← Back to Browse

EFTA01280685.pdf

set10 Interestingness: 6/10 Original PDF ↗

AI Summary

A Fifth Third Bank business checking account statement for REQUIRO TERRA LLC covering November 2016, showing significant financial activity including multiple large wire transfers totaling over $52,000 and deposits of $271,000. The account shows substantial cash flows with the balance increasing from $4,811 to $221,797 during the month. [Rating: 6/10 - Shows significant financial activity through a business entity with large wire transfers and deposits, potentially relevant to tracking financial flows in the case]

Flags

financial_transactions

Extracted Entities

Name Type Context
Thomasville NC location Business address for REQUIRO TERRA LLC
Fifth Third Bank organization Financial institution providing banking services
REQUIRO TERRA LLC organization Account holder for the business checking account
Cesar Taverns person Relationship manager for the account

Full Text

Statement Period Date: 11/1/2016 - I I/30/20I6
Account Type: 5/3 Bus Standard Ckg
FIFTH THIRD BANK Account Number:
(SOUTH FLORIDA)
P.O. MIX 63(19W CINCINNATI OH 45263-1W00
Relationship Manager Name: Cesar Taverns
REQUIRO TERRA LLC 0 Phone:
27 HIGH TECH BLVD
Business Banking Support:
THOMASVILLE NC 27360-5560
504
11/01 Beginning Balance $4,811.78 Number of Days in Period 30
I Checks $(1.841.25)
8 Withdrawals / Debits 5(52.173.29)
3 Deposits / Credits 5271.000.00
11/30 Ending Balance $221,797.24
Analysis Period: 10/01/16 - 10/31/16
Standard Monthly Service Charge 511.00
Standard Monthly Service Charge Waived (see below) -$11.00
NEGATIVE. COLLECTED FEE 9 $18.00
Service Charge withdrawn on 11/10/16 $18.00
9Collected balance is the cash balance mums checks drawn on other banks deposited in the last 2-5 days. Negative collected balance occurs when you draw upon those funds
before the deposited checks are cleared.
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 $7,857.52
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 $1,841.25
• Indicates gap in check sequence i = Electronic Image s = Substitute (beck
Number Date Paid Amount
1278 i 11/17 1.841.25
Withdrawals / Debits 8 items totaling $52,173.29
Date Amount Desert don
11/01 2,209.86 5/3 MORTGAGE LN PAID BY AUTO BILLPAYER
11/10 3.717.28 OUTGOING WIRE TRANS
11/10 18.00 SERVICE. CHARGE
11/15 469.72 Ratcliffe Condo HOLD:
11/22 5.640.01 OUTGOING WIRE TRANS
11/30 3.099.45 OUTGOING WIRE TRANS
11/30 11.091.89 OUTGOING WIRE TRANS
11/30 25.927.08 OUTGOING WIRE TRANS
SDNY_GM_00034021
For additional Page 1 of 2
(atf jil t r D IEN IrtA 'L b° "ssban king
EFTA_00144634
EFTA01280685

FIFTH THIRD BANK
Deposits / Credits 3 items totaling $271.000.00
Date Amount Description
11/09 10.000.00 5/3 ONLINE TRANSFER FROM CC:
11/29 1.000.00 MOBILE DEPOSIT
11/30 260,000.00 5/3 ONLINE TRANSFER FROM CC:
Daily Balance Summary
Date Amount Date Amount Date Amount
11/01 2.601.92 11/15 8,396.92 11/29 1,915.66
11/09 12.601.92 11/17 6,555.67 11/30 221.797.24
11/10 8.866.64 11/22 915.66
CaliFIDENTIAL SDNY_GM_00034022
Page 2 of 2
EFTA_00144635
EFTA01280686