Case File
efta-01595652DOJ Data Set 10OtherEFTA01595652
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01595652
Pages
324
Persons
0
Integrity
Extracted Text (OCR)
Text extracted via OCR from the original document. May contain errors from the scanning process.
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
T STATEMENT OF ACCOUNT
Statement P
•
14-Mar 31 2014
Gust Ref #:
Primary Account #:
TD Business Convenience
us
AVILOOP L
Account #
ONLINE BILL
EASY.
MANAGE THE MONEY IN YOUR TD BANK CHECKING ACCOUNT ANYTIME, ANYWHERE WITH TD BANK
BUSINESS
DIRECT. OUR COMPREHENSIVE ONLINE BANKING SERVICE TAKES CARE OF THE DETAILS WHILE YOU
FOCUS ON
GROWING YOUR BUSINESS. SIGN UP FOR FREE AT TDBANK.COM/BUSINESSDIRECT OR VISIT ANY TD
BANK FOR
ASSISTANCE.
ACCOUNT SUMMARY
Average Collected Balance 24,072.04
Annual Percentage Yield Earned 0.00%
Days in Period 22
Beginning Balance 0.00
Deposits 25,285.00
Checks Paid 100.00
Ending Balance 25,185.00
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
3/10 DEPOSIT 25,285.00
Subtotal: 25,285.00
Checks Paid No. Checks: 1 *Indicates break in serial sequence or check processed electronically and listed
under Electronic Payments
DATE SERIAL NO. AMOUNT
3/17 98 100.00
Subtotal: 100.00
DAILY BALANCE SUMMARY
DATE BALANCE
3/10 0.00
3/10 25,285.00
DATE BALANCE
3/17 25,185.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
SDNV_GM_00006599
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UTD-DOJ-0000000 I A m(SM/2020 7:00:59 PM]
EFTA01595652
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
25,185.00
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
SDNY_GAL 00006600
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDUNEfilt ,.. Emakan,00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 Mt]
EFTA01595653
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
T STATEMENT OF ACCOUNT
Statement
•
-
014
Gust Ref #
Primary Account #
TD Business Convenience
us
SDNV_GM_00006601
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
-I Wilt
,.. Eat/NETT/00
UTD-DOJ-00000001 Ax68/1/2020 7:00:59 PM]
EFTA01595654
AVILOOP L
Account #
ONLINE BILL PAY MADE EASY.
MANAGE THE MONEY IN YOUR TD BANK CHECKING ACCOUNT ANYTIME, ANYWHERE WITH TD BANK
BUSINESS
DIRECT. OUR COMPREHENSIVE ONLINE BANKING SERVICE TAKES CARE OF THE DETAILS WHILE YOU
FOCUS ON
GROWING YOUR BUSINESS. SIGN UP FOR FREE AT TDBANK.COM/BUSINESSDIRECT OR VISIT ANY TD
BANK FOR
ASSISTANCE.
ACCOUNT SUMMARY
Average Collected Balance 43,710.86
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 25,185.00
Deposits 20,075.00
Electronic Payments 488.75
Ending Balance 44,771.25
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
4/2 DEPOSIT 20,075.00
Subtotal: 20,075.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
4/7 DEBIT CARD PURCHASE, AUT 040414 VISA DDA PUR 80.68
POILANE PARIS F RA
4387662000904468
4/7 DEBIT CARD PURCHASE, AUT 040414 VISA DDA PUR 33.81
SHELL OIL 57543103402 MANCHESTER * NH
4387662000904468
4/7 DEBIT CARD PURCHASE, AUT 040514 VISA DDA PUR 18.20
NYC TAXI 2J33 BROOKLYN " NY
4387662000904468
4/7 DEBIT CARD PURCHASE, AUT 040414 VISA DDA PUR 9.00
PLN TOURS ATTRACTIONS 800 774 2354 * CT
4387662000904468
4/10 DEBIT POS, AUT 040914 DDA PURCHASE 21.00
BATH BODY WORKS MANCHESTER * NH
4387662000904468
4/11 DEBIT CARD PURCHASE, AUT 040914 VISA DDA PUR 19.17
CARRABBAS 7901 BEDFORD * NH
4387662000904468
4/21 DEBIT POS, AUT 042114 DDA PURCHASE 33.19
SHELL SERVICE STATION MANCHESTER * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
Subtract any services charges shown
on this statement.
SDNY_GM_00006602
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BC201Wilt
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,- ENIXIAL001/TD-DOJ-0000000
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EFTA01595655
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
44,771.25
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
SDNV_GM_00006603
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file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20B
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/001/TD-D0J-00000001.(x68/42020 7:00:59 PM]
EFTA01595656
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
Cust Ref #:
Primary Account #:
DAILY ACCOUNT ACTIVITY
4-Apr 30 2014
SDNV_GM_00006604
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- I NEfi
It ,.. EN:UAL/00
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EFTA01595657
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/21 DEBIT CARD PURCHASE, AUT 042014 VISA DDA PUR 6.58
STARBUCKS 00821 NEW YOR NEW YORK * NY
4387662000904468
4/21 DEBIT POS, AUT 042114 DDA PURCHASE 4.18
SHELL SERVICE STATION MANCHESTER " NH
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 042014 VISA DDA PUR 84.00
301 PARKING CORP NEW YORK " NY
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 042014 VISA DDA PUR 24.83
EXXONMOBIL 97486096 WHITE PLAINS * NY
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 042014 VISA DDA PUR 20.40
NYC TAXI 2M72 LONG ISLAND C * NY
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 042114 VISA DDA PUR 7.09
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
4/23 DEBIT CARD PURCHASE, AUT 042214 VISA DDA PUR 4.96
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
4/24 DEBIT CARD PURCHASE, AUT 042214 VISA DDA PUR 22.51
T BONES OF BEDFORD BEDFORD * NH
4387662000904468
4/24 DEBIT CARD PURCHASE, AUT 042314 VISA DDA PUR 14.88
WATERWORKS CAFE MANCHESTER * NH
4387662000904468
4/24 DEBIT CARD PURCHASE, AUT 042314 VISA DDA PUR 7.63
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
4/24 DEBIT CARD PURCHASE, AUT 042214 VISA DDA PUR 3.93
DUNKIN 336577 Q35 MANCHESTER * NH
4387662000904468
4/25 DEBIT CARD PURCHASE, AUT 042414 VISA DDA PUR 6.65
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
4/29 DEBIT POS, AUT 042914 DDA PURCHASE 25.82
SHELL SERVICE STATION MANCHESTER " NH
4387662000904468
4/29 DEBIT CARD PURCHASE, AUT 042814 VISA DDA PUR 10.98
PANERA BREAD 3413 MANCHESTER * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinrl Anr 01 2014-Apr 30 2014
Cust Ref #:
Primary Account #
DAILY ACCOUNT AC
Electronic Payments (continued)
SDNY_GM_00006605
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Q
EFTA01595658
POSTING DATE DESCRIPTION AMOUNT
4/29 DEBIT CARD PURCHASE, AUT 042814 VISA DDA PUR 7.52
STARBUCKS 17565 BEDFORD BEDFORD " NH
4387662000904468
4/30 DEBIT CARD PURCHASE, AUT 042914 VISA DDA PUR 13.35
WATERWORKS CAFE MANCHESTER * NH
4387662000904468
4/30 DEBIT CARD PURCHASE, AUT 042914 VISA DDA PUR 8.39
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
Subtotal: 488.75
DAILY BALANCE SUMMARY
DATE BALANCE
3/31 25,185.00
4/2 45,260.00
4/7 45,118.31
4/10 45,097.31
4/11 45,078.14
4/21 45,034.19
DATE BALANCE
4/22 44,897.87
4/23 44,892.91
4/24 44,843.96
4/25 44,837.31
4/29 44,792.99
4/30 44,771.25
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Peti
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP
Account #
ACCOUNT UMMARY
Average Collected Balance 46,265.40
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 44,771.25
Deposits 24,000.00
Electronic Payments 872.03
Other Withdrawals 20,025.00
Ending Balance 47,874.22
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
5/12 DEPOSIT 24,000.00
Subtotal: 24,000.00
Electronic Payments
2014
SDNY_GM_00006606
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EFTA01595659
POSTING DATE DESCRIPTION AMOUNT
5/2 DEBIT CARD PURCHASE, AUT 043014 VISA DDA PUR 42.97
REPUBLIC MANCHESTER * NH
4387662000904468
5/7 DEBIT CARD PURCHASE, AUT 050514 VISA DDA PUR 34.40
SHELL OIL 57544910706 MANCHESTER * NH
4387662000904468
5/8 DEBIT CARD PURCHASE, AUT 050714 VISA DDA PUR 17.35
GOLDEN BOWL RESTAURANT MANCHESTER * NH
4387662000904468
5/12 DEBIT CARD PURCHASE, AUT 050914 VISA DDA PUR 7.00
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
5/13 DEBIT CARD PURCHASE, AUT 051114 VISA DDA PUR 34.77
SHELL OIL 57544416209 NEW YORK * NY
4387662000904468
5/13 DEBIT CARD PAYMENT, AUT 051114 VISA DDA PUR 10.36
INTUIT 03 ONLINE 800 286 6800 * CA
4387662000904468
5/13 DEBIT CARD PURCHASE, AUT 051214 VISA DDA PUR 7.09
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
5/15 DEBIT CARD PURCHASE, AUT 051314 VISA DDA PUR 26.89
CARRABBAS 7901 BEDFORD * NH
4387662000904468
5/16 DEBIT CARD PURCHASE, AUT 051414 VISA DDA PUR 7.92
DUNKIN 336577 Q35 MANCHESTER * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
SDNV_GM_00006607
file:///C/...rs/wIxthrednesktopISTAMPINGITD%20BC 2
-I IS' EMIt
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UTD-DOJ-0000000 I A:018/4/2020 7:00:59 PM]
EFTA01595660
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
47,874.22
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
SDNV_GM_00006608
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EFTA01595661
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinri Mav 01 7014-Mav t1 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
5/19 CCD DEBIT, BUSINESS CHECKS CK ORDER 67464037 68.97
5/19 DEBIT POS, AUT 051714 DDA PURCHASE 60.96
BARNESNOBLE 1741 SOUTH W MANCHESTER * NH
4387662000904468
5/19 DEBIT CARD PURCHASE, AUT 051614 VISA DDA PUR 8.72
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
5/19 DEBIT CARD PURCHASE, AUT 051714 VISA DDA PUR 6.76
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
5/20 DEBIT CARD PURCHASE, AUT 051914 VISA DDA PUR 10.68
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
5/21 DEBIT CARD PURCHASE, AUT 052014 VISA DDA PUR 24.03
CHEN S GARDEN MANCHESTER * NH
4387662000904468
SDNV_GM_00006609
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I biffi
It
-
ENITI'0017EXT/001/TD-DOJ-00000001A:0[8/4/2020 7:00:59 PM]
EFTA01595662
5/21 DEBIT CARD PURCHASE, AUT 052114 VISA DDA PUR 22.45
DIRECT CHECKS UNLIMITE 800 533 3973 * CO
4387662000904468
5/21 DEBIT CARD PURCHASE, AUT 052014 VISA DDA PUR 7.09
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
5/22 DEBIT CARD PURCHASE, AUT 052014 VISA DDA PUR 33.26
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
5/27 TD ATM DEBIT, AUT 052714 DDA WITHDRAW 200.00
70 BAY ST MANCHESTER * NH
4387662000904468
5/27 DEBIT POS, AUT 052714 DDA PURCHASE 99.98
SOU BEST BUY 536 830 MANCHESTER * NH
4387662000904468
5/27 DEBIT CARD PURCHASE, AUT 052314 VISA DDA PUR 23.68
GULF OIL 92038867 CHARLTON * MA
4387662000904468
5/27 DEBIT CARD PURCHASE, AUT 052514 VISA DDA PUR 20.00
FLIGHT LINE AMERICA GRND JUNCTION * CO
4387662000904468
5/27 DEBIT CARD PURCHASE, AUT 052214 VISA DDA PUR 18.54
CARRABBAS 7901 BEDFORD * NH
4387662000904468
5/27 DEBIT CARD PURCHASE, AUT 052314 VISA DDA PUR 6.91
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
7014-May 31 2014
Cust Ref #:
Primary Acc u
DAILY ACCOUNT A
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
5/29 DEBIT CARD PURCHASE, AUT 052714 VISA DDA PUR 41.68
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
5/29 DEBIT POS, AUT 052914 DDA PURCHASE 12.47
STAPLES INC MANCHESTER * NH
4387662000904468
5/29 DEBIT POS, AUT 052914 DDA PURCHASE 9.25
STAPLES INC MANCHESTER * NH
4387662000904468
5/29 DEBIT CARD PURCHASE, AUT 052814 VISA DDA PUR 7.85
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
Subtotal: 872.03
Other Withdrawals
POSTING DATE DESCRIPTION AMO
5/12 WIRE TRANSFER OUTGOING,
20,000.00
SDNY_GM_00006610
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCDIJI IDENITJAL.
I /TD-DO1-0000000 I x68M/2020 7:00:59 PM]
EFTA01595663
5/12 WIRE TRANSFER FEE 25.00
Subtotal: 20,025.00
DAILY BALANCE SUMMARY
DATE BALANCE
4/30 44,771.25
5/2 44,728.28
5/7 44,693.88
5/8 44,676.53
5/12 48,644.53
5/13 48,592.31
5/15 48,565.42
DATE BALANCE
5/16 48,557.50
5/19 48,412.09
5/20 48,401.41
5/21 48,347.84
5/22 48,314.58
5/27 47,945.47
5/29 47,874.22
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement PPrinri .hrn of 9M4-Jun 30 2014
Cust Ref #:
Primary Account #:
TD Business Convenience
AVILOOP L
Account #
WE'RE MASH
DEPOSITS AVAILABLE RIGHT AWAY.
BEGINNING AUGUST 17, 2014, CASH DEPOSITS MADE AT ANY OF OUR TD BANK ENVELOPE-FREE ATMS
WILL BE
AVAILABLE IMMEDIATELY. WITH MORE THAN 1,500 ATMS THAT COUNT YOUR CASH DEPOSITS, YOU CAN
DEPOSIT
AND USE THE FUNDS RIGHT AWAY TO COVER PAYMENTS OR PURCHASES. QUICKER ACCESS TO FUNDS IS
JUST
ONE MORE WAY WE'RE MAKING BANKING CONVENIENT FOR YOU!
ACCOUNT SUMMARY
Average Collected Balance 47,624.87
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 47,874.22
Deposits 3,871.50
Electronic Payments 3,333.22
Ending Balance 48,412.50
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
6/24 DEPOSIT 2,500.00
6/24 DEPOSIT 1,291.50
6/24 DEPOSIT 80.00
SDNY_GM_00006611
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BC201b.Eilt
t ENIXIAL/001/TD-DOJ-0000000
I Axi[/SA/2020 7:00:59 PM]
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EFTA01595664
Subtotal: 3,871.50
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
6/2 DEBIT POS, AUT 060214 DDA PURCHASE 51.17
EXXONMOBIL ORANGE * CT
4387662000904468
6/4 DEBIT CARD PURCHASE, AUT 060314 VISA DDA PUR 100.00
SO ZAHID NIAZI ALEXANDRIA * VA
4387662000904468
6/9 DEBIT CARD PURCHASE, AUT 060614 VISA DDA PUR 34.82
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
6/12 DEBIT CARD PAYMENT, AUT 061014 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
6/16 DEBIT CARD PURCHASE, AUT 061314 VISA DDA PUR 29.26
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
6/18 DEBIT POS, AUT 061814 DDA PURCHASE 34.99
STAPLES INC BEDFORD * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
SDNY_GM_00006612
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BQ 0I
NEI
It ,- ENInalEXT/00
UTD-DOJ-0000000 I A x68/4/2020 7:00:59 PM]
EFTA01595665
balance.
Ending
Balance
48,412.50
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
S0NY_GM_00006613
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EFTA01595666
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Jun 30 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
6/18 DEBIT POS, AUT 061714 DDA PURCHASE 31.73
EXXONMOBIL MANCHEST * NH
4387662000904468
6/18 DEBIT CARD PURCHASE, AUT 061714 VISA DDA PUR 16.96
PANERA BREAD 3413 MANCHESTER * NH
4387662000904468
6/18 DEBIT CARD PURCHASE, AUT 061714 VISA DDA PUR 7.09
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
6/19 DEBIT CARD PURCHASE, AUT 061814 VISA DDA PUR 9.54
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
6/23 DEBIT CARD PURCHASE, AUT 062014 VISA DDA PUR 3,000.00
HOLLOWAY FIAT MANCHESTER * NH
4387662000904468
6/27 DEBIT CARD PURCHASE, AUT 062614 VISA DDA PUR 7.30
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
Subtotal: 3,333.22
DAILY BALANCE SUMMARY
DATE BALANCE
5/31 47,874.22
6/2 47,823.05
SDNV_GM_00006614
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EFTA01595667
6/4 47,723.05
6/9 47,688.23
6/12 47,677.87
6/16 47,648.61
DATE BALANCE
6/18 47,557.84
6/19 47,548.30
6/23 44,548.30
6/24 48,419.80
6/27 48,412.50
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement PPri
014
Cust Ref #:
Primary Accoun
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 48,367.15
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 48,412.50
Electronic Payments 186.29
Ending Balance 48,226.21
DAILY ACCOUNT ACTIVITY
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
7/7 DEBIT CARD PURCHASE, AUT 070414 VISA DDA PUR 19.00
STK SHUTTERSTOCK INC 866 663 3954 * NY
4387662000904468
7/7 DEBIT CARD PURCHASE, AUT 070214 VISA DDA PUR 5.95
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
7/10 DEBIT CARD PURCHASE, AUT 070914 VISA DDA PUR 7.52
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
7/14 DEBIT CARD PAYMENT, AUT 071014 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
7/15 DEBIT CARD PURCHASE, AUT 071414 VISA DDA PUR 5.60
USPS 32481001032900961 BEDFORD * NH
4387662000904468
7/21 DEBIT CARD PURCHASE, AUT 072014 VISA DDA PUR 11.30
STARBUCKS 00821 NEW YOR NEW YORK * NY
4387662000904468
7/30 DEBIT CARD PURCHASE, AUT 072814 VISA DDA PUR 51.11
XPRESSPA MSP CD SAINT PAUL * MN
4387662000904468
SDNY_GM_00006615
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ENIXIAL/001/TD-DOJ-(XXXXXX11 A xt[8/4/2020 7:00:59 PM]
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EFTA01595668
7/30 DEBIT CARD PURCHASE, AUT 072814 VISA DDA PUR 24.18
ESTES LAKESHORE NEWS ST PAUL * MN
4387662000904468
7/30 DEBIT CARD PURCHASE, AUT 072814 VISA DDA PUR 8.53
CARIBOU COFFEE CO 1174 ST PAUL * MN
4387662000904468
7/31 DEBIT CARD PURCHASE, AUT 072914 VISA DDA PUR 36.74
STAPLES 00108134 OSHKOSH * WI
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
48,226.21
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
S0NY_GM_000066
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
-I WI
It ,- ENDAIEXT/00
I /TD-DOJ-0000000 I A :0[8/4/2020 7:00:59 PM]
EFTA01595669
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
Your name and account number..
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
SDNY_GM_00006617
file:///C/...rs/wbohrer/DesktopISTAMPING/TD%20B
2
- I - I • -OA . t ,..
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1
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EFTA01595670
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Period .InI 01 7014-.iul 31 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
7/31 DEBIT CARD PURCHASE, AUT 072914 VISA DDA PUR 6.00
THUNDER BAY GRILL EM MOLINE * IL
4387662000904468
Subtotal: 186.29
DAILY BALANCE SUMMARY
DATE BALANCE
6/30 48,412.50
7/7 48,387.55
7/10 48,380.03
7/14 48,369.67
DATE BALANCE
7/15 48,364.07
7/21 48,352.77
7/30 48,268.95
7/31 48,226.21
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
1 2014
Cust Ref #:
Primary Account #:
TD Business Convenience Plus
AVILOOP
Account #
ACCOUNT SUMMARY
Average Collected Balance 46,076.51
Annual Percentage Yield Earned 0.00%
Days in Period 31
SDNY_GM_00006618
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-
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EFTA01595671
Beginning Balance 48,226.21
Deposits 871.00
Electronic Payments 4,614.66
Other Withdrawals 9,000.00
Ending Balance 35,482.55
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
8/4 DEPOSIT 871.00
Subtotal: 871.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
8/1 DEBIT CARD PURCHASE, AUT 073014 VISA DDA PUR 100.54
DIGITAL PRINTING IN 9202351800 * WI
4387662000904468
8/5 DEBIT CARD PURCHASE, AUT 072814 VISA DDA PUR 453.68
AVIS RENT A CAR MOSINEE * WI
4387662000904468
8/6 TD ATM DEBIT, AUT 080614 DDA WITHDRAW 300.00
141 SOUTH RIVER RD BEDFORD " NH
4387662000904468
8/8 DEBIT CARD PURCHASE, AUT 080714 VISA DDA PUR 4.96
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
8/11 DEBIT CARD PAYMENT, AUT 081014 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
8/12 DEBIT POS, AUT 081214 DDA PURCHASE 30.85
TARGET T2009 BEDFORD * NH
4387662000904468
8/13 DEBIT POS, AUT 081314 DDA PURCHASE 380.11
CHRYSLER SOUTHFIELD * MI
4387662000904468
8/14 DEBIT CARD PURCHASE, AUT 081314 VISA DDA PUR 8.72
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
8/15 DEBIT CARD PURCHASE, AUT 081314 VISA DDA PUR 3.80
DUNKIN 330379 Q35 BEDFORD * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
SDNY_GM_00006619
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCDNEfilt ,- ENIXIAL001/TD-DOJ-0000000
I A xtISM/2020 7:00:59 PM]
Q
EFTA01595672
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
35,482.55
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
SDNV_GM_00006620
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file:///C/...rs/wIxthrednesktopISTAMPING/TD%20B
2
- I - I • -OA . t ,..
