Text extracted via OCR from the original document. May contain errors from the scanning process.
CLAIMEOX. INC.
905 MARCONI AVE
RONKONKOMA. NV 11779
D. 631.205.1200
E. 631.205.1211
CLAIMSOX.COM
CLAIMFOI
CONSIDER
IT DONE
Prohibition of Pe-Disclosure
ClaimFox, Inc. makes every effort possible to protect our clients' confidential claimant
information. As claims files may contain a portion of the claimant's medical record, ClaimFox
follows the same standards and guidelines set forth for releasing patient medical records, as
outlined in the HIPAA Security and Privacy Act.
The attached or enclosed information may have been disclosed to you from records whose
privacy is protected from disclosure by federal and state law including, as applicable, 45 CFP
Part 160 (HIPAA), 42 CFP Part 2 (alcohol and drug treatment) and other state laws. The
applicable law or laws may prohibit you from making any further disclosure without the specific
written authorization by the individual to whom it pertains or their authorized representative, or
as otherwise permitted or required by law. A general authorization for release of information is
not sufficient for this purpose unless it conforms to the specific requirements of the applicable
law or laws. Further disclosure not in accordance with applicable federal and state law may
result in civil and/or criminal penalties.
Based upon guidelines outlined by the American Health Information Management Association,
these records should be destroyed after the stated need has been fulfilled.
All claims files that have been disclosed to you have been carefully reviewed to assure that
proper disclosure is made only to the authorized requestor.
If you have any questions, please contact ClaimFox at:
Toll
Direc
in
SDNY_GM_000 10165
EFTA_00 I 208 19
EFTA01266498
Declaration of Custodian of Records
Pursuant to 28
§ 1746, I, the undersigned, hereby declare:
My name is
• Isabel Luna
(namnot declarant)
.
••
•
•
I am a.United States citizen and I am over eighteen years of age. I am the pustodian of
records of the business named below, or I am otherwise qualified as a result of my position with. •
the business named belowto make this declaration. ,
•
•
' lam in receipt of a &Mid Jury -Subpoena, dated December 11, 2019, and signed by
Assistant United States Attorney Mourne Comey, requesting specified records of the business
named below. Pursuant to Rules 902(11) and 803(6) of the Federal Rules.of Evidence, I hereby
certify that the records provided herewith and in response to the Subpoena:
(1) were made at or near the time of the occurrence of the matters set forth in the records,
by,•or from information transmitted by, a person with knowledge of those Matters;
,
(2) were kept in the course of regularly conducted business activity; and
•• (3) were made by the regularly conducted business activity as a regular practice.
ideclare under penalty of perjury that the foregoing is true and correct.
Executed on December 19, 2019
(date) kAk
(signature of declarant)
Isabel Luna
(name and title of declarant)
USAA Federal Sevin
Bank
(name of business)
10750 McDermott Freeway, San Ant Mo, Tens 78288
(business address)
Definitions of terms used above:
As defined in Fed. R. Evid. .803(6), "record" Includes a memorandum, report, record, or data
compilation, inany.form, of acts, events, Conditions, opinions, or diagnoses.. The term "business" •
as used in Fed. R. Evid. 103(6) and the above declaration includes business, institution,
association, protest; occupation, and calling of every kind, whether or not conducted for profit
•
SONY_GM_00010166
•
EF1'A_00120820
EFTA01266499
Form Code:
82706
Member Number
Date Recieved:
•
Address:
Email:
FraudPhoneIndicator
No
FraudEmployerlndicator - No
FraudAddressIndicator
No
RecommendedApplicationAction - PROCEED
AppSubmitter - Member
P rimaryAppName - SCOTT<>G<>BORGERSON<>
PrimaryAppAddrLinel
44 RIVER RD
PrimaryAppCity - GLOUCESTER
PrimaryAppState - MA
PrimaryAppZip - 01930-1352
PrimaryAppSSN
PrimaryAppDOB -
PrimaryAppPriEmai
PrimaryAppPhysAddrLinel
PrimaryAppPhysAddrCity
PrimaryAppPhysAddrState
PrimaryAppPhysAddrZip
0
PrimaryAppPhysAddrCountry
PrimaryAppCountryofCitizenship
PrimaryAppUSCitizen - Yes
U.S.
DepositAccountType - USAA Four Star Checking Account
DebitRewardType - NR
WantDirectDeposit
NewAccountNumber
FundingMethod - Initial Funds Transfe
FundDepositTransferUSAAFundsAcctNbr
FundingAccountNumber
TotalFundingAmount
1000.00
CheckingFundingAmount
1000.00
SONY_GM_00010167
EFTA_00120821
EFTA01266500
WantWebBillPay • No
WBPEmailFlag • No
WBPTermsConditionsFlag • N
WantOverdraftProtection • Yes
OverdraftProtectionAccountType
OverdraftP rotect ionAccountNbr
OverdraftDisplayAcctNum
WantDebitOrATMCard • Yes
OriginationState • TX
ResponsibleState • TX
StateCd_TaxWB • MA
ApplicationType • Individual
NbrCoApplicant • 0
• Performance First Savings
SONY_GM_00010168
EFTA_00 120822
EFTA01266501
USAA
FEDERAL ft%
SAVINGS
USAA BANK
PAGE
1
SCOTT BORGERSON
MEI
0
16
ACCOUNTNUPA3F_R
ACCOUNTTYPE
10/16/18 • 11/16/18
BALANCE
LAST STATEMENT
DEBITS
PAID
TOTAL AMOUNT
OF DEBITS PAID
NO. OF
CEP
TOTAL AMOUNT
SERVICE
CHARGES
BALANCE THIS
STATEMENT
78,894.52
11
23,849.47
2
40.53
.00
55,085.58
• 00000 ma.* itointlialely on, iepoti n .........I a eo .re .................
