| 1 | ✓ | ✓ | Neptune, LLC | ✓ | ☐
7/30/2019
DB-SDNY-0002724
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
EFTA_00016198
EFTA00166950
KYC Print
Page 4 of 13
One sheet must be established for EACH INDIVIDUAL PARTY in Section 2. Account Ownership Summary
| 3A. Individual Details(for all parties) | | Individual's Name: | Jeffrey Epstein - 00000483289 | Date of Birth: | 1/20/1953 | | Country of Residence: | USVI | Country of Citizenship: | USA | | Address of primary residence: | Litte Saint James Saint Thomas 00802 US Virgin Islands | Has client resided outside of his/her country of nationality for 5 years or more? | Yes No | | Profession/Occupation: | Self Empolyed | Tax ID / SSN: | | | Current Employer: | Southern Financial LLC | Position/Title/Rank: | President | | Address of employer: | | | Does the person work as senior executive of a DB-recognized regulated entity in the financial industry? or an entity listed on a DB-recognised exchange?(Not applicable for operating entities) | | Is the individual a Politically Exposed Person(PEP)?(if Yes, describe) | | To the best of your knowledge, is the individual related to an employee of the DB group?(if Family or Friendship, describe) | | To the best of your knowledge, is the individual party to a non-banking relationship with Deutsche Bank(e.g., external legal counsel, client referral source, supplier of goods or services)?(if Yes, describe) | | If applicable, indicate which bank officers have met the person: | Indicate where and when the client meeting(s) took place: | | Bank Officer Name(s) | Bank Office: | Client Private Domicile: | Client Place of Business: | Other Location(specify): Date: | | Paul Morris | □ | □ | ✓ | 9/13/2013 | | □ | □ | □ | | | □ | □ | □ | |
| 3B. Wealth Details(Only for parties requiring source of wealth description as indicated in Section 2) | | Nature of the Individual's Business: | Private investments | | Primary Country of source of wealth/source of Funds? | | | Primary industry of source of Wealth/Source of Funds? | | | Summarize Source of Wealth: | Business Owner Salary/Earnings Investment Inheritance/Gifts Other: | | Further Describe Source of Wealth /Detail the history of wealth for each of the sources:(e.g. For trusts, how did settlor accumulate wealth?For inheritance,how did family accumulate wealth?For business owners,how long in business,how many employees,level of profitability?Indicate type of business,countries of major activities,important business partners.) Epstein began his financial career in 1976 as an options trader at Bear Stearns and became a partner in 1980.In 1982,Epstein founded his own financial management firm,J.Epstein & Co.,managing the assets of clients with more than a billion in net worth.In 1996,Epstein changed the name of his firm to The Financial Trust Company and based it on the island of St. Thomas in the US Virgin Islands.All of his clients were anonymous except for the very wealthy businessman Leslie Wexner.His wealth has come from his days at Bear Stearns and his financial management firms | | Estimated Annual Income($): | 10,000,000.00 | Estimated amount of investable assets($): | $50 MM-100 MM | | Estimated Net Worth($): | $100 MM-500 MM | Amount of assets planned to invest with PWM($): | | | Other Known Financial Institutions: | | Institution: | JPMorgan | Country: | USA | Est. Assets Under Mgt: | 200,000,000.00 |
7/30/2019
DB-SDNY-0002725
EFTA_00016199
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
EFTA00166951
KYC Print
Page 5 of 13
| Institution: | | Country: | | Est. Assets Under Mgt: | | | Institution: | | Country: | | Est. Assets Under Mgt: | | | Please indicate the family situation of the individual(marital status, other family members, etc.): |
| https://dbforcepb.my.salesforce.com/servlet/servlet.Integration?lid=01N30000000D9Di&e... | 7/30/2019 |
|---|
| CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) | DB-SDNY-000 |
EFTA_00016200
EFTA00166952
KYC Print
Page 6 of 13
One sheet must be established for EACH INDIVIDUAL PARTY in Section 2. Account Ownership Summary
