P.O. BOX 3205, NEW YORK, NY 10007-3205 (212) 693-4900 OR (800) 323-6713 OUTSIDE THE BROADWAY
Account Number:
Statement Period:01/01/19 - 01/31/19
Page 1 of 6 BROOKLYN NY 11207-1012 + 0956847 000451810 OMCU13 0630103
DepositsBalance
Primary Share$1.00
Checking$2.20
TOTAL DEPOSITS$3.20
LoansBalance
Personal$921.63
TOTAL LOANS$921.63
## Your Account Summary ## MCU News & Promotions
S 01
DateTransactionWithdrawalsDepositsBalance
Jan 01Previous Balance0.00
Jan 25Deposit-ATM FEE REFUND1.001.00
Jan 25ATM FEE REFUND
Jan 31New Balance1.00
Totals For This Period: www.nymcu.org EFTA00124603 MCU Account # 0956847 000451810 OMCU13 0630103 Statement Period: 01/01/19 - 01/31/19 Page 2 of 6
DateTransactionWithdrawalsDepositsBalance
Jan 01Previous Balance1,023.12
Jan 01Withdrawal - VISA - Visa Purchase
12:30 EL CASTILLO DE JAGUA RE BROOKLYN NY
-16.891,006.23
Jan 01Withdrawal - VISA - Visa Purchase
12:31 DUNKIN #531707 BROOKLYN NY
-6.58999.65
Jan 01Withdrawal - ATM - #001464
MCJ 451 CLARSON AVE - D BROOKLYN NY
A1A14710
-200.00799.65
Jan 02Withdrawal - ATM - #001827
MCJ 451 CLARSON AVE - D BROOKLYN NY
A1A14710
-240.00559.65
Jan 03Withdrawal - VISA - Visa Purchase
01:02 HEMAN INC BROOKLYN NY
-25.00534.65
Jan 03Withdrawal - VISA - Visa Purchase
01:03 POPEYE's #4499 BROOKLYN NY
-9.24525.41
Jan 03Withdrawal - VISA - Visa Purchase
01:03 MARAB DELI GROCERY CORP BROOKLYN NY
-9.75515.66
Jan 03Withdrawal - ACH - COMENITY PAY VI
-100.00415.66
Jan 04Withdrawal - VISA - Visa Purchase
01:02 EL CASTILLO DE JAGUA RE BROOKLYN NY
-30.24385.42
Jan 05Withdrawal - VISA - Visa Purchase
01:03 MDONALD's F2737 BROOKLYN NY
-7.38378.04
Jan 05Withdrawal - POS #040617-15.28362.76
Jan 05Withdrawal - VISA - Visa Purchase
01:04 DUNKIN #303048 035 BROOKLYN NY
-6.73356.03
Jan 05Withdrawal - VISA - Visa Purchase
01:04 CARLS JR 1102709 BROOKLYN NY
-10.87345.16
Jan 05Withdrawal - POS #164241-10.00335.16
Jan 05Withdrawal - VISA - Visa Purchase
01:05 9640 AMC ONLINE 888-440-4262 KS
-31.48303.68
Jan 06Withdrawal - VISA - Visa Purchase
01:05 Duane Reade STO 388 FUL BROOKLYN NY
-37.34266.34
Jan 06Withdrawal - VISA - Visa Purchase
01:05 POPEYE's #11258 ROSLYN NY
-2.98263.36
Jan 07Withdrawal - VISA - Visa Purchase
01:05 BP#4849816USHWICK PETR BROOKLYN NY
-20.00243.36
Jan 07Withdrawal - VISA - Visa Purchase
01:05 SO THE FLAMINGGO BROOKLYN NY
-48.00195.36
Jan 08Withdrawal - VISA - Visa Purchase
01:07 POPEYE's #4499 BROOKLYN NY
-14.14181.22
Jan 08Withdrawal - VISA - Visa Purchase
01:08 RITE AD STORE - 1947 BROOKLYN NY
-17.08164.14
Jan 09Withdrawal - VISA - Visa Purchase
01:05 METRO EATS BROOKLYN NY
-12.17151.97