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EFTA01595673
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P-
-Au 31 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
8/18 DEBIT CARD PURCHASE, AUT 081614 VISA DDA PUR 15.00
301 E 66 ST GAR2199Q79 NEW YORK * NY
4387662000904468
8/21 DEBIT CARD PURCHASE, AUT 082114 VISA DDA PUR 105.75
FLIGHT SUITS DBA GIBSON 619 4402700 * CA
SDNY_GAL 00006621
file:///C/...rs/wIxthrednesktopISTAMPINGITD%20BC2CthEfilt Q ,- ENIXINEXT/001/TD-DOJ-00000001.(xt[8/4/2020 7:00:59 PM]
EFTA01595674
4387662000904468
8/25 DEBIT CARD PURCHASE, AUT 082414 VISA DDA PUR 2,500.00
EXECUTIVE FLYERS AVIAT 781 274 7227 * MA
4387662000904468
8/25 DEBIT CARD PURCHASE, AUT 082214 VISA DDA PUR 13.13
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
8/25 DEBIT CARD PURCHASE, AUT 082114 VISA DDA PUR 7.92
DUNKIN 336577 Q35 MANCHESTER * NH
4387662000904468
8/26 DEBIT CARD PAYMENT, AUT 082514 VISA DDA PUR 234.51
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
8/26 DEBIT CARD PAYMENT, AUT 082514 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
8/27 DEBIT POS, AUT 082714 DDA PURCHASE 393.94
SOU BEST BUY 536 332 MANCHESTER * NH
4387662000904468
8/27 DEBIT CARD PURCHASE, AUT 082514 VISA DDA PUR 6.45
THE CORNER 919 8401649 * NC
4387662000904468
8/27 DEBIT CARD PURCHASE, AUT 082514 VISA DDA PUR 4.94
DUNKIN 336577 Q35 MANCHESTER * NH
4387662000904468
Subtotal: 4,614.66
Other Withdrawals
POSTING DATE DESCRIPTION AMOUNT
8/28 DEBIT 9,000.00
Subtotal: 9,000.00
DAILY BALANCE SUMMARY
DATE BALANCE
7/31 48,226.21
8/1 48,125.67
8/4 48,996.67
8/5 48,542.99
DATE BALANCE
8/6 48,242.99
8/8 48,238.03
8/11 48,227.67
8/12 48,196.82
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Ped
Cust Ref #:
Primary Account #:
DAILY BALANCE SUMMARY
DATE BALANCE
8/13 47,816.71
8/14 47,807.99
8/15 47,804.19
-Auo 31 2014
SDNY_GM_00006622
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I A xt[8/4/2020 7:00:59 PM]
EFTA01595675
8/18 47,789.19
8/21 47,683.44
DATE BALANCE
8/25 45,162.39
8/26 44,887.88
8/27 44,482.55
8/28 35,482.55
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Period SPn nt 9014-Seo 30 2014
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 34,922.21
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 35,482.55
Deposits 215.00
Electronic Payments 1,798.09
Ending Balance 33,899.46
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
9/30 DEPOSIT 215.00
Subtotal: 215.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
9/2 DEBIT CARD PURCHASE, AUT 083114 VISA DDA PUR 36.49
PORTER HOUSE NEW YORK NEW YORK * NY
4387662000904468
9/2 DEBIT CARD PURCHASE, AUT 082814 VISA DDA PUR 35.62
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
9/8 DEBIT CARD PURCHASE, AUT 090414 VISA DDA PUR 33.52
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
9/9 DEBIT CARD PURCHASE, AUT 090814 VISA DDA PUR 114.31
COMCAST CABLE COMM 800 COMCAST * MA
4387662000904468
9/11 DEBIT CARD PURCHASE, AUT 090914 VISA DDA PUR 31.95
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
9/11 DEBIT CARD PURCHASE, AUT 091014 VISA DDA PUR 8.39
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
9/12 DEBIT CARD PAYMENT, AUT 091014 VISA DDA PUR 10.36
SDNY_GAL 00006623
tile:///C/...rs/wholirer/DesktopISTANIPING/TD%20BG2QbEilt ,- ENIXIALICT/001/TD-DOJ-(XXXXXX11 A xt[8/4/2020 7:00:59 PM]
L
I
EFTA01595676
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
9/15 DEBIT CARD PURCHASE, AUT 091414 VISA DDA PUR 17.26
HOMESTEAD RESTAURA MERRIMACK * NH
4387662000904468
9/16 DEBIT CARD PAYMENT, AUT 091514 VISA DDA PUR 234.47
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
33,899.46
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
SDNV_GM_00006624
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- INESIt
,.. ENT/NETT/00
UTD-DO1-0000000 I A;(68/4/2020 7:00:59 PM]
EFTA01595677
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
SDNY_GAL 00006625
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC2OHNEfil ,Q-
EN-Duan,001/TD-DOJ-0000
7:00:59 PM]
EFTA01595678
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Period SPn ni 7014-Seo30 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
9/17 DEBIT CARD PAYMENT, AUT 091614 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
9/18 DEBIT CARD PURCHASE, AUT 091714 VISA DDA PUR 13.26
PANERA BREAD 3407 BEDFORD * NH
4387662000904468
9/23 DEBIT CARD PURCHASE, AUT 092214 VISA DDA PUR 7.20
NYC TAXI 1E36 BROOKLYN * NY
4387662000904468
9/24 DEBIT CARD PURCHASE, AUT 092314 VISA DDA PUR 6.87
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
9/26 DEBIT CARD PURCHASE, AUT 092514 VISA DDA PUR 1,160.50
EXECUTIVE FLYERS AVIAT 781 274 7227 * MA
4387662000904468
9/29 DEBIT CARD PURCHASE, AUT 092614 VISA DDA PUR 24.04
DUNKIN 330379 Q35 BEDFORD * NH
4387662000904468
9/29 DEBIT CARD PURCHASE, AUT 092514 VISA DDA PUR 12.95
TIDEWATER CAFE AT DEKA MANCHESTER " NH
4387662000904468
9/29 DEBIT CARD PURCHASE, AUT 092614 VISA DDA PUR 10.90
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
Subtotal: 1,798.09
DAILY BALANCE SUMMARY
DATE BALANCE
8/31 35,482.55
9/2 35,410.44
9/8 35,376.92
9/9 35,262.61
9/11 35,222.27
9/12 35,211.91
9/15 35,194.65
9/16 34,960.18
DATE BALANCE
SDNY_GM_00006626
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EFTA01595679
9/17 34,920.18
9/18 34,906.92
9/23 34,899.72
9/24 34,892.85
9/26 33,732.35
9/29 33,684.46
9/30 33,899.46
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Period
-Oct 31 2014
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 31,760.31
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 33,899.46
Checks Paid 775.00
Electronic Payments 2,878.76
Ending Balance 30,245.70
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
10/2 1089 775.00
Subtotal: 775.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
10/8 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 182.03
10/10 DEBIT CARD PURCHASE, AUT 100914 VISA DDA PUR 13.35
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
10/14 DEBIT CARD PAYMENT, AUT 101314 VISA DDA PUR 230.23
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
10/14 DEBIT CARD PURCHASE, AUT 101314 VISA DDA PUR 61.73
NORTH NEWS T3 30036750 PHOENIX * AZ
4387662000904468
10/14 DEBIT CARD PAYMENT, AUT 101414 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
10/15 DEBIT CARD PURCHASE, AUT 101414 VISA DDA PUR 1,403.50
SDNY_GAL 00006627
li le:///C/...rs/wIxthrer/DesktopISTAMPINGITD%20BC20 NEA
It ,.. ENJUALICT/00
UTD-DOJ-0000000 I A xt[ 8/4/2020 7:00:59 PM]
Q
EFTA01595680
EXECUTIVE FLYERS AVIAT 781 274 7227 * MA
4387662000904468
10/15 DEBIT POS, AUT 101514 DDA PURCHASE 29.99
SOU BEST BUY 536 932 MANCHESTER * NH
4387662000904468
10/15 DEBIT CARD PURCHASE, AUT 101414 VISA DDA PUR 14.08
CVS PHARMACY 00741 BEDFORD * NH
4387662000904468
10/15 DEBIT CARD PURCHASE, AUT 101414 VISA DDA PUR 10.55
PANERA BREAD 3407 BEDFORD * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
30,245.70
Total
Deposits
Sub Total
Total
Withdrawals
SONY_GM_00006628
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- I NEI
It
- ENITX/NEXT/00
UTD-Dai-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595681
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
SDNY_GM_ 00006629
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BCDNEfil ,.. ENLTLIALT/00
UTD-DO.1-0000000 I A xt[8/4/2020 7:00:59 Mt]
Q
EFTA01595682
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Oct 31 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
10/15 DEBIT CARD PURCHASE, AUT 101414 VISA DDA PUR 4.96
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
10/17 DEBIT POS, AUT 101714 DDA PURCHASE 263.94
AMAZON COM SEATTLE * WA
4387662000904468
10/20 DEBIT CARD PURCHASE, AUT 101614 VISA DDA PUR 43.98
AMAZON MKTPLACE PMTS AMZN COM BILL * WA
4387662000904468
10/20 DEBIT CARD PAYMENT, AUT 101614 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
10/20 DEBIT POS, AUT 101814 DDA PURCHASE 30.79
AMAZON COM SEATTLE * WA
4387662000904468
10/20 DEBIT CARD PURCHASE, AUT 101814 VISA DDA PUR 10.20
NYC TAXI 1D10 LONG ISLAND C * NY
4387662000904468
10/20 DEBIT CARD PURCHASE, AUT 101614 VISA DDA PUR 4.46
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
10/27 DEBIT CARD PURCHASE, AUT 102514 VISA DDA PUR 499.99
AT T DF ZEM03 47800 8003310500 * NY
4387662000904468
10/27 DEBIT CARD PURCHASE, AUT 102614 VISA DDA PUR 8.50
STARBUCKS 18197 MERRIMA MERRIMACK * NH
4387662000904468
10/30 DEBIT CARD PURCHASE, AUT 102914 VISA DDA PUR 8.75
PAUL BAKERY B02 WASHINGTON * DC
4387662000904468
10/30 DEBIT CARD PURCHASE, AUT 102914 VISA DDA PUR 7.37
PEETS 27106 WASHINGTON D * DC
4387662000904468
SDNY_GM_00006630
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- I NEI
It ,- ENDIALICT/00
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EFTA01595683
Subtotal: 2,878.76
DAILY BALANCE SUMMARY
DATE BALANCE
9/30 33,899.46
10/2 33,124.46
10/8 32,942.43
10/10 32,929.08
10/14 32,626.76
DATE BALANCE
10/15 31,163.68
10/17 30,899.74
10/20 30,770.31
10/27 30,261.82
10/30 30,245.70
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Peri
-Nov 30 2014
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 28,548.87
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 30,245.70
Checks Paid 775.00
Electronic Payments 1,707.07
Ending Balance 27,763.63
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
11/6 1011 775.00
Subtotal: 775.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
11/3 DEBIT CARD PURCHASE, AUT 110214 VISA DDA PUR 5.28
STARBUCKS 07273 NEW YOR NEW YORK * NY
4387662000904468
11/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 95.91
11/4 DEBIT CARD PURCHASE, AUT 110214 VISA DDA PUR 84.00
301 E 66 ST GAR2199Q79 NEW YORK * NY
4387662000904468
S0NY_GM_00006631
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EFTA01595684
11/4 DEBIT CARD PURCHASE, AUT 110214 VISA DDA PUR 53.35
APPLE STORE R095 NEW YORK * NY
4387662000904468
11/4 DEBIT CARD PURCHASE, AUT 110214 VISA DDA PUR 11.30
NYC TAXI LONG IS CITY * NY
4387662000904468
11/5 DEBIT CARD PURCHASE, AUT 110414 VISA DDA PUR 8.72
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
11/6 DEBIT CARD PURCHASE, AUT 110414 VISA DDA PUR 8.72
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
11/6 DEBIT CARD PURCHASE, AUT 110514 VISA DDA PUR 7.00
STARBUCKS 02790 FAIRFIE FAIRFIELD * OH
4387662000904468
11/7 DEBIT CARD PURCHASE, AUT 110614 VISA DDA PUR 310.50
EXECUTIVE FLYERS AVIAT 781 274 7227 * MA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
SDNY_GM_00006632
file:///O...rs/wIxthrednesktopISTAMPINGITD%20BC 2
-I NEI
It ,.. ENITIALICT/00
UTD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595685
27,763.63
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
c
SDNV_GM_00006633
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EFTA01595686
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
0 P014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
11/7 DEBIT CARD PURCHASE, AUT 110514 VISA DDA PUR 11.76
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
11/7 DEBIT CARD PURCHASE, AUT 110614 VISA DDA PUR 9.48
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
11/10 DEBIT CARD PURCHASE, AUT 110714 VISA DDA PUR 21.64
GULF OIL 92038867 CHARLTON * MA
4387662000904468
11/10 DEBIT CARD PURCHASE, AUT 110714 VISA DDA PUR 19.54
GULF OIL 92038867 CHARLTON * MA
4387662000904468
11/10 DEBIT CARD PURCHASE, AUT 110814 VISA DDA PUR 18.00
NYC TAXI 2C20 BROOKLYN * NY
4387662000904468
11/10 DEBIT CARD PURCHASE, AUT 110714 VISA DDA PUR 7.45
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
11/12 DEBIT CARD PURCHASE, AUT 110914 VISA DDA PUR 137.00
TODAYTIX 646 568 3249 * NY
4387662000904468
11/12 DEBIT CARD PURCHASE, AUT 110914 VISA DDA PUR 14.90
NYC TAXI NEW YORK * NY
4387662000904468
11/12 DEBIT CARD PAYMENT, AUT 111014 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
SDNY_GAL 00006634
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BCDNEfilQ ENIXIALTAX)1
/TD-DOJ-0000000 IA xt(8/4/2020 7:00:59 Mt]
EFTA01595687
4387662000904468
11/13 DEBIT CARD PURCHASE, AUT 111114 VISA DDA PUR 26.54
CIRCLE K 07259 BEDFORD * NH
4387662000904468
11/13 DEBIT CARD PURCHASE, AUT 111114 VISA DDA PUR 19.99
4029 CLUB FITNESS OF NH BEDFORD * NH
4387662000904468
11/13 DEBIT CARD PURCHASE, AUT 111114 VISA DDA PUR 15.68
CIRCLE K 07259 BEDFORD * NH
4387662000904468
11/14 DEBIT CARD PAYMENT, AUT 111314 VISA DDA PUR 234.56
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
11/17 DEBIT CARD PAYMENT, AUT 111614 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P •-w1 Nnv 01 2M4-Nov 30 2014
Gust Ref #
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
11/17 DEBIT CARD PURCHASE, AUT 111514 VISA DDA PUR 18.62
LE PAIN QUOTIDIEN NEW YORK * NY
4387662000904468
11/17 DEBIT CARD PURCHASE, AUT 111514 VISA DDA PUR 14.25
LE PAIN QUOTIDIEN NEW YORK * NY
4387662000904468
11/17 DEBIT CARD PURCHASE, AUT 111614 VISA DDA PUR 9.90
STARBUCKS 00821 NEW YOR NEW YORK * NY
4387662000904468
11/17 DEBIT CARD PURCHASE, AUT 111314 VISA DDA PUR 8.00
GAFFE MACS CUPERTINO CUPERTINO * CA
4387662000904468
11/18 DEBIT CARD PURCHASE, AUT 111614 VISA DDA PUR 119.60
JUICE PRESS 3 NEW YORK * NY
4387662000904468
11/18 DEBIT POS, AUT 111814 DDA PURCHASE 69.07
TARGET T2009 BEDFORD * NH
4387662000904468
11/20 DEBIT CARD PURCHASE, AUT 111914 VISA DDA PUR 229.50
EXECUTIVE FLYERS AVIAT 781 274 7227 * MA
4387662000904468
11/24 DEBIT CARD PURCHASE, AUT 112014 VISA DDA PUR 9.18
CIRCLE K 07259 BEDFORD * NH
4387662000904468
11/25 DEBIT CARD PURCHASE, AUT 112414 VISA DDA PUR 17.35
GULF OIL 92038859 CHARLTON * MA
4387662000904468
SDNY_GM_00006635
tile:///C/...rs/whohrednesktopISTANIPING/TD%20BCONEilt - ENIXIALTHX)1/TD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595688
11/25 DEBIT CARD PURCHASE, AUT 112414 VISA DDA PUR 8.77
STARBUCKS 07672 NEW YOR NEW YORK * NY
4387662000904468
11/26 DEBIT CARD PURCHASE, AUT 112414 VISA DDA PUR 22.76
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
11/28 DEBIT CARD PURCHASE, AUT 112614 VISA DDA PUR 8.39
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
Subtotal: 1,707.07
DAILY BALANCE SUMMARY
DATE BALANCE
10/31 30,245.70
11/3 30,240.42
11/4 29,995.86
DATE BALANCE
11/5 29,987.14
11/6 29,196.42
11/7 28,864.68
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Pariod Nnv nt 7014-Nov 30 2014
Cust Ref #:
Primary Account #:
DAILY BALANCE SU
DATE BALANCE
11/10 28,798.05
11/12 28,635.79
11/13 28,573.58
11/14 28,339.02
11/17 28,248.25
11/18 28,059.58
DATE BALANCE
11/20 27,830.08
11/24 27,820.90
11/25 27,794.78
11/26 27,772.02
11/28 27,763.63
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Dec 31 2014
Cust Ref #:
Primary Account #:
SDNY_GM_00006636
fite:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCONES It Q ,- ENIXIALIFT/001/TD-DOJ
-0000000 I A xt[AM/2020 7:00:59 PM]
EFTA01595689
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 25,614.46
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 27,763.63
Deposits 44,000.00
Checks Paid 775.00
Electronic Payments 2,359.81
Ending Balance 68,628.82
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
12/31 DEPOSIT 44,000.00
Subtotal: 44,000.00
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
12/4 1013 775.00
Subtotal: 775.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
12/1 DEBIT CARD PURCHASE, AUT 112814 VISA DDA PUR 71.75
CARPACCIO BAL HARBOUR * FL
4387662000904468
12/1 DEBIT CARD PURCHASE, AUT 112914 VISA DDA PUR 6.60
NYC TAXI 9D61 ASTORIA * NY
4387662000904468
12/1 DEBIT CARD PURCHASE, AUT 112914 VISA DDA PUR 5.40
NYC TAXI 7H26 NEW YORK * NY
4387662000904468
12/2 DEBIT CARD PURCHASE, AUT 120114 VISA DDA PUR 41.20
CVS PHARMACY 02400 NEW YORK * NY
4387662000904468
12/3 DEBIT CARD PURCHASE, AUT 120114 VISA DDA PUR 46.50
VICTORIA S SECRET 0185 MANCHESTER * NH
4387662000904468
12/3 DEBIT CARD PURCHASE, AUT 113014 VISA DDA PUR 10.70
NYC TAXI LONG IS CITY * NY
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
Subtract any services charges shown
on this statement.
S0NY_GM_00006637
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
-Ibthi
tSP
pEtlonlrD'DOl-'0017EXT/00 I /TD-DOJ-00000001 A:018/4/2020 7:00:59 PM]
EFTA01595690
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
68,628.82
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
SDNY_GM_ 00006638
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file:///C/...rs/wIxthrednesktopISTANIPING/TD%20B
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EFTA01595691
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
Your name and account number..
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Dec 31 2014
Cust Ref #:
Primary Accoun
DAILY ACCOUNT AC
SDNY_GM_ 00006639
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EFTA01595692
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
12/3 DEBIT CARD PURCHASE, AUT 120214 VISA DDA PUR 8.94
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
12/3 DEBIT CARD PURCHASE, AUT 120114 VISA DDA PUR 8.00
TIDEWATER CAFE AT DEKA MANCHESTER " NH
4387662000904468
12/3 DEBIT CARD PURCHASE, AUT 120114 VISA DDA PUR 4.26
EXXONMOBIL 97486096 WHITE PLAINS * NY
4387662000904468
12/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 83.66
12/4 DEBIT CARD PURCHASE, AUT 120314 VISA DDA PUR 8.72
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
12/5 DEBIT CARD PURCHASE, AUT 120414 VISA DDA PUR 70.81
WALGREENS 3103 EXETER * NH
4387662000904468
12/5 DEBIT CARD PURCHASE, AUT 120414 VISA DDA PUR 63.85
CLEARY CLEANING 21 BEDFORD * NH
4387662000904468
12/5 DEBIT CARD PURCHASE, AUT 120414 VISA DDA PUR 28.90
NASHUA PILOT SHOP NASHUA * NH
4387662000904468
12/5 DEBIT CARD PURCHASE, AUT 120414 VISA DDA PUR 28.82
MIDFIELD CAFE NASHUA * NH
4387662000904468
12/5 DEBIT CARD PURCHASE, AUT 120314 VISA DDA PUR 7.08
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
12/8 DEBIT CARD PURCHASE, AUT 120514 VISA DDA PUR 92.06
SHERATON NORFOLK WATERSD NORFOLK * VA
4387662000904468
12/8 DEBIT CARD PURCHASE, AUT 120414 VISA DDA PUR 28.33
EXXONMOBIL 97456479 EXETER " NH
4387662000904468
12/8 DEBIT CARD PURCHASE, AUT 120614 VISA DDA PUR 27.02
219 AMERICAN BISTRO LLC NORFOLK * VA
4387662000904468
12/8 DEBIT CARD PURCHASE, AUT 120714 VISA DDA PUR 22.78
STARBUCKS 07478 NORFOLK NORFOLK * VA
4387662000904468
12/8 DEBIT CARD PURCHASE, AUT 120514 VISA DDA PUR 3.29
HUDSON NEWS COMPANY MANCHESTER * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Dec 31 2014
Gust Ref #:
Primary Account #:
DAILY ACCOUNT A
SDNY_GM_00006640
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EFTA01595693
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
12/8 DEBIT CARD PURCHASE, AUT 120514 VISA DDA PUR 3.02
DUNKIN 345808 Q35 MANCHESTER * NH
4387662000904468
12/9 DEBIT CARD PURCHASE, AUT 120714 VISA DDA PUR 5.13
DD BR 349240 Q35 BALTIMORE * MD
4387662000904468
12/11 DEBIT CARD PAYMENT, AUT 121014 VISA DDA PUR 10.36
INTUIT ()B ONLINE 800 286 6800 * CA
4387662000904468
12/12 DEBIT CARD PURCHASE, AUT 121114 VISA DDA PUR 111.56
CVS PHARMACY 00741 BEDFORD * NH
4387662000904468
12/12 DEBIT CARD PAYMENT, AUT 121114 VISA DDA PUR 19.99
ABC CLUB FITNESS OF NEW 800 6226290 * NH
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121414 VISA DDA PUR 549.98
OFF 5TH 744 MERRIMACK * NH
4387662000904468
12/15 DEBIT CARD PAYMENT, AUT 121314 VISA DDA PUR 230.21
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121314 VISA DDA PUR 197.04
TARGET 00020099 BEDFORD * NH
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121214 VISA DDA PUR 28.24
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121214 VISA DDA PUR 12.45
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121214 VISA DDA PUR 9.48
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121414 VISA DDA PUR 8.47
AUNTIE ANNE S NH105 MERRIMACK * NH
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121314 VISA DDA PUR 5.07
TARGET 00020099 BEDFORD * NH
4387662000904468
12/16 DEBIT CARD PURCHASE, AUT 121414 VISA DDA PUR 58.09
POLO FACTORY STORE 170 MERRIMACK * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Parinri Dar. 1 9nt4-Dec 31 2014
Cust Ref #:
Primary Account #:
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
SDNY_GM_00006641
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EFTA01595694
POSTING DATE DESCRIPTION AMOUNT
12/17 DEBIT CARD PAYMENT, AUT 121614 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
12/17 DEBIT CARD PURCHASE, AUT 121614 VISA DDA PUR 12.15
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
12/18 NONTD ATM DEBIT, AUT 121814 DDA WITHDRAW 201.75
JFK TERMINAL ONE QUEENS * NY
4387662000904468
12/18 DEBIT CARD PURCHASE, AUT 121714 VISA DDA PUR 5.72
STARBUCKS 17565 BEDFORD BEDFORD " NH
4387662000904468
12/18 NONTD ATM FEE 3.00
12/19 DEBIT CARD PURCHASE, AUT 121714 VISA DDA PUR 20.44
EXXONMOBIL 97422711 GREENWICH * CT
4387662000904468
12/19 DEBIT CARD PURCHASE, AUT 121814 VISA DDA PUR 12.97
HUDSON NEWS JAMAICA * NY
4387662000904468
12/22 DEBIT CARD PURCHASE, AUT 121814 VISA DDA PUR 42.00
301 E 66 ST GAR2199Q79 NEW YORK * NY
4387662000904468
12/24 DEBIT CARD PURCHASE, AUT 122314 VISA DDA PUR 21.89
PAPIERNICTVO TITI KOSICE S VK
4387662000904468
12/26 DEBIT CARD PURCHASE, AUT 122314 VISA DDA PUR 55.58
DATART INTERNATIONAL KOSICE 11 S VK
4387662000904468
12/31 DEBIT CARD PURCHASE, AUT 122914 VISA DDA PUR 23.85
EXXONMOBIL 97486096 WHITE PLAINS * NY
4387662000904468
12/31 DEBIT CARD PURCHASE, AUT 122914 VISA DDA PUR 2.70
EXXONMOBIL 97486096 WHITE PLAINS * NY
4387662000904468
Subtotal: 2,359.81
DAILY BALANCE SUMMARY
DATE BALANCE
11/30 27,763.63
12/1 27,679.88
12/2 27,638.68
12/3 27,560.28
12/4 26,692.90
DATE BALANCE
12/5 26,493.44
12/8 26,316.94
12/9 26,311.81
12/11 26,301.45
12/12 26,169.90
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
SDNY_GM_00006642
tile:///C/...rs/whohredDesktopISTAMPING/TD%20BC2ONEfilt
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EFTA01595695
Statement P '
•
-Dec 31 2014
Gust Ref #:
Primary Account #:
DAILY BALANCE SU
DATE BALANCE
12/15 25,128.96
12/16 25,070.87
12/17 25,018.72
12/18 24,808.25
12/19 24,774.84
DATE BALANCE
12/22 24,732.84
12/24 24,710.95
12/26 24,655.37
12/31 68,628.82
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Period
-Jan 31 2015
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account
ACCOUNT
Average Collected Balance 66,161.14
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 68,628.82
Checks Paid 775.00
Electronic Payments 955.24
Ending Balance 66,898.58
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
1/7 1012 775.00
Subtotal: 775.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
1/2 DEBIT CARD PURCHASE, AUT 123114 VISA DDA PUR 5.72
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
1/5 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.87
1/5 DEBIT CARD PURCHASE, AUT 010115 VISA DDA PUR 19.63
EXXONMOBIL 97443923 MERRIMACK * NH
SDNY_GAL 00006643
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ALICT/00 UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
N
I
T
I
EFTA01595696
4387662000904468
1/12 DEBIT CARD PAYMENT, AUT 011115 VISA DDA PUR 19.99
ABC CLUB FITNESS OF NEW 800 6226290 * NH
4387662000904468
1/12 DEBIT CARD PURCHASE, AUT 010915 VISA DDA PUR 17.59
GULF OIL 92038867 CHARLTON * MA
4387662000904468
1/12 DEBIT CARD PAYMENT, AUT 011015 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
1/12 DEBIT CARD PURCHASE, AUT 010915 VISA DDA PUR 10.03
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
1/13 DEBIT CARD PURCHASE, AUT 011215 VISA DDA PUR 22.97
CIRCLE K 07259 BEDFORD * NH
4387662000904468
1/14 DEBIT CARD PAYMENT, AUT 011315 VISA DDA PUR 235.44
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
S0NY_GM_00006644
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-I NEfi
It ,.. EN:UAL/00
I /TD-DOJ-0000000 I A xa/-1/2020 7:00:59 PM]
EFTA01595697
Balance
66,898.58
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
SDNY_GAL 00006645
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UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595698
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Jan 31 2015
Cust Ref #:
Primary Account #:
DAILY ACCOUNT A
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
1/20 DEBIT CARD PAYMENT, AUT 011615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
1/20 DEBIT CARD PURCHASE, AUT 011815 VISA DDA PUR 7.90
STARBUCKS MAIN12201539 CHARLOTTE * NC
4387662000904468
1/21 DEBIT CARD PURCHASE, AUT 011915 VISA DDA PUR 24.33
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
1/23 DEBIT POS, AUT 012315 DDA PURCHASE 325.81
AMAZON COM SEATTLE * WA
4387662000904468
1/26 DEBIT CARD PURCHASE, AUT 012415 VISA DDA PUR 42.00
301 E 66 ST GAR2199Q79 NEW YORK * NY
4387662000904468
1/28 DEBIT CARD PURCHASE, AUT 012615 VISA DDA PUR 21.15
EXXONMOBIL 97486096 WHITE PLAINS * NY
4387662000904468
1/29 DEBIT CARD PURCHASE, AUT 012715 VISA DDA PUR 50.00
NH TURNPIKE E Z PASS EZPASSNH COM * NJ
4387662000904468
1/30 DEBIT CARD PURCHASE, AUT 012815 VISA DDA PUR 13.45
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
Subtotal: 955.24
S0NY_GM_00006646
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DAILY BALANCE SUMMARY
DATE BALANCE
12/31 68,628.82
1/2 68,623.10
1/5 68,514.60
1/7 67,739.60
1/12 67,681.63
1/13 67,658.66
1/14 67,423.22
DATE BALANCE
1/20 67,375.32
1/21 67,350.99
1/23 67,025.18
1/26 66,983.18
1/28 66,962.03
1/29 66,912.03
1/30 66,898.58
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P- •
-Feb 28 2015
Cust Ref #:
Primary Account #:
TD Business Convenience
us
AVILOOP
Account #
WE'RE CHANGING
WE SEND CHECKING STATEMENTS TO INACTIVE ACCOUNTS
BEGINNING APRIL 1, WE WILL NO LONGER MAIL STATEMENTS FOR CHECKING ACCOUNTS THAT SHOW
NO
CUSTOMER INITIATED ACTIVITY FOR 6 MONTHS. WHEN ACTIVITY RESUMES (EXCLUDING FEES AND
INTEREST
PAYMENTS), STATEMENTS WILL AS WELL. REST ASSURED, YOU CAN VIEW YOUR STATEMENT ANYTIME
FROM
ANYWHERE USING ONLINE BANKING OR BY REQUEST. ITS EASY! ENROLL IN ONLINE BANKING AT
TDBANK.COM/GO-ONLINE. FOR HELP, CALL 1-888-751-9000.
ACCOUNT SUMMARY
Average Collected Balance 65,273.92
Annual Percentage Yield Earned 0.00%
Days in Period 28
Beginning Balance 66,898.58
Checks Paid 775.00
Electronic Payments 2,096.10
Ending Balance 64,027.48
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
SDNYGM_00006647
file:///C/...rs/wIxthrer/DesktopISTANIPING/TD%20BCDMI Q ,- EN:UAL/00
UTD-DO1-0000000 I A xt[8/4/2020 7:00:59 Mt]
EFTA01595700
DATE SERIAL NO. AMOUNT
2/6 1014 775.00
Subtotal: 775.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
2/2 TD ATM DEBIT, AUT 020115 DDA WITHDRAW 400.00
141 SOUTH RIVER RD BEDFORD * NH
4387662000904468
2/2 DEBIT CARD PURCHASE, AUT 013015 VISA DDA PUR 42.72
USPS 32481001032900961 BEDFORD * NH
4387662000904468
2/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.18
2/9 DEBIT CARD PURCHASE, AUT 020515 VISA DDA PUR 90.00
SKYVENTURE NH NASHUA * NH
4387662000904468
2/11 DEBIT CARD PURCHASE, AUT 021015 VISA DDA PUR 34.30
GULF OIL 92038859 CHARLTON * MA
4387662000904468
2/11 DEBIT CARD PAYMENT, AUT 021015 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
2/12 DEBIT CARD PAYMENT, AUT 021115 VISA DDA PUR 19.99
ABC CLUB FITNESS OF NEW 800 6226290 * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
SDNY_GM_ 00006648
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC201NEfilt ,.. E
ALICT/00 UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
QNITI
EFTA01595701
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
64,027.48
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
SDNY_GM_ 00006649
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDNEfil ,Q-
Eunan,001/TD-DOJ-000000
7:00:59 PM]
EFTA01595702
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peri
28 2015
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
2/12 DEBIT POS, AUT 021215 DDA PURCHASE 7.96
USPS 3248100108 BEDFORD * NH
4387662000904468
2/12 DEBIT CARD PURCHASE, AUT 021115 VISA DDA PUR 7.63
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
2/13 DEBIT CARD PURCHASE, AUT 021115 VISA DDA PUR 18.91
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
2/17 DEBIT CARD PAYMENT, AUT 021315 VISA DDA PUR 235.01
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
2/17 DEBIT CARD PAYMENT, AUT 021615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
2/19 DEBIT CARD PURCHASE, AUT 021715 VISA DDA PUR 30.07
SHELL OIL 57427678503 SOLEDAD * CA
4387662000904468
2/23 DEBIT CARD PURCHASE, AUT 022315 VISA DDA PUR 744.85
COURTYARD BY MARRIOTT SA SALINAS * CA
SDNY_GAL00006650
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UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595703
4387662000904468
2/23 DEBIT CARD PURCHASE, AUT 022115 VISA DDA PUR 271.38
PLN PRICELINE HOTELS 800 657 9168 * CT
4387662000904468
2/23 DEBIT CARD PURCHASE, AUT 022115 VISA DDA PUR 24.07
EXXONMOBIL 97227037 LOST HILLS * CA
4387662000904468
2/24 DEBIT CARD PURCHASE, AUT 022215 VISA DDA PUR 21.19
DTW 10336170 DETROIT * MI
4387662000904468
2/24 DEBIT CARD PURCHASE, AUT 022315 VISA DDA PUR 9.48
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
Subtotal: 2,096.10
DAILY BALANCE SUMMARY
DATE BALANCE
1/31 66,898.58
2/2 66,455.86
2/4 66,367.68
2/6 65,592.68
2/9 65,502.68
2/11 65,458.02
DATE BALANCE
2/12 65,422.44
2/13 65,403.53
2/17 65,128.52
2/19 65,098.45
2/23 64,058.15
2/24 64,027.48
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P- is
31 2015
Cust Ref #:
Primary Account #:
TD Business Convenience us
AVILOOP L
Account #
ACCOUNT U
Average Collected Balance 62,782.63
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 64,027.48
Checks Paid 775.00
Electronic Payments 853.25
Ending Balance 62,399.23
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
Q
TJ
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tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BGQ1b,..Eit _
on
.14art 7700 I/TD-DO1-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595704
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
3/3 1016 775.00
Subtotal: 775.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
3/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.19
3/10 DEBIT CARD PURCHASE, AUT 030915 VISA DDA PUR 52.50
EASTSIDE 65 PARKING LL NEW YORK * NY
4387662000904468
3/10 DEBIT CARD PURCHASE, AUT 030915 VISA DDA PUR 6.95
NYC TAXI 4M91 NEW YORK * NY
4387662000904468
3/11 DEBIT CARD PURCHASE, AUT 030915 VISA DDA PUR 180.00
JB AVIATION TRAINING CEN 917 365 4553 * CT
4387662000904468
3/11 DEBIT CARD PAYMENT, AUT 031015 VISA DDA PUR 10.36
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
3/12 DEBIT CARD PURCHASE, AUT 030915 VISA DDA PUR 90.54
MILLION AIR WHITE PLAINS WHITE PLAINS * NY
4387662000904468
3/12 DEBIT CARD PAYMENT, AUT 031115 VISA DDA PUR 19.99
ABC CLUB FITNESS OF NEW 800 6226290 * NH
4387662000904468
3/16 DEBIT CARD PAYMENT, AUT 031315 VISA DDA PUR 221.46
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
3/16 DEBIT POS, AUT 031615 DDA PURCHASE 76.74
TARGET T2009 BEDFORD * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
SDNV_GM_00006652
( P9)
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC2: -INE)fi
It
: - ENT/NEXT/00
UTD-DOJ-0000000 I Axt(8/4/2020 7:00:59 PM]
EFTA01595705
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
62,399.23
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
CO Your name and account number.
