Summary of Accounts: Accounts Account Number Balance Ytd Div

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The statement provides details of the member's regular savings and share draft checking accounts for the period of 02-01-2021 to 02-28-2021.

The member has a regular savings account and a share draft checking account.

Several deposits and withdrawals are listed, including POS (point of sale) transactions, transfers between accounts, deposits, and payments such as car insurance.

ABA Routing Number: 221475786

Member Name: KATHERINE L FAKHRO


Member Number: *****3
Statement Period: 02-01-2021 - 02-28-2021
Page Number: Page 1 of 4

KATHERINE L FAKHRO
VICTORIA C PAGANO
JAMES PAGANO
128 PARK RD
RIVERHEAD NY 11901

SUMMARY OF ACCOUNTS
ACCOUNTS ACCOUNT NUMBER BALANCE YTD DIV
Regular Savings 1761331010 $2.00 $0.00
Share Draft Checking 12610001761333 $508.57 $0.00
TOTAL ACCOUNTS $510.57 $0.00

LOANS ACCOUNT NUMBER BALANCE YTD Interest


TOTAL LOANS $0.00

DETAIL OF TRANSACTIONS
Regular Savings: 1761331010
------- ACCOUNT ACTIVITY BY DATE -------
Effect Trans
Date Date Description Amount Balance
02/01/21 Beginning Balance 3.00
02/03 02/03/21 Uncollected Protection W/D -2.00 1.00
02/03 02/03/21 UC Protection Transfer Fee -8.00 -7.00
02/05 02/05/21 Deposit Internet Transfer from 12610001761333 CK 9.00 2.00
02/28/21 Ending Balance 2.00
The average daily balance during this period was $1.93
Share Draft Checking: 12610001761333
------- ACCOUNT ACTIVITY BY DATE -------
Effect Trans
Date Date Description Amount Balance
02/01/21 Beginning Balance 25.10
02/01 02/01/21 POS STARBUCKS STORE 078MILLER PLACE NYUS -4.83 20.27
02/01 02/01/21 POS STARBUCKS STORE 078MILLER PLACE NYUS -5.16 15.11
02/03 02/03/21 Uncollected Protection Deposit 2.00 17.11
02/04 02/04/21 POS THE DELI AT WADING WADING RIVER NYUS -13.74 3.37
02/05 02/05/21 Deposit Internet Transfer from 12610001100167 CK 200.00 203.37
02/05 02/05/21 POS STUDIO EAST INC WEST HAMPTON NYUS -3.37 200.00
02/05 02/05/21 Withdrawal Internet Transfer to 1761331010 SAV -9.00 191.00
02/06 02/06/21 POS CVS/PHARMACY #06 6026--1110 OLD COU RIVERHEAD NYUS -12.00 179.00
02/06 02/06/21 POS BEAN & BAGEL CAFE CALVERTON NYUS -8.54 170.46
02/07 02/07/21 POS STUDIO EAST INC WEST HAMPTON NYUS -143.69 26.77
02/07 02/07/21 Deposit Internet Transfer from 12610001100167 CK 70.00 96.77

P.O. Box 9005 • Smithtown, NY 11787-9005 • Phone: 631-698-7000 • www.teachersfcu.org


3105130
ALL ACCOUNTS, EXCEPT SHARE DRAFT ACCOUNTS, ARE NOT TRANSFERABLE AS DEFINED IN REGULATION D.
.
Member Name: KATHERINE L FAKHRO
Member Number: *****3
Statement Period: 02-01-2021 - 02-28-2021
Page Number: 2 of 4

Share Draft Checking: 12610001761333


------- ACCOUNT ACTIVITY BY DATE -------
Effect Trans
Date Date Description Amount Balance
02/09 02/09/21 POS DOMO SUSHI EAST SETAUKET NYUS -36.88 59.89
02/09 02/09/21 Deposit Internet Transfer from 12610001100167 CK 400.00 459.89
02/10 02/10/21 POS ESURANCE CAR INSURA800-378-7262 CAUS -406.69 53.20
02/11 02/11/21 POS MCDONALD'S F2781 RIVERHEAD NYUS -20.36 32.84
02/16 02/16/21 Deposit Internet Transfer from 12610001100167 CK 100.00 132.84
02/17 02/17/21 POS ISLAND GROVE PACKINVERO BEACH FLUS -68.85 63.99
02/19 02/19/21 POS ISLAND GROVE PACKINVERO BEACH FLUS -7.63 56.36
02/21 02/21/21 POS Canteen Vend1 1800CHUNT VALLEY MDUS -1.75 54.61
02/21 02/21/21 POS Canteen Vend1 1800CHUNT VALLEY MDUS -1.75 52.86
02/21 02/21/21 POS Canteen Vend1 1800CHUNT VALLEY MDUS -1.75 51.11
02/21 02/21/21 Deposit Internet Transfer from 12610001100167 CK 50.00 101.11
02/26 02/26/21 ATM Deposit TEACHERS FCU 176 Old Country Rd Riverhead NYUS 107.75 208.86
02/26 02/26/21 POS CVS/PHARMACY #06 6026--1110 OLD COU RIVERHEAD NYUS -100.00 108.86
02/26 02/26/21 Electronic Deposit Square Inc T1097980 - * Cash App T200346190895 603.01 711.87
02/28 02/28/21 POS CASH APP*KATHERINE 8774174551 CAUS -40.00 671.87
02/28 02/28/21 Point Of Sale Deposit Cash App*Cash Out Visa Direct CAUS 39.40 711.27
02/28 02/28/21 POS ESURANCE CAR INSURA800-378-7262 CAUS -202.70 508.57
02/28/21 Ending Balance 508.57
The average daily balance during this period was $146.23

