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EFTA01280677.pdf
AI Summary
This is a Fifth Third Bank business checking account statement for July 2016 showing routine banking activity with a beginning balance of $30,490.54 and ending balance of $23,923.68. The statement includes mortgage payments, service charges, and standard banking transactions with no apparent connection to Jeffrey Epstein's criminal activities. [Rating: 2/10 - Standard bank statement with routine transactions showing no clear connection to Epstein case activities]
Flags
financial_transactions
Extracted Entities
| Name | Type | Context |
|---|---|---|
| Federal Trade Commission | organization | Referenced in telemarketing sales rule notice |
| Fifth Third Bank | organization | Bank providing the account statement |
| Cesar Taverns | person | Listed as the Relationship Manager for the account |
Full Text
Statement Period Date: 7/1/2016 - 7/31/2016 Account Type: 5/3 Bus Standard Ckg FIFTH THIRD BANK Account Number: (SOUTH ;LOMA) P.O. BOX 630900 CINCIMATI OH 43263419W Relationship Manager Name: Cesar Taverns Phone: Business Banking Support: 496 Account Summary - 07/01 Beginning Balance $30,490.54 Number of Days in Period 31 Checks $(150.00) 4 Withdrawals / Debits 5(6.416.86) Deposits / Credits 07/31 Ending Balance $23,923.68 Analysis Period: 06/01/16 - 06/30/16 Standard Monthly Scnicc Charge $11.00 Standard Monthly Service Charge Waived (sec below) -$11.00 MISCELLANEOUS $20.00 Service Charge withdrawn on 07/13/16 $20.00 Standard Monthly Service Charge waived if: Current Relationship Overview: Your business maintains a total monthly average Balance Criteria Met? Yes balance of $3.500 across its business checking. savings. Total Combined Monthly Average Balance $73.259.98 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 Check I check totaling $150.00 • Indwates gap 3n check sequence i = Electronic Image s = Substitute Check Number Date Paid Amount 1273i 07/19 150.00 Withdrawals / Debits 4 items totaling $6,416.86 Date Amount Description 07/01 2,209.86 MI MORTGAGE LN #XXXXX) PAID BY AUTO BILLPAYER 07/05 469.72 WEB INITIATED PAYMENT A I Condo 07/05 3,717.28 07/13 20.00 SERVICE CHARGE Daily Balance Summary Date Amount Date Amount Date Amount 07/01 28.280.68 07/13 24.073.68 07/19 23,923.68 07/05 24.093.68 SDNY_GM_00034011 For additional Page 1 of 2 etr iV it IDENTIAt b""ssbanking EFTA_00144624 EFTA01280677 FIFTH THIRD BANK AS PART OF THE FEDERAL TRADE COMMISSION'S TELEMARKETING SALES RULE. EFFECTIVE JUNE 13. 2016. CUSTOMERS ENGAGING IN TELEMARKETING ACTIVITIES ARE PROHIBITED FROM UTILIZING REMOTELY CREATED PAYMENT ORDERS (E.G. REMOTELY CREATED CHECKS), CASH-TO-CASH MONEY TRANSFERS. AND CASH RELOAD MECHANISMS. PLEASE BE AWARE OF THIS NEW PROHIBITION AND COMPLY IF YOU ENGAGE IN APPLICABLE TELEMARKETING ACTIVITIES. SDNY_GM 00034012 CONFIDENTIAL Page 2 of 2 EFTA_00144625 EFTA01280678