A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
SDNY_GM_00006653
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
-I Wirt
,.. ENITX/NEXT/00
I /TD-DOJ-0000000 I A 0[8/4/2020 7:00:59 PM]
EFTA01595706
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peri
-Mar 31 2015
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
3/17 DEBIT CARD PAYMENT, AUT 031615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
3/17 DEBIT CARD PURCHASE, AUT 031515 VISA DDA PUR 4.12
DUNKIN 336577 Q35 MANCHESTER * NH
4387662000904468
3/18 DEBIT CARD PURCHASE, AUT 031715 VISA DDA PUR 15.90
GULF OIL 92038867 CHARLTON * MA
4387662000904468
3/19 DEBIT POS, AUT 031915 DDA PURCHASE 13.29
TARGET T2009 BEDFORD * NH
SDNY_GM_00006654
file:///C/...rs/wIxthrer/DesktopISTAMPINGITD%20BC 2
- INEfi
It ,.. ENInalEXT/00
UTD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595707
4387662000904468
3/19 DEBIT CARD PURCHASE, AUT 031715 VISA DDA PUR 10.70
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
3/23 DEBIT CARD PURCHASE, AUT 032215 VISA DDA PUR 12.48
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
3/27 DEBIT CARD PURCHASE, AUT 032615 VISA DDA PUR 10.03
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
Subtotal: 853.25
DAILY BALANCE SUMMARY
DATE BALANCE
2/28 64,027.48
3/3 63,252.48
3/4 63,164.29
3/10 63,104.84
3/11 62,914.48
3/12 62,803.95
DATE BALANCE
3/16 62,505.75
3/17 62,461.63
3/18 62,445.73
3/19 62,421.74
3/23 62,409.26
3/27 62,399.23
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
0 2015
Cust Ref #
Primary Account #:
TD Business Conveniences
AVILOOP L
Account
ACCOUNT SUMMARY
Average Collected Balance 52,033.84
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 62,399.23
Deposits 1,000.00
Checks Paid 3,500.00
Electronic Payments 18,750.31
Ending Balance 41,148.92
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
4/15 DEPOSIT 1,000.00
Subtotal: 1,000.00
Checks Paid No. Checks: 3 For online bill pay customers, checks numbered "99XXXX" likely represent
SDNY_GM_00006655
ti le:///C/... rs/whohrednesktopISTANIPING/TD%20BCObtEfiltQEKLALT/00
I /TD-DO1-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595708
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
4/17 1020 1,975.00
4/13 1021 1,500.00
DATE SERIAL NO. AMOUNT
4/23 1085* 25.00
Subtotal: 3,500.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
4/2 DEBIT POS, AUT 040215 DDA PURCHASE 22.29
EXXONMOBIL MANCHEST * NH
4387662000904468
4/2 DEBIT CARD PURCHASE, AUT 033115 VISA DDA PUR 11.95
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
4/6 DEBIT CARD PURCHASE, AUT 040415 VISA DDA PUR 133.70
JUST BULBS NEW YORK * NY
4387662000904468
4/6 DEBIT CARD PURCHASE, AUT 040415 VISA DDA PUR 117.94
JUICE PRESS 3 NEW YORK * NY
4387662000904468
4/6 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.19
4/6 DEBIT CARD PURCHASE, AUT 040415 VISA DDA PUR 4.84
TEAVANA 22632 NEW YOR NEW YORK * NY
4387662000904468
4/6 DEBIT CARD PURCHASE, AUT 040515 VISA DDA PUR 2.00
IMPARK00720025U QUEENS * NY
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
SDNY_GM_00006666
file:///C/...rs/wIxthrer/DesktopISTANIPING/TD%20BC 2
- I NEI
It ,.. EN:UAL/00
UTD-DOJ-0000000 I A xt[8/4/2020 7:(X):59 PM]
EFTA01595709
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
41,148.92
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
SDNY_GM_ 00006657
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC2OHNEfil ,.. ENITIALT/00
UTD-DO1-O000000 I A xt[8/4/2020 7:00:59 Mt]
Q
EFTA01595710
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
Your name and account number..
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinri Anr M gnu-Aor 30 2015
Cust Ref #:
Primary Ac
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/7 DEBIT CARD PURCHASE, AUT 040515 VISA DDA PUR 23.97
EXXONMOBIL 97467518 CORONA * NY
4387662000904468
4/9 DEBIT POS, AUT 040915 DDA PURCHASE 302.99
AMAZON COM SEATTLE * WA
4387662000904468
4/10 DEBIT POS, AUT 041015 DDA PURCH W/CB 348.93
TARGET T2009 BEDFORD * NH
4387662000904468
4/13 DEBIT CARD PURCHASE, AUT 041115 VISA DDA PUR 30.64
CIRCLE K 07259 BEDFORD * NH
4387662000904468
SDNV_GM_00006658
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC 2
-I NEfi
It ,.. ENITX/ALT/00
I /TD-DOJ-(XXXXXX) I A xt(8/4/2020 7:00:59 PM]
EFTA01595711
4/13 DEBIT POS, AUT 041115 DDA PURCHASE 25.98
TARGET T2009 BEDFORD " NH
4387662000904468
4/13 DEBIT CARD PAYMENT, AUT 041115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
4/13 DEBIT CARD PAYMENT, AUT 041015 VISA DDA PUR 10.36
INTUIT ()B ONLINE 800 286 6800 * CA
4387662000904468
4/13 DEBIT CARD PURCHASE, AUT 041215 VISA DDA PUR 8.50
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
4/13 DEBIT CARD PURCHASE, AUT 041015 VISA DDA PUR 7.85
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
4/14 DEBIT CARD PAYMENT, AUT 041315 VISA DDA PUR 234.47
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
4/17 ACH DEBIT, IRS USATAXPYMT 200550723077153 16,800.00
4/20 DEBIT CARD PURCHASE, AUT 041615 VISA DDA PUR 235.64
MHT DOLLAR RENT A CAR MANCHESTER * NH
4387662000904468
4/20 DEBIT CARD PURCHASE, AUT 041715 VISA DDA PUR 50.00
STARBUCKS 07612 NEW YOR NEW YORK * NY
4387662000904468
4/20 DEBIT CARD PAYMENT, AUT 041615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
4/20 DEBIT CARD PURCHASE, AUT 041915 VISA DDA PUR 10.78
AMZ ARGOTEAC3125531550 CHICAGO * IL
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Apr 30 2015
Gust Ref #:
Primary Acc
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/21 DEBIT CARD PURCHASE, AUT 042015 VISA DDA PUR 101.61
FEDEXOFFICE 00058941 BEDFORD " NH
4387662000904468
4/21 DEBIT CARD PURCHASE, AUT 042015 VISA DDA PUR 60.00
FEDEXOFFICE 00058941 BEDFORD * NH
4387662000904468
4/21 DEBIT POS, AUT 042115 DDA PURCHASE 20.00
AC MOORE STR 106 MANCHESTER * NH
4387662000904468
4/27 DEBIT CARD PURCHASE, AUT 042415 VISA DDA PUR 7.84
HYATT REGENCY ST LOUIS F ST LOUIS * MO
4387662000904468
SDNY_GM_00006659
tile:///C/...rs/whohrednesktopISTANIPING/TD%20BCDNEfilt ,- ENIXIAL001/TD-DW-00000001
A xtIAM/2020 7:00:59 PM]
Q
EFTA01595712
4/28 DEBIT CARD PURCHASE, AUT 042315 VISA DDA PUR 29.85
RENAISSANCE HOTELS ST LO ST LOUIS * MO
4387662000904468
Subtotal: 18,750.31
DAILY BALANCE SUMMARY
DATE BALANCE
3/31 62,399.23
4/2 62,364.99
4/6 62,018.32
4/7 61,994.35
4/9 61,691.36
4/10 61,342.43
4/13 59,739.11
4/14 59,504.64
DATE BALANCE
4/15 60,504.64
4/17 41,729.64
4/20 41,393.22
4/21 41,211.61
4/23 41,186.61
4/27 41,178.77
4/28 41,148.92
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Perinri Mav 01 9015-May 31 2015
Cust Ref #:
Primary Ac
TD Business Convenience Plus
AV LOOPi l
Account
ACCOUNT SUMMARY
Average Collected Balance 39,506.50
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 41,148.92
Checks Paid 1,550.00
Electronic Payments 1,189.77
Ending Balance 38,409.15
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
5/7 1017 1,550.00
Subtotal: 1,550.00
Electronic Payments
SDNY_GM_00006660
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- I NES
It ,.. ENITANEXT/00
UTD-DOJ-0000000 I A m(SM/2020 7:00:59 PM]
EFTA01595713
POSTING DATE DESCRIPTION AMOUNT
5/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.19
5/4 DEBIT CARD PURCHASE, AUT 050115 VISA DDA PUR 9.05
STARBUCKS 17565 BEDFORD BEDFORD * NH
4387662000904468
5/4 DEBIT CARD PURCHASE, AUT 050115 VISA DDA PUR 8.45
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
5/6 DEBIT CARD PURCHASE, AUT 050515 VISA DDA PUR 11.72
STARBUCKS 13411 MANCHES MANCHESTER * NH
4387662000904468
5/11 DEBIT CARD PAYMENT, AUT 051015 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
5/12 DEBIT CARD PAYMENT, AUT 051115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
5/14 DEBIT CARD PAYMENT, AUT 051315 VISA DDA PUR 230.07
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
5/18 DEBIT CARD PURCHASE, AUT 051615 VISA DDA PUR 75.12
APPLE STORE R095 NEW YORK * NY
4387662000904468
5/18 DEBIT CARD PAYMENT, AUT 051615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
SDNV_GM_00006661
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
It ,- ENITX/NEXT/00
UTD-DOJ-0000000 I A:can/2020 7:00:59 PM]
EFTA01595714
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
38,409.15
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
SDNY_GM_ 00006662
file:///C/...rs/wbohrer/DesktopISTANIPING/TD%20Bc 2
- I - I • -0fi . t , ..
on I
.1-
I
/001/TD-D0.1-00000001.txt[8/42020 7:00:59 PM]
EFTA01595715
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
Your name and account number..
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peri
-Mav31 2015
Cust Ref #:
Primary Acc
DAILY ACCOUNT AC TI
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
5/26 DEBIT CARD PURCHASE, AUT 052215 VISA DDA PUR 49.95
NASHUA PILOT SHOP NASHUA * NH
4387662000904468
5/26 DEBIT CARD PURCHASE, AUT 052215 VISA DDA PUR 33.42
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
5/28 DEBIT POS, AUT 052815 DDA PURCHASE 134.91
MICRO CENTER 12 730 MEM CAMBRIDGE * MA
4387662000904468
5/28 DEBIT CARD PURCHASE, AUT 052615 VISA DDA PUR 8.45
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
5/29 DEBIT CARD PURCHASE, AUT 052815 VISA DDA PUR 467.50
EXECUTIVE FLYERS AVIAT BEDFORD * MA
4387662000904468
Subtotal: 1,189.77
DAILY BALANCE SUMMARY
DATE BALANCE
SDNV_GM_00006663
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-I NEfi
It ,.. EN:UAL/00
UTD-DOJ-0000000 I A m(SM/2020 7:00:59 PM]
EFTA01595716
4/30 41,148.92
5/4 41,043.23
5/6 41,031.51
5/7 39,481.51
5/11 39,468.56
5/12 39,448.57
DATE BALANCE
5/14 39,218.50
5/18 39,103.38
5/26 39,020.01
5/28 38,876.65
5/29 38,409.15
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
2015-Jun 30 2015
Cust Ref #:
Primary Acc
TD Business Conveniences
AVILOOP
Account #
ACCOUNT
Average Collected Balance 49,568.82
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 38,409.15
Electronic Deposits 64,000.67
Electronic Payments 1,684.12
Other Withdrawals 15,025.00
Ending Balance 85,700.70
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
6/9 CCD DEPOSIT, JPMORGAN CHASE AUTH CRDT 4680302873 0.39
6/9 CCD DEPOSIT, JPMORGAN CHASE AUTH CRDT 4680302874 0.28
6/19 CCD DEPOSIT, JPMORGAN CHASE EXT TRNSFR 4698557084 64,000.00
Subtotal: 64,000.67
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
6/1 DEBIT POS, AUT 053115 DDA PURCHASE 73.98
TARGET T2009 BEDFORD * NH
4387662000904468
6/2 DEBIT CARD PAYMENT, AUT 060115 VISA DDA PUR 39.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
6/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.19
6/4 DEBIT POS, AUT 060415 DDA PURCHASE 32.82
CVS 00741 BEDFORD * NH
4387662000904468
6/9 CCD DEBIT, JPMORGAN CHASE AUTH DEBIT 4680302875 0.67
SDNY_GAL 00006664
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BG2aVilt
ENIXIALX)1/TD-DOJ-NHXXXX11
A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595717
6/10 DEBIT CARD PURCHASE, AUT 060815 VISA DDA PUR 152.00
NH SEC OF STATE OTC 603 271 2073 * NH
4387662000904468
6/10 DEBIT CARD PURCHASE, AUT 060815 VISA DDA PUR 8.45
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
6/11 DEBIT CARD PURCHASE, AUT 060915 VISA DDA PUR 33.99
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
6/11 DEBIT CARD PAYMENT, AUT 061015 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
85,700.70
Total
Deposits
Sub Total
Total
SDNY_GM_00006665
11 le:///C/... rs/wIxthrednesktopISTANIPI NG/TD%20BC 2
-I NEI
It`
pEM
I:JAL/00UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595718
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
SDNY_GM_ 00006666
file:///C/...rs/wIxthrednesktopISTAMPINGITD%20BCDUNEfi Q
lt :- ENIIALT/001/TD-DO.1-00000001.(xt[8/4/2020 7:00:59 Mt]
EFTA01595719
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Jun 30 2015
Cust Ref #:
Primary Acc
DAILY ACCO
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
6/12 DEBIT POS, AUT 061215 DDA PURCHASE 51.78
HANNAFORD 8181 BEDFORD * NH
4387662000904468
6/12 DEBIT CARD PAYMENT, AUT 061115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
6/15 DEBIT CARD PAYMENT, AUT 061315 VISA DDA PUR 234.48
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
6/17 TD ATM DEBIT, AUT 061715 DDA WITHDRAW 700.00
141 SOUTH RIVER RD BEDFORD * NH
4387662000904468
6/17 DEBIT CARD PAYMENT, AUT 061615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
6/22 DEBIT CARD PURCHASE, AUT 062015 VISA DDA PUR 27.53
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
6/22 DEBIT CARD PURCHASE, AUT 062015 VISA DDA PUR 10.35
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
6/26 DEBIT CARD PAYMENT, AUT 062415 VISA DDA PUR 149.99
FOREFLIGHT LLC 866 299 2505 * TX
4387662000904468
6/29 DEBIT CARD PURCHASE, AUT 062615 VISA DDA PUR 6.96
NYC TAXI ASTORIA * NY
4387662000904468
Subtotal: 1,684.12
Other Withdrawals
POSTING DATE DESCRIPTION AMOUNT
6/4 WIRE TRANSFER OUTGOING, Mcafee&Taft Escrow Account 15,000.00
6/4 WIRE TRANSFER FEE 25.00
S0NY_GM_00006667
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UTD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595720
Subtotal: 15,025.00
DAILY BALANCE SUMMARY
DATE BALANCE
5/31 38,409.15
6/1 38,335.17
6/2 38,295.18
6/4 23,149.17
6/10 22,988.72
6/11 22,941.78
DATE BALANCE
6/12 22,870.01
6/15 22,635.53
6/17 21,895.53
6/19 85,895.53
6/22 85,857.65
6/26 85,707.66
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinr1 .hrn 01 2015-Jun 30 2015
Cust Ref #
Primary Ac
DAILY BALANCE SU
DATE BALANCE
6/29 85,700.70
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Perim]
31 2015
Cust Ref #:
Primary Acc
TD Business Convenience lus
AVILOOP
Account
ACCOUNT
Average Collected Balance 83,140.14
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 85,700.70
Checks Paid 1,940.00
Electronic Payments 2,009.69
Ending Balance 81,751.01
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
SDNY_GM_0000666,9
file:///C7...rs/wbohreriDesktop/STAMPING/TD%20BCONEfiltQENflIAL/001/TD-DOJ-00000001.txt[8/4/2020 7:00:59 PM]
EFTA01595721
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
7/9 1022 1,940.00
Subtotal: 1,940.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
7/1 DEBIT CARD PURCHASE, AUT 063015 VISA DDA PUR 632.50
EXECUTIVE FLYERS AVIAT 781 274 7227 * MA
4387662000904468
7/6 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 88.19
7/13 DEBIT CARD PAYMENT, AUT 071115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
7/13 DEBIT CARD PAYMENT, AUT 071015 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
7/14 DEBIT CARD PAYMENT, AUT 071315 VISA DDA PUR 230.03
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
7/14 DEBIT POS, AUT 071415 DDA PURCHASE 18.26
AMAZON COM SEATTLE * WA
4387662000904468
7/17 DEBIT CARD PAYMENT, AUT 071615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
7/20 DEBIT CARD PURCHASE, AUT 071615 VISA DDA PUR 32.78
BLACK ROCK STEAKHOUS SPRINGFIELD * VT
4387662000904468
7/20 DEBIT POS, AUT 072015 DDA PURCHASE 25.26
EXXONMOBIL MANCHEST * NH
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
SDNV_GM_00006669
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
- I NEI
It ,- ENITX/NEXT/00
UTD-DOJ-00000001A:018/4/2020 7:00:59 PM]
EFTA01595722
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
81,751.01
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
SDNY_GM_00006670
file:///C/...rs/wIxthrednesktop/STAMPING/TD%20BC2
I
0
IS' Efil
,.. ENITINEXTHX)
UTD-DOJ-0000000 I A xt(8/4/2020 7:00:59 PM]
EFTA01595723
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peri
1 2015
Cust Ref #:
Primary Acc
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
7/20 DEBIT CARD PURCHASE, AUT 071815 VISA DDA PUR 21.82
DUNKIN 351728 Q35 SPRINGFIELD * VT
4387662000904468
7/21 DEBIT CARD PURCHASE, AUT 071615 VISA DDA PUR 389.13
HOLIDAY INN EXPRESS SPRINGFIELD * VT
4387662000904468
7/21 DEBIT CARD PURCHASE, AUT 072015 VISA DDA PUR 8.72
WATERWORKS CAFE MANCHESTER * NH
4387662000904468
7/23 DEBIT CARD PURCHASE, AUT 072115 VISA DDA PUR 60.99
SDNY_GAL 00006671
li le:///C/...rs/wIxthredDesktopISTAMPING/TD%20BC2OHNEAQ
It ,- ENIXIALTAX)1/TD-DOJ-00000001.(xt[8/4/2020 7:00:59 PM]
EFTA01595724
TOUCH OF MODERN TOUCHOFMODERN * CA
4387662000904468
7/29 TD ATM DEBIT, AUT 072915 DDA WITHDRAW 420.00
1255 S WILLOW MANCHESTER * NH
4387662000904468
7/30 DEBIT CARD PURCHASE, AUT 072815 VISA DDA PUR 9.07
EXXONMOBIL 97444186 MANCHESTER * NH
4387662000904468
Subtotal: 2,009.69
DAILY BALANCE SUMMARY
DATE BALANCE
6/30 85,700.70
7/1 85,068.20
7/6 84,980.01
7/9 83,040.01
7/13 83,007.07
7/14 82,758.78
DATE BALANCE
7/17 82,718.78
7/20 82,638.92
7/21 82,241.07
7/23 82,180.08
7/29 81,760.08
7/30 81,751.01
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Au 31 2015
Cust Ref #:
Primary Ac
TD Business Convenience •lus
AVILOOP
Account
ACCOUNT SUMMARY
Average Collected Balance 79,183.94
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 81,751.01
Checks Paid 1,952.00
Electronic Payments 974.77
Ending Balance 78,824.24
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
8/3 1024 1,952.00
SDNY_GM_00006672
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
It ,- ENDAJEXT/001/TD-DOJ-00000001.(x68/4/2020 7:00:59 PM]
EFTA01595725
Subtotal: 1,952.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
8/3 DEBIT CARD PURCHASE, AUT 073015 VISA DDA PUR 181.36
WIZZ AIR HUN920WZZNEEMRH BUDAPEST H UN
4387662000904468
8/3 DEBIT CARD PURCHASE, AUT 073115 VISA DDA PUR 21.22
GULF OIL 92038867 CHARLTON * MA
4387662000904468
8/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 112.64
8/6 DEBIT CARD PURCHASE, AUT 080515 VISA DDA PUR 213.00
US MRV EMBASSY FEE READING G BR
4387662000904468
8/6 DEBIT CARD PURCHASE, AUT 080415 VISA DDA PUR 30.34
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
8/6 DEBIT CARD PURCHASE, AUT 080415 VISA DDA PUR 8.50
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
8/10 DEBIT CARD PURCHASE, AUT 080715 VISA DDA PUR 40.00
WHITE PLAINS AVIA PTNRS WHITE PLAINS * NY
4387662000904468
8/10 DEBIT CARD PURCHASE, AUT 080915 VISA DDA PUR 20.66
TARGET 00020099 BEDFORD * NH
4387662000904468
8/11 DEBIT CARD PAYMENT, AUT 081015 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
SDNY_GM_00006673
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC 2
-INEfi
It ,.. EMI:JAL/00
UTD-DOJ-00000001 A:018/4/2020 7:00:59 PM]
EFTA01595726
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
78,824.24
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
SDNY_GM_00006674
file:///C/...rs/wholuer/DesktopISTAMPING/TD%20BC 2
- I (NES It
- ENITANOCT/00
UTD-DOJ-0000000 I A;(68/4/2020 7:00:59 PM]
EFTA01595727
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinri Attn m 9nt5-Auo31 2015
Cust Ref #:
Primary Acc
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
8/12 DEBIT CARD PAYMENT, AUT 081115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
8/12 DEBIT CARD PURCHASE, AUT 081015 VISA DDA PUR 8.50
TIDEWATER CAFE AT DEKA MANCHESTER * NH
4387662000904468
8/14 DEBIT CARD PAYMENT, AUT 081315 VISA DDA PUR 234.45
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
8/17 DEBIT CARD PAYMENT, AUT 081615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
8/17 DEBIT CARD PURCHASE, AUT 081415 VISA DDA PUR 8.08
SERENA S NEW YORK * NY
4387662000904468
8/20 DEBIT CARD PURCHASE, AUT 081815 VISA DDA PUR 23.08
SDNY_GAL 00006675
li le:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC2OHNEA It :- EtattaLT/00
I/TD-DOJ -0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595728
STAPLES 00105270 BEDFORD * NH
4387662000904468
Subtotal: 974.77
DAILY BALANCE SUMMARY
DATE BALANCE
7/31 81,751.01
8/3 79,596.43
8/4 79,483.79
8/6 79,231.95
8/10 79,171.29
DATE BALANCE
8/11 79,158.34
8/12 79,129.85
8/14 78,895.40
8/17 78,847.32
8/20 78,824.24
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Pprind• Spn 01 2015-Seo 30 2015
Gust Ref #:
Primary Acc
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT U
Average Collected Balance 78,504.19
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 78,824.24
Electronic Payments 504.24
Ending Balance 78,320.00
DAILY ACCOUNT ACTIVITY
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
9/4 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 112.64
9/9 DEBIT CARD PURCHASE, AUT 090715 VISA DDA PUR 18.30
CIRCLE K 07259 BEDFORD * NH
4387662000904468
9/10 DEBIT CARD PURCHASE, AUT 090815 VISA DDA PUR 19.90
APPLE STORE R631 MANCHESTER * NH
4387662000904468
9/14 DEBIT CARD PAYMENT, AUT 091315 VISA DDA PUR 234.35
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
9/14 DEBIT CARD PAYMENT, AUT 091115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
9/14 DEBIT CARD PURCHASE, AUT 091115 VISA DDA PUR 19.67
GULF OIL 92038867 CHARLTON * MA
SDNY_GM_00006676
ti le:///C/...rs/wl,ohrer/Desktop/STAMPING/TD%20BC2ONES It Q ,- ENIXIAL/001/TD-DOJ
-0000000 I A xit AM/2020 7:00:59 PM]
EFTA01595729
4387662000904468
9/14 DEBIT CARD PAYMENT, AUT 091415 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
9/15 DEBIT CARD PURCHASE, AUT 091315 VISA DDA PUR 17.74
EXXONMOBIL 97422489 ORANGE * CT
4387662000904468
9/17 DEBIT CARD PAYMENT, AUT 091615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
9/29 DEBIT CARD PURCHASE, AUT 092815 VISA DDA PUR 8.70
PANERA BREAD 3407 BEDFORD * NI-I
4387662000904468
Subtotal: 504.24
DAILY BALANCE SUMMARY
DATE BALANCE
8/31 78,824.24
DATE BALANCE
9/4 78,711.60
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
SDNV_GM_00006677
file:///C/...rs/wIxthrednesktop/STAMPING/TD%20BC 2
- I NEI
It ,.. EM'D(11L/00
UTD-DOJ-0000000 I A m(SM/2020 7:00:59 PM]
EFTA01595730
Balance
78,320.00
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
SDNY_GAL 00006678
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BCDNEfil ,- Emuan,00
I /TD-DOJ-00000001A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595731
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Se 30 2015
Gust Ref #:
Primary Acc
DAILY BALANCE SU
DATE BALANCE
9/9 78,693.30
9/10 78,673.40
9/14 78,386.44
DATE BALANCE
9/15 78,368.70
9/17 78,328.70
9/29 78,320.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Peri
-Oct 31 2015
Cust Ref #:
Primary Ac
TD Business Convenience 1us
AVILOOP
Account
ACCOUNT SUMMARY
Average Collected Balance 75,202.06
Annual Percentage Yield Earned 0.00%
SDNV_GM_00006679
I
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC2 C I biffi
It ,.. ENITANEXTHX)
I /TD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595732
Days in Period 31
Beginning Balance 78,320.00
Checks Paid 2,985.00
Electronic Payments 639.45
Ending Balance 74,695.55
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 2 For online bill pay customers, checks numbered "99XXXX" likely represent
payments to a Biller that were
delivered as a paper check. Funds were withdrawn from your account when the check was cashed. You can
view
these cleared checks in the Account History section of Online Banking.