Jan 09Withdrawal - ATM - #007368-100.0051.97
Jan 09Withdrawal - VISA - Visa Purchase
01:09 MARAB DELI GROCERY CORP BROOKLYN NY
-4.0047.97
Jan 09Deposit - ACH - CITY OF NEW YORK1,703.971,751.94
EFTA00124604 MCU Account # 0956847 000451810 OMCU13 0630103 Statement Period: 01/01/19 - 01/31/19 Page 3 of 6
DateTransactionWithdrawalsDepositsBalance
TYPE: PAYROL ID: 9138400434
AMT: 1,703.97 CITY: OF NEW YORK
Jan 09Withdrawal - Transfer To Loan 21-45.501,706.44
Jan 09Withdrawal - POS #016820-227.511,478.93
NNT 0786 FOREVER 21831843 630 OLD COUNTRY RD #112 GARDEN CITY NY
Jan 09Withdrawal - POS #095663-71.681,407.25
SEPHORA 314 650 OLD COUNTRY RD 1122 GARDEN CITY NY
Jan 10Withdrawal - VISA - Visa Purchase
0109 SHAPES SECRETS US SHAPESSECRETS FL
-89.601,317.65
Jan 10Withdrawal - VISA - Visa Purchase
0109 JUNIE ANNE's NY 141 GARDEN CITY NY
-19.941,297.71
Jan 10Withdrawal - VISA - Visa Purchase
0109 JUNIE ANNE's NY 141 GARDEN CITY NY
-9.541,288.17
Jan 10Withdrawal - VISA - Visa Purchase
0109 LAKAY VENIS RESTAURANT BROOKLYN NY
-32.661,255.51
Jan 10Withdrawal - ATM - #007037
MCU 120 Schemerthom Street Brooklyn NY
A1A22810
-60.001,195.51
Jan 10Withdrawal - ACH - MACYS
TYPE: ONLINE PMT ID: CITICTP CO: MACYS
-73.391,122.12
Jan 10Withdrawal - ACH - BEST BUY
TYPE: PAYMENT ID: CITICTP CO: BEST BUY
-100.001,022.12
Jan 10Withdrawal - ACH - GenesisFS Card
TYPE: 8884987796 ID: 1222528286
CO: GenesisFS Card
-100.00922.12
Jan 10Withdrawal - VISA - Visa Purchase
0110 BEIMAN MC BROOKLYN NY
-20.00902.12
Jan 11Withdrawal - VISA - Visa Purchase
0109 MCDONALDS FZ2737 BROOKLYN NY
-8.91893.21
Jan 11Withdrawal - VISA - Visa Purchase
0110 SCATIANA MOORE 8774174551 CA
-10.00883.21
Jan 11Withdrawal - VISA - Visa Purchase
0109 1294 NORTRAND FOOD CORP BROOKLYN NY
-2.60880.61
Jan 11Withdrawal - VISA - Visa Purchase
0110 SUBWAY 03443264 BROOKLYN NY
-17.36863.25
Jan 11Withdrawal - VISA - Visa Purchase
0110 LAKAY VENIS RESTAURANT BROOKLYN NY
-32.66830.59
Jan 11Withdrawal - ACH - COMENITY PAY IL
TYPE: WEB PMT ID: 1133163498
CO: COMENITY PAY IL
-88.23742.36
Jan 11Withdrawal - ACH - COMENITY PAY OH
TYPE: WEB PMT ID: 1651180275
CO: COMENITY PAY OH
-102.40639.96
Jan 11Withdrawal - ACH - STATE FARM
TYPE: LOAN PMT ID: 1071174431
CO: STATE FARM
-201.47438.49
Jan 12Withdrawal - ATM - #009315
Cantrema CSW 610 UTICA AVE BROOKLYN NY
-22.00416.49
Jan 12Withdrawal - ATM Fee
Cantrema CSW 610 UTICA AVE BROOKLYN NY
-3.00413.49
Jan 13Withdrawal - VISA - Visa Purchase
0112 DUNKIN 8330343 035 BROOKLYN NY
-4.54408.95
Jan 13Withdrawal - VISA - Visa Purchase
0113 BEAUITY PLUS BEAUITY SUPP BROOKLYN NY
-16.85392.10
Jan 13Withdrawal - VISA - Visa Purchase