| 3A. Individual Details(for all parties) | | Individual's Name: | Harry Beller | Date of Birth: | | | Country of Residence: | USA | Country of Citizenship: | USA | | Address of primary residence: | | Has client resided outside of his/her country of nationality for 5 years or more? | Yes No | | Profession/Occupation: | Accountant | Tax ID / SSN: | | | Current Employer: | HBRK Associates | Position/Title/Rank: | | | Address of employer: | | | Does the person work as senior executive of a DB-recognized regulated entity in the financial industry? or an entity listed on a DB-recognised exchange? (Not applicable for operating entities) | Yes No | | Is the individual a Politically Exposed Person (PEP)?(if Yes, describe) | Yes No | | To the best of your knowledge, is the individual related to an employee of the DB group?(if Family or Friendship, describe) | Family Friendship None | | To the best of your knowledge, is the individual party to a non-banking relationship with Deutsche Bank (e.g., external legal counsel, client referral source, supplier of goods or services)?(if Yes, describe) | Yes No | | If applicable, indicate which bank officers have met the person: | Indicate where and when the client meeting(s) took place: | | Bank Officer Name(s) | Bank Office: | Client Private Domicile: | Client Place of Business: | Other Location(specify): | Date: | | Paul Morris | □ | □ | ✓ | | 9/13/2013 | | □ | □ | □ | | | | □ | □ | □ | | |
| 3B. Wealth Details(Only for parties requiring source of wealth description as indicated in Section 2) | | Nature of the Individual's Business: | | | Primary Country of source of wealth/source of Funds? | | | Primary industry of source of Wealth/Source of Funds? | | | Summarize Source of Wealth: | Business Owner Salary/Earnings Investment Inheritance/Gifts Other: | | Further Describe Source of Wealth /Detail the history of wealth for each of the sources:(e.g. For trusts, how did settlor accumulate wealth?For inheritance,how did family accumulate wealth?For business owners,how long in business,how many employees,level of profitability?Indicate type of business,countries of major activities,important business partners.) | | Estimated Annual Income($): | | Estimated amount of investable assets($): | | | Estimated Net Worth($): | | Amount of assets planned to invest with PWM($): | | | Other Known Financial Institutions: | | Institution: | | Country: | | Est. Assets Under Mgt: | | | Institution: | | Country: | | Est. Assets Under Mgt: | | | Institution: | | Country: | | Est. Assets Under Mgt: | |
7/30/2019
DB-SDNY-0002727
EFTA_00016201
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
EFTA00166953
KYC Print
Page 7 of 13
Please indicate the family situation of the individual (marital status, other family members, etc.):
| https://dbforcepb.my.salesforce.com/servlet/servlet.Integration?lid=01N30000000D9Di&e... | 7/30/2019 | | CONFIDENTIAL-PURSUANT TO FED.R.CRIM.P.6(e) | DB-SDNY-000272 |
EFTA_00016202
EFTA00166954
KYC Print
Page 8 of 13
One sheet must be established for EACH INDIVIDUAL PARTY in Section 2. Account Ownership Summary
# One sheet must be established for EACH INDIVIDUAL PARTY in Section 2. Account Ownership Summary
## 3A. Individual Details (for all parties)
| Individual's Name: | Darren Indyke - |
| :--- | :--- |
| Country of Residence: | USA |
| Address of primary residence: | |
| Profession/Occupation: | Lawyer |
| Current Employer: | Southern Financial LLC |
| Address of employer: | 575 Lexington Ave, 4th Fl New York NY USA 10022 |
Does the person work as senior executive of a DB-recognized regulated entity in the financial industry? or an entity listed on a DB-recognized exchange? (Not applicable for operating entities)
Is the individual a Politically Exposed Person (PEP)? (If Yes, describe)
To the best of your knowledge, is the individual related to an employee of the DB group? (If Family or Friendship, describe)
To the best of your knowledge, is the individual party to a non-banking relationship with Deutsche Bank (e.g., external legal counsel, client referral source, supplier of goods or services)? (If Yes, describe)
If applicable, indicate which bank officers have met the person:
| Bank Officer Name(s) | Bank Office: | Client Private Domicile: | Client Place of Business: | Other Location (specify): | Date: |
| :--- | :--- | :--- | :--- | :--- | :--- |
| | □ | □ | □ | | |
| | □ | □ | □ | | |
| | □ | □ | □ | | |
☐ Wealth Details for this individual are not filled in, because they are the same as for the following person:
### 3B. Wealth Details (Only for parties requiring source of wealth description as indicated in Section 2)
Nature of the Individual's Business:
Primary Country of source of wealth/source of Funds?
Primary industry of source of Wealth/Source of Funds?
Summarize Source of Wealth:
Business Owner ☐ Salary/Earnings ☐ Investment ☐ Inheritance/Gifts ☐ Other:
Further Describe Source of Wealth /Detail the history of wealth for each of the sources: (e.g. For trusts, how did settler accumulate wealth? For inheritance, how did family accumulate wealth? For business owners, how long in business, how many employees, level of profitability? Indicate type of business, countries of major activities, important business partners.)