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
10/8 1023 1,060.00
10/1 1025* 1,925.00
Subtotal: 2,985.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
10/5 ELECTRONIC PMT-WEB, COMCAST COMCAST 1810231045 SPA 112.64
10/5 DEBIT CARD PAYMENT, AUT 100315 VISA DDA PUR 30.00
NH TURNPIKE E Z PASS 877 643 9727 * NJ
4387662000904468
10/8 DEBIT CARD PURCHASE, AUT 100615 VISA DDA PUR 20.14
SHELL OIL 57544917503 MANCHESTER * NH
4387662000904468
10/13 DEBIT CARD PURCHASE, AUT 101015 VISA DDA PUR 36.16
FIG OLIVE UPTOWN NEW YORK * NY
4387662000904468
10/13 DEBIT CARD PAYMENT, AUT 101115 VISA DDA PUR 19.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
10/13 DEBIT CARD PAYMENT, AUT 101015 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
10/14 DEBIT CARD PAYMENT, AUT 101315 VISA DDA PUR 230.02
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
10/19 DEBIT CARD PAYMENT, AUT 101615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
10/21 DEBIT CARD PURCHASE, AUT 102015 VISA DDA PUR 17.55
PULP CIRCUMSTANCE HAMILTON HM11 B MU
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
SDNV_GM_00006680
file:///C/...rs/wIxthrednesktop/STANIPING/TD%20BC 2
- I NEM
It ,.. EN:UAL/00
UTD-DOJ-0000000 I A:0[8/42020 7:00:59 PM]
EFTA01595733
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
74,695.55
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
SDNY_GAL 00006681
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC2Qhthil :- ENITIAL/001/TD-DW-00000001Axt(8/4/2020 7:00:59 PM]
Q
EFTA01595734
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Oct 31 2015
Cust Ref #:
Primary Acc
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
10/22 DEBIT CARD PURCHASE, AUT 102115 VISA DDA PUR 100.00
SDNY_GAL 00006682
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC2OHNEfil Q ,- EtattaL/001/TD-DOJ-00000001.(xt(8/4/2020 7:00:59 Mt]
EFTA01595735
AVIATION MEDICAL EXAMINE MANCHESTER * NH
4387662000904468
10/30 DEBIT CARD PURCHASE, AUT 102815 VISA DDA PUR 20.00
EXXONMOBIL 97444186 MANCHESTER " NH
4387662000904468
Subtotal: 639.45
DAILY BALANCE SUMMARY
DATE BALANCE
9/30 78,320.00
10/1 76,395.00
10/5 76,252.36
10/8 75,172.22
10/13 75,103.12
DATE BALANCE
10/14 74,873.10
10/19 74,833.10
10/21 74,815.55
10/22 74,715.55
10/30 74,695.55
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement Pffincl• Nov 01 2015-Nov 30 2015
Cust Ref #:
Primary Acc(
TD Business Convenience
us
AVILOOP L
Account #
WE WILL SOON
A MONTHLY FEE FOR PAPER STATEMENTS.
BEGINNING JANUARY 1, 2016, WE'LL CHARGE A $2.00 MONTHLY FEE FOR PAPER STATEMENTS. TO HELP
US "GO
GREEN" AND AVOID THIS FEE, LOG IN TO TDBANK.COM/BUSINESSDIRECT AND SIGN UP FOR ONLINE
STATEMENTS
ONLY BY DECEMBER 31, 2015. IF YOU DON'T USE ONLINE BANKING NOW, YOU'LL NEED TO SIGN UP FOR
TD BANK
BUSINESSDIRECT FIRST. IF YOU ONLY RECEIVE ONLINE STATEMENTS NOW, THIS FEE DOESN'T APPLY.
QUESTIONS? CALL 1-888-751-9000.
ACCOUNT SUMMARY
Average Collected Balance 74,404.05
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 74,695.55
Electronic Payments 597.18
Ending Balance 74,098.37
DAILY ACCOUNT ACTIVITY
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
11/9 DEBIT CARD PURCHASE, AUT 110715 VISA DDA PUR 27.23
P J CLARKES AT LI NEW YORK " NY
4387662000904468
SDNY_GM_00006683
tile:///C/...rs/whohrednesktopISTAMPING/TD%20BCDMIt Q ,- ENIXIAL/001/TD-DOJ-0000000
I A xt[8/4/2020 7:00:59 PM]
EFTA01595736
11/12 DEBIT CARD PAYMENT, AUT 111115 VISA DDA PUR 24.99
ABC CHOICE FITNESS 800 6226290 * NH
4387662000904468
11/12 DEBIT CARD PAYMENT, AUT 111115 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
11/16 DEBIT CARD PAYMENT, AUT 111315 VISA DDA PUR 234.39
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
11/17 DEBIT CARD PAYMENT, AUT 111615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
11/18 DEBIT CARD PURCHASE, AUT 111615 VISA DDA PUR 257.62
PLN PRICELINE HOTELS 800 657 9168 * CT
4387662000904468
Subtotal: 597.18
DAILY BALANCE SUMMARY
DATE BALANCE
10/31 74,695.55
11/9 74,668.32
11/12 74,630.38
DATE BALANCE
11/16 74,395.99
11/17 74,355.99
11/18 74,098.37
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
SONY_GM_00006684
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I N9Efi It
- ENITX/NEXT/00
UTD-Dai-0000000 I x0[8/4/2020 7:00:59 PM]
EFTA01595737
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
74,098.37
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
SDNY_GM_ 00006685
file:///C/...rs/wIxthrednesktopISTAMPINGITD%20BCDUNEfilt :- EtattaL/00
UTD-DO1-0000000 I A xt(8/4/2020 7:00:59 PM]
Q
EFTA01595738
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Dec 31 2015
Cust Ref #:
Primary Account #:
TD Business Convenience
us
AVILOOP
Account #
ACCOUNT SUMMARY
Average Collected Balance 73,789.45
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 74,098.37
Electronic Payments 566.23
Ending Balance 73,532.14
DAILY ACCOUNT ACTIVITY
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
12/10 DEBIT CARD PURCHASE, AUT 120915 VISA DDA PUR 55.00
EXPERIMENTAL AIRCRAFT AS OSHKOSH * WI
4387662000904468
12/10 DEBIT CARD PURCHASE, AUT 120815 VISA DDA PUR 41.68
OSTERIA DEL CIRCO NEW YORK * NY
4387662000904468
12/11 DEBIT CARD PAYMENT, AUT 121015 VISA DDA PUR 12.95
SDNY_GAL 00006686
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BCZNEfil ,Q-
ENIXIAL/00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 Mt]
EFTA01595739
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
12/14 DEBIT CARD PAYMENT, AUT 121315 VISA DDA PUR 230.06
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
12/15 DEBIT CARD PURCHASE, AUT 121415 VISA DDA PUR 7.29
HUDSONNEWS ST1177 JAMAICA * NY
4387662000904468
12/16 DEBIT CARD PURCHASE, AUT 121415 VISA DDA PUR 57.90
BEVERLY HILLS CAB COM LOS ANGELES * CA
4387662000904468
12/16 DEBIT CARD PURCHASE, AUT 121415 VISA DDA PUR 25.00
VIRGIN AMER 984260701986 NEW YORK * NY
4387662000904468
12/16 DEBIT CARD PURCHASE, AUT 121415 VISA DDA PUR 1.19
JFK DUNKIN DONUTS RTHL JAMAICA * NY
4387662000904468
12/17 DEBIT CARD PAYMENT, AUT 121615 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
12/21 DEBIT POS, AUT 121915 DDA PURCHASE 68.60
BARNESNOBLE 13400 MAXELL MARINA DEL RE * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
S0NY_GM_00006687
11 le:///C/... rs/wIxthrer/DesktopISTAMPI NG/TD%20BC 2
-I NE[fi
It
- ENITX/NEXT/00
I /TD-DOJ-0000000 I A 0[8/4/2020 7:00:59 PM]
EFTA01595740
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
73,532.14
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
(E) Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
SDNY_GM_ 00006688
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Ti
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20B
2
- I - I • -00 . t ,..
on D-D 1-
1
/001/TD-DOJ-00000001.(xt(8/4/2020 7:00:59 PM]
EFTA01595741
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Dec 31 2015
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
12/24 DEBIT POS, AUT 122415 DDA PURCHASE 26.56
WALGREENS MARINA DEL RE * CA
4387662000904468
Subtotal: 566.23
DAILY BALANCE SUMMARY
DATE BALANCE
11/30 74,098.37
12/10 74,001.69
12/11 73,988.74
12/14 73,758.68
12/15 73,751.39
DATE BALANCE
12/16 73,667.30
12/17 73,627.30
12/21 73,558.70
12/24 73,532.14
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
SDNY_GM_00006689
file:///C/...rs/wIxthrednesktopISTAMPING/TD%208C 2
- I NES
It ,.. Eat/NEXT/00
UTD-DO1-0000000 I A m(8M/2020 7:00:59 PM]
EFTA01595742
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
•
-Jan 31 2016
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 76,422.87
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 73,532.14
Electronic Deposits 10,000.00
Electronic Payments 3,493.59
Ending Balance 80,038.55
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
1/19 eTransfer Credit, Online Xfer 10,000.00
Transfer from CK 4312480538
Subtotal: 10,000.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
1/4 DEBIT CARD PURCHASE, AUT 010216 VISA DDA PUR 20.28
ZINQUE VENICE * CA
4387662000904468
1/11 DEBIT CARD PAYMENT, AUT 011016 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
1/14 DEBIT CARD PAYMENT, AUT 011316 VISA DDA PUR 234.19
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
1/19 ELECTRONIC PMT-WEB, TD AUTO FINANCE WEB PAY 0001101048523 1,000.00
1/19 DEBIT CARD PAYMENT, AUT 011616 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
1/22 DEBIT CARD PURCHASE, AUT 012016 VISA DDA PUR 2,176.21
AVIAT AIRCRAFT INC 307 8853151 * WY
4387662000904468
1/27 DEBIT CARD PURCHASE, AUT 012616 VISA DDA PUR 9.96
UNITED OIL 181 MARINA DEL RE * CA
4387662000904468
Subtotal: 3,493.59
DAILY BALANCE SUMMARY
DATE BALANCE
12/31 73,532.14
1/4 73,511.86
1/11 73,498.91
1/14 73,264.72
DATE BALANCE
1/19 82,224.72
1/22 80,048.51
1/27 80,038.55
SDNY_GM_00006690
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCD1 Wilt
Q
,- ENITXIALMI/TD-DOJ-0000000
I A xtIAM/2020 7:00:59 PM]
EFTA01595743
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
80,038.55
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
S0NY_GM_00006691
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC 2
-I Wilt
,- ENDINEXT/00
UTD-DOJ-0000000 I A:0[8/-1/2020 7:00:59 PM]
EFTA01595744
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
SDNY_GM_ 00006692
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BCDNEfil ,.. Eunan,00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM[
Q
EFTA01595745
included in your total finance charge.
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
•
-Feb 29 2016
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 82,506.42
Annual Percentage Yield Earned 0.00%
Days in Period 29
Beginning Balance 80,038.55
Electronic Deposits 3,000.00
Electronic Payments 1,019.34
Ending Balance 82,019.21
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
2/2 eTransfer Credit, Online Xfer 3,000.00
Transfer from CK 4312480538
Subtotal: 3,000.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
2/1 DEBIT CARD PURCHASE, AUT 013016 VISA DDA PUR 54.03
ROSE CAFE VENICE * CA
4387662000904468
2/1 DEBIT CARD PURCHASE, AUT 013016 VISA DDA PUR 15.00
BELLAGIO NIALS SPA MARINA DEL RA * CA
4387662000904468
2/4 DEBIT CARD PURCHASE, AUT 020316 VISA DDA PUR 62.00
PAYPAL AVILOOP LLC 402 935 7733 * CA
4387662000904468
2/4 DEBIT CARD PURCHASE, AUT 020316 VISA DDA PUR 25.00
PAYPAL STARBUCKS 402 935 7733 * WA
4387662000904468
2/8 DEBIT CARD PAYMENT, AUT 020716 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
2/11 DEBIT CARD PAYMENT, AUT 021016 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
2/12 DEBIT CARD PURCHASE, AUT 021116 VISA DDA PUR 30.00
PAYPAL AVILOOP LLC 402 935 7733 * FL
4387662000904468
2/16 DEBIT CARD PAYMENT, AUT 021316 VISA DDA PUR 233.92
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
2/16 DEBIT CARD PAYMENT, AUT 021216 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
SDNY_GAL 00006693
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCDAElt ,- ENIXIAL001/TD-DOJ-0000000
I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595746
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
82,019.21
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
SDNY_GM_00006694
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC 2
-I NEfi
It ,- ENIDIALICT/00
UTD-MU-0000000 I A xt18/4/2020 7:00:59 PM]
EFTA01595747
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
SDNY_GAL 00006695
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EFTA01595748
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P '
-Feb 29 2016
Cust Ref #:
**
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
2/16 DEBIT CARD PURCHASE, AUT 021316 VISA DDA PUR 19.98
TENDER GREENS SANTA MO SANTA MONICA * CA
4387662000904468
2/16 DEBIT CARD PURCHASE, AUT 021316 VISA DDA PUR 2.00
CITY OF B H PARKING METE BEVERLY HILLS * CA
4387662000904468
2/17 DEBIT CARD PAYMENT, AUT 021616 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
2/22 DEBIT CARD PURCHASE, AUT 021916 VISA DDA PUR 25.23
HUDSON NEWS RICHMOND C AN
4387662000904468
2/22 DEBIT CARD PAYMENT, AUT 022016 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
2/23 DEBIT CARD PAYMENT, AUT 022216 VISA DDA PUR 10.88
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
2/25 DEBIT CARD PAYMENT, AUT 022516 DDA PURCHASE 321.63
PAYPAL GODADDY COM SAN JOSE * CA
4387662000904468
2/25 DEBIT CARD PAYMENT, AUT 022516 DDA PURCHASE 50.32
PAYPAL GODADDY COM SAN JOSE * CA
4387662000904468
2/29 DEBIT CARD PURCHASE, AUT 022716 VISA DDA PUR 16.95
SUNLIFE ORGANICS MALIBU MALIBU * CA
4387662000904468
2/29 DEBIT CARD PURCHASE, AUT 022616 VISA DDA PUR 13.45
NICK S MARKET VENICE * CA
4387662000904468
2/29 DEBIT CARD PURCHASE, AUT 022516 VISA DDA PUR 11.00
INTELLIGENTSIA COFFEE VENICE * CA
4387662000904468
Subtotal: 1,019.34
DAILY BALANCE SUMMARY
DATE BALANCE
1/31 80,038.55
2/1 79,969.52
2/2 82,969.52
2/4 82,882.52
2/8 82,857.52
2/11 82,844.57
DATE BALANCE
SDNY_GM_00006696
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2/12 82,814.57
2/16 82,533.67
2/17 82,493.67
2/22 82,443.44
2/23 82,432.56
2/25 82,060.61
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Feb 29 2016
Cust Ref #:
Primary Account #:
DAILY BALANCE SU
DATE BALANCE
2/29 82,019.21
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Mar 31 2016
Cust Ref #:
-***
Primary Account #:
TD Business Convenience
us
AVILOOP L
Account #
ACCOUNT U
Average Collected Balance 76,855.10
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 82,019.21
Electronic Deposits 5,001.29
Electronic Payments 1,608.36
Other Withdrawals 80,025.00
Ending Balance 5,387.14
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
3/14 ACH DEPOSIT, SQUARE INC 160314A2 M1137423069 0.49
3/21 ACH DEPOSIT, ALLY BANK TRIALCREDT 863959093 0.50
3/21 ACH DEPOSIT, ALLY BANK TRIALCREDT 863959091 0.30
3/28 eTransfer Credit, Online Xfer 5,000.00
Transfer from CK 4312480538
Subtotal: 5,001.29
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
3/1 DEBIT CARD PAYMENT, AUT 022916 VISA DDA PUR 46.32
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EFTA01595750
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662000904468
3/1 DEBIT CARD PAYMENT, AUT 022916 VISA DDA PUR 6.02
PP FACEBOOK 402 935 7733 * CA
4387662000904468
3/2 DEBIT CARD PAYMENT, AUT 030116 VISA DDA PUR 7.35
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
3/3 DEBIT CARD PAYMENT, AUT 030216 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
3/4 DEBIT CARD PURCHASE, AUT 030216 VISA DDA PUR 53.73
TRASTEVERE HOLLYWOOD * CA
4387662000904468
3/4 DEBIT CARD PURCHASE, AUT 030316 VISA DDA PUR 13.75
COFFEE BEAN STORE SANTA MONICA * CA
4387662000904468
3/4 DEBIT CARD PURCHASE, AUT 030316 VISA DDA PUR 2.50
SM DWNTWN STRUCT SANTA MONICA * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
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EFTA01595751
Ending
Balance
5,387.14
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
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® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Mar 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
3/7 DEBIT CARD PURCHASE, AUT 030616 VISA DDA PUR 15.01
FRIDA S TACOS LLC SANTA MONICA * CA
4387662000904468
3/9 DEBIT CARD PAYMENT, ALIT 030816 VISA DDA PUR 30.00
PAYPAL GOODSIE 402 935 7733 * FL
4387662000904468
3/9 DEBIT CARD PAYMENT, AUT 030816 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
3/10 DEBIT CARD PURCHASE, AUT 030816 VISA DDA PUR 32.91
USA 63248 SANTA MONICA * CA
4387662000904468
3/11 DEBIT CARD PAYMENT, AUT 031016 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
3/14 DEBIT CARD PAYMENT, AUT 031316 VISA DDA PUR 225.28
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
3/14 ELECTRONIC PMT-WEB, SQUARE INC 160314A2 M1137413584 0.49
3/15 DEBIT POS, AUT 031516 DDA PURCHASE 7.85
USPS 0581100301 MARINA DEL RE * CA
4387662000904468
3/16 DEBIT CARD PAYMENT, AUT 031516 VISA DDA PUR 6.95
UBER TECHNOLOGIES INC 866 576 1039 * CA
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4387662000904468
3/16 DEBIT CARD PAYMENT, AUT 031516 VISA DDA PUR 6.04
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
3/16 DEBIT CARD PAYMENT, AUT 031516 VISA DDA PUR 4.83
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
3/16 DEBIT CARD PAYMENT, AUT 031516 VISA DDA PUR 4.65
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
3/17 DEBIT CARD PAYMENT, AUT 031616 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
3/17 DEBIT CARD PURCHASE, AUT 031516 VISA DDA PUR 19.98
TENDER GREENS SANTA MO SANTA MONICA * CA
4387662000904468
3/17 DEBIT CARD PAYMENT, AUT 031616 VISA DDA PUR 4.65
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peri
-Mar 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
3/21 DEBIT CARD PAYMENT, AUT 031816 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
3/21 DEBIT CARD PURCHASE, AUT 031616 VISA DDA PUR 14.25
LE PAIN QUOTIDIEN MARINA DEL RE * CA
4387662000904468
3/21 DEBIT CARD PURCHASE, AUT 031916 VISA DDA PUR 5.00
INTELLIGENTSIA COFFEE VENICE * CA
4387662000904468
3/21 ELECTRONIC PMT-WEB, ALLY BANK TRIALDEBIT 863959095 0.80
3/22 DEBIT CARD PURCHASE, AUT 032016 VISA DDA PUR 244.40
AMERICAN AIR001219415485 FORT WORTH * TX
4387662000904468
3/22 DEBIT CARD PURCHASE, AUT 032016 VISA DDA PUR 62.00
AMERICAN AIR001062682747 FORT WORTH * TX
4387662000904468
3/22 DEBIT CARD PURCHASE, AUT 032016 VISA DDA PUR 26.73
AIR CANADA 014216026853 AIRCANADA COM * AZ
4387662000904468
3/23 DEBIT CARD PURCHASE, AUT 032216 VISA DDA PUR 47.37
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
3/23 DEBIT POS, AUT 032316 DDA PURCHASE 41.36
STAPLES INC NEW YORK * NY
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4387662000904468
3/23 DEBIT CARD PURCHASE, AUT 032116 VISA DDA PUR 27.94
GJELINA VENICE * CA
4387662000904468
3/23 DEBIT POS, AUT 032316 DDA PURCHASE 8.90
STAPLES INC NEW YORK * NY
4387662000904468
3/24 DEBIT CARD PURCHASE, AUT 032316 VISA DDA PUR 69.04
AEROPLAN MONTREAL C AN
4387662000904468
3/24 DEBIT CARD PAYMENT, AUT 032216 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
3/25 DEBIT CARD PURCHASE, AUT 032316 VISA DDA PUR 35.95
PAYPAL CASETAGRAM 4029357733 H KG
4387662000904468
3/25 DEBIT CARD PURCHASE, AUT 032416 VISA DDA PUR 23.60
BLOOMINGDALE S 001 NEW YORK * NY
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Pert
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
3/25 DEBIT CARD PURCHASE, AUT 032316
STAPLES 00153221 NEW YORK * NY
4387662000904468
3/28 DEBIT CARD PURCHASE, AUT 032516
AUTHORIZENET 801 4923502 * UT
4387662000904468
3/28 DEBIT CARD PURCHASE, AUT 032716
PAYPAL 48HOURPRINT 800 844 0599 * MA
4387662000904468
3/28 DEBIT CARD PURCHASE, AUT 032616
ROBERT 115 NEW YORK * NY
4387662000904468
3/28 DEBIT CARD PAYMENT, AUT 032616 V
PAYPAL STARBUCKS STARB 402 935 7733 *
4387662000904468
3/28 DEBIT CARD PURCHASE, AUT 032516
BAGELWORKS NEW YORK * NY
4387662000904468
3/28 DEBIT CARD PURCHASE, AUT 032616
NYC TAXI 1T35 WOODSIDE * NY
4387662000904468
3/29 DEBIT CARD PURCHASE, AUT 032816
NYC TAXI 8H45 BRONX * NY
4387662000904468
-Mar 31 2016
VISA DDA PUR 19.98
VISA DDA PUR 99.95
VISA DDA PUR 65.04
VISA DDA PUR 33.85
ISA DDA PUR 25.00
WA
VISA DDA PUR 9.40
VISA DDA PUR 9.35
VISA DDA PUR 5.15
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3/30 DEBIT CARD PURCHASE, AUT 032916 VISA DDA PUR 20.96
PAYPAL ZAZZLECOMIN 402 935 7733 * CA
4387662000904468
3/31 DEBIT CARD PURCHASE, AUT 033016 VISA DDA PUR 71.08
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
Subtotal: 1,608.36
Other Withdrawals
POSTING DATE DESCRIPTION AMOUNT
3/30 WIRE TRANSFER OUTGOING, Mcafee & Taft Escrow Account 80,000.00
3/30 WIRE TRANSFER FEE 25.00
Subtotal: 80,025.00
DAILY BALANCE SUMMARY
DATE BALANCE
2/29 82,019.21
3/1 81,966.87
3/2 81,959.52
DATE BALANCE
3/3 81,934.52
3/4 81,864.54
3/7 81,849.53
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
2016-Mar 31 2016
Cust Ref #:
Primary Account #:
DAILY BALANCE SU
DATE BALANCE
3/9 81,794.53
3/10 81,761.62
3/11 81,748.67
3/14 81,523.39
3/15 81,515.54
3/16 81,493.07
3/17 81,428.44
3/21 81,384.19
DATE BALANCE
3/22 81,051.06
3/23 80,925.49
3/24 80,831.45
3/25 80,751.92
3/28 85,509.33
3/29 85,504.18
3/30 5,458.22
3/31 5,387.14
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
SDNY_GM_00006703
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AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Apr 30 2016
Gust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 6,042.80
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 5,387.14
Electronic Deposits 5,210.50
Electronic Payments 3,535.86
Ending Balance 7,061.78
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
4/7 CCD DEPOSIT, SQUARE INC 160407P2 L20198686464 65.37
4/7 CCD DEPOSIT, SQUARE INC 160407A2 M1137729274 0.49
4/8 CCD DEPOSIT, SQUARE INC 160408P2 L20199031235 42.39
4/11 CCD DEPOSIT, SQUARE INC 160411P2 L20199673371 102.25
4/18 eTransfer Credit, Online Xfer 5,000.00
Transfer from CK 4312480538
Subtotal: 5,210.50
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
4/4 ACH DEBIT, TD AUTO FINANCE LOAN PYMT 002901101048523 140.33
4/4 DEBIT CARD PAYMENT, AUT 040316 VISA DDA PUR 25.16
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662000904468
4/5 DEBIT CARD PURCHASE, AUT 040316 VISA DDA PUR 177.38
SAMY S CAMERA INC CC CULVER CITY * CA
4387662000904468
4/5 DEBIT CARD PAYMENT, AUT 040416 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
4/6 DEBIT CARD PAYMENT, AUT 040516 VISA DDA PUR 28.49
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662000904468
4/7 DEBIT POS, AUT 040616 DDA PURCHASE 22.15
STAPLES 1122 SANTA MONICA * CA
4387662000904468
4/7 CCD DEBIT, SQUARE INC 160407A2 M1137721570 0.49
4/11 DEBIT CARD PAYMENT, AUT 040816 VISA DDA PUR 50.32
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
SDNY_GM_00006704
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Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
7,061.78
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
S0NY_GM_00006705
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EFTA01595758
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
SDNY_GM_00006706
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EFTA01595759
Statement P
-Apr 30 2016
Gust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/11 DEBIT CARD PAYMENT, AUT 040816 VISA DDA PUR 30.00
PAYPAL GOODSIE 402 935 7733 * FL
4387662000904468
4/11 DEBIT CARD PAYMENT, AUT 041016 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
4/12 DEBIT POS, AUT 041216 DDA PURCHASE 13.06
STAPLES 0127 VENICE * CA
4387662000904468
4/13 DEBIT CARD PURCHASE, AUT 041216 VISA DDA PUR 5.85
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
4/14 DEBIT CARD PAYMENT, AUT 041316 VISA DDA PUR 233.92
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
4/14 DEBIT CARD PURCHASE, AUT 041216 VISA DDA PUR 16.72
ZINQUE VENICE * CA
4387662000904468
4/14 DEBIT CARD PURCHASE, AUT 041216 VISA DDA PUR 5.00
INTELLIGENTSIA COFFEE VENICE * CA
4387662000904468
4/14 DEBIT CARD PURCHASE, AUT 041216 VISA DDA PUR 1.67
STAPLES 00101279 VENICE * CA
4387662000904468
4/15 DEBIT CARD PURCHASE, AUT 041416 VISA DDA PUR 109.99
INTUIT TURBOTAX 800 446 8848 * CA
4387662000904468
4/18 DEBIT CARD PAYMENT, AUT 041616 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 " TX
4387662000904468
4/18 DEBIT CARD PAYMENT, AUT 041516 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
4/19 ACH DEBIT, E"TRADE ACH TRNSFR 24353844749 2,000.00
4/19 DEBIT POS, AUT 041916 DDA PURCHASE 6.45
USPS 0581100301 MARINA DEL RE * CA
4387662000904468
4/19 DEBIT CARD PURCHASE, AUT 041816 VISA DDA PUR 6.15
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
4/19 DEBIT CARD PURCHASE, AUT 041816 VISA DDA PUR 5.55
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
SDNY_GM_00006707
tile:///C/...rs/whohredDesktopISTAMPING/TD%20BCDNEfilt
Q
,- ENIXIAL1001/TD-DOJ-0000000
I A x68M/2020 7:00:59 PM]
EFTA01595760
Statement P
-Apr 30 2016
Gust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/20 DEBIT CARD PURCHASE, AUT 041816 VISA DDA PUR 244.96
INTUIT TURBOTAX 800 446 8848 * CA
4387662000904468
4/20 DEBIT CARD PURCHASE, AUT 041816 VISA DDA PUR 152.00
NH SEC OF STATE OTC 603 271 2073 * NH
4387662000904468
4/20 DEBIT CARD PURCHASE, AUT 041816 VISA DDA PUR 9.77
FEDEXOFFICE 00010157 MARINA DEL RE * CA
4387662000904468
4/20 DEBIT CARD PURCHASE, AUT 041816 VISA DDA PUR 5.00
INTELLIGENTSIA COFFEE VENICE * CA
4387662000904468
4/21 DEBIT CARD PAYMENT, AUT 042016 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
4/21 DEBIT CARD PURCHASE, AUT 042016 VISA DDA PUR 9.07
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
4/21 DEBIT CARD PURCHASE, AUT 042016 VISA DDA PUR 6.61
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 041916 VISA DDA PUR 23.51
GREENLEAF CHOPSHOP VENIC VENICE * CA
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 042016 VISA DDA PUR 20.17
PLANCHA TACOS VENICE VENICE * CA
4387662000904468
4/22 DEBIT CARD PURCHASE, AUT 042116 VISA DDA PUR 6.68
COFFEE BEAN STORE SANTA MONICA * CA
4387662000904468
4/25 DEBIT CARD PURCHASE, AUT 042316 VISA DDA PUR 4.65
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
4/25 DEBIT CARD PURCHASE, AUT 042316 VISA DDA PUR 4.65
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
4/29 DEBIT CARD PAYMENT, AUT 042816 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
4/29 DEBIT CARD PAYMENT, AUT 042816 VISA DDA PUR 9.95
PAYPAL ZAZZLECOMIN 402 935 7733 * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Period: Apr 01 2016-Apr 30 2016
SDNY_GAL 00006708
ti le:///C/...rs/whohrer/DesktopISTAMPING/TD%20BC2ONEfi It ,- ENIXIAL/00
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Q
EFTA01595761
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/29 DEBIT CARD PURCHASE, AUT 042816 VISA DDA PUR 7.21
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
Subtotal: 3,535.86
DAILY BALANCE SUMMARY
DATE BALANCE
3/31 5,387.14
4/4 5,221.65
4/5 5,019.27
4/6 4,990.78
4/7 5,034.00
4/8 5,076.39
4/11 5,085.37
4/12 5,072.31
4/13 5,066.46
DATE BALANCE
4/14 4,809.15
4/15 4,699.16
4/18 9,634.16
4/19 7,616.01
4/20 7,204.28
4/21 7,163.60
4/22 7,113.24
4/25 7,103.94
4/29 7,061.78
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P '
-May 31 2016
Cust Ref #:
**
Primary Account #:
TD Business Convenience lus
AVILOOP
Account #
ACCOUNT SUMMARY
Average Collected Balance 6,394.23
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 7,061.78
Electronic Deposits 264.00
Electronic Payments 1,272.11
Ending Balance 6,053.67
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
SDNY_GM_00006709