CO dem the etenoll von in co, ....
• a••••ci
TOTAL
TOTAL
OVERDRAFT
FEES (OD)
THIS STATEMENT n nn n nn
THIS YEARS STATEMENTS n nn n nn lot.
..... $01./191•••• .0.10 It USA.
nel .....
u. Wises ea Ills alit.
DATE
10/22
40.00 DEPOSIT @ MOBILE
11/16
0.53 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..0
AMOUNT
10/18
10.00
11/09
10.00
OTHER DEBITS
10/17
DESCRIPTION
49.99
ACM
DEBIT
DATE
*.k..1739
10/24
16,779.15 USAA CREDIT CARD PMT
CREDIT CARD ENDING IN 8171
10/29
188.55 USAA INSURANCE PAYMEN
10/30
381.89 ACH DEBIT
NATIONAL GRID
ONLINE PMT
4POS
11/01
205.10 USAA FUNDS TRANSFER DB
TO Scott Borgerson
CHECKING
#2621, CONF#
11/01
5,500.00 USAA FUNDS TRANSFER DB
TO Scott Borgerson
CHECKING
#2621, CON
11/06
276.97 ACH DEBIT
COMCAST
ONLINE PMT
4POS
11/14
197.82 ACH DEBIT
COMCAST
ONLINE PMT
4POS
11/16
250.00 USAA FUNDS TRANSFER DB
FDIC
INSURED
TO Scott Borgerson
SONY_GM_00010169
CHECKING
#2621, CONF#
93526-0814_05
BMIFRT
EFTA_00120823
EFTA01266502
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010170
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I 20824
EFTA01266503
USAA
FEDERAL
SAVINGS
USM BANK
PA GE
2
SCOTT BORGERSON
0
16
ism
ACCOUNT TYPE
DATE
BALANCE
10/16
78,894.52
10/17
78,844.53
10/18
78,834.53
10/22
78,874.53
10/24
62,095.38
10/29
61,906.83
DATE
BALANCE
10/30
61,524.94
11/01
55,819.84
11/06
55,542.87
11/09
55,532.87
11/14
55,335.05
11/16
55,085.58
10/16/18 - 11/16/18
*
[repeated 3 times]
31 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
3.44.
FDIC
INSURED
SONY_GM_00010171
105846.0814_06
BA1F131A
EFTA _00I20825
EFTA01266504
Check: 995328
Amount:10.00
Check: 995332
Amount:10.00
SONY_GM_000 10172
EFTA_00120826
EFTA01266505
USAA
FEDERAL ft%
SAVINGS
USAA BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUNTNUMEER
ACCOUNTTYPE
11/16/18 • 12/17/18
BMAACE
LAST STATEMENT
NOOF
DEBITS
PAID
TOTALAMCUNT
OF DEBITS PAID
NO.OF
CEP
TOTALAMOUNT
SERVICE
CHARGES
BALANCE THIS
STATEMENT
55,085.58
10
47,000.16
1
0.25
.00
8,085.67
• 00000 etate” neteetalely gad toping
00000000 I. II ee ts ..... ••• melon ell dem the eenunt lie eget ....
• a••••ci
TOTAL
NONSUFFCENTFUNDS(NS9
Fan
Taut
CNERDFon (OD)
THIS STATEMENT n nn n nn
THIS YEARS STATEMENTS n nn n nn
IOW F.......
$01.trell•••• .lide It US
u
t.
DATE
12/17
0.25 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK
12/13
995334
10.00
OTHER DEBITS
DATE
11/19
473.55 USAA INSURANCE PAYMENT
11/19
21,829.83 USAA CREDIT CARD PMT
NO
AMOUNT
11/19
49.99 ACH DEBIT
11/20
341.20 ACH DEBIT
739
11/20
NATIONAL GRID
ONL
640.50 ACH DEBIT
POS
12/03
5,500.00 USAA FUNDS TRANSFER
POS
12/12
TO Scott Borgerson
CHECKING
#2621,
473.55 USAA INSURANCE PAYME
12/13
754.85 ACH DEBIT
12/17
16,926.69 USAA CREDIT CARD PMT
PMT
4POS
CREDIT CARD ENDING IN 8171
SONY_GM_00010173
93526-0814_05
BMIFRT
EFTA_00120827
EFTA01266506
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010174
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
126405-0714
BM1BCK
EFTA_00 1.20828
EFTA01266507
USAA
FEDERAL
SAVINGS
USM BANK
PAGE
2
SCOTT BORGERSON
0
16
ACCOUNT NU1.42ER
ACCOUNT TYPE
DATE
BALANCE
DATE
BALANCE
11/16
55,085.58
12/12
25,776.96
11/19
32,732.21
12/13
25,012.11
11/20
31,750.51
12/17
8,085.67
12/03
26,250.51
11/16/18 - 12/17/18
%, *
31 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
3.69.
