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Deutsche Bank
E
l
Deutsche Bank Must Co. .Americas
345 Park Avenue - NYC20-0102
New York. NY 10154
JEFFREY EPSTEIN
6100 RED HOOK QTR, B3
SAINT THOMAS
00802
April I. 2015 to April 30. 2015
Summery of Account Mance(%)
Account
Accotut Number
Balance
For personal assistance call:
Amanda Kirby
212.454-6439
10 F.nclosures
Balance
Elite Checking With Interest
35-266-976
51,615,944.70
Beginning Balance as of April 1. 2015
51,066,306.23
peons its and Other Credits
52,260,757.13
Checks Paid
(5149.465.03 )
ATM and Debit Card Withdrauals
$0.00
Sonic.: Charges and Other Fees
50.00
Other Debits
al -561.65343 )
Ealing Balance as of April 30. 2015
Transa.-tion Detail
Date
Dacription
Debit
51.615.944.70
Credit
&Riming Balance as of April 1, 2015
51,066,30623
0601
Outgoing Money Trnsf
TO VALLEY NATIONAL BANK NC 10040094
19 ATTERBURY, GOLDBERGER AND WEISS P
(25.000.00 )
1,041,306.23
04-02
x Preauthorized Credit
102113000027315313
P2P BANK OF AMERICA
10.484.06
1.051.790.29
04-02
# Preauthorized Debit
10'0910120017105375
ACII PMT AMEX EPayment
(25.921.17 )
1.025.869.12
All items Sc credited subject to final collection and receipt of percents in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
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Deutsche Bank
E
l
Date
Description
Debit
Credit
Balance
04-03
0 Credit Memo
239,556.56
1.265.425.68
RETURN OF WIRE VD 03-30-15 AS PER YO
UR REQUEST
04-07
N Outgoing Money Tmsf
(15.325.00 )
1.250.100.68
TO SOVEREIGN BANK A/C 61804935890 MA
04-07
a Outgoing Money Tmsf
(1.877.60 )
1.248.223.08
TO WELLS FARGO BANK AC 200001545942
4 BLACK SREBNICK KORNSPAN AND STUMPF
TRUST
0407
Check 795
(9,181.44
1,239,041.60
04-07
N Preaudtorized Debit
(47,620.89 )
1,191,420.75
101091000011326672
ACH PMT AM FA EP:INmem
04-08
Check 796
(2.350.50 )
1.189.070.25
04-09
N Outgoing Money Trnsf
(82,000.00 )
1.107,07025
TO WELLS FARGO BANK ABC 200005217491
04-09
Check 800
(14.153.75
1.092.916.50
04-13
N Deposit
0150116160
04-13
Check 802
(7.500.00 )
04-13
N Outgoing Money Trust
(6.000.00 )
TO FIFTH THIRD BANK AC 7241021745 M
ERU'AS. LW NORTH BROWARD PREP SCHO
10.000.00
1.102.916.50
1.095.416.50
1.089.416.50
04.13
a Outgoing Money Trust
(2,371.25 )
1,087,045.25
TO SABADELL UNITED NC 0165004987 TO
04-14
N Outgoing Money Tmsf
(5,000.00 )
1,082,045.25
1001560688 RICHMAN GREER. PA TRUST
ACCOUNT
04-14
Check 797
(956.00 )
04-14
a Preauthorized Debit
(260.296.68 )
101091000014655440
ACH PMT AMEX EPavment
04-14
N Preauthorizerl Debit
(108.682.90 )
712.10.67
101091000014655443
ACH PMT AMEX EPavinent
04-16
a Incoming Money Tmsf
2,000,000.00
2,712,109.67
ORG -N40.024935.1 JEEPERS INC 6100 R
ED HOOK QUARTER 11 3 ST THOMAS VI 00
04161310.81510004760
04-16
N Transfer Of Funds
680519
04-16
N Outgoing Money Tmsf
TO 1ST UNITED BANK AC 130104 W. CUE
04-16
Check 807
(4.160.00 )
2.596.950.67
04-16
N Preauthorizerl Debit
(35.557.25 )
2.561.393.42
1020910000'6311789
PI ION': PYMT WELLS FARGO CARD
1.081.089.25
820.792.57
(100,000.00 )
2,612,109.67
(10,999.00 )
2.601.110.67
All items ate credited subject to final collection and receipt of proceeth in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
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Deutsche Bank El
Date
Description
04-17
0 Depeait
0150238430
04-20
k Outgoing Money Tmsf
(3314.00 )
2.558.659.42
TO BANK OF AMERICA AC 359 85 004298
04-20
Check 803
04-21
# Preauthorized Debit
102091000017828171
ACII PMT AMEX EPayment
04-22
Check 801
04-23
tr Outgoing Money Tmsf
TO BARCLAYS BANK PLC AC 90896276 MA
RK LLOYD
04-24
Or Outgoing Money Trnsf
(4,122.50 )
2.185,583.30
TO SAB.ADELL UNITED AC 0165004987 TO
04-24
#
(8.598.55 )
2.176.984.75
Debit
Credit
580.00
Balance
2.561.973.42
(880.00 )
(108.073.62 )
2.557.779.42
2.449.705.80
(100,000.00 )
(160,00000 )
2.349,703.80
2,189,705,80
TO IISBC BANK OBP 5625
FX RATE 1.52863126
04-27
N Outgoing Money Tmsf
(137.500.00 )
2.039.484.75
TO SABADELL UNITED BANK A/C 00330390
37 SIIINDER LAW GROUP P.A. IOTA TRUST
ACCOUNT
04-27
0 Outgoing Money Trust
(50.000.00 )
1.989.484.75
TO FIRST BANK PUERTO RICO A/C 717104
0305 THOMAS WORLD AIR LLC
04-27
Chet* 808
04-28
N Transfer Of Funds
680519
04-28
# Preauthorized Debit
101091000012211178
ACH PMT AMEX EPannent
0,4-29
0 Transfer Of Funds
42953758
04-29
# Outgoing Money Trite
TO FIRST DANK OF PUERTO RICO A/C 721
1096794 MAPLE, INC
04-30