file:///C7...rsAybohreriDesktop/STAMPING/TD%20BCDINEfiltrlabifICIAL00liTD-DOJ-00000001.txt[8/4/2020 7:00:59 PM]
EFTA01595762
5/16 ACH DEPOSIT, NY STATE NYSTTAXRFD XXXXX4144 264.00
Subtotal: 264.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
5/2 DEBIT CARD PAYMENT, AUT 043016 VISA DDA PUR 10.26
PP FACEBOOK 402 935 7733 * CA
4387662000904468
5/2 DEBIT CARD PAYMENT, AUT 043016 VISA DDA PUR 1.96
PP FACEBOOK 402 935 7733 * CA
4387662000904468
5/3 DEBIT CARD PAYMENT, AUT 050216 VISA DDA PUR 169.74
AT T BILL PAYMENT 800 331 0500 * TX
4387662000904468
5/3 DEBIT CARD PAYMENT, AUT 050216 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
5/4 ACH DEBIT, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
5/5 DEBIT CARD PURCHASE, AUT 050416 VISA DDA PUR 4.65
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/9 DEBIT CARD PURCHASE, AUT 050616 VISA DDA PUR 47.63
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/9 DEBIT CARD PAYMENT, AUT 050716 VISA DDA PUR 25.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
5/11 DEBIT CARD PAYMENT, AUT 051016 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
5/13 DEBIT CARD PURCHASE, AUT 051216 VISA DDA PUR 16.33
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
SDNY_GM_00006710
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,- ENIXIALT/00
I/TD-ENN-0000000 I Axi[/SA/2020 7:00:59 PM]
EFTA01595763
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
6,053.67
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
SDNY_GM_ 00006711
c
Ti
file:///C/...rs/wIxthrer/Desktop/STANIPING/TD%20B
2
- I - I • -OA . t -
on D-D .1-
1
/001/TD-Dal-00000001.txt[fthl/2020 7:00:59 PM]
EFTA01595764
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinri Mav 01 901E-May 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
5/16 DEBIT CARD PAYMENT, AUT 051316 VISA DDA PUR 229.63
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
5/16 DEBIT CARD PURCHASE, AUT 051316 VISA DDA PUR 14.26
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/17 DEBIT CARD PAYMENT, AUT 051616 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
5/17 DEBIT CARD PURCHASE, AUT 051616 VISA DDA PUR 8.40
UBER TECHNOLOGIES INC 8665761039 * CA
4387662000904468
SDNV_GM_00006712
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EFTA01595765
5/20 DEBIT CARD PAYMENT, AUT 051916 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
5/23 DEBIT CARD PURCHASE, AUT 052016 VISA DDA PUR 18.73
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/23 DEBIT CARD PAYMENT, AUT 052216 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
5/24 DEBIT CARD PURCHASE, AUT 052216 VISA DDA PUR 11.31
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/25 DEBIT POS, AUT 052516 DDA PURCH W/CB 52.38
STAPLES 5322 NEW YORK * NY
4387662000904468
5/26 DEBIT CARD PAYMENT, AUT 052516 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
5/26 DEBIT CARD PURCHASE, AUT 052516 VISA DDA PUR 12.93
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/31 DEBIT CARD PURCHASE, AUT 052716 VISA DDA PUR 65.83
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
5/31 DEBIT CARD PURCHASE, AUT 052616 VISA DDA PUR 32.86
FIG OLIVE FIFTH AVENUE NEW YORK * NY
4387662000904468
5/31 DEBIT CARD PAYMENT, AUT 052716 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
May 31 2016
Gust Ref #:
—*
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
5/31 DEBIT CARD PAYMENT, AUT 052916 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
5/31 DEBIT CARD PURCHASE, AUT 052716 VISA DDA PUR 13.35
JFK2 MOZZA PZA B 302 322 2778 * NY
4387662000904468
5/31 DEBIT CARD PURCHASE, AUT 052716 VISA DDA PUR 3.80
HUDSONNEWS ST1177 JAMAICA * NY
4387662000904468
Subtotal: 1,272.11
DAILY BALANCE SUMMARY
DATE BALANCE
4/30 7,061.78
SDNY_GM_00006713
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Q
EFTA01595766
5/2 7,049.56
5/3 6,854.82
5/4 6,474.71
5/5 6,470.06
5/9 6,397.43
5/11 6,384.48
5/13 6,368.15
DATE BALANCE
5/16 6,388.26
5/17 6,339.86
5/20 6,324.86
5/23 6,291.13
5/24 6,279.82
5/25 6,227.44
5/26 6,199.51
5/31 6,053.67
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
2016-Jun 30 2016
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 8,022.60
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 6,053.67
Electronic Deposits 2,846.73
Electronic Payments 1,495.61
Ending Balance 7,404.79
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
6/2 ACH DEPOSIT, IRS TREAS 310 TAX REF 769264144200908 2,846.73
Subtotal: 2,846.73
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
6/1 DEBIT CARD PAYMENT, AUT 053116 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/1 DEBIT CARD PAYMENT, AUT 053116 VISA DDA PUR 7.39
PP FACEBOOK 402 935 7733 * CA
4387662000904468
6/3 DEBIT CARD PAYMENT, AUT 060216 VISA DDA PUR 46.49
AT T BILL PAYMENT 800 331 0500 * TX
4387662000904468
6/3 DEBIT CARD PAYMENT, AUT 060216 VISA DDA PUR 15.00
SDNY_GM_ 00006714
tile:///C/...rs/whohrednesktopISTANIPING/TD%20BCOMilt Q ,- ENIXIALIFT/001/TD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595767
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/6 ACH DEBIT, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
6/6 DEBIT CARD PAYMENT, AUT 060516 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/10 DEBIT CARD PAYMENT, AUT 060916 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/13 DEBIT CARD PAYMENT, AUT 061116 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/13 DEBIT CARD PAYMENT, AUT 061016 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662000904468
6/14 DEBIT CARD PAYMENT, AUT 061316 VISA DDA PUR 234.32
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
SDNV_GM_00006715
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-I NEfi
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EFTA01595768
7,404.79
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
c
SDNV_GM_00006716
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EFTA01595769
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Jun 30 2016
Cust Ref #:
***
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
6/14 DEBIT CARD PAYMENT, AUT 061316 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/16 DEBIT CARD PURCHASE, AUT 061316 VISA DDA PUR 9.86
ELOVATE VEGAN KITC SANTA MONICA * CA
4387662000904468
6/17 DEBIT CARD PAYMENT, AUT 061616 VISA DDA PUR 40.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
6/17 DEBIT CARD PURCHASE, AUT 061616 VISA DDA PUR 5.37
UBER JUN16 US UUMOB HELP UBER COM * CA
4387662000904468
6/17 DEBIT CARD PURCHASE, AUT 061616 VISA DDA PUR 1.00
AX RESUMENOW 8443517484 L UX
4387662000904468
6/17 DEBIT CARD PURCHASE, AUT 061616 VISA DDA PUR 0.95
AX RESUMENOW 8443517484 L UX
4387662000904468
6/20 DEBIT POS, AUT 061816 DDA PURCHASE 169.36
THE HOME DEPOT 6611 LOS ANGELES * CA
4387662000904468
6/20 DEBIT POS, AUT 061916 DDA PURCHASE 108.61
UTRECHT ART 8004471892 SANTA MONICA * CA
4387662000904468
6/20 DEBIT CARD PAYMENT, AUT 061816 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
SDNY_GAL 00006717
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDNEIt :- ENIXIALT/00
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Q
EFTA01595770
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061816 VISA DDA PUR 13.50
UBER JUN18 US QVHQJ HELP UBER COM * CA
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061916 VISA DDA PUR 9.70
UBER JUN19 US RKVKN HELP UBER COM * CA
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061816 VISA DDA PUR 9.67
UBER JUN18 US YQQQ3 HELP UBER COM * CA
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061816 VISA DDA PUR 5.97
UBER JUN18 US VXTJC HELP UBER COM * CA
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061716 VISA DDA PUR 5.64
UBER JUN17 US M3UGM HELP UBER COM * CA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Jun 30 2016
Cust Ref #:
***
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
6/20 DEBIT CARD PURCHASE, AUT 061916 VISA DDA PUR 5.15
UBER JUN19 US XVG4R HELP UBER COM * CA
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061716 VISA DDA PUR 5.15
UBER JUN17 US RSJS3 HELP UBER COM * CA
4387662000904468
6/20 DEBIT CARD PURCHASE, AUT 061716 VISA DDA PUR 5.15
UBER JUN17 US XO5E2 HELP UBER COM * CA
4387662000904468
6/22 DEBIT CARD PAYMENT, AUT 062116 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/22 DEBIT CARD PURCHASE, AUT 062116 VISA DDA PUR 6.40
UBER TECHNOLOGIES INC 866 576 1039 * CA
4387662000904468
6/22 DEBIT CARD PURCHASE, AUT 062116 VISA DDA PUR 6.35
UBER JUN21 US B3HGA HELP UBER COM * CA
4387662000904468
6/23 DEBIT CARD PURCHASE, AUT 062116 VISA DDA PUR 15.17
WAY POINT AIRPORT CAFE CAMARILLO * CA
4387662000904468
6/23 DEBIT CARD PURCHASE, AUT 062216 VISA DDA PUR 10.79
UBER JUN22 US 423Y3 HELP UBER COM * CA
4387662000904468
6/23 DEBIT CARD PURCHASE, AUT 062216 VISA DDA PUR 10.76
UBER JUN22 US H6TWH HELP UBER COM * CA
4387662000904468
SDNY_GM_00006718
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EFTA01595771
6/24 DEBIT CARD PURCHASE, AUT 062316 VISA DDA PUR 5.39
UBER US JUN23 MZJTP HELP UBER COM * CA
4387662000904468
6/24 DEBIT CARD PURCHASE, AUT 062316 VISA DDA PUR 5.31
UBER US JUN23 GDVBX HELP UBER COM * CA
4387662000904468
6/24 DEBIT CARD PURCHASE, AUT 062316 VISA DDA PUR 5.15
UBER US JUN23 NR3NM HELP UBER COM * CA
4387662000904468
6/27 DEBIT CARD PAYMENT, AUT 062416 VISA DDA PUR 149.99
FOREFLIGHT LLC 866 299 2505 * TX
4387662000904468
6/27 DEBIT CARD PAYMENT, AUT 062416 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Jun 30 2016
Cust Ref #:
***
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
6/27 DEBIT CARD PURCHASE, AUT 062516 VISA DDA PUR 6.83
UBER US JUN25 BQA7X HELP UBER COM * CA
4387662000904468
6/27 DEBIT CARD PURCHASE, AUT 062516 VISA DDA PUR 5.81
UBER US JUN25 T7ECQ HELP UBER COM * CA
4387662000904468
6/27 DEBIT CARD PURCHASE, AUT 062616 VISA DDA PUR 5.15
UBER US JUN26 62AYZ HELP UBER COM * CA
4387662000904468
6/27 DEBIT CARD PURCHASE, AUT 062616 VISA DDA PUR 5.15
UBER US JUN25 P7672 HELP UBER COM * CA
4387662000904468
6/29 DEBIT CARD PURCHASE, AUT 062816 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
6/30 DEBIT CARD PURCHASE, AUT 062916 VISA DDA PUR 17.95
UBER US JUN29 PGRIO HELP UBER COM * CA
4387662000904468
6/30 DEBIT CARD PURCHASE, AUT 062916 VISA DDA PUR 13.07
UBER US JUN29 XYKS3 HELP UBER COM * CA
4387662000904468
Subtotal: 1,495.61
DAILY BALANCE SUMMARY
DATE BALANCE
5/31 6,053.67
6/1 6,031.28
6/2 8,878.01
6/3 8,816.52
SDNY_GM_00006719
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6/6 8,421.41
6/10 8,406.41
6/13 8,378.46
6/14 8,129.14
6/16 8,119.28
DATE BALANCE
6/17 8,071.96
6/20 7,719.06
6/22 7,691.31
6/23 7,654.59
6/24 7,638.74
6/27 7,450.81
6/29 7,435.81
6/30 7,404.79
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
•
7016-Jul 31 2016
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 5,461.03
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 7,404.79
Deposits 500.00
Electronic Deposits 271.58
Electronic Payments 4,187.16
Ending Balance 3,989.21
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
7/12 MOBILE DEPOSIT 500.00
Subtotal: 500.00
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
7/7 DEBIT CARD CREDIT, AUT 070716 VISA DDA REF 109.99
INTUIT TURBOTAX 800 446 8848 * CA
4387662000904468
7/25 CCD DEPOSIT, GOOGLE TEST US000PH3OK 0.49
7/25 DEBIT CARD CREDIT, AUT 072416 VISA DDA REF 161.10
AMERICAN AIR001789594410 FORT WORTH * TX
4387662000904468
Subtotal: 271.58
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
7/1 DEBIT CARD PURCHASE, AUT 062916 VISA DDA PUR 20.61
SDNY_GAL 00006720
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EFTA01595773
AZCENTRAL COM THE NEWS PHOENIX * AZ
4387662000904468
7/1 DEBIT CARD PURCHASE, AUT 062916 VISA DDA PUR 17.02
PHX DELUX BURGER N1 PHOENIX * AZ
4387662000904468
7/1 DEBIT CARD PURCHASE, AUT 062916 VISA DDA PUR 6.03
PEET S COFFEE TEA N1 PHOENIX * AZ
4387662000904468
7/5 ACH DEBIT, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
7/5 DEBIT CARD PAYMENT, AUT 070216 VISA DDA PUR 170.27
AT T BILL PAYMENT 800 331 0500 * TX
4387662000904468
7/5 DEBIT CARD PURCHASE, AUT 070116 VISA DDA PUR 19.95
AX RESUMENOW 8443517484 L UX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
3,989.21
Total
Deposits
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EFTA01595774
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
SDNY_GM_00006722
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file:///C/...rs/wIxthrednesktopISTAMPING/TD%20B
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EFTA01595775
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
7016-Jul 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
7/5 DEBIT CARD PURCHASE, AUT 070416 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
7/7 DEBIT CARD PURCHASE, AUT 070516 VISA DDA PUR 13.09
JOAN S ON THIRD SANTA MO SANTA MONICA * CA
4387662000904468
7/8 DEBIT CARD PURCHASE, AUT 070716 VISA DDA PUR 7.85
STARBUCKS 22382 SANTA M SANTA MONICA * CA
4387662000904468
7/8 DEBIT CARD PURCHASE, AUT 070616 VISA DDA PUR 3.29
M STREET KITCHEN SANTA MONICA * CA
4387662000904468
7/11 DEBIT CARD PURCHASE, AUT 070916 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
7/11 DEBIT CARD PAYMENT, AUT 071016 VISA DDA PUR 12.95
INTUIT O3 ONLINE 800 286 6800 * CA
4387662000904468
7/11 DEBIT CARD PURCHASE, AUT 070716 VISA DDA PUR 9.31
HUMMUS BAR EXPRESS SANTA MONICA * CA
4387662000904468
7/13 eTransfer Debit, Online Xfer 2,000.00
Transfer to CK 4312480538
7/14 DEBIT CARD PAYMENT, AUT 071316 VISA DDA PUR 230.02
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
7/14 DEBIT CARD PURCHASE, AUT 071216 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
SDNV_GM_00006723
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EFTA01595776
7/14 DEBIT CARD PURCHASE, AUT 071316 VISA DDA PUR 3.53
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662000904468
7/18 DEBIT CARD PURCHASE, AUT 071616 VISA DDA PUR 317.60
DELTA AIR 006235023443 DELTA COM * CA
4387662000904468
7/18 DEBIT CARD PURCHASE, AUT 071716 VISA DDA PUR 53.01
UBER US JUL17 XDOXM HELP UBER COM * CA
4387662000904468
7/18 DEBIT CARD PAYMENT, AUT 071616 VISA DDA PUR 29.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Pari
ul 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
7/19 DEBIT CARD PURCHASE, AUT 071816 VISA DDA PUR 27.54
PAYPAL EAT24 402 935 7733 * CA
4387662000904468
7/19 DEBIT CARD PURCHASE, AUT 071816 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
7/20 DEBIT CARD PURCHASE, AUT 071916 VISA DDA PUR 15.18
UBER US JUL19 T6XL5 HELP UBER COM * CA
4387662000904468
7/20 DEBIT CARD PURCHASE, AUT 071916 VISA DDA PUR 8.00
UBER US JUL19 TYJEJ HELP UBER COM * CA
4387662000904468
7/20 DEBIT CARD PURCHASE, AUT 071916 VISA DDA PUR 8.00
UBER US JUL19 E5XOL HELP UBER COM * CA
4387662000904468
7/20 DEBIT CARD PURCHASE, AUT 071916 VISA DDA PUR 5.00
UBER US JUL19 N6ZUA HELP UBER COM * CA
4387662000904468
7/21 DEBIT CARD PURCHASE, AUT 072016 VISA DDA PUR 12.45
UBER US JUL20 36IAZ HELP UBER COM * CA
4387662000904468
7/21 DEBIT CARD PURCHASE, AUT 072016 VISA DDA PUR 8.00
UBER US JUL20 HMLPE HELP UBER COM * CA
4387662000904468
7/21 DEBIT CARD PURCHASE, AUT 072016 VISA DDA PUR 8.00
UBER US JUL20 ZFHNT HELP UBER COM * CA
4387662000904468
7/22 DEBIT CARD PURCHASE, AUT 072016 VISA DDA PUR 283.09
SPIRIT AIRL 487013306849 800 7727117 * FL
4387662000904468
7/22 DEBIT CARD PURCHASE, AUT 072116 VISA DDA PUR 15.00
SDNY_GAL 00006724
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EFTA01595777
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
7/25 DEBIT CARD PURCHASE, AUT 072116 VISA DDA PUR 161.10
AMERICAN AIR001789594410 FORT WORTH * TX
4387662000904468
7/25 DEBIT CARD PURCHASE, AUT 072416 VISA DDA PUR 32.75
UBER US JUL24 EJGFF HELP UBER COM * CA
4387662000904468
7/25 DEBIT CARD PURCHASE, AUT 072416 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
7/26 ELECTRONIC PMT-WEB, AMEX EPAYMENT ACH PMT W5252 192.54
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Pari
ul 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
7/26 DEBIT CARD PURCHASE, AUT 072516 VISA DDA PUR 18.22
BLUE GOOSE GRAPEVINE GRAPEVINE * TX
4387662000904468
7/26 DEBIT CARD PURCHASE, AUT 072516 VISA DDA PUR 8.65
CAE SIM BAY DALLAS * TX
4387662000904468
7/27 DEBIT CARD PURCHASE, AUT 072616 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
Subtotal: 4,187.16
DAILY BALANCE SUMMARY
DATE BALANCE
6/30 7,404.79
7/1 7,361.13
7/5 6,775.80
7/7 6,872.70
7/8 6,861.56
7/11 6,824.30
7/12 7,324.30
7/13 5,324.30
7/14 5,075.75
DATE BALANCE
7/18 4,676.14
7/19 4,633.60
7/20 4,597.42
7/21 4,568.97
7/22 4,270.88
7/25 4,223.62
7/26 4,004.21
7/27 3,989.21
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
TJ
SDNY_GM_ 00006725
N
tile:///C/...rs/whohrer/Desktop/STAMPING/TD%20BCOHNEfiltQE.on..D-D JAL/001/TD-DOJ-0000000 I x08/4/20207:00:59 PM]
EFTA01595778
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
•
2016-Aug 31 2016
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 4,423.58
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 3,989.21
Electronic Deposits 5,143.05
Electronic Payments 1,571.96
Ending Balance 7,560.30
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
8/15 CCD DEPOSIT, SQUARE INC 160813P2 L201131180860 42.39
8/23 DEBIT CARD CREDIT, AUT 082316 VISA DDA REF 100.66
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
8/23 eTransfer Credit, Online Xfer 5,000.00
Transfer from CK 4312480538
Subtotal: 5,143.05
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
8/1 DEBIT CARD PURCHASE, AUT 072916 VISA DDA PUR 35.00
SIMUFLITE TRAINING INTL DALLAS * TX
4387662000904468
8/1 DEBIT CARD PURCHASE, AUT 073016 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/1 DEBIT CARD PURCHASE, AUT 073116 VISA DDA PUR 4.95
PP FACEBOOK 402 935 7733 * CA
4387662000904468
8/1 DEBIT CARD PURCHASE, AUT 073116 VISA DDA PUR 2.54
PP FACEBOOK 402 935 7733 * CA
4387662000904468
8/2 DEBIT CARD PURCHASE, AUT 080116 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/3 DEBIT CARD PAYMENT, AUT 080216 VISA DDA PUR 170.32
AT T BILL PAYMENT 800 331 0500 * TX
4387662000904468
8/3 DEBIT CARD PURCHASE, AUT 080216 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/4 ACH DEBIT, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
SDNY_GAL 00006726
tile:///C/...rs/w1,0hrednesktopISTAMPING/TD%20BMViltIQ
,- EncuaL,00
I /TD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595779
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
7,560.30
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
S0NY_GM_00006727
file:///C/...rs/wIxthrednesktopISTAMPINGITD%20BC 2
-I IS' EMIt ,- EanalEXT/00
UTD-DOJ-0000000 I A:0[8/-1/2020 7:00:59 PM]
EFTA01595780
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
SDNY_GAL 00006728
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDNEfil Q ,- Emukan,00
UTD-DOJ-0000000 I A xt(8/4/2020 7:00:59 Mt]
EFTA01595781
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
8/5 DEBIT POS, AUT 080516 DDA PURCH W/CB 26.80
USPS 0569780260 SANTA MONICA * CA
4387662000904468
8/5 DEBIT CARD PURCHASE, AUT 080416 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/8 DEBIT CARD PURCHASE, AUT 080616 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/11 DEBIT CARD PURCHASE, AUT 081016 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/11 DEBIT CARD PAYMENT, AUT 081016 VISA DDA PUR 12.95
INTUIT ()B ONLINE 800 286 6800 * CA
4387662000904468
8/12 DEBIT CARD PURCHASE, AUT 081016 VISA DDA PUR 152.00
NH SEC OF STATE OTC 603 271 2073 * NH
4387662000904468
8/12 DEBIT CARD PURCHASE, AUT 081016 VISA DDA PUR 152.00
NH SEC OF STATE OTC 603 271 2073 * NH
4387662000904468
8/15 DEBIT CARD PAYMENT, AUT 081316 VISA DDA PUR 100.66
RACKSPACE CLOUD 210 312 4000 * TX
4387662000904468
8/16 DEBIT CARD PURCHASE, AUT 081516 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/17 DEBIT CARD PAYMENT, AUT 081616 VISA DDA PUR 29.00
RACKSPACE EMAIL APPS 210 312 4000 * TX
4387662000904468
8/19 DEBIT CARD PURCHASE, AUT 081716 VISA DDA PUR 242.60
DELTA AIR 006235391023 DELTA COM * CA
4387662000904468
8/19 DEBIT CARD PURCHASE, AUT 081716 VISA DDA PUR 30.04
SHELL OIL 57444404008 LOS ANGELES * CA
4387662000904468
8/22 DEBIT CARD PURCHASE, AUT 081916 VISA DDA PUR 15.00
PAYPAL STARBUCKS STARB 402 935 7733 * WA
4387662000904468
8/22 DEBIT CARD PURCHASE, AUT 082216 VISA DDA PUR 14.67
SANTA MONICA 1063 SANTA MONICA * CA
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
-Aug 31 2016
TJ
SDNY_GM_00006729
N
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%200G2Q1NEfiltQE..on..D-D JAL/00
I /TD-D0J-0000000 I x68M/2020 7:00:59 PM]
EFTA01595782
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Period:
-Aug 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
8/23 DEBIT CARD PURCHASE, AUT 082216 VISA DDA PUR 10.95
FLOWER CHILD SANTA MONICA " CA
4387662001117433
8/24 DEBIT CARD PURCHASE, AUT 082216 VISA DDA PUR 42.00
NAIL ELITE AND SPA 999 9999999 * CA
4387662001117433
8/29 ELECTRONIC PMT-WEB, AMEX EPAYMENT ACH PMT W5298 24.35
8/31 DEBIT CARD PURCHASE, AUT 082916 VISA DDA PUR 12.02
CHIPOTLE 2149 SANTA CLARA " CA
4387662001117433
8/31 DEBIT CARD PURCHASE, AUT 082916 VISA DDA PUR 9.00
PEET S 07002 SANTA CLARA * CA
4387662001117433
Subtotal: 1,571.96
DAILY BALANCE SUMMARY
DATE BALANCE
7/31 3,989.21
8/1 3,931.72
8/2 3,916.72
8/3 3,731.40
8/4 3,351.29
8/5 3,309.49
8/8 3,294.49
8/11 3,266.54
8/12 2,962.54
DATE BALANCE
8/15 2,904.27
8/16 2,889.27
8/17 2,860.27
8/19 2,587.63
8/22 2,557.96
8/23 7,647.67
8/24 7,605.67
8/29 7,581.32
8/31 7,560.30
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
SDNY_GM_00006730
tile:///C/...rs/wl,ohrednesktopISTANIPING/TD%20BCONElt ,- ENIXIAL001
/TD-DOJ-0000000 I A x68M/2020 7:00:59 PM]
Q
EFTA01595783
Statement P '
-Sep 30 2016
Gust Ref #:
Primary Account #:
TD Business Convenience
us
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 11,080.02
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 7,560.30
Electronic Deposits 11,000.00
Electronic Payments 2,951.24
Ending Balance 15,609.06
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMO
9/14 ACH DEPOSIT, ALLY BANK P2P
5,000.00
9/16 ACH DEPOSIT, PROFLITE LLC P
71
90081 6,000.00
Subtotal: 11,000.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
9/1 DEBIT CARD PURCHASE, AUT 083016 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/1 DEBIT CARD PURCHASE, AUT 083016 VISA DDA PUR 4.96
SAFEWAY STORE 00019901 SANTA CLARA * CA
4387662001117433
9/2 DEBIT CARD PURCHASE, AUT 083116 VISA DDA PUR 8.85
HYATT REGENCY SANTACL F SANTA CLARA * CA
4387662001117433
9/6 DEBIT CARD PURCHASE, AUT 090516 VISA DDA PUR 1,518.20
HYATT REGENCY SANTA CLAR SANTA CLARA * CA
4387662001117433
9/6 ELECTRONIC PMT-WEB, CITI CARD ONLINE PAYMENT 132110799806654 400.00
9/6 ACH DEBIT, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
9/6 DEBIT CARD PAYMENT, AUT 090216 VISA DDA PUR 170.89
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
9/6 DEBIT CARD PURCHASE, AUT 090316 VISA DDA PUR 21.28
SHELL OIL 57444212906 SANTA CLARA * CA
4387662001117433
9/6 DEBIT CARD PURCHASE, AUT 090316 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/6 DEBIT CARD PURCHASE, AUT 090316 VISA DDA PUR 8.85
HYATT REGENCY SANTACL F SANTA CLARA * CA
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
SDNY_GM_00006731
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BC201b.Eilt
ENIXIALT/001/TD-DOJ-0000000
I A xtISM/2020 7:00:59 PM]
Q
EFTA01595784
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
15,609.06
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
SDNY_GAL 00006732
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDNEfilt Q
EtattaL/00
I/TD-Dai-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595785
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Sep 30 2016
Cust Ref #:
SDNY_GM_00006733
file:///O...rs/wbohreriDesktop/STAMPING/TD%20BCDNEICIENIIAL00DTD-DOJ-00000001.txt[8/4/2020 7:00:59 PM]
EFTA01595786
Primary Account #:
DAILY ACCOUNT ACIPIP M
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
9/6 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000QA6D9 3.70
9/7 DEBIT CARD PURCHASE, AUT 090516 VISA DDA PUR 140.45
APPLE STORE R095 NEW YORK * NY
4387662001117433
9/8 DEBIT CARD PURCHASE, AUT 090616 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/8 DEBIT CARD PURCHASE, AUT 090716 VISA DDA PUR 6.84
HUDSONNEWS ST1300 JAMAICA " NY
4387662001117433
9/9 DEBIT CARD PURCHASE, AUT 090716 VISA DDA PUR 2.06
JFK 3 ABP T8 JAMAICA * NY
4387662001117433
9/12 DEBIT CARD PURCHASE, AUT 090916 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/13 DEBIT CARD PURCHASE, AUT 091116 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/16 DEBIT CARD PURCHASE, AUT 091416 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/19 DEBIT CARD PURCHASE, AUT 091516 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/20 DEBIT CARD PURCHASE, AUT 091816 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/23 DEBIT CARD PURCHASE, AUT 092116 VISA DDA PUR 15.60
FLOWER CHILD SANTA MONICA * CA
4387662001117433
9/23 DEBIT CARD PURCHASE, AUT 092116 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/26 DEBIT CARD PURCHASE, AUT 092316 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/28 DEBIT CARD PURCHASE, AUT 092616 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
9/29 DEBIT CARD PAYMENT, AUT 092816 VISA DDA PUR 89.45
FOREFLIGHT LLC 866 299 2505 * TX
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P '
-Sep 30 2016
Cust Ref #:
***
SDNY_GM_00006734
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BC2QMil
.... D-
T
J
D JALT1001/TD-DOJ-0000000 I A xt(8/4/2020 7:00:59 PM]
Q
EFTA01595787
Primary Account #:
DAILY ACCOUNT ACIPIP M
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
9/30 DEBIT CARD PURCHASE, AUT 092816 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Subtotal: 2,951.24
DAILY BALANCE SUMMARY
DATE BALANCE
8/31 7,560.30
9/1 7,540.34
9/2 7,531.49
9/6 5,013.46
9/7 4,873.01
9/8 4,851.17
9/9 4,849.11
9/12 4,834.11
9/13 4,819.11
DATE BALANCE
9/14 9,819.11
9/16 15,804.11
9/19 15,789.11
9/20 15,774.11
9/23 15,743.51
9/26 15,728.51
9/28 15,713.51
9/29 15,624.06
9/30 15,609.06
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P- •
-Oct 31 2016
Cust Ref #:
***
Primary Account #:
TD Business Convenience
us
AVILOOP
Account #
WE'RE CHANGING U BUSINESS CHECKING CASH DEPOSIT FEE
BEGINNING NOVEMBER 1, 2016, WE'RE INCREASING OUR CASH DEPOSIT FEE FOR ALL BUSINESS DEPOSIT
ACCOUNTS FROM $0.15 TO $0.20 PER $100 CASH DEPOSITED IN EXCESS OF YOUR MONTHLY
THRESHOLD.