Estimated Annual Income($):
Estimated Amount of Investable assets($):
Estimated Net Worth($):
Amount of assets planned to invest with PWM($):
Other Known Financial Institutions:
Institution: Country: Est. Assets Under Mgt:
Institution: Country: Est. Assets Under Mgt:
Institution: Country: Est. Assets Under Mgt:
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
7/30/2019
DB-SDNY-0002729
EFTA_00016203
EFTA00166955
KYC Print
Page 9 of 13
| | | | | | Please indicate the family situation of the individual(marital status,other family members,etc.): |
One sheet must be established for EACH LEGAL ENTITY in Section 2. Account Summary
| 3C. Legal Entity Details(For all Legal Entities) | | Legal Entity Name: | Neptune, LLC - 00000487264 | | Type of Entity: | Foundation/Association Trust Company Estate Partnership | Purpose of Entity: | Private Investment Philanthropic/Charitable Commercial | | Type of Entity Other(specify): | | Purpose of Entity Other(specify): | | | Country of incorporation/registration: | USA | Date of incorporation/registration: | 12/21/2011 | | Volker Status: | | Volcker Flag: | | | Address(city, street, post code): | 6100 Red Hook, Quarter B3 St, Thomas 00802 USVI | U.S. TIN/EIN: | 45-4093384 | | Provide a description of the entity's organizational structure, its ownership structure and its Top Management. For trusts/foundations, include information about revocability, settlor and beneficiaries, etc.:Single member LLC. Jeffrey Epstein is the sole member | | Please indicate how ownership of the legal entity is reflected: | | Special attention: Bearer Shares - Indicate where shares are custodied: | | Describe the chain from the direct owner of the entity to the ultimate beneficial owner(if not the same persons): | | To the best of your knowledge, is the entity party to a non-banking relationship with Deutsche Bank(e.g. external legal counsel, client referral source, supplier of goods or services)?YesNo | | Describe Nature of Entity's Primary Business and Investment Activities | | Nature of the business: | This LLC was formed to hold the funds necessary to cover the costs and taxes associated with running Jeffrey Epstein's NYC home | | Countries where business is transacted: | USA | | Number of employees: | 1 |
| 3D. Wealth Profile(Only for parties requiring source of wealth description as indicated in Section 2) | | Primary Country of source of wealth/source of Funds? | | | Primary industry of source of Wealth/Source of Funds? | | | Provide Evidence of Corporate Assets(e.g. balance sheet or equivalent summary of assets/liabilities):This LLC is funded my contributions made by Jeffrey Epstein. | | Estimated gross receipts($): | | | Estimated net profit($): | | | Estimated investable assets($): | <$1 MM | | Potential Amount to be invested with PWM($): | 20,000.00 | | Other Known Financial Institutions: | | Institution: | JPMorgan | Country: | USA | Est. Assets Under Mgt: | 20,000.00 | | Institution: | | Country: | | Est. Assets Under Mgt: | | | Institution: | | Country: | | Est. Assets Under Mgt: | |
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
7/30/2019
DB-SDNY-0002730
EFTA_00016204
EFTA00166956
KYC Print
Page 10 of 13
DB PWM GLOBAL KYC/NCA: US/LatAm/Int'l PART B
| Relationship Name | SOUTHERN FINANCIAL RELATIONSHIP | | Risk Rating Comments: | | | Booking Center | NY | NY/Offshore | Offshore | Moderate Risk | High Risk | Jacqueline Lightbody | | (Compliance Signature) | | DB Employee | DB Managed PIC | DB is Trustee/Co-Trustee | Bearer Shares |
| (Compliance Signature) |
|---|
| □ DB Employee | □ DB Managed PIC | □ DB is Trustee/Co-Trustee | □ Bearer Shares | | 4. Attachments |
|---|
| A. | Type of Photo ID Provided | Drivers License | Passport National/State ID Other | | B. | Checklist of names (individuals and/or entities) that were submitted for database searches is attached | Yes | No | | C. | Please indicate the results of the database searches performed | | | | RDC searches complete | Yes | No negative results found Yes | | PCR checks complete | Yes | No negative results found Yes | | OFAC checks complete | Yes | No negative results found Yes | | BIS searches complete (Lexis/Nexis, Factiva, Reuters, Dow Jones, | Yes | No negative results found Yes | | Denial Orders checks complete | Yes | No negative results found Yes | | Martindale-Hubbell searched (Lawyers/Law Firms only) | Yes | No negative results found Yes | Please summarize any negative results from the database searches indicated above: DARREN INDYKE KYC approved in case #1133777 | NEPTUNE LLC: See attached AML Clearance — The RDC alert was a false hit. Negative Media: All negative media is not our client. All negative media either predates our client's formation (2011) or is another LLC. Our Neptune LLC is a single member LLC that runs the operations of a home | | D. | JEFFREY EPSTEIN: See KYC #01082293 and #01121718 for previous KYC approval and all pertaining documents | | | | HARRY BELLER: Negative