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Deutsche Bank El
Deutsche Bank Trust Co. Americas
345 Park Avenue - NYC20-0102
New York. NY 10154
JEFFREY EPSTEIN
6100 RED HOOK QTR, B3
SAINT THOMAS
00802
For personal assistance call:
Stewart Oldfield
June 1.2017 to June 30. 2017
8 F.nclosures
Summary of Amount Balance(s)
Account
Elite Checking With Interest
Account Number
35-269-691
Balance
52,340,230.00
Beginning Balance as alum: 1. 2017
Ikpos its and Other C red ts
Checks Paid
ATM and Debit Card Withdrawals
Senice Charges and Other Fees
Other Debits
Ending Balance as °Flom 30. 2017
53.066.416.40
528.300.43
(S33 283 77 )
$0.00
50.00
($721203.06 )
52.340.230.00
Transaction Detail
❑ate
Docriplion
Debit
Credit
Balance
&Riming Balance as of June 1. 2017
53,066,416.40
06411
Check 1121
(7,500.00 )
3,058,916.40
06-05
N Outgoing Money Trust
(25,000.00 )
3,033,916.40
27 ATTERBURY, OOLDBERGER AND WEISS P
06.05
p Outgoing Money Trust
(25.000.00 )
3.008.916.40
TO JPSIORGAN CHASE BANK. NA AC I=
08277 IIILIZIK STRATEGIES
06-05
9 Preauthorized Debit
102051400509627402
(505.00 )
3.008.411.40
All items an credited subject to final collection and receipt of proceeth in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company Americas.
I of 5
SDNY_GM_00043437
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0006261
EFTA_00154046
EFTA01253694
Deutsche Bank
Date
Dem.-citation
Debit
Credit
Balance
06417
0 Outgoing Money Trnsf
(15.000.00 )
2.993.411.40
TO DEUTSCHE BANK TRUSTCOMAPNY AMER1
CAS AC
06-07
(be& 1120
06-07
Check 1122
06-08
0 Deposit
0150004040
06-13
g Outgoing Money Tmsf
(10.000.00 )
2.982.626.18
2 JEFFREY S POP AND ASSOCIATES
06.13
x Preauthorized Debit
(111,646.94 )
2.870,979.24
101091000011741619
06.13
m Preauthorized Debit
(149,252.36 )
2,721.726.88
101091000013743620
06-13
0 Preauthorized Debit
(31,17635 )
2.690.550.33
101091000013743621
ACII PMT AMEX EPAYN1ENI
05-14
Check 1124
(7.500.00 )
2.683.050.33
06-15
lo Deposit
2.443.27
2.685.493.60
0150041620
06-19
0 Outgoing Money Tmsf
(911.19 )
(508.59 )
634.56
2.992.500.21
2.991.991.62
2.992.626.18
(2.792.25 )
2.682.701.35
06-19
N Preauthorited Debit
(11,992.49 )
2470,708.86
102091000016795835
06-20
0 Outgoing Money Trust
(25.000.00 )
2.645.708.86
TO BANK OF AMERICA, N.A. NY NC ■
ACK
06-20
0 Preauthorized Debit
(122.796.49 )
2.5M.912.37
101091000017236621
06-21
0 Outgoing Money Dm(
(1.000.00 )
2.521.912.37
05-21
0 Outgoing Money Trnsf
(12.500.00 )
2.509.41237
TAYLOR VISOSKI BRENDAN CI'S
ACK
06-21
0 Outgoing Money Tmsf
(12.500.00 )
2,496,912.37
TO BANK OF AMERICA, N.A. NY AC •
LARRY VISOSK1
06-21
8 Outgoing Money Must
(125.000.00 )
2,371,912.37
NLR RE
06-21
0 Incoming Money Trust
25.000.00
2.396.912.37
ORO- 446032908873 TAYLOR VISOSK1 ORE
NDAN CUSACK 5141 DUDLEY LN BETHESDA
06-21
Check 1123
(508.59 )
2396.400.78
All items at credited subject to final collection and receipt of proceedi in cash or by unconditional credit to and accepted by Deutsche Bank iftld Company America
2 of 5
SDNY_OM_00043438
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0006262
EFTA_00154047
EFTA01253695
Deutsche Bank
Date
Description
Debit
Credit
Balance
06.23
Check 1125
(7,500.00 )
2.388.903.78
06-26
% Preauthorized Debit
102051400509782647
(5,843.43 )
2.383,060.35
06-27
%Outgoing Money Tnuf
TO TD BANK. NA At
(6.000.00 )
2.377.060.35
06-27
Check 1126
(1,355.40 )
2.375.704.95
06-28
Check 1128
(7,500.00 )
2,368,204.95
06-28
Preauthorized Debit
101091080011120904
(28.197.55 )
2.340.007.40
06.30
.1 Intifal Payment
222.60
2.340.230.00
Ending Balance as of June 30, 2017
(754,486.83 )
$28.300.43
$2340,230.00
Chocks Paid
Number
Date
Amount
Number
Date
Amount
Number
Date
Amount
1120
06-07
911.19
1123
06-21
508.59
1126
06-27
1.355.40
1121
06-01
7,500.00
1124
06-14
7,500.00
1128 •
06-28