FDIC
INSURED
SDNY_GM_000 10175
105846.0814_06
B81FRIA
EFTA 00120829
EFTA01266508
*are.
PAVIA/AT
MOP
..1.40.•
4.• atteit•Of KIM
•0031,111.4 rom
SONY_GM_00010176
EFTA 00120830
EFTA01266509
USAA
FEDERAL ft%
SAVINGS
USAA° BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUNTTYPE
LAST STATEMENT
12/17/16 • 01/16/19
DEBITS
PAID
TOTAL AMOUNT
OF DEBITS PAID
NO. POF
CE
TOTAL AMOUNT
SERVICE
CHARMS
BALANCE THIS
STATEMENT
8,085.67
7
10,132.27
4
69,201.64
.00
67,155.04 no•dilaiely Il e loon
II •0 .00 ri
00 del,. thil OPPOUIlt
00/0. *****
TOTAL
TOTAL
OVERDRAFT
FEES (OD)
THIS STATEMENT n nn n nn
THIS YEARS STATEMENTS n nn n nn
IOW IV/ ***** $01.trell•••• .lide It USA.....
.el
t.
DATE
01/02
10,000.00 USAA FUNDS TRANSFER CR
FROM Scott G
CHECKING
01/02
59,011.70 WIRE IN
001190102844719
01/07
189.62 DEPOSIT 8 MOBILE
01/16
0.32 INTEREST PAID
OTHER
DATE
12/18
DEBITS
49.99 ACH DEBIT
12/18
225.27
ACH DEBIT
1739
12/18
401.62
COMCAST
ONLINE
ACH DEBIT
4POS
01/07
4,213.41
NATIONAL GRID
ONLINE
4POS
01/08
55.00 DEBIT CARD PURCHASE
5691010719
01/08
639.97
JEAN SHOP
ACH DEBIT
K
NY
01/11
4,547.01
****4POS
SO NY_GM_000 10177
93526-0814_05
BMIFRT
EFTA_00120831
EFTA01266510
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010178
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I .20832
EFTA01266511
USAA
FEDERAL
SAVINGS
USM BANK
PAGE
2
SCOTT BORGERSON
0
16
ACCOUNTNUWER
ACCOUNT TYPE
DATE
BALANCE
DATE
BALANCE
12/17
8,085.67
01/08
71,701.73
12/18
7,408.79
01/11
67,154.72
01/02
76,420.49
01/16
67,155.04
01/07
72,396.70
12/17/18 - 01/16/19
*
[repeated 3 times]
30 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
0.32.
FDIC
INSURED
SDNY_GM_000 10179
105846.0814_06
BAWRIA
EFTA_00 II 20833
EFTA01266512
USAA
FEDERAL ft%
SAVINGS
USAA BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUNTTYPE
01/16/19 • 02/14/19
MACE
LAST STATEMENT
OE
DEB
WTS
PAID
TOTALAMCUNT
OF DEBITS PAID
NO.OF
CEP
TOTALAMOUNT
SERVICE
CHARGES
BALANCE THIS
STATEMENT
67,155.04
16
34,365.04
2
7.33
.00
32,797.33
• 00000 nos.* em•Olaiely gad toped n 00000000
II eo ire .1
CO aloys. the etc•v•i
•
t.
TOTAL
NONSUFFCEN
FEETFUNDS(NS9
TOTAL
CNERDWAFTP
FEES
D)
THIS STATEMENT n nn n nn
MISYEAFESSTATEMENTS n nn n nn il•I•
toistr•i••••
.1de It USA................................t.
DATE
02/14
7.00 ATM SURCHARGE REBATE
02/14
0.33 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
01/22
995339
10.00
02/08
10.00
OTHER DEBITS
DATE
01/17
49.99 ACH DEBIT
01/18
503.50 ATM DB NONLOCAL
CITIZENS BANK40 BEACH
01/18
10,853.14 USAA CREDIT CARD PMT
01/22
13,350.00 WIRE OUT
001190122902463
01/23
503.50 ATM DB NONLOCAL
CITIZENS BANK40 BEACH
01/24
400.00 USAA FUNDS TRANSFER
TO Scott Borgerson
CHECKING
#2621, C
01/29
223.18 ACH DEBIT
COMCAST
ONLI
01/29
324.26 ACH DEBIT
NATIONAL GRID
ONLI
*.***1739
6011011819
STER
MA
6011012319
STER
MA
52893
4POS
4PSDNY_GM_00010180
93526-0811_05
BMIFRT
EFTA_00120834
EFTA01266513
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010181
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I .20835
EFTA01266514
USAA
FEDERAL
SAVINGS
BANK
SCOTT BORGERSON
0
16
PAGE
2
AMARNUNNR
OTHER DEBITS
DATE
01/29
671.82 ACH DEBIT
02/04
24.19 POS DEBIT
ARCO #6321329145 HEA
02/04
5,500.00 USAA FUNDS TRANSFER
TO Scott Borgerson
CHECKING
#2621,
02/12
663.22 ACH DEBIT
02/13
1,045.06 USAA CREDIT CARD PMT
02/14
233.18 ACH DEBIT
COMCAST
ONL
ACCOUNTTYPE
ACCOUNT BALANCE
DATE
SUMMARY
BALANCE
DATE
BALANCE
01/16
67,155.04
01/29
40,265.65
01/17
67,105.05
02/04
34,741.46
01/18
55,748.41
02/08
34,731.46
01/22
42,388.41
02/12
34,068.24
01/23
41,884.91
02/13
33,023.18
01/24
41,484.91
02/14
32,797.33
01/16/19 • 02/14/19
4POS
4POS
29 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
0.65.
