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Deutsche Bank
Deutsche Bank Must 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:
Amanda Kirby
August 1.2015 to August 31. 2015
6 Enclosures
Summary of Ao:ount Balance(s)
Account
Elite Checking With Interest
nti \tanks
Balance
S2.532,158.82
}kenning Balance at or August 1. 2015
51.563.578.12
Ikposits and Other Credits
S2.170 148.22
Checks Paid
(541.087.62 )
ATM and Debit Card 1Vithdrauals
50.00
&n ice Charges and Other Fees
50.00
Other Debits
1S1.160 479 90 )
Ending Balance as of August 31. 2015
S2.53Z15&82
Transaction Detail
Mae
Description
Debit
Credit
Balance
Beginning Balance as of August 1. 2015
51,563,578.12
011.04
a Outgoing Money Tmsf
(2,921.25 )
1,560,656.87
TO
0844
k Preauthorized Debit
ACH PMT AMEX EPayment
08-06
9 Outgoing Money Tmsf
TO 1ST UNITED BANK NC 130104 W. CHE
08-06
a Outgoing Money Tmsf
(70,392.23 )
1.490.264.64
(8.155.00 )
1.482.109.64
(16.083.00 )
1.466.026.64
All items are credited subject to final collection and receipt of proceed< in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company America&
of 5
SCINY_GM_ 00041981
CONFIDENTIAL - PURSUANT TO FED. R. ca. N
v(e)F IDENTIAL
DB-SDNY- 0004805
EFTA_00I 52590
EFTA01285659
Deutsche Bank El
Date
Description
08.07
q Outgoing Money Tntsf
2 TROUTMAN SANDERS L12
08-11
Check 837
7 501 18
1 457733 24
08-12
k Preauthorized Credit
Debit
Credit
Balance
(792.22 )
1.465.234.42
0.01
1.457.733.25
08-12
0 Outgoing Money Trnsf
1O WELLS FARGO BANK AC
4 BLACK SREBNICK KORNSPAN AND STUMPF
TRUST
011-12
0 Outgoing Money Tun/
(18.166.00 )
1,438,036.25
MA
RTR4G WEINBERG PC
08-13
R Incoming Money Trnsf
170000.00
1608.036.25
LC PO BOX 2092 NEW YORK NY 10013-08
08-13
k Outgoing Money Trnsf
(5,745.70 )
1.602.290.55
(1.531.00 )
1.456.202.25
CCOGNT
08-13
Cheek 838
08-14
Chedt 843
08-14
0 Transfer Of Funds
(20.000.00 )
(7,500.00 )
(50.000.00 )
1.582.290.55
1,574,790.55
1524.790.55
08.14
0 Transfer Of Funds
(200.000.00 )
1,324,790.55
08-14
M Outgoing Money Tmsf
(400,000.00 )
924790.55
ET REAL ESTATE
08-14
0 Outgoing Money Trite
(15.000.00 )
909.790.55
51 PAUL MORRIS PA OFFICE ACCOUNT
08-14
k Outgoing Money Tmsf
(2.796.58 )
906.993.97
TO ALOSTAR BANK OF COMMERCE AC •
08-14
Check 840
(5,000.00 )
08-14
Preauthorized Debit
(144,341.69 )
901,993.97
757.652.28
ACII PMT AMEX EPayment
08-14
k Preauthorized Debit
ACID PMT AMEX EPavinent
(93,093.01 )
664,559.27
08-17
Check 839
08-18
0 Preauthorized Debit
(546.49 )
664.012.78
(16.612.37 )
647.400.41
08-19
0
(4.397.58 )
643.002.83
ANTONE TICINO CHI 4200
RATE 1.04704367
All items at credited subject to final collection and receipt of proceed.; in cash a by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
of
SDNY_GM_ 00041982
CONFIDENTIAL - PURSUANT TO FED R cg
ir.o(e) FIDENTIAL
IN
DB-SDNY-0004806
EFTA_00152591
EFTA01285660
Deutsche Bank
E
l
Date
Description
Debit
08-19
# Preauthorized Debit
(56.27406 )
ACH PMT AMEX EParment
Credit
Balance
586.728.77
08-20
a Incoming Money Tmsf
2.000.000.00
2.586.728.77
ORG-N4G-024935-1 JEEPERS INC 6100 R
ED HOOK QUARTER B 3 ST THOMAS VI 00
08-20
Check 844
(339.93 )
2.586.188.82
08-24
a Outgoing Money Trnsf
(10.000.00 )
2.376.188.82
08-25
N Outgoing Money Tirol
(14,800.00 )
2.562.188.82
08-27
t Outsoms Money InS
(022.50 )
2,555,366.32
TO
08-28
N Outgoing Money Trnsf
TO 11D BANK At
(3.000.00 )
2.552.366.32
08-28
9 Prrauthonzed Debit
ACID PMT AMEX EPrement
(20.355.71 )
2.532.010.61
08-31
N Interest Payment
148.21
2.532,158.82
Ending Balance as of August 31. 2015
(1.201,367.52
52,170,148.22
82,332,138.82
Cheeks Paid
Number
Date
Amount
Number
Date
Amount