7.500.00
1122
06-07
508.59
1125
06-23
7.500.00
• Skip in check sequence
Deposits and Other Credits
Date
Description
Amount
06.08
Mixon
5634.56
0645
Ikposit
52.443.27
06-21
Incoming Money Tmsf
525.000.00
06-30
Interest Payment
5222.60
Service Charges and Other It
Total NSF return item fees far Nis statement period
$aw
Total NSF return item fees for this calendar viar
$0.00
Total Overdraft fees far this statement period
50.00
Total Overdraft fees for this calendar year
50.00
Other Debits
Date
Description
Amount
06-05
Outgoing Money Tun:
(825,000.00 )
05-05
Outgoing Money Tout
(525.000.00 )
06-05
Preauthorized Debit
($505.00 )
06-07
Outgoing Money Trnsf
(515.000.00 )
06-13
Outgoing NICIOCY Tmsf
(510.000.00 )
06-13
Preauthorized Debit
($111,646.94 )
06-13
Preauthori/ed Ikhit
(8149.252.36 )
06-13
Preauthonzed Debit
($31.176.55 )
06-19
Outgoing Money Tmsf
($22.79125 )
06-19
Preauthorized Debit
(511.992.49 )
06-20
Outgoing Money Trust
(525.000.00 )
06-20
Preauthorized Debit
($122,796.49 )
06-21
Outgoing Money Trmf
(51,000.00 )
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
3 015
SDNY_GM_00043439
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0006263
EFTA_00154048
EFTA01253696
Deutsche Bank
Dole
Description
Amount
06-21
Outgoing Money Tntsf
(512.500.00
06-21
Outgoing Money Tine
(S12.500.00 )
06-21
Outgoing Money Tmsf
(5125.000.00 )
06-26
Preauthorized Debit
($5243.43 )
06-27
Outgoing Money This(
(56.000.00 )
05-28
Preauthorized Debit
(528.197.55 )
Interest Calculation
Annual Percentage Yield Earned
0.10%
Interest Eames1This Period
8222.60
Interest Paid Year To Date
51,076.45
kll gems are credited NlIbitNi to final collcaion and receipt of proceed.; in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
40(5
SDNY_GM_00043440
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0006264
EFTA_00154049
EFTA01253697
Deutsche Bank
In Case of Furors or Questions
I. Electronic Funds Transfers
Telephone us at 1-866-362-4796. or write to us at Deutsche Rank Trust Company Americas. 345 Park Avenue. WNI 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
information about a transfer listed on the statement or receipt. We MUST hear front you no later than 60 days after we sent you the
FIRSTstatement on which the error or problem appeared.
• Tell us your name and account number
- Describe the err 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 note that if you initially provide the above information to If% via telephone. we may require that you send your complaint or
inquiry in writing within ID business days.
We will investigate your complaint and will correct any enor promptly. If we take more than 10 business days (or 20 business days for
new accounts) to do this, we will provisionally credit your account for the amount you think is in error. so that you will have the use of
the money during the time it takes us to complete our investigation. At the conclusion of our investigation. we will info= you of our
results.
1 Non-Electronic Funds Transfers
Contact the Bank immediately at 1-866-362-4796 if your statement is incorrect or if you need mole information about any non-electronic
funds Introadions (checks or deposits) on this statement. If any such error appears, you must notify the Bank in writing no later than
30 days after the gateman was made available to you. Please see your Tenn< and Conditions for further information on the tens
governing your account.
3. Verifying Preatithorized Credits
If you have arranged to have direst deposits made to your account at least once every 60 days from the same person or compans you
can telephone us at 1.866.362.4SM to find out whether the deposit has been made.
SDNY_GM_00043441
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0006265
EFTA_00154050
EFTA01253698