OESCA Financials
OESCA
10:09 AM
Reconciliation Detail 10110 ยท Chase - Operating, Period Ending 10/31/2014
11/03/14
Type
Date
Num
Name
Clr
Amount
Balance
Beginning Balance
151,123.47
Cleared Transactions Checks and Payments - 18 items
Bill Pmt -Check 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 Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal General Journal Bill Pmt -Check General Journal General Journal General Journal General Journal General Journal General Journal General Journal General Journal General Journal General Journal
9/26/2014 9/26/2014 9/29/2014 10/9/2014 10/9/2014
2840 Cardmember Service X
-667.76 -318.55 -555.00
-667.76 -986.31
2838 Ford Credit
X X X X X X X X X X X X X X X X X X X X X X X
2841 Capital Square Revi... 2843 Nationwide Insuran... 2844 Niles Lankford Grou...
-1,541.31 -4,227.31 -4,717.31 -7,763.43 -8,337.03 -15,097.01 -18,250.62 -18,307.01 -18,625.56 -20,441.06 -20,497.45 -27,264.16 -29,823.47 -30,538.39 -105,538.39 -109,405.43 -109,405.43 2,461.34 20,572.34 25,644.34 36,986.34 38,486.34 59,711.34 59,797.30 60,477.30 60,477.30
-2,686.00
-490.00
10/14/2014 2846 Cerium Group 10/14/2014 2847 E-Roots Consulting
-3,046.12
-573.60
10/15/2014 71 10/15/2014 72
Payroll
-6,759.98 -3,153.61
Payroll Impounding
10/15/2014 9141...
Hr Butler
-56.39 -318.55
10/20/2014 2848 Ford Credit
10/27/2014 2850 Stark County Schools X
-1,815.50
10/27/2014 9141...
Hr Butler
-56.39
10/30/2014 76 10/30/2014 77 10/31/2014 81 10/31/2014 80
Payroll
-6,766.71 -2,559.31
Payroll Impounding
10/30/2014 2854 Cardmember Service X
-714.92
Transfer
-75,000.00 -3,867.04 -109,405.43 2,461.34 18,111.00 5,072.00 11,342.00 1,500.00 21,225.00
Fiscal Agent Fee
Total Checks and Payments
Deposits and Credits - 8 items
10/6/2014 10/7/2014
70 73
10/14/2014 75 10/15/2014 74 10/17/2014 78 10/29/2014 79 10/31/2014 83 10/31/2014 82
85.96
680.00
Total Deposits and Credits
60,477.30
Total Cleared Transactions
-48,928.13
-48,928.13
Cleared Balance
-48,928.13
102,195.34
Uncleared Transactions Checks and Payments - 6 items
Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check
10/8/2014
2842 Charles Schwab & ...
-60.32
-60.32
10/13/2014 2845 Charles Schwab & ... 10/27/2014 2853 DoubleTree Hotel C... 10/27/2014 2852 McGown & Markling... 10/27/2014 2849 Cerium Group 10/30/2014 2851 Charles Schwab & ...
-1,265.41 -28,236.07 -4,230.00
-1,325.73 -29,561.80 -33,791.80 -34,229.15 -34,268.81 -34,268.81
-437.35 -39.66
Total Checks and Payments
-34,268.81
Total Uncleared Transactions
-34,268.81
-34,268.81
Register Balance as of 10/31/2014
-83,196.94
67,926.53
Ending Balance
-83,196.94
67,926.53
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