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Deutsche Bank
Deutsche Bank Must Co. America
345 Park Avenue - NYC20-0102
New York. NY 10154
JEFFREY EPSTEIN
6100 RED HOOK QTR, B3
SAINT THOMAS
00802
For personal assistance call:
Stewart OldfieM
July I. 20161oluly 31.2016
10 Enclosures
Summary of &vomit &shoals)
Account
Elite Checking With Serest
As-court Number
Ilalance
Bcgiming Balance as of July 1. 2016
I kposits and Other Credits
Checks Paid
ATM and Debit Card Withdrawals
Service Charges and Other Fees
Other Debits
Ending Balance as of Jul) 31. 2016
51.29
29.74
51.293.333.56
52.006.409.19
(595.750.72 )
$0.00
50.00
151.909662 29 )
51.294.329.74
Transaction Detail
Date
Descriptim
Debit
Credit
Balance
Beginning Balance as of July 1. 2016
$1,293,333.56
07-01
# Preauthorized Debit
(14,000.00 )
1,279,333.56
ACII PMT AMEN EPavmem
074)6
k Cash kiirlYsfr Cr
6.262.60
1.285,596.16
REF
DEP
ROM
07-06
k Cash Mgml Trsfr
REF
NDS TRANSFER U)
DEP
ROM
(6.262.60 )
1.279.333.56
All items are credited subject to final collection and receipt of proceed; in cash a by unconditional credit to and accepted h Deutsche Bank Trust Company Antericas
35269691
of 5
SDNY_GM_ 00042720
CONFIDENTIAL - PURSUANT TO FED. R.cgI
F
N(c) IDENTIAL
DB-SDNY-0005544
EFTA (8)153329
EFTA01286258
Deutsche Bank El
Date
Description
Debit
Credit
Balance
07-06
# Outgoing Money Trnsf
(184.40 )
1.279.149.16
I
TRUST
0746
4, Preauthorized Debit
(30.560.72 )
1.248.588.44
07-07
/I Cash M
I Trsfr Cr
REF
DEP
OM
0747
z Cash .M1 1
u Tar Dr
REF
DEP
OM
07-07
5 Outgoing Money Trnsf
(500,000.00 )
2.698,588.44
TO FIRSTBANK PUERTO RICO A/'
742 LSJE LLC
07-08
Check 1053
(7.500.00 )
07-08
S Cash Mgmt Tnfr Dr
(200.000.00 )
REFeJNDS
TRANSFER TO
DEP
I‘TtOM
0748
t Outgoing Money Trust
(16.850.00 )
2.474.238.44
TO DANK OF AMERICA N.A. NY AC 942
MalniE NEW SCHOOL OPERATING ACC
OUNT
0748
tt Outgoing Money Trust
TO.IPMOROAN CHASE BANK. NA NC 81625
7757 CLAYMAN AND ROSENBERG ISP
07.41
2.000.000.00
3.248.588.44
(50.000.00 )
3.198.588.44
2.691.088.44
2.491.088.44
(6.303.86 )
2,467,934.58
Outgoing Money Triad
TO STERLING NATIONAL BANK A/C 380302
6401 FASHION INSTITUTE OF TECHNOLOGY
(8,075.50 )
2.459,859.08
07-11
Check 1049
(1.123.30 )
2.458.735.78
07-13
Check 1051
(417.78 )
2.458.318.00
07-13
Check 1052
(41.692.64 )
2.416.625.36
07-13
5 Preauthorized Debit
(44.346.12 )
2.372.279.24
07-14
5 Outgoing Money Trust
(350.000.00 )
2.022.279.24
709 LS.11; I IC
07.14
5 Preatnhorized Debit
(127.003.54 )
1.895.275.70
0745
S Outgoing Money Trust
(14.000.00 )
1,881,275.70
07-19
8 Transfer Of Funds
(100.000.(X) )
1.781,275.70
07-19
k Outgoing Money Trost'
TO FIRSTMER1T BANK. N.A. AC
835 MCDONALD HOPKINS LLC IOLTA ACCOU
NT
(9.368.53 )
1.771.907.17
All items are credited subject to final collection and receipt of proceeds in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
35269691
of 5
SDNY_GM_ 00042721
iN
gj
F
ir.u(e) I DE NTIAL
DB-SDNY-0005545
EFTA_00153330
EFTA01286259
Deutsche Bank
E
l
Date
Description
Debit
Credit
Balance
07-19
g Outgoing Money Tntsf
05792 TROUTNIVe SANDERS LLP
(25.307.35 )
1.746.599.82
07-19
Check 1047
(24.500.00 )
1.722.099.82
07-19
9 Preauthorized Debit
AC II PN1T AMEX EPainnent
(93.626.80 )
1.628.473.02
07-19
ft Preauthorized Debit
ACH PMT AMEX EPavment
(13,772.87 )
1.614.700.15
07-20
Check 1054
(7.500 00 )
1,607,200.15
07-26
M Cash A
t Trsfr Dr
REF
TRANS PER TO
DEP
OM
(300.000.00 )
1.307.200.15
07-27
Check 1055
(2.500.00 )
1304.700.15
07-27
Cheek 1056
(342.00 )
1.304.358.15
07-28
Check 1061
(7.500.00 )
1.296.858.15
07-28
Check 1018
(2.675.00
1.2%183.15
07-31
k Interest Paament
146.59
1.294329.74
Ending Balance as of July 31. 2016
(2.005.413.01 )
32.006.409.19
51.294.329.74
Checks Paid
Number
Date
Amount
Number
Date
Amount
Number
Date
Amount
1018
07.28
2,675.00
1052
07-13
41,692.64
1056
07.27
342.00
1047 •
0749
24,500.00
1053
07438
7,50000
1061 •
07.28
7,500.00
1049 •
074 1
1.123.30
1054
07-20
7.500.00
• Skip in check sequence
1051 •
07.13
417.78
1055
07.27
2,500.00