0113 RITE AID STORE - 1947 BROOKLYN NY
-36.53355.57
EFTA00124605 MCU Account # 0956847 000451810 OMCU13 0630103 Statement Period: 01/01/19 - 01/31/19 Page 4 of 6
DateTransactionWithdrawalsDepositsBalance
Jan 14Withdrawal - VISA - Visa Purchase
0112 MCDONALD'S F27371 BROOKLYN NY
-8.91346.66
Jan 14Withdrawal - VISA - Visa Purchase
0114 HEMAN NC BROOKLYN NY
-20.00326.66
Jan 15Withdrawal - VISA - Visa Purchase
0114 SQ 212 STEAKHOUSE NEW YORK NY
-320.006.66
Jan 21Withdrawal - VISA - Visa Purchase
0119 METRO EATS BROOKLYN NY
-4.901.76
Jan 23Deposit - ACH - CITY OF NEW YORK TYPE: PAYROLL ID: 913640434 AMT: 1,794 19 CO: CITY OF NEW YORK1,794.191,795.95
Jan 23Withdrawal - Transfer To Loan 21-45.501,750.45
Jan 23Withdrawal - ATM #009098
MCU 451 CLARKSON AVE: D BROOKLYN NY A1A14710
-340.001,410.45
Jan 24Withdrawal - VISA - Visa Purchase
0123 CLARD DADYS NEW YORK NY
-156.061,254.39
Jan 24Withdrawal - ATM #007769
MCU 451 CLARKSON AVE: B BROOKLYN NY A1A14610
-120.001,134.39
Jan 24Withdrawal - ATM #007770
MCU 451 CLARKSON AVE: B BROOKLYN NY A1A14610
-20.001,114.39
Jan 24Withdrawal - ACH - CAPITAL ONE TYPE: MOBILE PMT ID: 9279744980 CO: CAPITAL ONE-50.001,064.39
Jan 24Withdrawal - ACH - PAYPAL TYPE: ENCRYPT BY PAYPALEC8 CO: PAYPAL-100.00964.39
Jan 24Withdrawal - ACH - CITI CARD ONLINE TYPE: PAYMENT ID: CITICTP CO: CITI CARD ONLINE-100.00864.39
Jan 25Withdrawal - VISA - Visa Purchase
0124 DUNKIN 961816 O35 BROOKLYN NY
-3.03861.36
Jan 25Withdrawal - ACH - CAPITAL ONE TYPE: MOBILE PMT ID: 9279744980 CO: CAPITAL ONE-30.00831.36
Jan 25Withdrawal - ACH - COMENITY PAY SB TYPE: WEB PYMT ID: 113163498 CO: COMENITY PAY SB-36.47794.89
Jan 25Withdrawal - ACH - COMENITY PAY VI TYPE: WEB PYMT ID: 113163498 CO: COMENITY PAY VI-100.00694.89
Jan 25Withdrawal - ACH - STATE FARM TYPE: LOAN PYMT ID: 1071174431 CO: STATE FARM-201.47493.42
Jan 26Withdrawal - VISA - Visa Purchase
0124 CASTLLO DE JAGUA RE BROOKLYN NY
-21.25472.17
Jan 26Withdrawal - POS #041352 OMO KANZ DEL GROCEB81815 510 CLARKSON AVE BROOKLYN NY-5.00467.17
Jan 27Withdrawal - ATM #001583 MCU 451 CLARKSON AVE: D BROOKLYN NY A1A14710-40.00427.17
Jan 27Withdrawal - VISA - Visa Purchase
0127 FINE CARE PHARMACY BROOKLYN NY
-55.00372.17
Jan 28Withdrawal - VISA - Visa Purchase
0125 FOOTPRINTS BROOKLYN NY
-96.89275.28
Jan 28Withdrawal - POS #350115 VILLAGE TATTOO NYC. CO 175 BLEECKER ST NFW-16.33258.95
EFTA00124606 MCU Account # 0956847 000451810 OMCU13 0630103 Statement Period: 01/01/19 - 01/31/19 Page 5 of 6
FASTRACK CHECKING(continued)S 02
DateTransactionWithdrawalsDepositsBalance