SDNY_GM_00010182
10584B-0814_0B
BMFRIA
EFTA_00120836
EFTA01266515
SONY_GM_00010183
EF1'A_00120837
EFTA01266516
USAA
FEDERAL
SAVINGS
USAA° BANK
SCOTT BORGERSON
0
16
PAGE
1
OF
DEBITS
PAID
9
ACCOUNTTYPE
02/14/19 • 03/18/19
TOTAL AMOUNT
OF DEBITS PAID
NOD
P
- OF
TOTAL AMOUNT
SERVICE
CHOWUS
BALANCE THIS
STATEMENT
17,461.89
77.21
.00
15,412.65
• OOOOO ••••••• en•doallely 0.0 101100
OOOOOOOO I a 00 lep ril iiiii •••
CO al•y•. too Stc•Wo •
TOTAL
TOTAL
OVERDRAFT
FEES (OD)
THIS STATEMENT n nn n nn
THIS YEAR'S STATEMENTS n nn n nn
11•1• iiiii $01•Irels••• wad. it US
u
.
DATE
03/11
73.48 DEPOSIT 0 MOBILE
03/18
3.50 ATM SURCHARGE REBATE
03/18
0.23 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
03/11
995348
10.00
OTHER DEBITS
DATE
02/20
49.99 ACH DEBIT
02/20
360.67 ACH DEBIT
NATIONAL GRID
ONLI
03/04
503.50 ATM DB NONLOCAL
CITIZENS BANK40 BEACH
03/06
5,500.00 USAA FUNDS TRANSFER D
TO Scott Borgerson
CHECKING
#2621, C
03/08
9,297.79 USAA CREDIT CARD PMT
03/12
737.90 ACH DEBIT
03/14
223.18 ACH DEBIT
COMCAST
ONLI
9863
1739
4POS
4POS
SDNY_GM_00010184
9352B-0814_05
BMIFRT
EFTA_0O12O838
EFTA01266517
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010185
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I 20839
EFTA01266518
USAA
FEDERAL
SAVINGS
USW
BANK
PAGE
2
SCOTT BORGERSON
0
16
ACCOUNT TYPE
02/14/19 - 03/18/19
OTHER DEBITS
DATE
03/14
778.86 ACH DEBIT
031419
EASTERN PROPANE ONLINE PMT ***********4POS
DATE
BALANCE
DATE
BALANCE
02/14
32,797.33
03/11
17,148.86
02/20
32,386.67
03/12
16,410.96
03/04
31,883.17
03/14
15,408.92
03/06
26,383.17
03/18
15,412.65
03/08
17,085.38
32 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
0.88.
FDIC
INSURED
SDNY_GM_000 10186
105846.0814_06
BA1F131A
EFTA 00120840
EFTA01266519
oariever
•160.4.8•1••••00.1.1••••
Check:
Amount:10.00
SDNY_GM_000 10187
EFTA_00120841
EFTA01266520
Rei
USAA l FEDERAL ft%
SAVINGS
USAA BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUP4TNUM3ER
ACCOUNTTYPE
03/18/19 • 04/16/19
BALANCENCE
LAST STATEMENT
OF
D
NOEBITS
PAID
TOTAL AMOUNT
OF DEBITS PAID
NO. OF
CEP
TOTAL AMOUNT
SERVICE
CHARGF_S
BALANCE THIS
STATEMENT
15,412.65
10
11,376.23
3
51,690.87
.00
55,727.29
• 00000 non.* no•elaiely on, i•poti
I I eo ••• win ..... ••• 401.1.0 40 001*. Mg 0.2i0V... •
TOTAL
NONSUFFCIEN
FaTFUNDS(NS9
Taut
CNERDRAP
FEES (OD)
THIS STATEMENT n nn n nn
MISYEAFTSSTATEMENTS n nn n nn
1, 00. .....
$.1 .11010•0• .1100 It US
u
.el
.