Check 813
04-30
t: Interest Paunent
Ending Balance as of April 30, 2015
(2,78334
(50000.00 )
1,986,701.41
1.936.701.41
(33.393.22 )
1.903.308.19
(200.000.00 )
1.703.308.19
(80.000.00 )
1.623.308.19
(7,500.00 )
(1,711,118.66 )
136.51
$2,260,757.13
1.615,808.19
1015,944.70
$1,615,944.70
Checks Paid
Number
Date
Amount
Number
Dal:
Amount
Number
Date
Amount
795
04-07
9.181.44
801
04-22
100.002$.00
808
04-27
2.783.34
796
04-08
2.350.50
802
04-I t
7.500.00
813 •
04-30
7.503.80
797
04-14
956.00
803
04-20
880.00
• Skip in check sequence
SOO •
04-09
14,153.75
807 •
0446
4,160.00
Milting are credited subject to final collection and receipt of proceed.< in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
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Deutsche Bank 0
Deposits and Other Credits
Date
Description
Amount
04-02
Prcauthorized Credit
510.484.06
04-03
Credit Memo
S239.556.56
04-13
Deposit
510.000.00
04-16
Incoming Money Tmsf
S2.000.000.00
04-17
Deposit
5580.00
04-30
Interest Payment
$136.51
Strike Charges and Other Fees
Total NSF return item fen, foe this strlemmt period
$0.00
Total NSF return item fees for this calendar year
$0.00
Teal Overdraft fees for this statement period
$0.00
Total Oveidraft fees for this calendar star
$ox*
Other Debits
Date
Description
Amount
04-01
Outgoing Money Tour
(525.000.00 )
04-02
Preauthorized Debit
(525.921.17 )
04-07
Outgoing Money Tmsf
(515.325.00 )
04-07
Outgoing Money Ina
(S1,877.60 )
0407
Preauthorized Debit
(547.620.89 )
04-09
Outgoing Money Tmsf
($82,000.00 )
04-13
Outgoing Money Inn(
(56.000.00
0443
O tgoing Money Tntsf
(52.371.25
04-11
Outgoing Money Tnut
(55.000.00 )
04-14
Preauthorized Debit
(5260.296.68)
04-14
Preauthorized Debit
(SI08.682.90)
04-16
Transfer Of Funds
(5100.000.00
04-16
Outgoing Money Tmsf
510 999 00
04-16
Preauthorized Debit
($35.557.25 )
04-20
Outgoing Money Trnsf
(53.314.00 )
04-21
Preauthorized Debit
(5108.073.62 )
04-23
Outgoing Money 'fmsf
(8160.000.00 )
04-21
Outgoing Money Ina
(51.122.50 )
04-21
(58,598.55 )
04-27
Outgoing Money Tmsf
($137,500.00 )
04-27
Outgoing Money Inst.'
(550.000.00 )
0448
Transfer Of Funds
($50,000.00 )
04-28
Preauthorized Debit
(133.393.22 )
04-29
Transfer Of Funds
($200,000.00 )
04-29
Outgoing Money Trinf
($80.000.00 )
Interest Calculation
Annual Percentage Yield Earned
0.10%
Interest Earned This Period
S136.51
Interest Paid Year To Date
5555.59
All items an credited subject to final collection and receipt of proceeds in cash or by unconditional 4-redit to and accepted by Deutsche Bank Trust Company America
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Deutsche Bank 0
In Case of Enos or Questions
I. Electronic Funds Transfers
Telephone us at 1-866-362-47%. or write to us at Lkutsche Bank Trust Company Americas. 345 Park AVOW. WN1 Banking learn -
NYC20-0102. New York New York 10154 as sown 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 from you no later than 60 days after we sent you the
FIRST statement on which the error or problem appeared.
• Tell us your name and account number
- Describe the ems or transfer you are unsure about. and explain as clearly as you van why. you believe it is an error or why you
need more infatuation
• Tell in the dollar amount of the suspected error
Please note that if you initially provide the above information to us via telephone. we may require that you send your complaint or
inquiry in writing within 10 business days.
We will investigate your complaint and will correct any error promptly. If we take more than 10 business days (or 20 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 inform you of our results.
2. Non•Elearonic Funds Transfers
Contact the Bank immediately at l-866.362-4796 if your statement is incorrect or if you need more information about any non-electronic
funds transactions (cheeks or deposits) on this statement. If any midi error appear:. you must notify the Bank in writing no later than
30 days after the statement was made available to you. Please see your -lams and Conditions for flintie r infonnuion on the terms
governing your account.
3. Veri6ing Preauthorized Credits
If you have arranged to have direst deposits made to your account at least once every 60 days from the same person or company. you
can telephone us at 1.866.362.47% to find out whether the deposit has been made.
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