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efta-efta01528547DOJ Data Set 10CorrespondenceEFTA Document EFTA01528547
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EFTA DisclosureText extracted via OCR from the original document. May contain errors from the scanning process.
JPMorgan Chase Bank, N.A.
P 0 Box 6076
Newark, DE 19714 - 6076
Primary Account:
For the Period 8/1/13 to 8/30/13
/008021348239/
00021857DPI 802 211 24313 NNNNNNNNNNNP 1 000000000 D1 0000
JEFFREY E EPSTEIN
6100 RED HOOK QTRS STE B3
ST THOMAS VI 00802 -1348
Banking Account(s)
Table ofContents
Cons olida te d S umma ry
P riva te Clie nt Che cking P lus
P riva te Clie nt S a vings
Che ck Ima ge s
Page
2
3
8
9
J.P. Morgan Team
Janet Young
Gina Magliocco
For assistance after business hours, 7 days a week.
Deaf and Hard ofHearing
Online access:
www.morganonline.com
(800) 634-1318
(800) 576-6209
(800) 242-7383
Page 1 of 10
00218570501000000025
EFTA01528547
Primary Account:
For the Period 8/1/13 to 8/30/13
IMPORTANT INFORMATION
Deposit Account Agreement Update
We will update Section H in our Deposit Account Agreement titled Closing
Your Account.
Effective July 21, 2013. If you have pending transactions on your account,
or are overdrawn, we may not immediately close the account. However, if you
ask us,
we will restrict additional withdrawals from your account, other than the
pending
transactions. We will not pay any interest on the account after we have
restricted
your account.
This change will be reflected in your account agreement; all other terms
remain the same.
If you have questions, please call us at the telephone number listed on this
account
statement or visit the nearest Chase branch.
Consolidated Summary
Assets
Checking
Private Client Checking Plus
Savings
Private Client Savings
Total Assets
Account
Number
Prior
Period Value
Current
Period Value
Change
In Value
462,600.25
000003040543620
56,849.52
$519,449.77
237,977.35
56,858.85
$294,836.20
(224,622.90)
9.33
($224,613.57)
All Summary Balances shown here are as ofAugust 30, 2013 unless otherwise
stated. For details of your retirement accounts, credit accounts or
securities accounts,
you will receive
separate statements. Balance summary information for annuities is provided
by the issuing insurance companies and believed to be reliable without
EFTA01528548
guarantee of its completeness or
accuracy. Bank products and services are offered by JPMorgan Chase Bank,
N.A. and its affiliates.
Page 2 of 10
EFTA01528549
JEFFREY E EPSTEIN
Primary Account:
For the Period 8/1/13 to 8/30/13
Private Client Checking Plus
Checking Account Summary
Beginning Balance
Deposits & Credits
Checks Paid
Payments & Transfers
Fees, Charges & Other Withdrawals
Ending Balance
Amount
462,600.25
1,621,155.44
(6,911.00)
(1,833,497.93)
(5,369.41)
$237,977.35
*Annual Percentage Yield Earned is an annualized rate that reflects the
relationship between the amount of interest actually earned on the account
during this statement period and the average daily
balance in this account for the same period.
Checks Paid
Check
Number
1266 ^
Total Checks Paid
^ An image of this check is available at MorganOnline.com. To enroll in
Morgan Online, please contact your J.P. Morgan Team.
Transaction Detail
Date Description
08/01 Beginning Balance
08/01
08/01
Internal Transfer ofFunds
08/01 Chips Debit Via: Citibank N.A./0008 A/C: Slk Designs LLC Ssn: 0281507
Trn:
1062300213Es
Deposits &
Credits
1,500,000.00
1,500.00
Transfers &
Withdrawals
Balance
$462,600.25
1,962,600.25
1,961,100.25
Date
Paid
EFTA01528550
08/29
Amount
6,911.00
($6,911.00)
Annual Percentage Yield Earned This Period*
Interest Paid This Period
Interest Paid Year-to-Date
0.01%
$9.44
$49.83
Page 3 of 10
10218570502000000065
EFTA01528551
JEFFREY E EPSTEIN
Primary Account:
For the Period 8/1/13 to 8/30/13
Transaction Detail
CONTINUED
Date Description
08/01
Inc.
