Case File
efta-efta01182837DOJ Data Set 9OtherU.S. TRUST
Date
Unknown
Source
DOJ Data Set 9
Reference
efta-efta01182837
Pages
4
Persons
0
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U.S. TRUST
&rd. ol 4"dcg Prr...te Weonh Morpheme ^I
P.O. Box 15284
Wilmington. DE 19850
AJ
0
487 615 625 029035 0601 SP 0.500
APO 1 GRAT
JOHN J HANNAN. BARRY J COHEN.
RICHARD RESSLER. TRUSTEE
00 ELYSIUM MANAGEMENT
445 PARK AVENUE SUITE 1401
NEW YORK NY 10019
Your Premium Adv Tiered Interest Chkg
for April 1, 2015 to April 30, 2015
APO 1 GRAT
JOHN J HANNAN, BARRY J COHEN,
Account summary
Beginning balance on April 1. 2015
Deposits and other additions
ATM and debit card subtractions
Other subtractions
Checks
Service fees
Ending balance on April 30, 2015
•
Client service information
1.800.U.S.TRUST (1.800.878.7878)
TDD/TTY users only. 1.800.288.4408
En Espahol 1.800.688.6086
bankof america.com
Bank of America, N.A.
P.O. Box 25118
Tampa, FL 33622-5118
Account number:
RICHARD RESSLER, TRUSTEE
510,126,928.86
19,933,375.84
-0.00
-30.000,000.00
-0.00
-0.00
Annual Percentage Yield Earned this statement period: 0.0796,
Interest Paid Year To Dote: 51,873.94.
$60,304.70
PULL E CYCLE: 24 SPEC:0 DEUVESY: P TYPE:
IMAGE: A SC: HY
Page 1 of 4
EFTA01182837
APO 1 GRAT I Account /
April 1, 2015 to April 30, 2015
IMPORTANT INFORMATION:
BANK DEPOSIT ACCOUNTS
Updating your contact information- We encourage you to keep your contact information up-to-date. This includes address. email
and phone number. If your information has changed, the easiest way to update it is by visiting the Help & Support tab of Online
Banking. Or, you can call our Customer Service team.
Deposit agreement - When you opened your account, you received a deposit agreement and fee schedule and agreed that your
account would be governed by the terms of these documents, as we may amend them from time to time. These documents are
part of the contract for your deposit account and govern all transactions relating to your account, including all deposits and
withdrawals. Copies of both the deposit agreement and fee schedule which contain the current version of the terms and
conditions of your account relationship may be obtained at our banking centers.
Electronic transfers: In case of errors or questions about your electronic t.ransfers- If you think your statement or receipt is
wrong or you need more information about an electronic transfer (e.g., ATM transactions, direct deposits or withdrawals,
point-of-sale transactions) on the statement or receipt, telephone or write us at the address and number listed on the front of
this statement as soon as you can. We must hear from you no later than 6O days after we sent you the FIRST statement on
which the error or problem appeared.
-
Tell us your name and account number.
Describe the error or transfer you are unsure about, and explain as clearly as you can why you believe there is an error or
why you need more information.
Tell us the dollar amount of the suspected error.
For consumer accounts used primarily for personal, family or household purposes, we will investigate your complaint and will
correct any error promptly. If we take more than 10 business days (10 calendar days if you are a Massachusetts client) (20
business days if you are a new client, for electronic transfers occurring during the first 30 days after the first deposit is made to
your account) to do this, we will credit your account for the amount you think is in error, so that you will have use of the money
during the time it will take to complete our investigation.
For other accounts, we investigate, and if we find we have made an error, we credit your account at the conclusion of our
investigation.
Reporting other problems - You must examine your statement carefully and promptly. You are in the best position to discover
errors and unauthorized transactions on your account. If you fail to notify us in writing of suspected problems or an
unauthorized transaction within the time period specified in the deposit agreement (which periods are no more than 60 days
after we make the statement available to you and in some cases are 30 days or less), we are not liable to you for, and you agree
to not make a claim against us for the problems or unauthorized transactions.
Direct deposits - If you have arranged to have direct deposits made to your account at least once every 60 days from the same
person or company, you may call us at the telephone number listed on the front of this statement to find out if the deposit was
made as scheduled. You may also review your activity online or visit a banking center for information.
Banking products are provided by Bank of America, N.A., and affiliated banks, Members FDIC and wholly owned subsidiaries of
Bank of America Corporation.
U.S. Trust, Bank of America Private Wealth Management operates through Bank of America, N.A. and other subsidiaries of Bank
of America Corporation.
O 2015 Bank of America Corporation
Bank of America, N.A. Member FDIC and
Equal Housing Lender
Page 2 of 4
EFTA01182838
US.TRUST ceir
Bak or Antra Privole Weranh Management
APO 1 GRAT I Account if
I April 1, 2015 to April 30, 2015
Your checking account
Important disclosure information listed on the 'Important Information for Bank Deposit Accounts' page.
Deposits and other additions
Date
Description
Amount
04/22/15
Agent Assisted transfer from CHK 0135 Confirmationtt 0271214586
4,932,910.00
04/23/15
WIRE TYPEBOOK IN DATE:150423 TIME:1450 ET TRN2015042300273644 SNDR
REF:TS20150423024829 ORIGLEON D BLACK ID:394001320945
15,000,000.00
04/3W15
interest Earned
465.84
Total deposits and other additions
$1%933,375.84
Withdrawals and other subtractions
Other subtractions
Date
Description
Amount
04/23/15
WIRE TYPEBOOK OUT DATE:150423 TIME:1404 ET TRN:2015042300259604 RELATED
-15.000,000.00
REF:T520150423014431 BNF:LEON D SLACK ID:394001320945
04/24/15
WIRE TYPEBOOK OUT DATE:150424 TIME:1044 ET TRNa015042400203403 RELATED
-15,000,000.00
REF:TS20150424104232 BNF:LEON D BLACK ID:394001320945 PMT DET:ANNUITY
Total other subtractions
430,000,000.00
(
To help you BALANCE YOUR CHECKING ACCOUNT, visit bankofamericacom/statementbalance or the Statements and Documents tab
in Online Banking for a printable version of the How to Balance Your Account Worksheet
Page 3 of 4
EFTA01182839
APO 1 GRAT I Account ri
I AprN 1. 2015 to April 30, 2015
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Page 4 of 4
EFTA01182840
Technical Artifacts (17)
View in Artifacts BrowserEmail addresses, URLs, phone numbers, and other technical indicators extracted from this document.
Domain
america.comPhone
1.800.288.4408Phone
1.800.688.6086Phone
1.800.878.7878Phone
3014431Phone
3024829Phone
4104232Phone
622-5118SWIFT/BIC
ACCOUNTSSWIFT/BIC
CHECKINGSWIFT/BIC
INFORMATIONSWIFT/BIC
ORIGLEONSWIFT/BIC
TYPEBOOKWire Ref
REF:T520150423014431Wire Ref
REF:TS20150423024829Wire Ref
REF:TS20150424104232Wire Ref
WIRE TYPEBOOKForum Discussions
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