Media: Not our client. All negative media pertains to an environmental microbiologist. Our client is an accountant Court Cases: #1: Disposed in 1987 All other cases are not our client. The other court cases refer to a Dr. Harry Beller. Our client is an accountant | | | | E. | To the best of your knowledge, has the client ever been convicted of a criminal offense? | Yes | No | | F. | To the best of your knowledge, has the customer ever involved in any past litigation against Deutsche Bank AG or any of its subsidiaries or is the customer threatening litigation against Deutsche Bank AG or any of its subsidiaries? (If Yes, provide details below and contact Quality Mgt. (Lukin/Dryl) or the Regulatory Control Group and notify Compliance immediately) | Yes | No | | G. | Does the client or related party have any financial or other association/interactions within countries or regimes sanctioned by the Office of Foreign Assets Control (OFAC)? | Yes | No | | H. | Does the client or related party have any financial or other association/interactions within high risk countries? | Yes | No | | I. | Corporate Documentation Attached (Legal Entities Only) | Yes | No Not Applicable | | J. | Undisclosed Principal Form Complete (Intermediaries Only) | Yes | No Not Applicable | | K. | If Lexis/Nexis Search Results, Corporate Documents or Other Supporting Documentation is not in English, please provide an English summary of the nature/content of the non-English Documentation: | | | | L. | Special Risk Factors | | |
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
7/30/2019
DB-SDNY-0002731
EFTA_00016205
EFTA00166957
KYC Print
Page 11 of 13
| Does the account have Nexus to Special Risk Countries? | Yes | No | | Is the account structure unusually complex? | Yes | No | | Is there any indication the client set up a non operating company expressly for the purpose of transferring shares to third parties? | Yes | No | | Is there any indication this could be a prohibited business relationship? | Yes | No | | Are the bearer shares identified subject to acceptable controls? | Yes | No |
| https://dbforcepb.my.sal | et/servlet.Integration?lid=01N30000000D9Di&e... | 7/30/2019 |
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| CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) | | DB-SDNY-0002732 |
FETA: 0001620
EFTA_00016206
EFTA00166958
KYC Print
Page 12 of 13
| M. Case Comments | | Created By | Date | Comments | | Jacqueline Lightbody | 3/14/114 3:00 PM | 1 page of DB Certificate of LLC Resolution with the 2nd that did not list all signers, is acceptable. The only revision was the 2nd page with the correct signers that is attached separately. |
| ONSHORE APPROVALS | | Client Facing Professional(CFP): | Paul Morris | (Signature) Paul Morris | 2/24/2014 | | Office Director/Business Head: | Brian M. Biggar | (Signature) Brian M. Biggar | 2/24/2014 | | Regional Office Director: | | (Signature) | | | AML Business Risk: | | (Signature) | | | AML Compliance: | Gwen Hill o/b/o Janice Franklin Jacqueline Lightbody | (Signature) | | | Gwen Hill o/b/o Janice Franklin | 3/14/2014 | | Jacqueline Lightbody | 3/14/2014 |
| LATAM/INTERNATIONAL APPROVALS | | Client Facing Professional(CFP): | | (Signature) | | | Account Manager: | | (Signature) | | | Global Market Team Head(GMTH)/Sub-Market Team Head(SMTH): | | (Signature) | | | AML Business Risk: | | (Signature) | | | AML Compliance: | | (Signature) | |
PRIVATE WEALTH MANAGEMENT POLICY STATEMENT: Deutsche Bank Private Wealth Management (PWM) worldwide is committed to professionally serve the interests of its clients. To do so, Client Facing Professionals1(1) (CFP's) should establish and maintain business relationships only with persons who satisfy our high standards of suitability, background and character. Due diligence obtained on the client must be appropriately documented by the CFP. It is the responsibility of CFP's to demonstrate that they know their client both at the inception of a relationship and on an ongoing basis.
DECLARATION FOR ALL SIGNERS OF THIS FORM: To the best of my knowledge and belief the above information is correct and up to date. I confirm that I have no suspicions relating to the money laundering or unethical activities on the part of the client(s) and that I have followed all the procedures relating to account opening as described in the PWM Americas Procedures and the PWM Global KYC Policy
| https://dbforcepb.my.salesforce.com/servlet/servlet.Integration?lid=01N30000000D9Di&e... | 7/30/2019 |
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| CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) | DB-SDNY-000273 |
EFTA_00016207
EFTA00166959
KYC Print
Page 13 of 13
(1) Client Facing Professionals (CFP's) include: Relationship Managers, Wealth Advisors, Product Officers, Brokers, Client Managers, etc.
Deutsche Bank Americas New York
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)
7/30/2019
DB-SDNY-0002734
EFTA_00016208
EFTA00166960
|