| P.O. BOX 3205, NEW YORK, NY 10007-3205 | | :--- | | (212) 693-4900 OR (800) 323-6713 OUTSIDE THE 5 BARRIERS |
Account Number:
Statement Period:06/01/19 - 06/30/19
Page 1 of 4 + 0320164 000109881 OMCUDA 0630100 BROOKLYN NY 11205-2228 ## Your Account Summary
DepositsBalance
Primary Share$1,000.91
Checking$2,333.79
TOTAL DEPOSITS$3,334.70
LoansBalance
TOTAL LOANS$0.00
## MCU News & Promotions MCU | Personal Loan Consolidate your bills and pay off high interest rate debt today! Apply today at nymcu.org/personal ## PRIVACY NOTICE Federal law requires us to tell you how we collect, share, and protect your personal information. Our privacy policy has not changed and you may review our policy and practices with respect to your personal information at www.nymcu.org/privacy or we will mail you a free copy upon request if you call us at 212-693-4900.
S 01
DateTransactionWithdrawalsDepositsBalance
Jun 01Previous Balance3,000.00
Jun 01Withdrawal - Online Transfer To Share 02-3,000.000.00
Jun 19Deposit - ATM - #002323MCU 340 JAY ST.#2 BROOKLYN NY A1A01612700.00700.00
Jun 22Withdrawal - ATM - #007217MCU 90-15 QUEENS BLVD ATM#2 QUEENS NYA1A15012-100.00600.00
Jun 26Withdrawal - ATM - #001888MCU 340 JAY ST. BROOKLYN NY A1A01610-100.00500.00
Jun 29Deposit - Online Transfer From Share 02500.001,000.00
www.nymcu.org EFTA00124692 MCU Account # 0320164 000109881 OMCU0A 0630100 Statement Period: 06/01/19 - 06/30/19 Page 2 of 4
RIMARY SHARE$01
DateTransactionBalance
Jun 30Deposit - Dividend 0.100% Annual Percentage Yield Earned 0.100% from 04/01/19 through 06/30/19 Based on Average Daily Balance of $3,660.180.911,000.91
Jun 30New Balance1,000.91
Dividends Year to Date1.72
## FASTRACK CHECKING
DateTransactionWithdrawalsDepositsBalance
Jun 01Previous Balance1,595.34
Jun 01Withdrawal - VISA - Visa Purchase
06:01 ALPINE CINEMAS BROOKLYN NY
-21.001,574.34
Jun 01Deposit - Online Transfer From Share 013,000.004,574.34
Jun 01Withdrawal - Check
MCU OFFICIAL CK
-3,328.001,246.34
Jun 01Withdrawal - VISA - Visa Purchase
06:01 CENTURY TWENTY ONE #20 BROOKLYN NY
-68.151,178.19
Jun 01Withdrawal - VISA - Visa Purchase
06:01 USA'VENDLINK AVENEL NJ
-1.351,176.84
Jun 01Withdrawal - VISA - Visa Purchase
06:01 WALGREENS STORE 9408 3R BROOKLYN NY
-1.991,174.85
Jun 01Withdrawal - POS #935046
MET Fresh Supermarket 9606 3rd Avenue Brooklyn NY
-4.991,169.86
Jun 01Withdrawal - POS #004258
OMO BAYRIDGE WINE & 762882 99-01 3RD AVE BROOKLYN NY
-14.001,155.86
Jun 02Withdrawal - VISA - Visa Purchase
06:01 CARVEL #2707 BROOKLYN NY
-10.501,145.36
Jun 02Withdrawal - VISA - Visa Purchase
06:01 EXXONMOBIL 47976840 RAHWAY NJ
-49.151,096.21
Jun 02Withdrawal - POS #00830
WAL-MART #3469 Wal-Mart Store LINDEN NJ
-102.59993.62
Jun 02Withdrawal - POS #053681
DOLLAR TREE 1601 W EDGAR RD LINDEN NJ
-14.66978.96
Jun 03Withdrawal - VISA - Visa Purchase
06:01 BURGER KING #11386 RAHWAY NJ
-21.93957.03
Jun 03Withdrawal - VISA - Visa Purchase
06:02 DUNKIN #350503 Q35 BROOKLYN NY
-15.95941.08
Jun 04Withdrawal - VISA - Visa Purchase
06:02 BURGER KING #11386 RAHWAY NJ
-20.74920.34
Jun 04Withdrawal - VISA - Visa Purchase
06:04 DMNICN HR SLU BY THERES BROOKLYN NY
-35.00885.34
Jun 04W/D PRENOTIFICATION FROM STILLWATER INS
Jun 04Withdrawal - ACH - STILLWATER INS
TYPE: INS PREM ID: 1710900874
CO: STILLWATER INS
-16.00869.34
Jun 05Withdrawal - VISA - Visa Purchase
06:05 MADISON BAGEL GRILL NEW YORK NY
-8.17861.17
Jun 06Withdrawal - VISA - Visa Purchase
06:06 MADISON BAGEL GRILL NEW YORK NY
