Deutsche Bank | | | | :--- | :--- | | Deutsche Bank Trust Co. Americas | 345 Park Avenue - NYC20-0102 | | New York, NY 10154 | |
| NEPTUNE, LLC |
| JEFFREY EPSTEIN |
| 6100 RED HOOK QUARTER,B3 |
| ST. THOMAS |
| 00802 |
| UNITED STATES VI |
| Summary of Account Balance(s) | ||||
| Account | Account Number | Balance | ||
| Business Checking | 42-953-424 | $0.00 | ||
| Beginning Balance as of May 1,2019 | $160,533.29 |
| Deposits and Other Credits | $1,200.00 |
| Checks Paid | ($2,350.00) |
| ATM and Debit Card Withdrawals | $0.00 |
| Service Charges and Other Fees | $0.00 |
| Other Debits | ($159,383.29) |
| Ending Balance as of May 31,2019 | $0.00 |
| Transaction Date | Detail Description | Debit | Credit | Balance |
|---|---|---|---|---|
| Beginning | Balance as of May 1, 2019 | $160,533.29 | ||
| 05-01 | # Preauthorized Debit 102021000029191714 UTILITY FPUC/EZ-PAY | (616.36) | 159,916.93 | |
| 05-02 | # Outgoing Money Trnsf TO WELLSFARGO BANK, NA A/C CKG PAINTING INC | (1,000.00) | 158,916.93 | |
| 05-03 | # Outgoing Money Trnsf TO JPMORGAN CHASE BANK, NA A/C CKG PAINTING INC | (1,100.00) | 157,816.93 | |
| 05-06 | # Outgoing Money Trnsf TO TD BANK, NA A/C GEORGE BRITTAIN LAND DESIGN INC | (2,333.00) | 155,483.93 | |
| 05-06 | Check 1019 | (1,550.00) | 153,933.93 |
| Date | Description | Debit | Credit | Balance |
|---|---|---|---|---|
| 05-07 | # Preauthorized Debit 101111000013221029 ELECPYMT FPL DIRECT DEBIT | (1,037.06) | 152,896.87 | |
| 05-10 | # Outgoing Money Trnsf TO TD BANK, NA A/C HBRK A SSOCIATES INC | (152,096.87) | 800.00 | |
| 05-10 | Check 1130 | (800.00) | 0.00 | |
| 05-13 | # Credit Memo RETURN OF WIRE VD 04-26-2019 PER YOURREQUEST | 1,200.00 | 1,200.00 | |
| 05-14 | # Outgoing Money Trnsf TO JPMORGAN CHASE BANK, NA A/C CKG PAINTING INC | (600.00) | 600.00 | |
| 05-14 | # Outgoing Money Trnsf TO TD BANK, NA A/C HBRK A SSOCIATES INC | (600.00) | 0.00 | |
| Ending | Balance as of May 31, 2019 | (161,733.29) | $1,200.00 | $0.00 |
| Number | Date | Amount | Number | Date | Amount | Number | Date | Amount |
| 1019 | 05-06 | 1,550.00 | 1130 | 05-10 | 800.00 | *Skip in check sequence | ||
| Deposits and Other Credits | ||
| Date | Description | Amount |
| 05-13 | Credit Memo | $1,200.00 |
| Service Charges and Other Fees | ||
| Total NSF return item fees for this statement period | $0.00 | |
| Total NSF return item fees for this calendar year | $0.00 | |
| Total Overdraft fees for this statement period | $0.00 | |
| Total Overdraft fees for this calendar year | $0.00 | |
| Date | Description | Amount | ||
| 05-01 | Preauthorized | Debit | ($616.36) | |
| 05-02 | Outgoing | Money | Trnsf | ($1,000.00) |
| 05-03 | Outgoing | Money | Trnsf | ($1,100.00) |
| 05-06 | Outgoing | Money | Trnsf | ($2,333.00) |
| 05-07 | Preauthorized | Debit | ($1,037.06) | |
| 05-10 | Outgoing | Money | Trnsf | ($152,096.87) |
| 05-14 | Outgoing | Money | Trnsf | ($600.00) |
| 05-14 | Outgoing | Money | Trnsf | ($600.00) |