QUESTIONS? CALL 1-888-751-9000 OR VISIT A LOCAL TD BANK.
ACCOUNT SUMMARY
Average Collected Balance 12,997.50
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 15,609.06
Deposits 2,168.81
Electronic Deposits 914.70
SDNY_GM_00006735
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I A xt[8/4/2020 7:00:59 PM]
EFTA01595788
Checks Paid 2,708.00
Electronic Payments 11,863.93
Ending Balance 4,120.64
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
10/5 MOBILE DEPOSIT 2,168.81
Subtotal: 2,168.81
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
10/12 CCD DEPOSIT, SQUARE INC SDV-VRFY T11285830 0.01
10/13 CCD DEPOSIT, SQUARE INC 161013P2 L204145989756 914.69
Subtotal: 914.70
Checks Paid No. Checks: 1 *Indicates break in serial sequence or check processed electronically and listed
under Electronic Payments
DATE SERIAL NO. AMOUNT
10/27 1036 2,708.00
Subtotal: 2,708.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
10/3 DEBIT CARD PAYMENT, AUT 100216 VISA DDA PUR 170.32
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
10/3 DEBIT CARD PURCHASE, AUT 093016 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
10/4 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
10/4 DEBIT CARD PURCHASE, AUT 100216 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
SDNY_GM_00006736
file:///O...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
It
- ENIX/NEXT/00
UTD-DOJ-0000000 I A m(SM/2020 7:00:59 PM]
EFTA01595789
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
4,120.64
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
SDNY_GAL 00006737
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BCDMI
Q
,.. ENITIALT/001/TD-DO1-00000001.(xt(8/4/2020 7:00:59 Mt]
EFTA01595790
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peri
-Oct 31 2016
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
10/5 eTransfer Debit, Online Xfer 3,000.00
Transfer to CK 4312480538
10/5 DEBIT CARD PURCHASE, AUT 100416 VISA DDA PUR 17.96
GULF OIL 92042729 WHITE PLAINS * NY
4387662001117433
10/6 DEBIT CARD PURCHASE, AUT 100416 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
10/7 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000QXH7O 5.00
10/12 CCD DEBIT, SQUARE INC SDV-VRFY T11285831 0.01
10/18 ELECTRONIC PMT-WEB, AMEX EPAYMENT ACH PMT W4172 187.58
10/24 DEBIT CARD PURCHASE, AUT 102116 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
SDNV_GM_00006738
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
It ,- ENIX/NEXT/00
I /TD-DOJ-0000000 I A m(8M/2020 7:00:59 PM]
EFTA01595791
10/27 eTransfer Debit, Online Xfer 8,000.00
Transfer to CK 4312480538
10/27 DEBIT CARD PURCHASE, AUT 102516 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
10/31 DEBIT CARD PURCHASE, AUT 102816 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
10/31 DEBIT CARD PAYMENT, AUT 102916 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
Subtotal: 11,863.93
DAILY BALANCE SUMMARY
DATE BALANCE
9/30 15,609.06
10/3 15,423.74
10/4 15,028.63
10/5 14,179.48
10/6 14,164.48
10/7 14,159.48
DATE BALANCE
10/13 15,074.17
10/18 14,886.59
10/24 14,871.59
10/27 4,148.59
10/31 4,120.64
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Nov 30 2016
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP
Account #
ACCOUNT UMMARY
Average Collected Balance 3,425.24
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 4,120.64
Electronic Deposits 58.58
Electronic Payments 1,031.36
Ending Balance 3,147.86
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
11/25 CCD DEPOSIT, SQUARE INC 161124P2 L201157670002 40.45
11/25 CCD DEPOSIT, SQUARE INC 161125P2 L201157879017 18.13
Subtotal: 58.58
Electronic Payments
SDNY_GM_00006739
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I A x68M/2020 7:00:59 PM]
EFTA01595792
POSTING DATE DESCRIPTION AMOUNT
11/2 DEBIT CARD PURCHASE, AUT 103116 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/3 DEBIT CARD PAYMENT, AUT 110216 VISA DDA PUR 229.34
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
11/4 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
11/4 DEBIT CARD PURCHASE, AUT 110216 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/7 DEBIT CARD PURCHASE, AUT 110316 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/7 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000RHWL4 5.00
11/8 DEBIT CARD PURCHASE, AUT 110616 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/9 DEBIT CARD PURCHASE, AUT 110716 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/14 ELECTRONIC PMT-WEB, AMEX EPAYMENT ACH PMT W9676 27.00
11/14 DEBIT POS, AUT 111316 DDA PURCHASE 17.46
7 ELEVEN MERRIMACK * NH
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
SDNV_GM_00006740
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I IS' ES
It ,.. ENITINEXT/00
UTD-DOJ-0000000 I A;(68/4/2020 7:00:59 PM]
EFTA01595793
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
3,147.86
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
SDNY_GAL00006741
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC2DVAIt ,.. EINIIIALT/001/TD-DOJ-00000001.(xt(8/4/2020 7:00:59 Mt]
Q
EFTA01595794
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peci
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOU
11/14 DEBIT CARD PURCHASE, AUT
STARBUCKS CARD RELOAD 800 782
4387662001117433
11/14 DEBIT CARD PURCHASE, AUT
STARBUCKS CARD RELOAD 800 782
4387662001117433
11/16 DEBIT CARD PURCHASE, AUT
STARBUCKS CARD RELOAD 800 782
4387662001117433
11/17 DEBIT CARD PURCHASE, AUT
STARBUCKS CARD RELOAD 800 782
4387662001117433
11/21 DEBIT CARD PURCHASE, AUT
STARBUCKS CARD RELOAD 800 782
4387662001117433
11/25 DEBIT CARD PURCHASE, AUT
STARBUCKS CARD RELOAD 800 782
4387662001117433
11/28 DEBIT POS, AUT 112816 DDA
-Nov 30 2016
NT
111116 VISA DDA
7282 * WA
110916 VISA DDA
7282 * WA
111416 VISA DDA
7282 * WA
111516 VISA DDA
7282 * WA
111916 VISA DDA
7282 * WA
112216 VISA DDA
7282 * WA
PURCHASE 160.00
PUR 15.00
PUR 15.00
PUR 15.00
PUR 15.00
PUR 15.00
PUR 15.00
SDNY_GAL00006742
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QNITI
EFTA01595795
DAVID BOSKA MD LOS ANGELES * CA
4387662001117433
11/28 DEBIT CARD PURCHASE, AUT 112416 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/28 DEBIT CARD PURCHASE, AUT 112616 VISA DDA PUR 3.00
SM CITY PARKING METERS SANTA MONICA * CA
4387662001117433
11/29 DEBIT CARD PURCHASE, AUT 112716 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
11/29 DEBIT CARD PAYMENT, AUT 112816 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
11/29 DEBIT CARD PURCHASE, AUT 112816 VISA DDA PUR 1.50
LA CITY PARKING METER LOS ANGELES * CA
4387662001117433
Subtotal: 1,031.36
DAILY BALANCE SUMMARY
DATE BALANCE
10/31 4,120.64
11/2 4,105.64
11/3 3,876.30
DATE BALANCE
11/4 3,481.19
11/7 3,461.19
11/8 3,446.19
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Nov 30 2016
Cust Ref #:
***
Primary Account #:
DAILY BALANCE SU
DATE BALANCE
11/9 3,431.19
11/14 3,356.73
11/16 3,341.73
11/17 3,326.73
DATE BALANCE
11/21 3,311.73
11/25 3,355.31
11/28 3,177.31
11/29 3,147.86
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
SDNY_GM_00006743
ti le:///C/...rs/whohrer/DesktopISTAMPING/TD%20BG2(;)NEfi It Q ,- ENIXIALICT/00
I /TD-DOJ -(XXXXXX) I A xt[8/4/2020 7:00:59 PM]
EFTA01595796
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Dec 31 2016
Gust Ref #:
_*.*
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
GO PAPERL
WIN-WIN!
WE RECENTLY STARTED CHARGING A $2.00 MONTHLY FEE FOR PAPER STATEMENTS. TO AVOID THIS FEE
AND
SUPPORT OUR EFFORTS TO "GO GREEN," LOG IN TO TDBANK.COM/BUSINESSDIRECT AND SIGN UP FOR
ONLINE
STATEMENTS ONLY. IF YOU DON'T ALREADY USE ONLINE BANKING, BEGIN BY SIGNING UP FOR TD BANK
BUSINESSDIRECT. IF YOU ONLY RECEIVE ONLINE STATEMENTS NOW, BREATHE EASY, THIS FEE DOESN'T
APPLY
TO YOU. QUESTIONS? CALL 1-888-751-9000.
ACCOUNT SUMMARY
Average Collected Balance 5,112.50
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 3,147.86
Other Credits 10,000.00
Electronic Payments 2,785.62
Other Withdrawals 15.00
Ending Balance 10,347.24
DAILY ACCOUNT ACTIVITY
Other Credits
POSTING DATE DESCRIPTION AMOUNT
12/23 WIRE TRANSFER INCOMING, MARC HODOSH 10,000.00
Subtotal: 10,000.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
12/1 DEBIT CARD PURCHASE, AUT 112916 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/2 DEBIT CARD PURCHASE, AUT 113016 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/5 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
12/5 DEBIT CARD PAYMENT, AUT 120216 VISA DDA PUR 177.56
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
12/5 DEBIT CARD PURCHASE, AUT 120216 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/5 DEBIT CARD PURCHASE, AUT 120316 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/6 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000S41K9 5.00
12/8 DEBIT CARD PURCHASE, AUT 120616 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
SDNY_GM_00006744
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BCDMilt
ENITXIALT/001/TD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595797
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
10,347.24
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
SDNY_GAL00006745
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ALICT/00 UTD-DOJ-0000000 I A xt(8/4/2020 7:00:59 PM]
QNITI
EFTA01595798
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
SDNY_GM_00006746
file:///C/...rs/wIxthrer/DesktopISTANIPING/TD%20BC 2
-I NEI
It ,.. EN:UAL/00
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EFTA01595799
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Dec 31 2016
Gust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
12/12 DEBIT CARD PURCHASE, AUT 121016 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/12 DEBIT CARD PURCHASE, AUT 120816 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/14 DEBIT CARD PURCHASE, AUT 121216 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/16 DEBIT CARD PURCHASE, AUT 121416 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/19 DEBIT CARD PURCHASE, AUT 121516 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/21 DEBIT CARD PURCHASE, AUT 121916 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/27 eTransfer Debit, Online Xfer 2,000.00
Transfer to CK 4312480538
12/27 DEBIT CARD PURCHASE, AUT 122516 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/27 DEBIT CARD PURCHASE, AUT 122216 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
12/29 DEBIT CARD PAYMENT, AUT 122816 VISA DDA PUR 12.95
INTUIT ()B ONLINE 800 286 6800 * CA
4387662001117433
12/30 DEBIT CARD PURCHASE, AUT 122816 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Subtotal: 2,785.62
Other Withdrawals
POSTING DATE DESCRIPTION AMOUNT
12/23 WIRE TRANSFER FEE 15.00
Subtotal: 15.00
DAILY BALANCE SUMMARY
DATE BALANCE
11/30 3,147.86
12/1 3,132.86
DATE BALANCE
12/2 3,117.86
12/5 2,530.19
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
SDNY_GM_00006747
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BCONEilt Q
,- ENIXIALICT/00
I /TD-DOJ-000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595800
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Dec 31 2016
Cust Ref #:
_***
Primary Account #:
DAILY BALANCE SU
DATE BALANCE
12/6 2,525.19
12/8 2,510.19
12/12 2,480.19
12/14 2,465.19
12/16 2,450.19
12/19 2,435.19
DATE BALANCE
12/21 2,420.19
12/23 12,405.19
12/27 10,375.19
12/29 10,362.24
12/30 10,347.24
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
Jan 31 2017
Cust Ref #:
***
Primary Account #:
TD Business Convenience
us
AVILOOP
Account #
ACCOUNT
Average Collected Balance 9,415.33
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 10,347.24
Electronic Payments 2,271.46
Ending Balance 8,075.78
DAILY ACCOUNT ACTIVITY
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
1/3 DEBIT CARD PAYMENT, AUT 010217 VISA DDA PUR 170.50
AT T BILL PAYMENT 800 331 0500 " TX
4387662001117433
1/3 DEBIT CARD PURCHASE, AUT 123016 VISA DDA PUR 5.86
FLUGHAFEN WIEN SCHWECHAT A UT
4387662001117433
1/4 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
1/9 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000TBWK9 5.00
1/13 DEBIT CARD PURCHASE, AUT 011117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
SDNY_GM_00006748
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCD1 Milt
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EFTA01595801
4387662001117433
1/17 ELECTRONIC PMT-WEB, AMEX EPAYMENT ACH PMT W7992 62.04
1/17 DEBIT CARD PURCHASE, AUT 011217 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/17 DEBIT CARD PURCHASE, AUT 011317 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/18 DEBIT CARD PURCHASE, AUT 011617 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/20 DEBIT CARD PURCHASE, AUT 011817 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/23 DEBIT CARD PURCHASE, AUT 012117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/24 DEBIT CARD PURCHASE, AUT 012217 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/25 eTransfer Debit, Online Xfer 1,500.00
Transfer to CK 4312480538
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
SDNY_GAL00006749
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC2OHNEfil ,- EN:UAL/00
I/TD-Dai-0000000 I A xt(8/4/2020 7:00:59 Mt]
Q
EFTA01595802
balance should equal your account
balance.
Ending
Balance
8,075.78
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
SDNY_GAL 00006750
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UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595803
CD Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinri .ian 01 ?M 7-Jan 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
1/25 DEBIT CARD PURCHASE, AUT 012317 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/27 DEBIT CARD PURCHASE, AUT 012517 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
1/30 DEBIT CARD PAYMENT, AUT 012817 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
Subtotal: 2,271.46
DAILY BALANCE SUMMARY
DATE BALANCE
12/31 10,347.24
1/3 10,170.88
1/4 9,790.77
1/9 9,785.77
1/13 9,770.77
1/17 9,678.73
1/18 9,663.73
DATE BALANCE
1/20 9,648.73
1/23 9,633.73
SDNY_GM_00006751
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EFTA01595804
1/24 9,618.73
1/25 8,103.73
1/27 8,088.73
1/30 8,075.78
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
-Feb 28 2017
Cust Ref #:
Primary Account #:
TD Business Conveniences
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 7,617.24
Annual Percentage Yield Earned 0.00%
Days in Period 28
Beginning Balance 8,075.78
Other Credits 3,000.00
Electronic Payments 3,744.09
Other Withdrawals 15.00
Ending Balance 7,316.69
DAILY ACCOUNT ACTIVITY
Other Credits
POSTING DATE DESCRIPTION AMOUNT
2/21 WIRE TRANSFER INCOMING, MARC HODOSH 3,000.00
Subtotal: 3,000.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
2/2 DEBIT CARD PURCHASE, AUT 013117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/6 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
2/6 DEBIT CARD PAYMENT, AUT 020317 VISA DDA PUR 223.98
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
2/6 DEBIT CARD PURCHASE, AUT 020217 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/6 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000TVTIA 5.00
2/7 DEBIT CARD PURCHASE, AUT 020517 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/13 DEBIT CARD PURCHASE, AUT 021017 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/16 DEBIT CARD PURCHASE, AUT 021417 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/21 DEBIT CARD PURCHASE, AUT 021817 VISA DDA PUR 15.00
SDNY_GAL 00006752
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I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595805
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/22 eTransfer Debit, Online Xfer 3,000.00
Transfer to CK 4312480538
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
7,316.69
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
SDNV_GM_00006753
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-I NEI
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- ENT/ALT/00
UTD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595806
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
® Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
SDNY_GM_ 00006754
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BCDNE1 ,.. EtutaLT,00
UTD-DO1-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595807
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Peci
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
2/27 DEBIT CARD PURCHASE, AUT 022317 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/27 DEBIT CARD PURCHASE, AUT 022417 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
2/28 DEBIT CARD PURCHASE, AUT 022617 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Subtotal: 3,744.09
Other Withdrawals
POSTING DATE DESCRIPTION AMOUNT
2/21 WIRE TRANSFER FEE 15.00
Subtotal: 15.00
DAILY BALANCE SUMMARY
DATE BALANCE
1/31 8,075.78
2/2 8,060.78
2/6 7,436.69
2/7 7,421.69
2/13 7,406.69
DATE BALANCE
2/16 7,391.69
2/21 10,361.69
2/22 7,361.69
2/27 7,331.69
2/28 7,316.69
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
-Feb 28 2017
..x
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P
Cust Ref #:
Primary Account #:
-Mar 31 2017
SDNY_GAL 00006755
C
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2
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EFTA01595808
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 5,696.39
Annual Percentage Yield Earned 0.00%
Days in Period 31
Beginning Balance 7,316.69
Electronic Deposits 10,022.98
Checks Paid 4,022.67
Electronic Payments 914.16
Ending Balance 12,402.84
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
3/13 CCD DEPOSIT, SQUARE INC 170311P2 L201186206953 22.98
3/27 eTransfer Credit, Online Xfer 10,000.00
Transfer from CK 4312480538
Subtotal: 10,022.98
Checks Paid No. Checks: 2 *Indicates break in serial sequence or check processed electronically and listed
under Electronic Payments
DATE SERIAL NO. AMOUNT
3/7 1026 1,422.67
3/15 1037* 2,600.00
Subtotal: 4,022.67
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
3/1 DEBIT CARD PAYMENT, AUT 022817 VISA DDA PUR 12.95
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
3/2 DEBIT CARD PURCHASE, AUT 022817 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/3 DEBIT CARD PAYMENT, AUT 030217 VISA DDA PUR 170.08
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
3/6 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
3/6 DEBIT POS, AUT 030417 DDA PURCHASE 81.94
T MOBILE 2926 SANTA MONICA * CA
4387662001117433
3/6 DEBIT CARD PURCHASE, AUT 030317 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/6 DEBIT CARD PURCHASE, AUT 030417 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
Subtract any services charges shown
on this statement.
SDNY_GM_00006756
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BCDAEilt
Q
,- ENIXIALT/001/TD-DOJ-0000000
I A xtISM/2020 7:00:59 PM]
EFTA01595809
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
Ending
Balance
12,402.84
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
SDNY_GM_00006757
file:///C/...rs/wbohrer/DesktopISTAMPINGITD%20B 2\(1171 - I • -Oft . t ,..
on D-D .1-
1
/001/TD-D0.1-00000001.“68/-1/2020 7:00:59 PM]
EFTA01595810
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
Your name and account number.
A description of the error or transaction you are unsure about.
The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
Your name and account number..
The dollar amount of the suspected error.
Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P •
•
-Mar 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
SDNY_GM_ 00006758
file:///O...rsAybohreriDesktop/STAMPING/TD%20BCA:MiltQEMLIALT/001/TD-DOJ-00000001.txt[8/4/2020 7:00:59 PM]
EFTA01595811
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
3/7 DEBIT CARD PURCHASE, AUT 030617 VISA DDA PUR 5.00
LOS ANGELES INTERNATIO LOS ANGELES * CA
4387662001117433
3/7 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000UICD3 5.00
3/8 DEBIT CARD PURCHASE, AUT 030617 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/13 DEBIT CARD PURCHASE, AUT 030917 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/13 DEBIT CARD PURCHASE, AUT 031117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/15 DEBIT CARD PURCHASE, AUT 031317 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 " WA
4387662001117433
3/20 DEBIT CARD PURCHASE, AUT 031617 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/20 DEBIT CARD PURCHASE, AUT 031817 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/21 DEBIT CARD PURCHASE, AUT 031917 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/23 DEBIT CARD PURCHASE, AUT 032117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/27 DEBIT CARD PURCHASE, AUT 032517 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 " WA
4387662001117433
3/27 DEBIT CARD PURCHASE, AUT 032517 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
3/30 DEBIT CARD PAYMENT, AUT 032817 VISA DDA PUR 12.95
INTUIT ()B ONLINE 800 286 6800 * CA
4387662001117433
3/31 DEBIT CARD PURCHASE, AUT 032917 VISA DDA PUR 36.13
HILLSTONE 212 888 3828 NEW YORK * NY
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Mar 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
3/31 DEBIT CARD PURCHASE, AUT 032917 VISA DDA PUR 15.00
SDNY_GM_ 00006759
tile:///C/...rs/whohrednesktopISTAMPING/TD%20BCDNEfilt - ERIXIALT1001/TD-DOJ-0000000
I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595812
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Subtotal: 914.16
DAILY BALANCE SUMMARY
DATE BALANCE
2/28 7,316.69
3/1 7,303.74
3/2 7,288.74
3/3 7,118.66
3/6 6,626.61
3/7 5,193.94
3/8 5,178.94
3/13 5,171.92
DATE BALANCE
3/15 2,556.92
3/20 2,526.92
3/21 2,511.92
3/23 2,496.92
3/27 12,466.92
3/30 12,453.97
3/31 12,402.84
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
E STATEMENT OF ACCOUNT
Statement P- •
-Apr 30 2017
Cust Ref #:
***
Primary Account #:
TD Business Convenience
us
AVILOOP L
Account #
ACCOUNT
Average Collected Balance 15,258.79
Annual Percentage Yield Earned 0.00%
Days in Period 30
Beginning Balance 12,402.84
Electronic Deposits 10,613.81
Electronic Payments 4,906.48
Ending Balance 18,110.17
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
4/18 CCD DEPOSIT, JET TEST INTERNA 5671347 5671347 6,613.81
4/19 CTX DEPOSIT, NEW CODE INC SENDER 324451430 4,000.00
Subtotal: 10,613.81
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
4/3 DEBIT CARD PURCHASE, AUT 033117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/3 DEBIT CARD PAYMENT, AUT 040217 VISA DDA PUR 2.57
SDNY_GAL 00006760
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCDNEfilt Q ,- ENIXIALX)1/TD-Dal-0000000
I A xt[8/4/2020 7:00:59 PM]
EFTA01595813
AT T BILL PAYMENT 800 331 0500 * TX
4387662001117433
4/4 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
4/4 DEBIT CARD PURCHASE, AUT 040217 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/7 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000V5NW1 5.00
4/10 DEBIT CARD PURCHASE, AUT 040617 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/11 DEBIT CARD PURCHASE, AUT 041017 VISA DDA PUR 151.26
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
4/11 DEBIT CARD PURCHASE, AUT 040917 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/13 DEBIT CARD PURCHASE, AUT 041117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/13 DEBIT POS, AUT 041317 DDA PURCHASE 5.43
STAPLES 5322 NEW YORK * NY
4387662001117433
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
How to Balance your Account
Begin by adjusting your account register
as follows:
® Subtract any services charges shown
on this statement.
® Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
® Add any interest earned if you have
an interest-bearing account.
® Add any automatic deposit or
overdraft line of credit.
® Review all withdrawals shown on this
statement and check them off in your
account register.
® Follow instructions 2-5 to verify your
ending account balance.
1. Your ending balance shown on this
statement is:
2. List below the amount of deposits or
credit transfers which do not appear
on this statement. Total the deposits
and enter on Line 2.
3. Subtotal by adding lines 1 and 2.
4. List below the total amount of
withdrawals that do not appear on
this statement. Total the withdrawals
and enter on Line 4.
5. Subtract Line 4 from 3. This adjusted
SDNY_GAL 00006761
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDBEI ,- ENITIAL/001/TD-Dal-00000001.(xt[8/4/2020 7:00:59 PM]
Q
EFTA01595814
balance should equal your account
balance.
Ending
Balance
18,110.17
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
DEPOSITS NOT
ON STATEMENT
DOLLARS CENTS
Total Deposits
WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS WITHDRAWALS NOT
ON STATEMENT
DOLLARS CENTS
Total
Withdrawals
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after we sent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
® Your name and account number.
® A description of the error or transaction you are unsure about.
® The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take
more than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty(60) days after we sent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
SDNY_GAL 00006762
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCSZEfil :- EurgiaL.
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595815
CD Your name and account number..
® The dollar amount of the suspected error.
® Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to payany amount in question while we are investigating, but you
are still obligated to paythe parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES:Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The dailybalance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement Perinri Anr 01 7017-Apr 30 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
4/14 DEBIT CARD PURCHASE, AUT 041217 VISA DDA PUR 2.17
STAPLES 00153221 NEW YORK * NY
4387662001117433
4/17 ELECTRONIC PMT-WEB, AMEX EPAYMENT ACH PMT W2282 1,300.00
4/17 DEBIT CARD PAYMENT, AUT 041617 VISA DDA PUR 152.43
GLOBAL GIRL 32123705 888 746 7439 * IL
4387662001117433
4/17 DEBIT CARD PURCHASE, AUT 041317 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/17 DEBIT CARD PURCHASE, AUT 041517 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/18 DEBIT POS, AUT 041717 DDA PURCHASE 39.90
AUTOZONE 3250 14760 N N SCOTTSDALE * AZ
4387662001117433
4/19 DEBIT CARD PURCHASE, AUT 041717 VISA DDA PUR 15.49
TRUE FOOD KITCHEN QUAR SCOTTSDALE * AZ
4387662001117433
4/21 DEBIT CARD PURCHASE, AUT 041917 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
S0NY_GM_00006763
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
- I Wilt
,.. ENITX/ALT/00
UTD-DOJ-0000000 I A:0[8/42020 7:00:59 PM]
EFTA01595816
4/24 DEBIT CARD PURCHASE, AUT 042217 VISA DDA PUR 116.33
EXPEDIA 7259685845962 EXPEDIA COM * WA
4387662001117433
4/24 DEBIT CARD PURCHASE, AUT 042117 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/24 DEBIT CARD PURCHASE, AUT 042217 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
4/27 CCD DEBIT, AMEX EPAYMENT ACH PMT A6464 2,570.79
4/27 DEBIT CARD PURCHASE, AUT 042517 VISA DDA PUR 15.00
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
Subtotal: 4,906.48
DAILY BALANCE SUMMARY
DATE BALANCE
3/31 12,402.84
4/3 12,385.27
4/4 11,990.16
4/7 11,985.16
DATE BALANCE
4/10 11,970.16
4/11 11,803.90
4/13 11,783.47
4/14 11,781.30
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
7017-Apr 30 2017
Cust Ref #:
Primary Account #:
DAILY BALANCE SUM
DATE BALANCE
4/17 10,298.87
4/18 16,872.78
4/19 20,857.29
DATE BALANCE
4/21 20,842.29
4/24 20,695.96
4/27 18,110.17
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
SDNY_GM_00006764
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCOMilt Q ,- ENIXIAL/00
I /TD-ENN-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595817
Statement P
•
-May 31 2017
Gust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 18,110.17
Electronic Deposits 4,000.00
Checks Paid 5,660.00
Electronic Payments 8,478.51
Ending Balance 7,971.66
Average Collected Balance 14,843.95
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 31
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
05/10 CTX DEPOSIT, NEW CODE INC SENDER 327036926 4,000.00
Subtotal: 4,000.00
Checks Paid No. Checks: 2
"Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
05/23 1027 1,160.00
05/05 1030* 4,500.00
Subtotal: 5,660.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
05/01 DEBIT CARD PAYMENT, AUT 043017 VISA DDA PUR
GLOBAL GIRL 32641559 888 746 7439 * IL
4387662001117433
31.58
05/01 DEBIT CARD PURCHASE, AUT 042717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/01 DEBIT CARD PAYMENT, AUT 042817 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
05/02 DEBIT CARD PURCHASE, AUT 043017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/04 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
05/04 DEBIT CARD PURCHASE, AUT 050217 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/05 DEBIT CARD PURCHASE, AUT 050317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
SDNY_GM_00006765
ti le:///C/...rs/whohrednesktopISTANIPING/TD%20BC201 NEfi
It Q ,- ENIXIALICT/001/TD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595818
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
SDNY_GAL 00006766
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BCDNE it :- ENIXIAL/00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 Mt]
Q
EFTA01595819
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
7,971.66
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
SDNY_GM_00006767
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-I NES
It ,- ENITANEXT/00
UTD-DOJ-0000000 I Am(SM/2020 7:00:59 PM]
EFTA01595820
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-May 31 2017
Cust Ref #:
**
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
05/05 DEBIT POS, AUT 050517 DDA PURCHASE
ARCO 42634 AMPM ONTARIO * CA
4387662001117433
10.87
05/08 DEBIT CARD PURCHASE, AUT 050517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/08 DEBIT CARD PURCHASE, AUT 050617 VISA DDA PUR
DULCES POTOSINOS SOLEDAD DE GR M EX
4387662001117433
9.83
05/08 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000VSHR8 5.00
05/10 DEBIT CARD PURCHASE, AUT 050817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/12 DEBIT CARD PURCHASE, AUT 050917 VISA DDA PUR
STARLUX WILDWOOD " NJ
4387662001117433
148.05
05/15 DEBIT POS, AUT 051417 DDA PURCHASE
SUNOCO 02679637 MANCHESTER * NH
4387662001117433
23.73
05/15 DEBIT POS, AUT 051417 DDA PURCHASE
SHELL SERVICE STATION MANCHESTER " NH
4387662001117433
22.02
05/15 DEBIT CARD PURCHASE, AUT 051117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 " WA
4387662001117433
15.00
05/15 DEBIT CARD PURCHASE, AUT 051217 VISA DDA PUR
NEW YORK STATE DMV NEW YORK " NY
4387662001117433
12.50
05/16 DEBIT CARD PURCHASE, AUT 051417 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/17 DEBIT CARD PURCHASE, AUT 051517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
SDNY_GM_00006768
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Q
EFTA01595821
15.00
05/18 DEBIT CARD PURCHASE, AUT 051617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/19 DEBIT CARD PURCHASE, AUT 051717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/22 DEBIT CARD PURCHASE, AUT 051917 VISA DDA PUR
STARLUX WILDWOOD * NJ
4387662001117433
148.05
05/22 DEBIT CARD PURCHASE, AUT 052017 VISA DDA PUR
ELBYS VARIETY STORE WILDWOOD * NJ
4387662001117433
29.99
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
7017-May 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
05/22 DEBIT CARD PURCHASE, AUT 052017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/23 DEBIT CARD PURCHASE, AUT 052117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/23 DEBIT CARD PURCHASE, AUT 052117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/23 DEBIT CARD PURCHASE, AUT 052217 VISA DDA PUR
OPC BOSTON PARK 617 635 4140 " MA
4387662001117433
2.65
05/23 DEBIT CARD PURCHASE, AUT 052217 VISA DDA PUR
OPC BOSTON PARK 617 635 4140 " MA
4387662001117433
2.65
05/25 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
4,000.00
05/25 DEBIT CARD PURCHASE, AUT 052317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
SDNY_GAL 00006769
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EFTA01595822
4387662001117433
15.00
05/30 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
3,000.00
05/30 DEBIT CARD PURCHASE, AUT 052717 VISA DDA PUR
NH SEC OF STATE OTC 603 271 2073 * NH
4387662001117433
152.00
05/30 DEBIT CARD PURCHASE, AUT 052717 VISA DDA PUR
NH SEC OF STATE OTC 603 271 2073 * NH
4387662001117433
152.00
05/30 CCD DEBIT, AMEX EPAYMENT ACH PMT A9800 35.00
05/30 DEBIT CARD PURCHASE, AUT 052717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
05/30 DEBIT CARD PAYMENT, AUT 052817 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
05/31 DEBIT CARD PAYMENT, AUT 053017 VISA DDA PUR
33789491 SHOPIFY COM C 888 746 7439 * IL
4387662001117433
31.58
05/31 DEBIT CARD PURCHASE, AUT 052917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
Subtotal: 8,478.51
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-May 31 2017
Cust Ref #:
**
Primary Account #:
DAILY BALANCE SUM
DATE BALANCE DATE BALANCE
04/30 18,110.17 05/16 16,833.53
05/01 18,050.64 05/17 16,818.53
05/02 18,035.64 05/18 16,803.53
05/04 17,640.53 05/19 16,788.53
05/05 13,114.66 05/22 16,595.49
05/08 13,084.83 05/23 15,400.19
05/10 17,069.83 05/25 11,385.19
05/12 16,921.78 05/30 8,018.24
05/15 16,848.53 05/31 7,971.66
SDNY_GM_00006770
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I A x68M/2020 7:00:59 PM]
Q
EFTA01595823
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
Cust Ref #:
Primary Account #:
#1027 05/23 $1,160.
#1030 05/05 $4,500.00
-May 31 2017
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
•
-Jun 30 2017
Gust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 7,971.66
Electronic Deposits 6,472.65
Checks Paid 40.00
Electronic Payments 8,084.98
Ending Balance 6,319.33
Average Collected Balance 7,257.60
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 30
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
06/01 CCD DEPOSIT, JET TEST INTERNA 5819246 5819246 1,578.02
06/14 CCD DEPOSIT, JET TEST INTERNA 5861638 5861638 1,578.02
06/21 CCD DEPOSIT, JET TEST INTERNA 5889654 5889654 3,210.54
06/21 CCD DEPOSIT, GOOGLE PAYMENT US000WV7VR 106.07
Subtotal: 6,472.65
Checks Paid No. Checks: 1
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
06/21 1031 40.00
Subtotal: 40.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
06/05 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
06/05 DEBIT CARD PURCHASE, AUT 060217 VISA DDA PUR
CHEESECAKE WHITE PLAINS WHITE PLAINS * NY
4387662001117433
19.71
S0NY_GM_00006771
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EFTA01595824
06/05 DEBIT CARD PURCHASE, AUT 060117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/05 DEBIT CARD PURCHASE, AUT 060217 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/06 DEBIT CARD PURCHASE, AUT 060417 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/06 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000WF0XL 5.00
06/09 DEBIT CARD PURCHASE, AUT 060717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
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EFTA01595825
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
SDNY_GM_00006773
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EFTA01595826
Withdrawals
Ending
Balance
6,319.33
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
2017-Jun 30 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
06/12 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
5,000.00
06/12 DEBIT CARD PURCHASE, AUT 060917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/12 DEBIT CARD PURCHASE, AUT 061017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/14 DEBIT CARD PURCHASE, AUT 061317 VISA DDA PUR
ALIEN FLIGHT STUDENT PRO 571 227 1089 * VA
4387662001117433
130.00
06/14 DEBIT CARD PURCHASE, AUT 061317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/16 DEBIT CARD PURCHASE, AUT 061517 VISA DDA PUR
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
16.27
06/19 DEBIT CARD PURCHASE, AUT 061717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/19 DEBIT CARD PURCHASE, AUT 061517 VISA DDA PUR
SDNY_GM_ 00006774
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fr/
EFTA01595827
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/20 DEBIT CARD PURCHASE, AUT 061917 VISA DDA PUR
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
33.00
06/21 DEBIT CARD PURCHASE, AUT 061917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/23 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
2,000.00
06/26 DEBIT CARD PURCHASE, AUT 062217 VISA DDA PUR
STAPLES 00153221 NEW YORK * NY
4387662001117433
64.23
06/26 DEBIT CARD PURCHASE, AUT 062217 VISA DDA PUR
HILLSTONE 212 888 3828 NEW YORK * NY
4387662001117433
31.13
06/26 DEBIT CARD PURCHASE, AUT 062217 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/27 DEBIT CARD PURCHASE, AUT 062517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/28 NONTD ATM DEBIT, AUT 062717 DDA WITHDRAW
1701 N GREEN VALLEY PK HENDERSON * NV
4387662001117433
163.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Jun 30 2017
Cust Ref #:
***
Primary Account #:
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
06/28 NONTD ATM FEE 3.00
06/29 DEBIT CARD PURCHASE, AUT 062717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
06/29 DEBIT CARD PAYMENT, AUT 062817 VISA DDA PUR
INTUIT ()B ONLINE 800 286 6800 * CA
4387662001117433
SDNY_GM_00006775
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Z
ENIXIA
DW
LICT/001/TD-
-0000000 I A xtISM/2020 7:00:59 PM]
.
/
j
(
EFTA01595828
12.95
06/30 DEBIT CARD PAYMENT, AUT 062917 VISA DDA PUR
34995635 SHOPIFY COM C 888 746 7439 * IL
4387662001117433
31.58
Subtotal: 8,084.98
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
05/31 7,971.66 06/20 5,408.61
06/01 9,549.68 06/21 8,670.22
06/05 9,119.86 06/23 6,670.22
06/06 9,099.86 06/26 6,559.86
06/09 9,084.86 06/27 6,544.86
06/12 4,054.86 06/28 6,378.86
06/14 5,487.88 06/29 6,350.91
06/16 5,471.61 06/30 6,319.33
06/19 5,441.61
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P '
•
-Jun 30 2017
Gust Ref #:
Primary Account #:
#1031 06/21 $40.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P '
•
- ul 31 2017
Cust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVI LOOP
Account #
ACCOUNT
Beginning Balance 6,319.33
Checks Paid 2,100.00
Electronic Payments 1,067.24
Ending Balance 3,152.09
Average Collected Balance 4,247.77
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
SDNY_GAL 00006776
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EFTA01595829
Days in Period 31
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 3
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT DATE SERIAL NO. AMOUNT
07/10 1033 400.00 07/24 1038" 300.00
07/10 1034 1,400.00
Subtotal: 2,100.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
07/03 DEBIT CARD PURCHASE, AUT 062917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/03 DEBIT CARD PURCHASE, AUT 062917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/03 DEBIT CARD PURCHASE, AUT 063017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/03 DEBIT CARD PURCHASE, AUT 070117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/05 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
07/05 DEBIT POS, AUT 070417 DDA PURCHASE
SMITHS 1000 N GREEN VALL HENDERSON * NV
4387662001117433
25.02
07/05 DEBIT CARD PURCHASE, AUT 070317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/06 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000X90GZ 5.00
07/07 DEBIT CARD PURCHASE, AUT 070517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
SDNY_GM_00006777
file:///C/...rs/whohrer/DesktopISTAMPING/TD%20BC201NEfilt ,- ENT/ALD0°
I/TD-DO1-00000001 A xtISM/2020 7:00:59 PM]
Q
EFTA01595830
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
SDNY_GAL 00006778
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EFTA01595831
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
3,152.09
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
ul 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
07/10 DEBIT CARD PURCHASE, AUT 070617 VISA DDA PUR
CITY OF ELK CITY ELK CITY * OK
4387662001117433
49.57
07/10 DEBIT CARD PURCHASE, AUT 070717 VISA DDA PUR
SDNY_GAL 00006779
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EFTA01595832
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
40.32
07/10 DEBIT CARD PURCHASE, AUT 070817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/10 DEBIT CARD PURCHASE, AUT 070717 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/11 DEBIT CARD PURCHASE, AUT 070917 VISA DDA PUR
HERTZ RENT A CAR NEWBURGH * NY
4387662001117433
69.58
07/12 DEBIT CARD PURCHASE, AUT 071117 VISA DDA PUR
CHEESECAKE WHITE PLAINS WHITE PLAINS * NY
4387662001117433
30.12
07/12 DEBIT CARD PURCHASE, AUT 071017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/14 DEBIT CARD PURCHASE, AUT 071317 VISA DDA PUR
AMERICAN BAR ASSOCIATION 214 257 2249 * IL
4387662001117433
139.95
07/17 DEBIT CARD PURCHASE, AUT 071317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/18 DEBIT CARD PURCHASE, AUT 071617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/24 DEBIT CARD PURCHASE, AUT 072117 VISA DDA PUR
CRIMSON RYE NEW YORK * NY
4387662001117433
49.55
07/24 DEBIT CARD PURCHASE, AUT 072117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/27 DEBIT CARD PURCHASE, AUT 072517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
07/31 DEBIT CARD PAYMENT, AUT 072917 VISA DDA PUR
36254557 SHOPIFY COM C 888 746 7439 " IL
4387662001117433
31.58
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
SDNY_GM_00006780
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Q
EFTA01595833
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
2017-Jul 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
07/31 DEBIT POS, AUT 072817 DDA PURCHASE
MD SOUTH REALTY BRONX * NY
4387662001117433
23.49
07/31 DEBIT CARD PURCHASE, AUT 072917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 " WA
4387662001117433
15.00
07/31 DEBIT CARD PAYMENT, AUT 072817 VISA DDA PUR
INTUIT ()B ONLINE 800 286 6800 * CA
4387662001117433
12.95
Subtotal: 1,067.24
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
06/30 6,319.33 07/12 3,784.61
07/03 6,259.33 07/14 3,644.66
07/05 5,839.20 07/17 3,629.66
07/06 5,834.20 07/18 3,614.66
07/07 5,819.20 07/24 3,250.11
07/10 3,899.31 07/27 3,235.11
07/11 3,829.73 07/31 3,152.09
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
- ul 31 2017
Cust Ref #:
_***
Primary Account #:
#1033 07/10 $400.00
#1034 07/10 $1,400.00
#1038 07/24 $300.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement Period: Aug 01 2017-Aug 31 2017
SDNY_GAL 00006781
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EFTA01595834
Gust Ref #: IMM
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 3,152.09
Electronic Deposits 10,000.00
Checks Paid 600.00
Electronic Payments 687.50
Ending Balance 11,864.59
Average Collected Balance 12,156.18
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 31
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
08/02 eTransfer Credit, Online Xfer
Transfer from CK 4312480538
10,000.00
Subtotal: 10,000.00
Checks Paid No. Checks: 2
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
08/15 1035 300.00
08/28 1040* 300.00
Subtotal: 600.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
08/01 DEBIT CARD PURCHASE, AUT 073017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/03 DEBIT CARD PURCHASE, AUT 080117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/04 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
08/07 DEBIT CARD PURCHASE, AUT 080417 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/07 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US000YKSNM 5.00
08/08 DEBIT CARD PURCHASE, AUT 080617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/10 DEBIT CARD PURCHASE, AUT 080817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
SDNY_GM_00006782
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EFTA01595835
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
SDNY_GAL 00006783
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EFTA01595836
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
11,864.59
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
SDNY_GM_000067134
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EFTA01595837
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-Aug 31 2017
Gust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
08/14 DEBIT CARD PURCHASE, AUT 081117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/15 DEBIT CARD PURCHASE, AUT 081317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/15 DEBIT CARD PURCHASE, AUT 081317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/18 DEBIT CARD PURCHASE, AUT 081617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/21 DEBIT CARD PURCHASE, AUT 081817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/23 DEBIT CARD PURCHASE, AUT 082217 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/25 DEBIT CARD PURCHASE, AUT 082317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/28 CCD DEBIT, AMEX EPAYMENT ACH PMT A3214 54.00
08/28 DEBIT CARD PURCHASE, AUT 082617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
08/28 DEBIT CARD PURCHASE, AUT 082517 VISA DDA PUR
SO GREGORYS COFFEE NEW YORK * NY
4387662001117433
8.86
08/29 DEBIT CARD PAYMENT, AUT 082817 VISA DDA PUR
37553067 SHOPIFY COM C 888 746 7439 " IL
4387662001117433
31.58
08/29 DEBIT CARD PAYMENT, AUT 082817 VISA DDA PUR
INTUIT ()B ONLINE 800 286 6800 * CA
4387662001117433
12.95
Subtotal: 687.50
DAILY BALANCE SUMMARY
SDNY_GM_00006785
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EFTA01595838
DATE BALANCE DATE BALANCE
07/31 3,152.09 08/14 12,676.98
08/01 3,137.09 08/15 12,346.98
08/02 13,137.09 08/18 12,331.98
08/03 13,122.09 08/21 12,316.98
08/04 12,741.98 08/23 12,301.98
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Aug 31 2017
Cust Ref #:
***
Primary Account #:
DAILY BALANCE SU
DATE BALANCE DATE BALANCE
08/07 12,721.98 08/25 12,286.98
08/08 12,706.98 08/28 11,909.12
08/10 12,691.98 08/29 11,864.59
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Aug 31 2017
Cust Ref #:
Primary Account #:
#1035 08/15 $300.0 #1 40
28 $300.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
•
-Sep 30 2017
Cust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP
Account #
ACCOUNT
Beginning Balance 11,864.59
Checks Paid 3,157.20
S0NY_GM_00006786
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EFTA01595839
Electronic Payments 839.63
Ending Balance 7,867.76
Average Collected Balance 10,581.16
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 30
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 3
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT DATE SERIAL NO. AMOUNT
09/11 1039 300.00 09/26 1042 2,618.00
09/05 1041* 239.20
Subtotal: 3,157.20
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
09/01 DEBIT CARD PURCHASE, AUT 083117 VISA DDA PUR
PP FACEBOOK 402 935 7733 * CA
4387662001117433
10.00
09/05 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
09/05 DEBIT CARD PURCHASE, AUT 090117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
09/06 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US0010JHGW 5.00
09/08 DEBIT CARD PURCHASE, AUT 090617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
09/13 DEBIT CARD PURCHASE, AUT 091117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 " WA
4387662001117433
15.00
09/18 DEBIT CARD PURCHASE, AUT 091517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
09/20 DEBIT CARD PURCHASE, AUT 091917 VISA DDA PUR
3DHUBSNL AMSTERDAM N LD
4387662001117433
45.00
09/22 DEBIT CARD PURCHASE, AUT 092017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
SDNY_GM_00006787
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCDNEI Q ,- ENIXIAL001/TD-DOJ-0000000
I A xt[8/42020 7:00:59 PM]
EFTA01595840
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
SDNY_GM_ 00006788
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Ti
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2
- I - I • -Oft . t -
on D-D .1-
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/00 IfTD-Dal-00000001.w[ft/h1/2020 7:00:59 PM]
EFTA01595841
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
7,867.76
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Sep 30 2017
Cust Ref #:
-***
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
SDNV_GM_00006789
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EFTA01595842
POSTING DATE DESCRIPTION AMOUNT
09/25 DEBIT CARD PURCHASE, AUT 092317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
09/27 CCD DEBIT, AMEX EPAYMENT ACH PMT A6836 35.00
09/27 DEBIT CARD PURCHASE, AUT 092517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
09/28 DEBIT CARD PAYMENT, AUT 092817 VISA DDA PUR
FOREFLIGHT LLC 866 299 2505 * TX
4387662001117433
199.99
09/28 DEBIT CARD PAYMENT, AUT 092717 VISA DDA PUR
38910149 SHOPIFY COM C 888 746 7439 " IL
4387662001117433
31.58
09/28 DEBIT CARD PURCHASE, AUT 092617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
09/29 DEBIT CARD PAYMENT, AUT 092817 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
Subtotal: 839.63
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
08/31 11,864.59 09/20 10,825.28
09/01 11,854.59 09/22 10,810.28
09/05 11,220.28 09/25 10,795.28
09/06 11,215.28 09/26 8,177.28
09/08 11,200.28 09/27 8,127.28
09/11 10,900.28 09/28 7,880.71
09/13 10,885.28 09/29 7,867.76
09/18 10,870.28
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Sep 30 2017
Cust Ref #:
***
Primary Account #:
#1039 09/11 $300.00 #1041 09/05 $239.20
#1042 09/26 $2,618.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
SDNY_GM_00006790
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EFTA01595843
Statement P
•
-Oct 31 2017
Gust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 7,867.76
Checks Paid 300.00
Electronic Payments 675.44
Ending Balance 6,892.32
Average Collected Balance 7,196.63
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 31
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
10/11 1032 300.00
Subtotal: 300.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
10/02 DEBIT CARD PURCHASE, AUT 092817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/02 DEBIT CARD PURCHASE, AUT 092917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/04 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
10/04 DEBIT CARD PURCHASE, AUT 100217 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 " WA
4387662001117433
15.00
10/06 DEBIT CARD PURCHASE, AUT 100417 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/06 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US00115K69 5.00
10/10 DEBIT CARD PURCHASE, AUT 100817 VISA DDA PUR
EXXONMOBIL 97481469 WHITE PLAINS * NY
4387662001117433
15.80
10/11 DEBIT CARD PURCHASE, AUT 100917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/13 DEBIT CARD PURCHASE, AUT 101117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
SDNY_GM_00006791
tile:///C/...rs/whohrednesktopISTAMPING/TD%20BCDNEfilt Q ,- ENIXIALT/001/TD-DOJ-0000000
I Axi[/SA/2020 7:00:59 PM]
EFTA01595844
10/16 DEBIT CARD PURCHASE, AUT 101417 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
SDNY_GAL 00006792
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BCDNEfil ,- EtattaL/00
I /TD-DOJ-0000000 IA xt(8/4/2020 7:00:59 PM]
Q
EFTA01595845
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
6,892.32
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
SDNY_GM_00006793
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
-I Wilt
,- ENDIALICT/00
UTD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595846
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-Oct 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
10/18 DEBIT CARD PURCHASE, AUT 101617 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/20 DEBIT CARD PURCHASE, AUT 101817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/25 DEBIT CARD PURCHASE, AUT 102317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/26 DEBIT CARD PURCHASE, AUT 102417 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/27 DEBIT CARD PURCHASE, AUT 102517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
10/30 CCD DEBIT, AMEX EPAYMENT ACH PMT A8096 35.00
10/30 DEBIT CARD PAYMENT, AUT 102717 VISA DDA PUR
40363614 SHOPIFY COM C HTTPSSHOPIFY * IL
4387662001117433
31.58
10/30 DEBIT CARD PAYMENT, AUT 102817 VISA DDA PUR
INTUIT ()B ONLINE 800 286 6800 * CA
4387662001117433
12.95
10/31 DEBIT CARD PURCHASE, AUT 102917 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
Subtotal: 675.44
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
09/30 7,867.76 10/18 7,046.85
10/02 7,837.76 10/20 7,031.85
10/04 7,442.65 10/25 7,016.85
10/06 7,422.65 10/26 7,001.85
10/10 7,406.85 10/27 6,986.85
SDNY_GM_00006794
ti le:///C/...rs/w1,0hrednesktop/STANIPING/TD%20BC2ONEfi It Q ,- ENITXIALT/001/TD-DOJ
-00(XXXX) I A xt[8/4/2020 7:00:59 PM]
EFTA01595847
10/11 7,091.85 10/30 6,907.32
10/13 7,076.85 10/31 6,892.32
10/16 7,061.85
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
:
-Oct 31 2017
Gust Ref #:
Primary Account #:
#1032 10/11 $300.0
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P '
-Nov 30 2017
Cust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 6,892.32
Electronic Deposits 2,381.66
Checks Paid 300.00
Electronic Payments 732.54
Ending Balance 8,241.44
Average Collected Balance 8,486.32
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 30
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
11/03 CCD DEPOSIT, JET TEST INTERNA 6358228 6358228 2,381.66
Subtotal: 2,381.66
Checks Paid No. Checks: 1
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
11/13 1061 300.00
Subtotal: 300.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
11/01 DEBIT CARD PURCHASE, AUT 103017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
S0NY_GM_00006795
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
- I NEfi
It ,.. ENITI'001LT/001/TD-DOJ-00000001A:0[8/4/2020 7:00:59 PM]
EFTA01595848
15.00
11/06 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
11/06 DEBIT CARD PURCHASE, AUT 110317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
11/07 DEBIT CARD PURCHASE, AUT 110517 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
11/07 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US0011VGMN 5.00
11/10 DEBIT CARD PURCHASE, AUT 110817 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
11/13 DEBIT CARD PURCHASE, AUT 111117 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
11/13 DEBIT CARD PURCHASE, AUT 111017 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
SDNV_GM_00006796
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
It ,.. ERDAL/00
I /TD-DOJ-(XXXXXX) I A xt(8/4/2020 7:00:59 PM]
EFTA01595849
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
c
SDNY_GM_00006797
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file:///C/...rs/wIxthrednesktopISTANIPING/TD%20B
2
- I - I • -00 . t ,..