08/01
08/01
08/01
08/02
08/07
Deposits &
Credits
08/01 Transferred By ACH To
As Requested
08/01 Transferred By ACH To
As Requested
Firstbank Puerto Rico
Firstbank Puerto Rico
Fao Maple,
Fao Lsje LLC
08/01 Book Transfer A/C: Sl Communications And Lifestylnew York, NY
100221466 Trn:
1489600213Es
08/01 Fedwire Debit Via: Legend Bk Bowie TX/111903290 A/C: Big Wheel
Connection
Inc Ref: Transport ofGii Engine From Tulsa OK To New Mexico Imad:
0801B1Qgc05C011156 Trn: 1517600213Es
08/02 Foreign Remittance Debit A/C: Fx USD Incomingfedchipsdda Newark OH
197130rg:
Fx USD Incomingfedchipsdda JPMorgan Chase Bank NA Ogb: Fx Operations New
York NY Ref:/Ocmt/USD2149,63/Bnf/Zar20869.28 Trn: 9916900214Fx
08/07 Fedwire Debit Via: Watertown Svgs Bk/221371356 A/C: Bobcat ofWatertown
Ref:
Quotation 18279D018499 Used V4177 138801 With Attachments Imad:
0807B1Qgc03C004145 Trn: 1158900219Es
08/08 Book Transfer Credit B/0: JPMC Cb Funds Transfer Previoutampa OH 33610
Org:
Aba/221371356 Watertown Savings Bank Ref:/Bnf/Our Ref Jpm130808-001808
JPMorgan Chaseref1265409220FfReversal ofEntry Dtd 08/07/2013 Trn 11589
00219Es
As Uta Bene Name And Acct Do Not Match Trn: 5277500220Hh
08/08 Book Transfer Credit B/0: JPMC Cb Funds Transfer Same Datampa OH
33610- Org:
Aba/221371356 Watertown Savings Bank Ref:/Bnf/Our Ref Jpm130808-003418
JPMorgan Chaseref4287309220FfReversal ofEntry Dtd 08/08/2013 Trn 11267
00220Es
As Watertown Savings Bank StsbnfName Account Number Do Not Trn: 5584400220Hh
EFTA01528552
08/08
08/08
08/09
08/08 Foreign Remittance Debit A/C: Fx USD Incomingfedchipsdda Newark OH
197130rg:
Fx USD Incomingfedchipsdda JPMorgan Chase Bank NA Ogb: Fx Operations New
York NY Ref:/Ocmt/USD82,28/Bnf/Zar800.00 Trn: 3272900220Fx
08/08 Fedwire Debit Via: Watertown Svgs Bk/221371356 A/C: Bobcat ofWatertown
Ref:
Quotation 18279D018499 Used V4177138801 With Attachments Imad:
0808B1Qgc08C006431 Trn: 1126700220Es
08/09 Fedwire Debit Via: Watertown Svgs Bk/221371356 A/C: Equipment Rentals
Inc.
Ref: Quotation : 18279D018499 Used V417 7138801 With Attachments Imad:
0809B1Qgc07C005140 Trn: 1142700221Es
54,573.00
Transfers &
Withdrawals
259,000.00
100,000.00
12,000.00
2,500.00
2,149.63
54,573.00
Balance
1,702,100.25
1,602,100.25
1,590,100.25
1,587,600.25
1,585,450.62
1,530,877.62
1,585,450.62
54,573.00
1,640,023.62
82.28
1,639,941.34
54,573.00
54,573.00
1,585,368.34
1,530,795.34
Page 4 of 10
EFTA01528553
JEFFREY E EPSTEIN
Primary Account:
For the Period 8/1/13 to 8/30/13
Transaction Detail
CONTINUED
Date Description
08/12
08/12
Deposits &
Credits
08/12 Book Transfer A/C: Aviloop LLC New York, NY 100656217 Trn: 1208300224Es
08/12 Fedwire Debit Via: Mfrs Buf/022000046 A/C: International Jet Interiors
Inref: Jege
LLC Giv Serial No 1085 25 Percent Interim Payment/Time/17:42Imad:
0812B1Qgc03C003999 Trn: 1208200224Es
08/14 Columbia Columbia 334099165 Web ID: 1364199567
08/16
08/21
08/21
08/21
08/21
08/22
08/22
08/23
08/23
08/23
08/23
08/16 Book Transfer A/C: Aviloop LLC New York, NY 100656217 Trn: 1167400228Es
08/21 Chips Debit Via: Citibank N.A./0008 A/C:
Ref: Prenup
Ssn:
Trn:
08/21 Fedwire Debit Via: TD Bank, NA/067014822 A/C: Deland Truck Center Inc
Ref:
Purchase of 2000 Freightliner FL80 Vin 1Fvxjlbb7Yhb42992 Spare Parts
Quotation
W007105 Imad: 0821B1Qgc07C003900 Trn: 1303200233Es
08/21 Book Transfer A/C: 000000544713631 Hsbc Bank Plc Ref: Jege LLC Inv