Summary of Overdraft and Returned Item Fees


Total For Total
This Period Year-to-Date
Total Overdraft Fees 0.00 0.00
Total Returned Item Fees 0.00 0.00

P.O. Box 9005 • Smithtown, NY 11787-9005 • Phone: 631-698-7000 • www.teachersfcu.org


3105130
ALL ACCOUNTS, EXCEPT SHARE DRAFT ACCOUNTS, ARE NOT TRANSFERABLE AS DEFINED IN REGULATION D.
.
EXPLANATION OF INTEREST CHARGE ON OPEN-END ACCOUNTS

The INTEREST CHARGE on each open-end account shown on this statement is computed by multiplying the daily periodic rate by the daily balance of that account on each day of the billing cycle.
The daily balance is determined as follows: For each day of the billing cycle we take the balance of the account for the previous day, add any new loans and charges, and subtract any credits and
payments made on that day. INTEREST CHARGES are also subtracted until you make a payment. This gives us the daily balance of your account for that day. The billing cycle is the time between
each statement, which will be approximately one month.

IN CASE OF ERRORS OR QUESTIONS ABOUT LOANS ON YOUR STATEMENT


If you think your statement is wrong, or if you need more information about a transaction on your statement, write us on a separate sheet of paper at the address shown on your statement as soon as
possible. We must hear from you no later than 60 days after we sent you the first statement on which the error or problem appeared. You can telephone us, but doing so will not preserve your rights.

In your letter, give us the following information:


• Your name and account number.
• The dollar amount of the suspected error.
• Describe the error and explain, if you can, why you believe there is an error. If you need more information, describe the item you are unsure about.

You do not have to pay any amount in question while we are investigating, but you are still obligated to pay the parts of your statement that are not in question. While we investigate your question, we
cannot report you as delinquent or take any action to collect the amount in question.

IN CASE OF ERRORS OR QUESTIONS ABOUT YOUR ELECTRONIC FUND TRANSFERS (EFT)


Telephone us or write us at the phone number or address on your statement as soon as you can if you think your statement or automated teller machine receipt is wrong or if you need more information
about a receipt or an EFT transaction on the statement. We must hear from you no later than 60 days after we sent you the FIRST statement on which the error or problem appeared.

1. Tell us your name and account number.


2. Describe the error or transfer you are unsure about, and explain as clearly as you can why you believe there is an error or why you need more information.
3. Tell us the dollar amount of the suspected error.

We will determine whether an error occurred within 10 business days (20 business days if the transfer involved a new account) after we hear from you and will correct any error promptly. If we need
more time, however, we may take up to 45 days (90 days if the transfer involved a new account, a point-of-sale transaction, or a foreign-initiated transfer) to investigate your complaint or question.
If we decide to do this, we will credit your account within 10 business days (20 business days if the transfer involved a new account) for the amount you think is in error, so that you will have use of
the money during the time it takes us to complete our investigation. If we ask you to put your complaint or question in writing and we do not receive it within 10 business days, we may not credit your
account. Your account is considered a new account for the first 30 days after the first deposit is made, unless each of you already had an established account with us before this account was opened.
We will tell you the results within three business days after completing our investigation. If we decide that there was no error, we will send you a written explanation. You may ask for copies of documents
that we used in our investigation.

50TN00
SHARE DRAFT RECONCILIATION
List Outstanding Checks and Withdrawals
ENDING BALANCE SHOWN ON THIS STATEMENT Ck. No. Amount Ck. No. Amount

PLUS DEPOSITS NOT SHOWN ON THIS STATEMENT

SUB-TOTAL

LESS TOTAL OUTSTANDING DRAFTS

EQUALS ADJUSTED ENDING BALANCE

ADJUSTED ENDING BALANCE SHOWN ABOVE SHOULD AGREE WITH THE


BALANCE SHOWN IN YOUR SHARE DRAFT BOOK.

NOTE: BE SURE TO DEDUCT ANY CHARGES, FEES OR WITHDRAWALS SHOWN


ON YOUR STATEMENT (BUT NOT IN YOUR SHARE DRAFT BOOK) THAT MAY
APPLY TO YOUR ACCOUNT. ALSO, BE SURE TO ADD ANY DIVIDENDS OR ANY
DEPOSITS SHOWN ON YOUR STATEMENT (BUT NOT IN YOUR SHARE DRAFT
BOOK) THAT APPLY TO YOUR ACCOUNT.
Total

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