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EFTA01280370.pdf

set10 Interestingness: 4/10 Original PDF ↗

AI Summary

A Fifth Third Bank business checking account statement for June 2014 showing deposits totaling $11,743.91 through mobile check deposits and an ending balance of $13,610.75. This appears to be a routine bank statement with standard transactions and fees. [Rating: 4/10 - Standard bank statement with routine transactions, though the mobile deposits show some business activity during the relevant time period]

Flags

financial_transactions

Extracted Entities

Name Type Context
Fifth Third Bank organization Bank providing business checking account services
Helene Tolentino person Relationship Manager at Fifth Third Bank

Full Text

Statement Period Date: 6/1/2014 - 6/30/2014
Account Type: 5/3 Bus Standard Ckg
FIFTH THIRD BANK Account Number: 7433812281
(SOUTH HARID.10
P.O. DUX 6311900 CINOCDUal OH 4526341900 Relationship Manager Name: Helene Tolentino
MIN Phone
0 Business Banking Support
432
Acanmt Sumniary -
06/01 Beginning Balance $1,932.22 Number of Days in Period 30
Checks
4 Withdrawals / Debits $(65.38)
4 Deposits / Credits $11.743.91
06/30 Ending Balance $13,610.75
Analysis Period: 05/01/14 - 05/31/14
Standard %lonthly Scnicc Charge $11.00
Standard Monthly Service Charge Waived (see below) -$11.00
DEPOSIT ADMINISTRATION FEE $3.88
INFO REPORTING $30.00
MISCELLANEOUS $30.00
Service Charge withdrawn on 06/11/14 $63.88
Standard Monthly Service Charge waived if: Current Relationship Overview:
Your business maintains a total monthly average Balance Criteria Met? Yes
balance of 53.500 across its business checking. savings. Total Combined Monthly Average Balance S9I.508.77
and certificate of deposit accounts.
OR your business spends at least $500 per month on Other Criteria Met? No
its business credit card. $500 Business Credit Card Spend? No
Withdrawals / Debits 4 items totaling $65.38
Date Amount Description
06/04 0.50 MOBILE DEPOSIT FEE
06/11 63.88 SERVICE CHARGE
06/12 0.50 MOBILE DEPOSIT FEE
06/13 0.50 MOBILE DEPOSIT FEE
Deposits / Credits 4 items totaling $11,743.91
Date Amount Description
06/04 550.38 MOBILE CHECK DEPOSIT
06/12 4.400.18 MOBILE. CHECK DEPOSIT
06/13 6.789.47 MOBILE CHECK DEPOSIT
06/20 3.88 SERVICE CHARGE REVERSED
Daily Balance Summary
Date Amount Date Amount Date Amount
06/04 2.482.10 06/12 6.817.90 06/20 13.610.75
06/11 2,418.22 06/13 13.60627
IctirtA SDNY_GM 00033483
For additional enerNifit .tnibusinessbanking Page 1 of 2
EFTA_00144096
EFTA01280370

CONFIDENTIAL
EFTA,141097
EFTA01280371