DATE
04/01
51,683.57 WIRE IN
04/16
7.00
TE
04/16
0.30 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
04/11
995352
10.00
OTHER DEBITS
DATE
03/19
49.99 ACH DEBIT
03/25
503.50 ATM DB NONLOCAL
CITIZENS BANK40 BEACH
03/25
503.50 ATM DB NONLOCAL
CITIZENS BANK40 BEACH
04/01
3,634.43 USAA CREDIT CARD PMT
04/01
5,500.00 USAA FUNDS TRANSFER D
TO Scott Borgerson
CHECKING
#2621, C
04/02
735.60 ACH DEBIT
04/09
250.00 USAA FUNDS TRANSFER DB
TO Scott Borgerson
CHECKING
#2621, CONF
FDIC
INSURED
SD NY_GM_000 10188
93526-0814_05
BMIFRT
EFTA 00120842
EFTA01266521
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010189
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA 00120843
EFTA01266522
USAA
FEDERAL
SAVINGS
BANK
SCOTT BORGERSON
0
16
PAGE
2
AUXXATNIABER
ACCCUNTWE
OTHER DEBITS
DATE
04/09
17.23 ACH DEBIT
040919
EVERSOURCE
ONLINE PMT
04/16
171.98 ACH DEBIT
041619
AT&T MOBILITY
ONLINE PMT
DATE
BALANCE
DATE
BALANCE
03/18
15,412.65
04/02
56,169.20
03/19
15,362.66
04/09
55,901.97
03/25
14,355.66
04/11
55,891.97
04/01
56,904.80
04/16
55,727.29
03/18/19 • 04/16/19
4POS
4POS
29 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
1.18.
EIN
SDNY_GM_00010190
105846.08 I 1_06
BRIFIVIA
EFTA_00120844
EFTA01266523
aioevit IIMIYI
111M
:41:71:31F- •
MCC'
•••••••••14 &WINN 01•4
4011014•1.01404.ie•
COLLO*
010001311
04,
I
SDNY_GM_00010191
EFTA_00120845
EFTA01266524
USAA
FEDERAL ft%
SAVINGS
USAA° BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUNTMPASER
ACCOUNTTYPE
04/16/19 • 05/16/19
BALANCE
LAST STATEMENT
WOOFn
ma
PAID
TOTAL AMOUNT
OF DEBITS PAID
NO. OF
DEP
TOTAL AMOUNT
SERVICE
CFIARGF-S
BALANCE THIS
STATEMENT
55,727.29
8
7,514.86
2
91.43
.00
48,303.86
• 00000 non.* maa•e.auely gad toping n iiiiiiii
I. .. 00 ••• win ..... •••
CO dm. th•
•• co, .... • awed
TOTAL
NONSUFFCIENTFUNDS(NS9
FEES
TOTAL
CNERDRAFTM
FEES
THIS STATEMENT n nn n nn rMSYEARBSTATEMENTS n nn n nn il•I•
..... toistr•I•••• wad. er USA................................t.
DATE
05/13
91.00 DEPOSIT 0 MOBILE
05/16
0.43 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..0
K N
AMOUNT
05/10
995357
10.00
05/06
815.98
OTHER DEBITS
DATE
04/17
49.99 ACH DEBIT
04/17
243.18 ACH DEBIT
COMCAST
ON
05/01
5,500.00 USAA FUNDS TRANSFER
TO Scott Borgerson
CHECKING
#2621,
05/02
630.96 ACH DEBIT
05/14
31.56 ACH DEBIT
EVERSOURCE
ON
05/14
233.19 ACH DEBIT
COMCAST
ON
579
1739
4POS
[repeated 4 times]
SONY_GM_000 10192
93526-0811_05
BMIFRT
EFTA_00120846
EFTA01266525
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010193
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I 20847
EFTA01266526
USAA
FEDERAL
SAVINGS
USM BANK
PAGE
2
SCOTT BORGERSON
0
16
ACOOUNTNUPMER
ACCOUNT TYPE
ACCOUNT BALANCE
DATE
SUMMARY
BALANCE
DATE
BALANCE
04/16
55,727.29
05/10
48,477.18
04/17
55,434.12
05/13
48,568.18
05/01
49,934.12
05/14
48,303.43
05/02
49,303.16
05/16
48,303.86
05/06
48,487.18
04/16/19 - 05/16/19
30 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
1.61.
FDIC
INSURED
SDNY_GM_000 10194
105846.0814_06
BAWRIA
EFTA_00120848
EFTA01266527
dlike• PS*.
1•0.11.1•••
Sol 4•1••••••• =M. •IINVItmliall
tOtu.41
tOttelliOSIP
Mat Cl. 3911
Li.
PIM tin ••••••• ao•la
SONY_GM_00010195
EFTA_00120849
EFTA01266528
06/03
20,000.00
06/17
6.50
06/17
0.33
USAA
FEDERAL ft%
SAVINGS
USAir BANK
PAGE
1
SCOTT BORGERSON
•
0
16
ACCOLNTNLIVBER
ACCOUNTTYPE
05/16/19 • 06/17/19
BALANCE
LAST STATEMENT
NO OF
DEBITS
PAID
TOTAL AMOUNT
OF DEBITS PAID
NO. OF
DEP
TOTAL AMOUNT
SERVICE
CNAFT£S
BALANCE THIS
STATEMENT
48,303.86
13
32,843.90
3
20,006.83
.00
35,466.79
P 00000 maim* sintlialely pad i•poti II ........ I. II Po .0
•• ..... ••• sooton PO th• pom..
i •• co•• ....
• et u•ci
TOTAL
TOTAL
OVERDRAFT
FEES (OD)
THIS STATEMENT n nn n nn
THIS YEARS STATEMENTS n nn n nn ow.
..... $01./191•••• .ad• e, USA................................t.