-14.70846.47
Jun 06Withdrawal - POS #086101
NST THE HOME DEPOST 981158 550 HAMILTON AVENUE BROOKLYN NY
-109.14737.33
EFTA00124693 0320164 000109881 OMCU0A 0630100 MCU Account # Statement Period: 06/01/19 - 06/30/19 Page 3 of 4
DateTransactionWithdrawalsDepositsBalance
Jun 06Withdrawal - VISA - Visa Purchase
06/06 BEDAT8&EYND# 850 Th BROOKLYN NY
-82.95654.38
Jun 07Withdrawal - VISA - Visa Purchase
06/07 MADIS BAGEL & GRILL NEW YORK NY
-17.69636.69
Jun 08Withdrawal - VISA - Visa Purchase
06/07 SO ENERGY FUEL BAY BROOKLYN NY
-13.34623.35
Jun 08Withdrawal - VISA - Visa Purchase
06/08 MADIS BAGEL & GRILL NEW YORK NY
-24.10599.25
Jun 08Withdrawal - ATM #008657
PAI ISO 9516 4TH AVENUE BROOKLYN NY
-61.00538.25
Jun 08Withdrawal - ATM Fee
PAI ISO 9516 4TH AVENUE BROOKLYN NY
-3.00535.25
Jun 08Withdrawal - VISA - Visa Purchase
06/08 WALGRGEN STORE 9408 3R BROOKLYN NY
-11.26523.99
Jun 09Withdrawal - VISA - Visa Purchase
06/07 II STORES #29 BROOKLYN NY
-10.88513.11
Jun 09Withdrawal - VISA - Visa Purchase
06/07 J-HAUL MOVING & STORAGE BROOKLYN NY
-144.80368.31
Jun 11Withdrawal - ACH - COMENITY PAY IO
TYPE: WEB PYMT ID: 1651180275
CO: COMENITY PAY IO
-70.00298.31
Jun 11Withdrawal - ACH - GEICO
TYPE: PREM COLLID ID: 35507585 CO: GEICO
-218.4879.83
Jun 12Withdrawal - VISA - Visa Purchase
06/11 STARLES 00100715 SELAN NJ
-2.6777.16
Jun 14Deposit - ACH - AGRI TREAS 310
TYPE: FED SAL ID: 9101038009
CO: AGRI TREAS 310
947.891,025.05
Jun 15Withdrawal - ATM #000134
MCJ 340 JAY ST BROOKLYN NY A1A01612
-150.00875.05
Jun 16Withdrawal - VISA - Visa Purchase
06/15 SHELL OIL 57545570707 LINDEN NJ
-48.50826.55
Jun 17Withdrawal - VISA - Visa Purchase
06/17 TST SWEET CHICK - PROS BROOKLYN NY
-129.00697.55
Jun 17Withdrawal - POS #060261
USPS PO 35909203 10201 FLATLAND9 AVE
BROOKLYN NY
-261.25436.30
Jun 19Withdrawal - VISA - Visa Purchase
06/18 WALGRGEN STORE Z2 E SA LINDEN NJ
-18.74417.56
Jun 19Withdrawal - ATM #002322
MCJ 340 JAY ST BROOKLYN NY A1A01612
-350.0067.56
Jun 19Withdrawal - POS #061537
DOLLAR TREE 306 ROUTE 9 N WOOBRIDGE NJ
-3.2064.36
Jun 20Withdrawal - VISA - Visa Purchase
06/18 COOKIE FULTON BROOKLYN NY
-46.2418.12
Jun 20Withdrawal - VISA - Visa Purchase
06/19 WINSTOP N470 OLD BRIDGE NJ
-10.128.00
Jun 20Withdrawal - POS #030439
DOLLARTREE 1392 Saint GEORGES AVE AVENEL
NJ
-7.001.00
Jun 28Deposit - ACH - AGRI TREAS 310
TYPE: FED SAL ID: 9101038009
CO: AGRI TREAS 310
3,809.463,810.46
Jun 29Withdrawal - VISA - Visa Purchase
06/29 APLTUIRES.COMBILL 866-712-7753 CA
-9.993,800.47
Jun 29Withdrawal - POS #252895
PMG NJ 242/8003 801 W EDGAR RD # 899
-42.213,758.26
EFTA00124694 MCU Account # 0320164 000109881 DMCU0A 0630100 Statement Period: 06/01/19 - 06/30/19 Page 4 of 4
DateTransactionWithdrawalsDepositsBalance
LINDEN NJ
Jun 29Withdrawal - Online Transfer To Share 01-500.003,258.26
Jun 30Withdrawal - VISA - Visa Purchase06/29 DD/BR #351339 Q35 NEW YORK NY-5.413,252.85
Jun 30Withdrawal - ATM - #001474MCU 2 LAFAYETTE ST.#2 NEW YORK NY A1A00421-550.002,702.85
Jun 30Withdrawal - POS #063550BJS WHOLESALE #0 1001 E EDGAR RD LINDEN NJ-78.702,624.15
Jun 30Withdrawal - VISA - Visa Purchase06/30 BEDBATH&BEYOND#1 RONSO WOODBRIDGE NJ-239.852,384.30
Jun 30Withdrawal - POS #313747WAL-MART #3469 1601 WEST EDGAR ROAD LINDENNJ-50.512,333.79
Jun 30New Balance2,333.79
Totals For This Period:-7,018.907,757.35
## 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. ## 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 EFTA00124695