA01453991
1p
DOJ Data Set 10CorrespondenceUnknown
EFTA Document EFTA01466991
0p
Forum Discussions
This document was digitized, indexed, and cross-referenced with 1,400+ persons in the Epstein files. 100% free, ad-free, and independent.
Annotations powered by Hypothesis. Select any text on this page to annotate or highlight it.