OESCA Financials
OESCA
1:12 PM
Reconciliation Detail 10110 ยท Chase - Operating, Period Ending 11/30/2016
12/01/16
Type
Date
Num
Name
Clr
Amount
Balance
Beginning Balance
71,940.90
Cleared Transactions Checks and Payments - 17 items
Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal General Journal Bill Pmt -Check General Journal Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal General Journal General Journal General Journal
8/29/2016
3144 OESCA
X X X X X X X X X X X X X X
-17,368.72
-17,368.72 -17,798.72 -18,116.63 -18,211.45 -20,120.74 -22,123.21 -27,658.92 -29,916.96 -30,931.76 -30,979.91 -32,154.38 -32,498.38 -32,816.29 -34,677.95 -40,816.27 -43,489.44 -43,537.59 -43,537.59 2,660.00 20,028.72 21,384.80 26,174.80 26,174.80
10/19/2016 3159 AESA 10/28/2016 3160 Ford Credit 10/28/2016 3161 Burge, Donna
-430.00 -317.91 -94.82
10/31/2016 3163 Stark County Schools X
-1,909.29 -2,002.47 -5,535.71 -2,258.04 -1,014.80
11/7/2016
3164 Stark County Schools X
11/15/2016 287 11/15/2016 283
Payroll
Payroll Impounding
11/15/2016 3165 Capial Awards, Inc
11/15/2016 285 11/22/2016 9161...
-48.15
Cardmember Service X
-1,174.47
11/22/2016 3167 Associated Photogr...
-344.00 -317.91
11/22/2016 3166 Ford Credit
11/28/2016 289 11/30/2016 287 11/30/2016 288 11/30/2016 291
Fiscal Agent Fee
-1,861.66 -6,138.32 -2,673.17
Payroll
Payroll Impounding
-48.15
Total Checks and Payments
-43,537.59
Deposits and Credits - 4 items
General Journal General Journal General Journal General Journal
11/10/2016 284 11/17/2016 286 11/30/2016 292 11/30/2016 290
X X X X
2,660.00 17,368.72 1,356.08 4,790.00 26,174.80
Total Deposits and Credits
Total Cleared Transactions
-17,362.79
-17,362.79
Cleared Balance
-17,362.79
54,578.11
Uncleared Transactions Checks and Payments - 4 items
General Journal Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check
4/5/2016
245
-57.87 -595.32 -40.87
-57.87 -653.19 -694.06
11/22/2016 3168 Charles Schwab & ... 11/22/2016 3169 Charles Schwab & ... 11/30/2016 3170 Hilton Columbus Do...
-6,596.47 -7,290.53
-7,290.53 -7,290.53
Total Checks and Payments
Total Uncleared Transactions
-7,290.53
-7,290.53
Register Balance as of 11/30/2016
-24,653.32
47,287.58
Ending Balance
-24,653.32
47,287.58
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