Number
Date
877
08-11
7.501.18
840
08-14
5.000.00
• Skip in check sequence
838
08-13
20.000.00
843 •
08-14
7300.00
109
08-17
546.49
844
08-20
539.95
Deposits and Other Credits
Date
Description
Amount
08-12
Preauthorized Credit
50.01
08-13
Incoming Money Tend
5170.000.00
08-20
Incoming Money Tmsf
$2,000,000.00
08-31
Interest Payment
$148.21
SCIViCe Charges and Other Fees
Total NSF return item fees for this statement period
$0.00
Total NSF return item fees for this calendar year
50.00
Total Cherdrall re. for this statement period
50.00
Taal (Wadraft lees lot fin. calendar 'car
$0.00
Other Debits
Date
Description
08-04
Outgoing Money Trust
(52.921.25 )
08.04
Preauthorized Debit
($70,392.23 )
Amount
Amount
All items are credited subject to final collection and receipt of proceeds in cash or by unconditional credit to and accepted by Deutsche Bank Trust Company Americas
3 of
SDNY_GM_00041983
CONFIDENTIAL - PURSUANT TO FED. R. cc
ir.o() IDENTIAL
DB-SDNY-0004807
j\IF
EFTA_00152592
EFTA01285661
Deutsche Bank
E
l
Date
Description
Amount
08-06
Outgoing Money Trust
(88.155.00
08-06
Outgoing Money Trust
_.)
(516,083.00 )
08-07
Outgoing Money Trust
(5792.22 )
08-12
Outgoing Money Tmsf
(51.531.00 )
08-12
Outgoing Money Trust
(S18-166.00 )
08-13
Outgoing Money Tmsf
(55.745.70 )
08-14
Transfer Of Funds
(550.000.00 )
08-14
Transfer Of Funds
($200000.00 )
08-14
Outgoing Money Tmsf
(5400000.00 )
0844
Outgoing Monet Tried'
(515,000.00 )
0844
Outgoing Monet Inv:
(87,796.58 )
08.14
Preauthorized Debit
($144,341.69 )
08-14
Preauthorized Debit
(893.093.01 )
08-18
Preauthorized Debit
(516.612.37 )
08-19
($4397.58 )
08-19
Preauthorized Debit
(556.274.06 )
08-24
Outgoing Money Tnts1
(510.000.00 )
08-25
Outgoing Ni0110' IMCI
(814.000.00 )
08-27
Outgoing Money Trait
(56.822.50 )
08-28
Outgoing Money Ernst
(53.000.00)
08-28
Preauthorized Debit
(820.355.71 )
Interest Calculation
Annual Percentage Yield Earned
0.10%
Interest Famed This Period
$148.21
Interest Paid Year To Date
$1,258.85
DI items ale credited subject h' final collection and receipt of proceeds in cash or by unconditional credit w and accepted by Deutsche Bank Trust Company Americas
of A
SDNY_GM_00041984
NFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R c9r.u(e)
DB-SDNY-0004808
EFTA_00152593
EFTA01285662
Deutsche Bank
E
l
In Case of &ton or Questions
I. Electronic Funds Transfers
Telephone us at S
or write to us at Deutsche Bank Trust Company Americas. 345 Park Avenue. WN1 Banking Team -
NYC20-0102. New York. Na. York 10154 as soca as you can if sou 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 erne or 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 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 mourn you think is in error. so that you will have the use of the
money during the time it takes us to complete ow investigation. Al the conclusion of our invatigation we will inform you of our results.
2. Non•tilectronic Funds Transfers
Contact the Bank immediately at
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 such error appears. sou must notify the Bank in writing no later than
30 days after the statement was made available to you. Please see sow Tams and Conditions for further infonnation on the terms
governing your account.
3. Verifying Theauthorinal Credits
If you have arranged to have direct deposits made to your account at least once every 60 days from the same person or company, you
can telephone us at
to find out whether the deposit has been made.
SDNY_GM_ 00041985
CONFIDENTIAL - PURSUANT TO FED. R cgir.o(e) N
DB-SDNY-0004809
FIDENTIAL
EFTA_00152594
EFTA01285663