DATE
FROM Scott G Borgerson
CHECKING
#4636, CONF#
INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
06/05
995362
10.00
OTHER DEBITS
DATE
05/17
49.99 ACH DEBIT
05/20
503.50 ATM DB NONLOCAL
PEOPLE'S UNITEDI CENTE
05/20
10,349.26 USAA CREDIT CARD PMT
05/21
144.39 ACH DEBIT
COMCAST
ONLIN
05/24
503.00 ATM DB NONLOCAL
BANK OF AMERICA*CHARLE
06/03
6,807.00 USAA FUNDS TRANSFER DB
TO Scott Borgerson
CHECKING
#2621, CO
06/03
12,970.73 USAA CREDIT CARD PMT
CREDIT CARD ENDING IN 0904
FDIC
INSURED
SDNY_GM_00010196
93526-0814_05
B1/11FRT
EFTA 00120850
EFTA01266529
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECKit
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010197
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
126405-0714
SINIBCK
EFTA_00 120851
EFTA01266530
USAA
FEDERAL
SAVINGS
BANK
SCOTT BORGERSON
0
16
PAGE
2
AUXX.NTNIABER
ACCCUNTWE
DATE
06/04
316.99 ACH DEBIT
06/04
532.91
NATIONAL GRID
ACH DEBIT
ONL
06/11
29.79
EASTERN PROPANE
ACH DEBIT
ONL
06/11
83.34
EVERSOURCE
ACH DEBIT
ONL
06/12
543.00
COMCAST
ONL
TO Scott Borgerson
CHECKING
#2621,
DATE
BALANCE
DATE
05/16
48,303.86
06/04
36,126.09
05/17
48,253.87
06/05
36,116.09
05/20
37,401.11
06/11
36,002.96
05/21
37,256.72
06/12
35,459.96
05/24
36,753.72
06/17
35,466.79
06/03
36,975.99
05/16/19 • 06/17/19
OS
[repeated 4 times]
32 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
1.94.
SDNY_GM_00010198
10584B-0814_0B
BMFRIA
EFTA_00120852
EFTA01266531
SONY_GM_00010199
EFTA_00120853
EFTA01266532
Wita USAA
FEDERAL
SAVINGS
USAA° BANK
PAGE
1
SCOTT BORGERSON
•
0
16
ACCOINT MASER
ACCOUNTTYPE
06/17/19 • 07/16/19
BALANCE
LAST STATEMENT
NOOF
DEBITS
PAID
TOTALAMOUNT
OF DEBITS PAID
NO.OF
CEP
TOTALAMOUNT
SERVICE
CHARGES
BALANCE THIS
STATEMENT
35,466.79
11
30,889.48
4
53,034.53
.00
57,611.84
P OOOOO *eosin avapPillely Pad leper'
Oils. MO Offen... •• 14 •• cant ....
e•ii•vil
TOTAL
FEES
TOTAL
CNERDRAFT(OD)
FEES
MISSTATEMENT n nn n nn
THIS YEARS STATEMENTS n nn n nn
II•I•
$01•I•olls••• .lid•
It PISA •OI Pei YO .e Ise Wises ea MIS .0.8.1.
DATE
07/01
52,580.63 WIRE IN
07/15
449.99
07/16
3.50 ATM SURCHARGE REBATE
07/16
0.41 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
07/16
995367
10.00
OTHER DEBITS
DATE
06/18
49.99 ACH DEBIT
06/27
233.19 ACH DEBIT
COMCAST
ONLI
06/27
242.64 ACH DEBIT
NATIONAL GRID
ONLI
06/27
542.92 ACH DEBIT
07/03
6,807.00 USAA FUNDS TRANSFER D
TO Scott Borgerson
CHECKING
#2621, C
07/05
22,307.24 USAA CREDIT CARD PMT
07/10
503.50 ATM DB NONLOCAL
CITIZENS BANK40 SUMME
FDIC
INSURED
SDNY_GM_000
10200
93526-0814_05
BPAIFRT
EFTA_00 I 20854
EFTA01266533
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010201
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I .20855
EFTA01266534
USAA
FEDERAL
SAVINGS
USM BANK
PAGE
2
SCOTT BORGERSON
0
16
ACCOUNT TYPE
OTHER DEBITS
DATE
07/11
21.94 DEBIT CARD PURCHASE
DELUCAS MARKET
07/16
83.52 ACH DEBIT
EVERSOURCE
ONLIN
07/16
87.54 ACH DEBIT
COMCAST
ONLIN
06/17/19 - 07/16/19
***** 4POS
* *4POS
ACCOUNT BALANCE
DATE
SUMMARY
BALANCE
DATE
BALANCE
06/17
35,466.79
07/05
57,864.44
06/18
35,416.80
07/10
57,360.94
06/27
34,398.05
07/11
57,339.00
07/01
86,978.68
07/15
57,788.99
07/03
80,171.68
07/16
57,611.84
29 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
2.35.
FDIC
INSURED
SDNY_GM_00010202
105846.0814_06
BAWRIA
EFTA_00120856
EFTA01266535
Ad•••••••t
1,41,1•1111
00 Ft
S000.011.7
•
holy 02.2,11,_
Mrirss.••.