3099.001.000-2013-5 2013-6 2013-7 2013-9 2013-10 2013-11 2013-12 Serial No
1085
Acct69845623 Trn: 1307900233Es
08/21 Book Transfer A/C: The Bk ofNova Scotia St Thomast Thomas VI
Ben:/04496011412 Celestino A White Consulting Ref: Consulting Agreement Trn:
1309200233Es
08/22 Payment To Chase Card Ending IN 8101
08/22 Payment To Chase Card Ending IN 4927
08/23 Foreign Remittance Debit A/C: Fx USD Incomingfedchipsdda Newark OH
197130rg:
Fx USD Incomingfedchipsdda JPMorgan Chase Bank NA Ogb: Fx Operations New
York NY Ref:/0cmt/USD3137,50/Bnf/Eur2307.69 Trn: 2135200235Fx
08/23 Payment To Chase Card Ending IN 4711
EFTA01528554
08/23 Chips Debit Via: Bank ofAmerica, N.A./0959 A/C:
Ssn:
Trn: 1129800235Es
08/23 Fedwire Debit Via: Sovereign Bk NE/011075150 A/C: Martin G Weinberg PC
IOLTA Ref: July Inv Imad: 0823B1Qgc05C004959 Trn: 1140400235Es
08/26 Deposit 1148007915
08/26
12,000.00
08/26 Payment To Chase Card Ending IN 3879
402.50
Transfers &
Withdrawals
10,000.00
157,500.00
35,058.00
100,000.00
15,000.00
33,935.90
102,126.67
5,000.00
113,016.30
39,373.06
3,137.50
933.42
1,670.00
50,000.00
Balance
1,520,795.34
1,363,295.34
1,328,237.34
1,228,237.34
1,213,237.34
1,179,301.44
1,077,174.77
1,072,174.77
959,158.47
919,785.41
916,647.91
915,714.49
914,044.49
864,044.49
876,044.49
875,641.99
Page 5 of 10
10218570503000000065
EFTA01528555
JEFFREY E EPSTEIN
Primary Account:
For the Period 8/1/13 to 8/30/13
Transaction Detail
CONTINUED
Date Description
08/26
Deposits &
Credits
08/26 Fedwire Debit Via: TD Bank NA/031101266 A/C:
Imad:
Trn:
08/26 American Express ACH Pmt W9790 Web ID:
08/26 American Express ACH Pmt A1874 Web ID:
08/26 American Express ACH Pmt A6972 Web ID:
08/26 American Express ACH Pmt A9288 Web ID:
08/27
08/27
08/27 Fedwire Debit Via: Bk Amer Nyc/026009593 A/C: Greater Yamaha of Palm
Beach
Ref: 2014 Red Polaris 850 Eps Sportsman Vin No 4Xadn8Ea6Ea089715 Imad:
0827B1Qgc01C005528 Trn: 1216600239Es
08/27 Fedwire Debit Via: Sabadel Untd Bk FL/067009646 A/C: Tonja Haddad PA
Trust
Account Ref: Invoice No 685/Time/17:37 Imad: 0827BlOgc02C008510 Trn:
1229500239Es
08/27 American Express ACH Pmt W7234 Web ID:
08/28
08/28 Letter From Client
08/29 Check
08/30
08/30
# 1266
08/30 Book Transfer A/C:
New York, NY 10011 Trn:
Interest Payment
08/30 Ending Balance
Total
9.44
$1,621,155.44
($1,845,778.34)
Transfers &
Withdrawals
2,000.00
185,958.88
185,958.88
21,806.40
3.00
12,000.00
8,635.90
13,880.02
EFTA01528556
200,000.00
6,911.00
520.00
Balance
873,641.99
687,683.11
501,724.23
479,917.83
479,914.83
467,914.83
459,278.93
445,398.91
245,398.91
238,487.91
237,967.91
237,977.35
$237,977.35
Page 6 of 10
EFTA01528557
JEFFREY E EPSTEIN
Primary Account:
For the Period 8/1/13 to 8/30/13
Overdraft and Returned Item Fee Summary
Total for
Current Period
Total Overdraft Fees*
Total Returned Item Fees
*Total Overdraft Fees includes any Insufficient Funds Fees, Extended
Overdraft Fees and Overdraft Interest
Total Refunds for Overdraft or Returned Item Fees identified above
Total
Year-to-date
($.48)
$.00
$.19
Page 7 of 10
10218570504000000065
EFTA01528558
000003040543620
JEFFREY EPSTEIN
Primary Account:
For the Period 8/1/13 to 8/30/13
Private Client Savings
Savings Account Summary
Beginning Balance
Deposits & Credits
Ending Balance
Amount
56,849.52
9.33
$56,858.85
Annual Percentage Yield Earned This Period*