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EFTA01595850
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
8,241.44
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement Peri
-Nov 30 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
11/15 DEBIT CARD PURCHASE, AUT 111317 VISA DDA PUR
STARBUCKS CARD RELOAD 800 782 7282 * WA
4387662001117433
15.00
11/17 DEBIT CARD PURCHASE, AUT 111517 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
11/20 DEBIT CARD PURCHASE, AUT 111717 VISA DDA PUR
MODERNE BARN ARMONK * NY
4387662001117433
38.75
11/20 DEBIT CARD PURCHASE, AUT 111617 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
11/24 DEBIT CARD PURCHASE, AUT 112217 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
11/24 DEBIT CARD PURCHASE, AUT 112117 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
SDNV_GM_00006798
file:///C/...rs/wIxthrer/DesktopISTANIPING/TD%20BC 2
- INEfi
It ,.. EanalEXT/00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595851
4387662001117433
15.00
11/24 DEBIT CARD PURCHASE, AUT 112217 VISA DDA PUR
NYCTAXI8C88 ASTORIA * NY
4387662001117433
11.15
11/27 CCD DEBIT, AMEX EPAYMENT ACH PMT A7626 58.00
11/27 DEBIT CARD PAYMENT, AUT 112617 VISA DDA PUR
41843920 SHOPIFY COM C HTTPSSHOPIFY * IL
4387662001117433
31.58
11/27 DEBIT CARD PURCHASE, AUT 112417 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
11/29 DEBIT CARD PURCHASE, AUT 112717 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
11/29 DEBIT CARD PAYMENT, AUT 112817 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
Subtotal: 732.54
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
10/31 6,892.32 11/15 8,483.87
11/01 6,877.32 11/17 8,468.87
11/03 9,258.98 11/20 8,415.12
11/06 8,863.87 11/24 8,373.97
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Nov 30 2017
Cust Ref #:
**
Primary Account #:
DAILY BALANCE SUM
DATE BALANCE DATE BALANCE
11/07 8,843.87 11/27 8,269.39
11/10 8,828.87 11/29 8,241.44
11/13 8,498.87
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
-Nov 30 2017
Gust Ref #:
Primary Account #:
#1061 11/13 $300.00
SDNY_GM_00006799
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BC201b.Efilt ,Q-
ENIXIAL001/TD-Dal-0000000
I A x68M/2020 7:00:59 PM]
EFTA01595852
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
•
-Dec 31 2017
Gust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 8,241.44
Checks Paid 300.00
Electronic Payments 3,647.92
Ending Balance 4,293.52
Average Collected Balance 5,462.83
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 31
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
12/04 1046 300.00
Subtotal: 300.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
12/01 DEBIT CARD PURCHASE, AUT 112917 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/04 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
12/04 DEBIT CARD PURCHASE, AUT 120117 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/04 DEBIT CARD PURCHASE, AUT 120217 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/04 DEBIT CARD PURCHASE, AUT 120317 VISA DDA PUR
DD BR 355892 Q35 NEW YORK * NY
4387662001117433
5.79
12/04 DEBIT CARD PURCHASE, AUT 120317 VISA DDA PUR
SDNY_GAL 00006000
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BCDNEfil ,Q-
ENIXIAL/00
UTD-DOJ-0000000 I A xt(8/4/2020 7:00:59 Mt]
EFTA01595853
DD BR 355892 Q35 NEW YORK * NY
4387662001117433
2.49
12/07 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US0012I52H 5.00
12/08 DEBIT CARD PURCHASE, AUT 120617 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/11 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
3,000.00
12/11 DEBIT CARD PURCHASE, AUT 120817 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
SDNY_GM_00006001
c
Ti
file:///C/...rs/wIxthrer/DesktopISTANIPING/TD%20B
2
- I - I • -0fi . t ,..
on D-D .1-
1
/001/TD-D0.1-00000001.txt[8/42020 7:00:59 PM]
EFTA01595854
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
SDNY_GM_00006002
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- I NEM
It ,.. ERDAL/00
UTD-DOJ-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595855
Ending
Balance
4,293.52
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-Dec 31 2017
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
12/12 DEBIT CARD PURCHASE, AUT 121017 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/15 DEBIT CARD PURCHASE, AUT 121317 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/18 DEBIT CARD PURCHASE, AUT 121517 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/18 DEBIT CARD PURCHASE, AUT 121517 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/19 DEBIT CARD PURCHASE, AUT 121717 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/22 DEBIT CARD PURCHASE, AUT 122017 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/26 DEBIT CARD PURCHASE, AUT 122417 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/26 DEBIT CARD PURCHASE, AUT 122217 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
SDNY_GM_00006603
tile:///C/...rs/wl,ohrednesktopISTAMPING/TD%20BC2ONEfilt Q ,- ENIXIAL/001/TD-DOJ-(XXXXXX11 A xt[8/4/2020 7:00:59 PM]
EFTA01595856
4387662001117433
15.00
12/27 DEBIT CARD PAYMENT, AUT 122617 VISA DDA PUR
43397480 SHOPIFY COM C HTTPSSHOPIFY * IL
4387662001117433
31.58
12/28 DEBIT CARD PURCHASE, AUT 122617 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
12/29 DEBIT CARD PAYMENT, AUT 122817 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
Subtotal: 3,647.92
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
11/30 8,241.44 12/18 4,413.05
12/01 8,226.44 12/19 4,398.05
12/04 7,508.05 12/22 4,383.05
12/07 7,503.05 12/26 4,353.05
12/08 7,488.05 12/27 4,321.47
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Dec 31 2017
Cust Ref #:
Primary Account #:
DAILY BALANCE SUM
DATE BALANCE DATE BALANCE
12/11 4,473.05 12/28 4,306.47
12/12 4,458.05 12/29 4,293.52
12/15 4,443.05
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Dec 31 2017
Cust Ref #:
Primary Account #:
#1046 12/04 $300.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
SDNY_GM_00006004
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BCDNEfilt Q ,- ENIXIALT/001/TD-M0-00000001
A xt[8/4/2020 7:00:59 PM]
EFTA01595857
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
•
•
-Jan 31 2018
Gust Ref #:
Primary Account #:
_***
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 4,293.52
Checks Paid 300.00
Electronic Payments 1,320.93
Ending Balance 2,672.59
Average Collected Balance 3,301.84
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 31
DAILY ACCOUNT ACTIVITY
Checks Paid No. Checks: 1
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
01/17 1043 300.00
Subtotal: 300.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
01/02 DEBIT CARD PURCHASE, AUT 123117 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/02 DEBIT CARD PURCHASE, AUT 122817 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/02 DEBIT CARD PURCHASE, AUT 122917 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/02 DEBIT CARD PURCHASE, AUT 122917 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/03 DEBIT CARD PURCHASE, AUT 010118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/04 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
01/08 DEBIT CARD PURCHASE, AUT 010718 VISA DDA PUR
HERTZ RENT A CAR NEW YORK * NY
4387662001117433
38.48
01/08 DEBIT CARD PURCHASE, AUT 010418 VISA DDA PUR
SDNY_GAL 00006005
tile:///C/...rs/whohrer/DesktopISTANIPING/TD%20BC2ONEfilt ,- ENIXIALT/001/TD-DOJ-(XXXXXX11 A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595858
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/08 DEBIT CARD PURCHASE, AUT 010618 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/08 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US0013531M 5.00
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
SDNY_GM_ 00006006
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Ti
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20B
2
- I - I • -0fi . t ,..
on D-D .1-
1
/001/TD-DOJ-00000001.(xt[8/4/2020 7:00:59 PM]
EFTA01595859
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
2,672.59
Total
Deposits
Sub Total
SONY_GM_00006007
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
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UTD-MU-0000000 I x0[8/4/2020 7:00:59 PM]
EFTA01595860
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-Jan 31 2018
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
01/09 DEBIT CARD PURCHASE, AUT 010718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/09 DEBIT CARD PURCHASE, AUT 010718 VISA DDA PUR
THE PLANT 71 SAN FRANCISCO * CA
4387662001117433
13.04
01/10 DEBIT CARD PURCHASE, AUT 010918 VISA DDA PUR
ENTERPRISE RENT A CAR VENICE * CA
4387662001117433
15.01
01/10 DEBIT CARD PURCHASE, AUT 010818 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/11 DEBIT CARD PURCHASE, AUT 010918 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/12 DEBIT CARD PURCHASE, AUT 011018 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/16 DEBIT CARD PURCHASE, AUT 011218 VISA DDA PUR
R G BRENNER INCOME TAX NEW YORK * NY
4387662001117433
450.00
01/16 DEBIT CARD PURCHASE, AUT 011118 VISA DDA PUR
HERTZ RENT A CAR MANCHESTER " NH
4387662001117433
40.71
01/16 DEBIT CARD PURCHASE, AUT 011118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/16 DEBIT CARD PURCHASE, AUT 011218 VISA DDA PUR
SDNY_GAL 00006008
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ENIXIALX)1/TD-DOJ-NHXXXX11
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Q
EFTA01595861
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/17 DEBIT CARD PURCHASE, AUT 011518 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/18 DEBIT CARD PURCHASE, AUT 011618 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/19 DEBIT CARD PURCHASE, AUT 011718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/22 DEBIT CARD PURCHASE, AUT 012018 VISA DDA PUR
HERTZ TOLL CHARGE ATS 877 411 4300 * NH
4387662001117433
4.05
01/23 DEBIT CARD PURCHASE, AUT 012118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Jan 31 2018
Gust Ref #:
***
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
01/25 DEBIT CARD PURCHASE, AUT 012318 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/26 DEBIT CARD PAYMENT, AUT 012518 VISA DDA PUR
44970034 SHOPIFY COM C HTTPSSHOPIFY * IL
4387662001117433
31.58
01/26 DEBIT CARD PURCHASE, AUT 012418 VISA DDA PUR
STARBUCKS 800 782 7282 " WA
4387662001117433
15.00
01/29 DEBIT CARD PURCHASE, AUT 012718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
01/29 DEBIT CARD PURCHASE, AUT 012618 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
SDNY_GM_00006009
ti le:///C/...rs/whohrednesktopISTAMPING/TD%20BC2C)INEfi It ,-
MI:JAL/00
I /TD-DOJ-(XXXXXX) I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595862
15.00
01/29 DEBIT CARD PAYMENT, AUT 012818 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
01/30 DEBIT CARD PURCHASE, AUT 012818 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
Subtotal: 1,320.93
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
12/31 4,293.52 01/17 2,841.17
01/02 4,233.52 01/18 2,826.17
01/03 4,218.52 01/19 2,811.17
01/04 3,838.41 01/22 2,807.12
01/08 3,764.93 01/23 2,792.12
01/09 3,736.89 01/25 2,777.12
01/10 3,706.88 01/26 2,730.54
01/11 3,691.88 01/29 2,687.59
01/12 3,676.88 01/30 2,672.59
01/16 3,156.17
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
•
-Jan 31 2018
Gust Ref #:
_***
Primary Account #:
#1043 01/17 $300.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
•
•
-Feb 28 2018
Cust Ref #:
Primary Account #:
_***
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT SUMMARY
Beginning Balance 2,672.59
Electronic Deposits 563.00
Other Credits 40,000.00
SDNY_GM_00006810
tile:///C/...rs/whohrer/DesktopISTAMPING/TD%20BC2ONEfil ,Q-
EN:I:JAL/00
I /TD-DOJ-(XXXXXX11 A xt[8/4/2020 7:00:59 PM]
EFTA01595863
Checks Paid 2,596.00
Electronic Payments 11,892.72
Other Withdrawals 15.00
Ending Balance 28,731.87
Average Collected Balance 22,044.50
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 28
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
02/12 eTransfer Credit, Online Xfer
Transfer from CK 4312480538
500.00
02/22 ACH DEPOSIT, NY STATE NYSTTAXRFD XXXXX4144-93 63.00
Subtotal: 563.00
Other Credits
POSTING DATE DESCRIPTION AMOUNT
02/12 WIRE TRANSFER INCOMING, 35269691 - JEFFREY EPSTEIN 40,000.00
Subtotal: 40,000.00
Checks Paid No. Checks: 3
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT DATE SERIAL NO. AMOUNT
02/07 1044 100.00 02/28 1049* 2,196.00
02/06 1045 300.00
Subtotal: 2,596.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
02/01 DEBIT CARD PURCHASE, AUT 013018 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/02 DEBIT CARD PURCHASE, AUT 013118 VISA DDA PUR
HERTZ RENT A CAR TURNERSVILLE * NJ
4387662001117433
38.91
02/02 DEBIT CARD PURCHASE, AUT 013118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/05 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
SDNY_GM_00006811
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BC 2
-I NEM
It ,.. ENITX/NEXT/00
UTD-DOJ-0000000 I A:0[8/42020 7:00:59 PM]
EFTA01595864
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
SDNY_GAL 00006812
file:///C/...rs/wIxthrer/DesktopISTANIPING/TD%20BCDINEfil ,.. Euttan,00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595865
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
28,731.87
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement Perinri FPh 01 201 R-Feb 28 2018
Cust Ref #:
Primary Account #:
DAILY ACCOUNT ACTIVITY
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
02/05 DEBIT CARD PURCHASE, AUT 020218 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
SDNY_GM_00006813
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
- I NEI
It
- ENITANOCT/00
UTD-DOJ-0000000 I A:0(104/2020 7:00:59 PM]
EFTA01595866
15.00
02/05 DEBIT CARD PURCHASE, AUT 020318 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/06 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US0013S9XJ 5.00
02/08 DEBIT CARD PURCHASE, AUT 020518 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/09 DEBIT CARD PURCHASE, AUT 020718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/12 DEBIT CARD PURCHASE, AUT 020918 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/13 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
5,000.00
02/13 DEBIT CARD PURCHASE, AUT 021118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/14 DEBIT CARD PURCHASE, AUT 021218 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/15 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
2,000.00
02/16 DEBIT CARD PURCHASE, AUT 021418 VISA DDA PUR
HERTZ RENT A CAR NEW YORK " NY
4387662001117433
36.08
02/16 DEBIT CARD PURCHASE, AUT 021518 VISA DDA PUR
HERTZ TOLL CHARGE ATS 877 411 4300 * NJ
4387662001117433
29.45
02/20 DEBIT CARD PURCHASE, AUT 021718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/20 DEBIT CARD PURCHASE, AUT 021518 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/23 DEBIT CARD PURCHASE, AUT 022118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/23 DEBIT CARD PURCHASE, AUT 022118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/26 eTransfer Debit, Online Xfer
SDNY_GM_00006814
tile:///C/...rs/wholtrer/Desktop/STAMPING/TD%20BeDhlEfil ,
ENTIALT/001/TD-Dal-0000000
I Axt[104/2020 7:00:59 PM I
Q
EFTA01595867
Transfer to CK 4312480538
4,000.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
•
-Feb 28 2018
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
02/26 DEBIT CARD PURCHASE, AUT 022218 VISA DDA PUR
HERTZ RENT A CAR MANCHESTER " NH
4387662001117433
52.13
02/26 DEBIT CARD PURCHASE, AUT 022518 VISA DDA PUR
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662001117433
50.32
02/26 DEBIT CARD PAYMENT, AUT 022418 VISA DDA PUR
46624766 SHOPIFY COM C HTTPSSHOPIFY * IL
4387662001117433
31.58
02/26 DEBIT CARD PURCHASE, AUT 022318 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
02/28 DEBIT CARD PURCHASE, AUT 022718 VISA DDA PUR
HERTZ RENT A CAR NEW YORK * NY
4387662001117433
44.14
02/28 DEBIT CARD PURCHASE, AUT 022618 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
Subtotal: 11,892.72
Other Withdrawals
POSTING DATE DESCRIPTION AMOUNT
02/12 WIRE TRANSFER FEE 15.00
Subtotal: 15.00
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
01/31 2,672.59 02/13 37,213.57
02/01 2,657.59 02/14 37,198.57
02/02 2,603.68 02/15 35,198.57
02/05 2,193.57 02/16 35,133.04
02/06 1,888.57 02/20 35,103.04
02/07 1,788.57 02/22 35,166.04
02/08 1,773.57 02/23 35,136.04
02/09 1,758.57 02/26 30,987.01
02/12 42,228.57 02/28 28,731.87
SDNY_GM_00006815
tile:///C/...rs/whohrednesktopISTANIPING/TD%20BC20Milt
ENIXIALIFT/001/TD-DOJ-NXXXXX) I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595868
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P '
-Feb 28 2018
Gust Ref #:
Primary Account #:
#1044 02/07 $100.0
#1045 02/06 $300.00
#1049 02/28 $2,196.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
-Mar 31 2018
Cust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP L
Account #
ACCOUNT
Beginning Balance 28,731.87
Deposits 427.84
Checks Paid 400.00
Electronic Payments 3,894.96
Ending Balance 24,864.75
Average Collected Balance 25,288.67
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
Days in Period 31
DAILY ACCOUNT ACTIVITY
Deposits
POSTING DATE DESCRIPTION AMOUNT
03/26 MOBILE DEPOSIT 427.84
Subtotal: 427.84
Checks Paid No. Checks: 2
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
03/06 1047 300.00
03/02 1050* 100.00
Subtotal: 400.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
SONY_GM_00006816
CI
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20BQ
- I NEM It ,.. ENITX/NEXT/00
UTD-MU-0000000 I A:0[8/4/2020 7:00:59 PM]
EFTA01595869
03/01 DEBIT CARD PURCHASE, AUT 022718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/02 DEBIT CARD PURCHASE, AUT 030118 VISA DDA PUR
PAYPAL GODADDY COM 402 935 7733 * AZ
4387662001117433
50.32
03/02 DEBIT CARD PAYMENT, AUT 022818 VISA DDA PUR
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
03/05 eTransfer Debit, Online Xfer
Transfer to CK 4312480538
3,000.00
03/05 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
03/05 DEBIT CARD PURCHASE, AUT 030218 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/05 DEBIT CARD PURCHASE, AUT 030218 VISA DDA PUR
HERTZ TOLL CHARGE ATS 877 411 4300 * NH
4387662001117433
3.55
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
SDNY_GM_00006817
file:///C/...rs/wIxthrer/DesktopISTAMPING/TD%20BC 2
-I NEfi
It ,.. ENITIALT/00
I /TD-DO1-0000000 I A xa/-1/2020 7:00:59 PM]
EFTA01595870
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
SDNY_GAL 00006818
file:///C/...rs/wholuer/DesktopISTAMPING/TD%20BC2OHNEfil ,- ERDAL,.
UTD-DO1-0000000 I A xt[8/4/2020 7:00:59 PM]
Q
EFTA01595871
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
24,864.75
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-Mar 31 2018
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
03/06 DEBIT CARD PURCHASE, AUT 030418 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/07 DEBIT CARD PURCHASE, AUT 030518 VISA DDA PUR
HERTZ TOLL CHARGE ATS 877 411 4300 * NY
4387662001117433
15.50
03/07 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US0014FY31 5.00
03/09 DEBIT CARD PURCHASE, AUT 030718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/12 DEBIT CARD PURCHASE, AUT 030918 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/12 DEBIT CARD PURCHASE, AUT 031018 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
SDNY_GM_00006819
file:///O...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I biffi
It ,.. Eat/ALM)
I /TD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595872
03/13 DEBIT CARD PURCHASE, AUT 031118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/16 DEBIT CARD PURCHASE, AUT 031418 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/19 DEBIT CARD PURCHASE, AUT 031618 VISA DDA PUR
STARBUCKS 800 782 7282 " WA
4387662001117433
15.00
03/21 DEBIT CARD PURCHASE, AUT 031918 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/23 DEBIT CARD PURCHASE, AUT 032118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/26 DEBIT CARD PURCHASE, AUT 032318 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/27 DEBIT CARD PURCHASE, AUT 032618 VISA DDA PUR
THE RANCH PRO SHOP GARDINER * NY
4387662001117433
100.00
03/27 DEBIT CARD PAYMENT, AUT 032618 VISA DDA PUR
48341988 SHOPIFY COM C HTTPSSHOPIFY * IL
4387662001117433
31.58
03/28 CCD DEBIT, AMEX EPAYMENT ACH PMT A5118 73.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement P
-Mar 31 2018
Cust Ref #:
Primary Account #:
DAILY ACCOUNT AC IV
Electronic Payments (continued)
POSTING DATE DESCRIPTION AMOUNT
03/28 DEBIT CARD PURCHASE, AUT 032618 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/29 DEBIT CARD PURCHASE, AUT 032718 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
03/29 DEBIT CARD PAYMENT, AUT 032818 VISA DDA PUR
SDNY_GAA_ 00006820
tile:///C/...rs/wholtrer/Desktop/STAMPING/TD%20BC2MEI ,- ENIJJAL001/TD-DOJ-0000000
I .c xi( S/4/2020 7:00:59 PM I
Q
EFTA01595873
INTUIT QB ONLINE 800 286 6800 * CA
4387662001117433
12.95
Subtotal: 3,894.96
DAILY BALANCE SUMMARY
DATE BALANCE DATE BALANCE
02/28 28,731.87 03/16 24,744.44
03/01 28,716.87 03/19 24,729.44
03/02 28,553.60 03/21 24,714.44
03/05 25,154.94 03/23 24,699.44
03/06 24,839.94 03/26 25,112.28
03/07 24,819.44 03/27 24,980.70
03/09 24,804.44 03/28 24,892.70
03/12 24,774.44 03/29 24,864.75
03/13 24,759.44
AVILOOP LLC
STATEMENT OF ACCOUNT
Statement P
•
-Mar 31 2018
Gust Ref #:
Primary Account #:
#1047 03/06 $300.00
#1050 03/02 $100.00
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
340 COMMERCIAL STREET 4TH FLOOR
MANCHESTER NH 03101
STATEMENT OF ACCOUNT
Statement P
•
•
-Apr 30 2018
Cust Ref #:
Primary Account #:
E
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
TD Business Convenience Plus
AVILOOP
Account #
ACCOUNT U
Beginning Balance 24,864.75
Electronic Deposits 120.04
Checks Paid 300.00
Electronic Payments 4,184.80
Ending Balance 20,499.99
Average Collected Balance 22,188.46
Interest Earned This Period 0.00
Interest Paid Year-to-Date 0.00
Annual Percentage Yield Earned 0.00%
S0NY_GM_00006821
11 le:MC/... rs/wIxthrednesktopISTANIPI NG/TD%20Bc2
-I NEI
It ,- ENITIALICT/00
UTD-DO.1-(XXXXXX) I A xt(8/4/2020 7:00:59 PM]
EFTA01595874
Days in Period 30
DAILY ACCOUNT ACTIVITY
Electronic Deposits
POSTING DATE DESCRIPTION AMOUNT
04/03 CCD DEPOSIT, SQUARE INC 180403P2 L206345710432 120.04
Subtotal: 120.04
Checks Paid No. Checks: 1
*Indicates break in serial sequence or check processed electronically and listed under Electronic Payments
DATE SERIAL NO. AMOUNT
04/23 1053 300.00
Subtotal: 300.00
Electronic Payments
POSTING DATE DESCRIPTION AMOUNT
04/02 DEBIT CARD PURCHASE, AUT 033018 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
04/03 DEBIT CARD PURCHASE, AUT 040118 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
04/04 ELECTRONIC PMT-WEB, TD AUTO FINANCE LOAN PYMT 002901101048523 380.11
04/05 DEBIT CARD PURCHASE, AUT 040318 VISA DDA PUR
STARBUCKS 800 782 7282 * WA
4387662001117433
15.00
04/05 DEBIT CARD PAYMENT, AUT 040418 VISA DDA PUR
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
4.99
04/06 ELECTRONIC PMT-WEB, GOOGLE PAYMENT US001533M2 5.00
04/09 DEBIT CARD PAYMENT, AUT 040618 VISA DDA PUR
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
45.63
04/09 DEBIT CARD PAYMENT, AUT 040818 VISA DDA PUR
DNH GODADDY COM 480 5058855 * AZ
4387662001117433
25.16
How to Balance your Account
Begin by adjusting your account register
as follows:
- Subtract any services charges shown
on this statement.
- Subtract any automatic payments,
transfers or other electronic with-
drawals not previously recorded.
- Add any interest earned if you have
an interest-bearingaccount.
- Add any automatic deposit or
overdraft line of credit.
- Review all withdrawalsshown on this
statement and check them off in your
account register.
SDNY_GM_00006822
file:///C/...rs/wIxthrednesktopISTAMPING/TD%20BC 2
-I NEI
It
- Eat/ALT/00
UTD-DOJ-0000000 I A xt[8/4/2020 7:00:59 PM]
EFTA01595875
- Follow instructions2-5 to verify your
ending account balance.
1.
2.
3.
4.
5.
Your ending balance shown on this
statement is:
List below the amount of deposits or
credit transfers whichdo not appear
on this statement. Total the deposits
and enter on Line 2.
Subtotal by adding lines 1 and 2.
List below the total amount of
withdrawalsthat do not appear on
this statement. Total the withdrawals
and enter on Line 4.
Subtract Line 4 from 3. This adjusted
balance should equal your account
balance.
FOR CONSUMER ACCOUNTS ONLY IN CASE OF ERRORS OR
QUESTIONS ABOUT YOUR ELECTRONIC FUNDS TRANSFERS:
If you need information about an electronic fund transfer or if you believe there is an
error on your bank statement or receipt relating to an electronic fund transfer,
telephone the bank immediately at the phone number listed on the front of your
statement or write to:
TD Bank, N.A., Deposit Operations Dept, P.O. Box 1377, Lewiston,
Maine 04243-1377
We must hear from you no later than sixty (60) calendar days after wesent you the
first statement upon which the error or problem first appeared. When contacting the
Bank, please explain as clearly as you can why you believe there is an error or why
more information is needed. Please include:
- Your name and account number.
- A description of the error or transaction you are unsure about.
- The dollar amount and date of the suspected error.
When making a verbal inquiry, the Bank may ask that you send us your complaint in
writing within ten (10) business days after the first telephone call.
We will investigate your complaint and will correct any error promptly. If we take more
than ten (10) business days to do this, we will credit your account for the
amount you think is in error, so that you have the use of the money during the time it
takes to complete our investigation.
INTEREST NOTICE
Total interest credited by the Bank to you this year will be reported by the Bank to the
Internal Revenue Service and State tax authorities. The amount to be reported will be
reported separately to you by the Bank.
FOR CONSUMER LOAN ACCOUNTS ONLY BILLING RIGHTS
SUMMARY
In case of Errors or Questions About Your Bill:
If you think your bill is wrong, or if you need more information about a transaction on
your bill, write us at P.O. Box 1377, Lewiston, Maine 04243-1377 as soon as
possible. We must hear from you no later than sixty (60) days after wesent you the
FIRST bill on which the error or problem appeared. You can telephone us, but doing
so will not preserve your rights. In your letter, give us the following information:
- Your name and account number.
- The dollar amount of the suspected error.
- Describe the error and explain, if you can, why you believe there is an error.
c
SDNY_GM_00006823
Ti
file:///C/...rs/wIxthrednesktopISTANIPING/TD%20B
2
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EFTA01595876
If you need more information, describe the item you are unsure about.
You do not have to pay any amount in question while we are investigating, but you
are still obligated to pay the parts of your bill that are not in question. While we
investigate your question, we cannot report you as delinquent or take any action to
collect the amount you question.
FINANCE CHARGES: Although the Bank uses the Daily Balance method to calculate
the finance charge on your Moneyline/Overdraft Protection account (the term "ODP"
or "OD" refers to Overdraft Protection), the Bank discloses the Average Daily Balance
on the periodic statement as an easier method for you to calculate the finance
charge. The finance charge begins to accrue on the date advances and other debits
are posted to your account and will continue until the balance has been paid in full.
To compute the finance charge, multiply the Average Daily Balance times the Days in
Period times the Daily Periodic Rate (as listed in the Account Summary section on
the front of the statement). The Average Daily Balance is calculated by adding the
balance for each day of the billing cycle, then dividing the total balance by the number
of Days in the Billing Cycle. The daily balance is the balance for the day after
advances have been added and payments or credits have been subtracted plus or
minus any other adjustments that might have occurred that day. There is no grace
period during which no finance charge accrues. Finance charge adjustments are
included in your total finance charge.
Total Deposits
Total
Withdrawals
Ending
Balance
20,499.99
Total
Deposits
Sub Total
Total
Withdrawals
Adjusted
Balance
Call 1-800-224-5563 for 24-hour Bank-by-Phone services or connect to www.tdbank.com
xxxxxx
AVILOOP LLC
Bank Deposits FDIC Insured I TD Bank, N.A. I Equal Housing Lender
STATEMENT OF ACCOUNT
Statement Perinrl Anr 01 2018-Apr 30 2018
Cust Ref #:
Primary Account #:
DAILY ACCOUNT
[truncated]
Technical Artifacts (150)
View in Artifacts BrowserEmail addresses, URLs, phone numbers, and other technical indicators extracted from this document.
Domain
tdbank.comDomain
www.tdbank.comFlight #
NH105Phone
1-800-224-5563Phone
1-888-751-9000Phone
12201539Phone
14216026853Phone
210 312 4000Phone
212 888 3828Phone
2123705Phone
214 257 2249Phone
243-1377Phone
2641559Phone
2679637Phone
2682747Phone
2900961Phone
302 322 2778Phone
307 8853151Phone
3077153Phone
3125531550Phone
3248100108Phone
3397480Phone
3789491Phone
3959091Phone
3959093Phone
3959095Phone
402 935 7733Phone
4029357733Phone
4144200908Phone
4145989756Phone
4312480538Phone
4353844749Phone
4451430Phone
4698557084Phone
480 5058855Phone
4970034Phone
4995635Phone
5269691Phone
5671347Phone
571 227 1089Phone
5819246Phone
5861638Phone
5889654Phone
603 271 2073Phone
617 635 4140Phone
619 4402700Phone
6206953Phone
6235023443Phone
6235391023Phone
6254557Phone
6345710432Phone
6358228Phone
646 568 3249Phone
6624766Phone
7013306849Phone
7036926Phone
7227037Phone
7413584Phone
7422489Phone
7422711Phone
7423069Phone
7427678503Phone
7443923Phone
7444186Phone
7444212906Phone
7444404008Phone
7456479Phone
7464037Phone
7467518Phone
7481469Phone
7486096Phone
7543103402Phone
7544416209Phone
7544910706Phone
7544917503Phone
7553067Phone
7670002Phone
7721570Phone
7729274Phone
781 274 7227Phone
7879017Phone
800 286 6800Phone
800 331 0500Phone
800 446 8848Phone
800 533 3973Phone
800 6226290Phone
800 657 9168Phone
800 7727117Phone
800 774 2354Phone
800 782 7282Phone
800 844 0599Phone
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801 4923502Phone
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866 299 2505Phone
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888 746 7439Phone
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999 9999999SWIFT/BIC
ACCOUNTSSWIFT/BIC
ACTIVITYSWIFT/BIC
ANYWHERESWIFT/BIC
CHANGINGSWIFT/BIC
CHARGINGSWIFT/BIC
CHECKINGSWIFT/BIC
CONSUMERSWIFT/BIC
CUSTOMERSWIFT/BIC
DEPOSITSSWIFT/BIC
DESCRIPTIONSWIFT/BIC
ENDINEXTSWIFT/BIC
ENITIALTSWIFT/BIC
ENITINEXTHXSWIFT/BIC
ENIXIAL1001SWIFT/BIC
ENIXIAL7700SWIFT/BIC
ENVELOPESWIFT/BIC
EPAYMENTSWIFT/BIC
HAMILTONSWIFT/BIC
IMMEDIATELYSWIFT/BIC
INACTIVESWIFT/BIC
INCOMINGSWIFT/BIC
JPMORGANSWIFT/BIC
MANCHESTSWIFT/BIC
OUTGOINGSWIFT/BIC
PAYMENTSSWIFT/BIC
PROFLITESWIFT/BIC
RECENTLYSWIFT/BIC
STAMPINGSWIFT/BIC
WITHDRAWALSWire Ref
REF 769264144200908Wire Ref
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PrimaryWire Ref
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