$
.914101.11Vurv4.vs
a•
Wilis AV
Crnn
C
SONY_GM_000 10203
EFTA_00120857
EFTA01266536
USAA
FEDERAL
SAVINGS
USAir BANK
SCOTT BORGERSON
0
16
PAGE
1
ACCOUNTNWEER
I
ACCOUNT TYPE
JI
07/16/19 • 08/16/19
BALANCE
N O
EB OF
D
ITS
TOTAL AMOUNT
. OF
NOD
TOTAL AMOUNT
SERVICE
BALANCE THIS
LAST STATEMENT
PAID
OF DEBITS PAID
P
CNN:6ES
STATEMENT
57,611.84
10
9,582.85
2
15.45
.00
48,044.44
• OOOOO eilma.•• eveildhpalely eihd ledOrl
Ill MO ie. •I
CO deyt. the enema. • 'do dad.
OOOO d
TOTAL
NONSUPPCIEN
FaTPUNDS(NS9
Taut
CNERDRAP
Fon (OD)
THIS STATEMENT n nn n nn
MISYEARSSTATEMENTS n nn n nn
Mete
OOOOO telhlreleeds nhlide
DATE
08/16
15.00 ATM SURCHARGE REBATE
08/16
0.45 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
08/08
995375
10.00
OTHER DEBITS
DATE
07/17
49.99 ACH DEBIT
07/23
234.81 ACH DEBIT
NATIONAL GRID
ONLI
07/23
266.05 ACH DEBIT
COMCAST
ONLI
08/02
6,807.00 USAA FUNDS TRANSFER
TO Scott Borgerson
CHECKING
#2621, C
08/05
503.00 ATM DB NONLOCAL
CAPE ANN SAVING17 BEAC
08/09
503.00 ATM DB NONLOCAL
BANK OF AMERICA*MANCHE
08/12
603.00 ATM DB NONLOCAL
BANK OF AMERICA*MANCHE
08/13
103.00 ATM DB NONLOCAL
BANK OF AMERICA*MANCHE
08/13
503.00 ATM DB NONLOCAL
BANK OF AMERICA*MANCHE
10204
9352B-0814_05
BMIFRT
EFTA_00120858
EFTA01266537
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CHECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010205
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA_00 I 20859
EFTA01266538
USAA
FEDERAL
SAVINGS
USW
BANK
PAGE
2
SCOTT BORGERSON
0
16
ACOOUNTNUWER
ACCOUNT TYPE
ACCOUNT BALANCE
DATE
SUMMARY
BALANCE
DATE
BALANCE
07/16
57,611.84
08/08
49,740.99
07/17
57,561.85
08/09
49,237.99
07/23
57,060.99
08/12
48,634.99
08/02
50,253.99
08/13
48,028.99
08/05
49,750.99
08/16
48,044.44
07/16/19 - 08/16/19
31 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
2.80.
FDIC
INSURED
SDNY_GM_00010206
105846.0814_06
BA1F131A
EFTA ((1120860
EFTA01266539
Check: 995375
Amount:10.00
SONY_GM_000 10207
EFTA_00120861
EFTA01266540
USAA
Rorti FEDERAL
SAVINGS
USAA BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUNT NUVEER
ACCOUNTTYPE
06/16/19 • 09/17/19
BALANCE
LAST STATEMENT
EBO OF
D N ITS
PAID
TOTAL AMOUNT
OF DEBITS PAID
NO. OF
DEP
TOTAL AMOUM
SERVICE
0-1ARGF_S
BALANCE THIS
STATEMENT
98,094.49
11
32,779.07
1
0.21
.00
15,265.58
• 00000 omen enteelaiely en, toping
I II ee ts ..... ••• melon CO dm. the eee•vt“ •
TOTAL
TOTAL
OVERDRAFT
FEES (OD)
THIS STATEMENT n nn n nn
THIS YEARS STATEMENTS n nn n nn mete
..... $01./191•••• wade It US
u
t.
DATE
09/17
0.21 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
09/06
995380
10.00
OTHER DEBITS
DATE
08/19
49.99 ACH DEBIT
08/21
11,555.90 USAA CREDIT CARD PMT
08/22
102.86 ACH DEBIT
EVERSOURCE
ONLI
08/22
139.46 ACH DEBIT
COMCAST
ONLI
08/22
266.05 ACH DEBIT
COMCAST
ONLI
08/22
280.11 ACH DEBIT
NATIONAL GRID
ONLI
08/26
13,470.00 USAA FUNDS TRANSFER D
TO Scott Borgerson
CHECKING
#2621, C
09/03
6,807.00 USAA FUNDS TRANSFER D
TO Scott Borgerson
CHECKING
#2621, C
09/06
47.71 ACH DEBIT
EVERSOURCE
ONLI
1739
4POS
[repeated 4 times]
8PdgMIY_GM_00010208
93526-0811_05
BMIFRT
EFTA 00120862
EFTA01266541
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CHECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010209
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA 00120863
EFTA01266542
USAA
FEDERAL
SAVINGS
USW
BANK
PAGE
2
SCOTT BORGERSON
0
16
ACOOUNTNUWER
ACCOUNT TYPE
08/16/19 - 09/17/19
OTHER DEBITS
DATE
09/17
49.99 ACH DEBIT
091719
***********1739
DATE
BALANCE
DATE
BALANCE
08/16
48,044.44
08/26
22,180.07
08/19
47,994.45
09/03
15,373.07
08/21
36,438.55
09/06
15,315.36
08/22
35,650.07
09/17
15,265.58
*
[repeated 4 times]
32 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
3.01.