Jan 30YORK NY Withdrawal - ATM - #004078 MCU 451 CLARKSON AVE. - E BROOKLYN NY A1A14810-250.008.95
Jan 31Withdrawal - VISA - Visa Purchase 01/29 BLEECKER FINEST CORP NEW YORK NY-6.752.20
Jan 31New Balance2.20
Totals For This Period:-4,519.083,498.16
SIGNATURE L21
DateTransactionAmountLate ChargeInterest ChargedPrincipal AmountBalance
Jan 01Previous Balance1,002.21
Jan 09Payment-Transfer From Share 02-45.503.78-41.72960.49
Jan 23Payment-Transfer From Share 02-45.504.61-40.89919.60
Jan 31Advance-Insurance Single Life0.370.37919.97
Jan 31Advance-Insurance Disability1.661.66921.63
Jan 31New Balance921.63
Totals For This Period-88.970.008.39-80.58
Annual Percentage Rate:12.500%2019 Totals Year-to-Date
Periodic Rate(Daily):.034246%Total Fees Charged in 20192.03
A Payment of 91.00 is due on 03/11/19Total Interest Charged in 20198.39
Interest Due through 01/31/19:2.21
## YEAR TO DATE TOTALS ## Total Dividends YTD ## IN CASE OF ERRORS OR QUESTIONS ABOUT YOUR ELECTRONIC TRANSFERS Write to us at P.O. Box 3205, New York, NY 10007 or telephone us at (212)693-4900 (or (800)323-6713 if outside the five boroughs) if you think your statement or receipt is wrong, or if you need more information about a transfer on your statement or receipt. Write to us as soon as possible. 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 the following: - Your name and MCU account number (if any); - The amount of the suspected error or questioned transfer (and transaction date if known); - A description of the error or the questioned transfer, and an explanation why you believe there is an error or need more information. We will investigate your complaint and correct any error promptly. If we take more than 10 business days 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. EFTA00124607 MCU Account # 0956847 000451810 OMCU13 0630103 Statement Period: 01/01/19 - 01/31/19 Page 6 of 6 # USE THE FOLLOWING FORM TO ASSIST YOU IN BALANCING YOUR CHECKING ACCOUNT
LIST CHECKS OUTSTANDING (NOT CHARGED TO YOUR CHECKING ACCOUNT YET)
CHECK NUMBERCHECK DATE$ AMOUNT
TOTAL:
## PERIOD ENDING 1. SUBTRACT FROM YOUR REGISTER ANY CHARGES LISTED ON THIS STATEMENT BUT NOT DEDUCTED FROM YOUR BALANCE. 2. ENTER CHECKING BALANCE SHOWN ON THIS STATEMENT. $ 3. ENTER DEPOSITS MADE AFTER THE ENDING DATE OF THIS STATEMENT. 4. TOTAL (2 PLUS 3): 5. CARRY OVER OUTSTANDING CHECK TOTAL. 6. REGISTER BALANCE (4 MINUS 5): SHARES ARE TRANSFERABLE ONLY TO QUALIFIED MEMBERS Your savings federally insured to at least $250,000 and backed by the full faith and credit of the United States Government National Credit Union Administration, a U.S. Government Agency EFTA00124608