Interest Paid This Period
Interest Paid Year-to-Date
*Annual Percentage Yield Earned is an annualized rate that reflects the
relationship between the amount of interest actually earned on the account
during this statement period and the average daily
balance in this account for the same period.
The monthly service fee for this account was waived as an added feature of
Private Client Checking Plus account.
Transaction Detail
Date Description
08/01 Beginning Balance
08/30
Interest Payment
08/30 Ending Balance
Total
Deposits &
Credits
9.33
$9.33
You earned a higher interest rate on your Private Client Savings account
during this statement period because you had a qualifying Private Client
Checking Plus account.
($0.00)
Transfers &
Withdrawals
Balance
$56,849.52
56,858.85
$56,858.85
0.20%
$9.33
$58.11
Page 8 of 10
EFTA01528559
Primary Account:
For the Period 8/1/13 to 8/30/13
Private Client Checking Plus
JEFFREY E EPSTEIN
003580558559 AUG 29 #0000001266 $6,911.00
003580558559 AUG 29 #0000001266 $6,911.00
Please note that you can view your historical check images online and easily
enroll in eDelivery by going to www.MorganOnline.com.
Page 9 of 10
10218570505000000065
EFTA01528560
Primary Account:
For the Period 8/1/13 to 8/30/13
Important Information About Your Statement
In Case ofErrors or Questions About Your Electronic Funds Transfers
Call or write to the Bank (Consumers should use the phone number and address
on front of statement and non-consumers their J.P. Morgan Team contact
information.) if you think your statement or receipt is incorrect, or if you
need more
information about an electronic transaction on a statement or receipt. We
must hear from you no later than 60 days after we sent you the FIRST
statement on which the error or problem appeared.
Tell us your name and account number.
Describe the error or the transfer you are unsure about, and explain as
clearly as you can why you believe it is an error or why you need more
information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will correct any error promptly. Ifwe
take more than 10 business days (or 20 business days for new accounts) 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 takes us to complete our investigation.
In Case of Errors or Questions About Non-Electronic Transfers (Checks or
Deposits):
Contact the Bank immediately if your statement is incorrect or if you need
more information about any non-electronic transactions (checks or deposits)
on this statement. If any such error appears, you must notify the bank in
writing as soon as
possible after the statement was made available to you. For more complete
details, see the applicable account agreements and appendices that govern
your account.
Deposit products and services are offered by JPMorgan Chase Bank, N.A.
Member FDIC
Mutual Funds/Securities
JPMorgan Funds are distributed by JPMorgan Distribution Services, Inc.,
which is an affiliate of JPMorgan Chase & Co. Affiliates of JPMorgan Chase &
Co. receive fees for providing various services to the funds.
Bank products and services are offered by JPMorgan Chase Bank, N.A. and its
affiliates. Securities are offered by J.P. Morgan Securities LLC, member
NYSE, FINRA and SIPC.
Investment Products: Not FDIC insured
No bank guarantee • May lose value
Page 10 of 10
EFTA01528561
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