FDIC
INSURED
SDNY_GM_00010210
105846.0814_06
BAWRIA
EFTA 00120864
EFTA01266543
Amount:10.00
SDNY_GM_00010211
EFTA_00120865
EFTA01266544
WI
USAA
FEDERAL
SAVINGS
USAA° BANK
PAGE
1
SCOTT BORGERSON
0
16
ACCOUNTNUVEER
ACCOUNTTYPE
09/17/19 • 10/17/19
BALANCE
LAST STATEMENT
HOOF
ITS
DEB
PAID
TOULAMOUNT
OF DEBITS PAID
NO.OF
CEP
TOTALAMOUNT
SERVICE
GORGES
BALANCE THIS
STATEMENT
15,265.58
9
17,027.58
3
10,017.02
.00
8,255.02
• 00000 ••••••••
•••••••• 110ly •Adi inerl
I
•0.0e
• 0
00 cloys. IM *tenon
•
•• vont ....
• a•uptvil
TOTAL
FFES
TOTAL
OVERDRAFT (OD)
FEES
'MISSTATEMENT n nn n °D—
MUS YEARS STATEMENTS n nn n.00
File oli. .....
rye.
to VID.• nel ...
ISO Willpf, ea MIS
DATE
10/02
10,000.00 USAA FUNDS TRANSFER CR
FROM Scott G Borgerson
CHECKING
#4636, CONF#
10/04
16.90 DEPOSIT 0 MOBILE
10/17
0.12 INTEREST PAID
CHECKS
DATE..CHECK NO
AMOUNT
DATE..CHECK NO
AMOUNT
10/09
995385
10.00
OTHER DEBITS
DATE
09/23
2,452.91 USAA CREDIT CARD PMT
09/24
CREDIT CARD ENDING IN 5034
113.34 ACH DEBIT
09/24
COMCAST
ONLI
266.05 ACH DEBIT
**4POS
09/24
COMCAST
ONLI
288.65 ACH DEBIT
•*4POS
10/02
NATIONAL GRID
ONLI
6,807.00 USAA FUNDS TRANSFER D
•*4POS
10/15
TO Scott Borgerson
CHECKING
#2621, C
2,108.35 USAA INSURANCE PAYMEN
10/17
4,931.29 USAA CREDIT CARD PMT
10/17
49.99 ACH DEBIT
*170DNY_GM_00010212
FDIC
INSURED
93526-0814 OS
BPAIFRT
EFTA 00120866
EFTA01266545
10750 McDermott Freeway
San Antonio. TX 782880544
800.531-8722
PLEASE EXAMINE THIS STATEMENT AT ONCE. IF NO ERROR IS REPORTED IN 60 DAYS. THIS STATEMENT WILL BE CONSIDERED
In Case of Errors or Questions About Your Electronic Transfers. Telephone us or Write us at the address and number
listed at the top of this page as soon as you can. if you think your statement or receipt is wrong or if you need more
information about a transfer 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 (if any).
•
Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe
it is an error or why you need more information.
Tell us the dollar amount of the suspected error.
We will investigate your complaint and will 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 the use of the money during the time it takes us to
complete our investigation.
(Those written which have not been charged to your account)
CI-IECK#
AMOUNT
TOTAL
$
BANK BALANCE
(1) BALANCE THIS STATEMENT
(SHOWN ON FRONT PAGE)
(2) ADD DEPOSITS NOT SHOWN ON
(3) SUBTOTAL
(4) SUBTRACT TOTAL OF CHECKS
(5) ADJUSTED BANK BALANCE
S
[repeated 3 times]
YOUR BALANCE
(6) CHECK REGISTER BALANCE
(7) ADD CREDITS WHICH APPEAR
(8) ADD INTEREST CREDITED TO
(9) SUBTRACT OTHER CHARGES
(IF ANY)
(10) ADJUSTED CHECK REGISTER
BALANCE
• Be sure to record in your check register.
S
S
Line 5 and Line 10 should now agree. If not, check the following Items In your register:
-Are all deposits accounted for?
-Are all amounts entered correctly?
-Are all automatic transactions accounted for?
-Are all additions and subtractions accurate?
FDIC
SONY GM 00010213
INSURED
TERMS AND CONDITIONS: All transactions are subject to the USAA Federal Savings Bank Depository Agreement.
I26406'0714
SINIBCK
EFTA 00120867
EFTA01266546
USAA
FEDERAL
SAVINGS
USM BANK
PAGE
2
SCOTT BORGERSON
0
16
ACOOUNTNUWER
ACCOUNT TYPE
ACCOUNT BALANCE
DATE
SUMMARY
BALANCE
DATE
BALANCE
09/17
15,265.58
10/04
15,354.53
09/23
12,812.67
10/09
15,344.53
09/24
12,144.63
10/15
13,236.18
10/02
15,337.63
10/17
8,255.02
%, *
09/17/19 - 10/17/19
30 DAYS FOR AN ANNUAL PERCENTAGE YIELD EARNED OF 0.01%. THIS
3.13.
FDIC
INSURED
SDNY_GM_00010214
105846.0814_06
B81FRIA
EFTA_00 II 20868
EFTA01266547