Deposits and Other Credits
Date
Description
Amount
07-06
Cash Mgml Trsfr Cr
56,262.60
07-07
Cash Mont 'Irsfr Cr
52.000.000.00
07-31
Interest Paament
$146.59
Service Charges and Other Fees
Thal NSF return item fees for this statement period
$0.00
Total NSF return item fees fee this calendar Year
$0.00
Total Overdraft fees for this stay:mail period
$0.00
Taal Overdraft fees fin this calendar sear
$0.00
Caber Debits
Dale
Description
Amount
07-01
Preauthorized Debit
(814.000.00 )
07-06
Cash Nlinnt Trsfr Dr
(56.262.60 )
07-06
Outgoing Money Tmsf
(8184.40 )
07.06
Preauthorized Debit
(530.560.72 )
07-07
Cash NIgnii Trsfr Dr
($50,000.00 )
07-07
Outgoing Money Tmsf
($500,000.00 )
07-08
Cash NIgnii Trsfr Dr
($200,000.00 )
All items are credited subject to final collection and receipt of proceed! in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
35269691
of
SDNY_GM_00042722
CONFIDENTIAL - PURSUANT TO FED. R. c9r.o()
IDENTIAL
DB-SDNY-0005546
j\IF
EFTA_0015333 I
EFTA01286260
Deutsche Bank
E
l
Date
Description
Amount
07-0/3
Outgoing Money Trnsf
(516.850.00
07-013
Outgoing Money Tmsf
_..)
(56303.86 )
07-11
Outgoing Money Tmsf
(58.075.50 )
07-13
Reauthorized Debit
($44346.12 )
07-14
Outgoing Money Tmsf
(5350.000.00 )
07-14
Reauthorized Debit
(5127.003.54 )
07-15
Outgoing Money Tmsf
($14.030.00 )
07-19
Tramcar Of Funds
(5100.003.00 )
07-19
Outgoing Money Tmsf
(191611-53 )
07-19
Outgoing Money Tmsf
($25,307.35 )
07-19
Reauthorized Debit
(593.62480 )
07-19
Preauthorized Debit
($13,772.87 )
07.26
Cash SIgmt Mir Dr
(5300,000.00 )
Interest Calculation
Annual Percentage Yield Earned
0.10%
Interest Earned This Period
514639
Interest Paid Year To Date
3638.63
All items are credited subject to final collection and receipt of proceeds in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Antericas.
35269691
.101 5
SDNY_GM_00042723
IN
c9r.u(e)F
IDENTIAL
DB-SDNY-0005547
EFTA_00153332
EFTA01286261
Deutsche Bank El
In Case of Enron or Questions
I. Electronic Funds Transfers
Telephone us at 1-866-362-4796. or write to us at Deutsche Dank Trust Company Americas. 345 Park Avewe. WN1 Banking Team -
NYC20-0102. New York Na. York 10154 as soon as you can. if you think your statement or receipt is wrong or if you need more
informaiion about a transfer listed on the statement or receipt. We MUST hear from you no later than 60 days after we sent you the
FIRST statement on which ihe error or problan appeacd.
• Tell us your name and account number
- Describe the ems. or transfer you arc unsure about. and explain as clearly as you can why you believe it is an error or why you
need more information
• Tell in the dollar amount of the suspected error
Please twee that if you initially provide the above information to us via telephone. we may require that you send your complaint or
inquiry in writing within 10 business days.
We will investigate year complaint and will correct any error promptly. If we take more than 10 business days (or 20 days for new
accounts) to do this. we will provisionally credit your account for the =owl you think is in error, so that you will have the use of the
money during the lime it takes us to complete our investigation. At the conclusion of our invatigation we will inform you of our results.
2. Non•Elearonic Funds Transfers
Contact the Bank immediately at l-866.362-4796 if your statemem is incorrect or if you need more information about any non-electronic
funds tr.unactions (checks or deposits) on this statement If any such error appear:. .am must notify the Rink in writing no later than
30 days after the statement was made available to you. Please see .es.Tetras
. and Conditions for flintie r information on the terms
governing your account
3. VerilYing ['reauthorized Credits
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
can telephone us at 1.866-362.47% to find out whether the deposit has been made.
SDNY_GM_ 00042724
CONFIDENTIAL - PURSUANT TO FED. R c9r.u(e) RDENTIAL
N
DB-SDNY-0005548
EFTA_00153333
EFTA01286262