PDF Document
PDF Document
Account Number:
P.O. Box 1800
1 575 2058 5538
Saint Paul, Minnesota 55101-0800 Statement Period:
7302 TRN S X ST01 Apr 14, 2020
through
May 13, 2020
Page 1 of 5
Deposits / Credits
Date Description of Transaction Ref Number Amount
Apr 15 Electronic Deposit From IRS TREAS 310 $ 1,700.00
REF=201040081550430N00 TAX REF 9111736085
Apr 29 Visa Direct VENMO*Carnal Sar 1304281712 990.00
May 1 Deposit 9255172268 200.00
Total Deposits / Credits $ 2,890.00
Card Withdrawals
Date Description of Transaction Ref Number Amount
Apr 20 Fee ATM Withdrawal At Other Network 2000003724 $ 2.50-
Apr 22 Fee ATM Withdrawal At Other Network 2200001172 2.50-
Apr 23 Fee ATM Withdrawal At Other Network 2300001071 2.50-
Card Number: xxxx-xxxx-xxxx-8155
Date Description of Transaction Ref Number Amount
Apr 14 Debit Purchase - VISA On 041220 IRVINE CA 4036009302 $ 109.15-
DOUBLETREE IRVIN REF # 24761970104036009302045
Apr 15 Debit Purchase - VISA On 041520 WWW.DOORDASH CA 6637021790 28.33-
DOORDASH*EPIC WI REF # 24492150106637021790753
Apr 15 Debit Purchase - VISA On 041520 STRIPE.COM CA 6637021625 33.17-
DOORDASH*BEVMO] REF # 24492150106637021625405
Apr 16 Debit Purchase ROYAL LIQUOR OF VISTA CA 9.67-
010245 On 041620 MAESTERM REF 010245
Apr 16 ATM Withdrawal 470 NORTH MELROS VISTA CA 60.00-
Serial No. 009634164312ACMPTERM
Apr 16 Debit Purchase ROYAL LIQUOR OF VISTA CA 68.00-
041024 On 041520 MAESTERM REF 041024
Apr 17 Debit Purchase - VISA On 041620 Amzn.com/bil WA 7100260233 6.12-
AMZN Mktp US*SJ0 REF # 24692160107100260233080
Apr 17 Debit Purchase 7-ELEVEN VISTA CA 7.58-
852156 On 041620 MAESTERM REF 852156
Apr 17 Debit Purchase - VISA On 041620 Amzn.com/bil WA 7100193210 9.60-
AMZN Mktp US*J63 REF # 24692160107100193210726
Apr 17 Debit Purchase - VISA On 041720 Amzn.com/bil WA 8100499327 29.22-
AMZN Mktp US*T63 REF # 24692160108100499327025
Apr 17 Debit Purchase CHEVRON/WESTERN VISTA CA 0404161857 29.34-
136804 On 041620 ILNKILNK REF 010719136804
BALANCE YOUR ACCOUNT
To keep track of all your transactions, you should balance your account every month. Please
examine this statement immediately. We will assume that the balance and transactions shown are
correct unless you notify us of an error.
Outstanding Deposits
DATE AMOUNT 1. List any deposits that do not appear on your statement in the Outstanding Deposits section at
the left. Record the total.
2. Check off in your checkbook register all checks, withdrawals (including Debit Card and ATM)
and automatic payments that appear on your statement. Withdrawals that are NOT checked off
TOTAL $ should be recorded in the Outstanding Withdrawals section at the left. Record the total.
3. Enter the ending balance shown on this statement. $_____________
Outstanding Withdrawals
DATE AMOUNT 4. Enter the total deposits recorded in the Outstanding Deposits section. $_____________
5. Total lines 3 and 4. $_____________
6. Enter the total withdrawals recorded in the Outstanding Withdrawals section. $_____________
7. Subtract line 6 from line 5. This is your balance. $_____________
8. Enter in your register and subtract from your register balance any checks, withdrawals or other
debits (including fees, if any) that appear on your statement but have not been recorded in your
register.
9. Enter in your register and add to your register balance any deposits or other credits (including
interest, if any) that appear in your statement but have not been recorded in your register.
10. The balance in your register should be the same as the balance shown in #7. If it does not
match, review and check all figures used, and check the addition and subtraction in your register.
If necessary, review and balance your statement from the previous month.
TOTAL $
Member FDIC
SARAH CARNAL Uni-Statement
GREGORY RICHARD RODRIGUEZ Account Number:
300 W LOS ANGELES DR APT A8
VISTA CA 92083-3141 1 575 2058 5538
Statement Period:
Apr 14, 2020
through
May 13, 2020
Page 2 of 5
Page 3 of 5
Page 4 of 5
Page 5 of 5
Other Withdrawals
Date Description of Transaction Ref Number Amount
Apr 23 ATM Fee Balance Inquiry At Other Network 2300000001 $ 2.50-
Apr 28 Electronic Withdrawal To VENMO 1,000.00-
REF=201180201003000N00 3264681992PAYMENT 3403237253
May 4 Electronic Withdrawal To VENMO 400.00-
REF=201250074230540N00 3264681992PAYMENT 3432213558
May 13 Paper Statement Fee 1300054060 2.00-
Total Other Withdrawals $ 1,404.50-
Balance Summary
Date Ending Balance Date Ending Balance Date Ending Balance
Apr 14 2,107.46 Apr 24 2,222.92 May 5 473.71
Apr 15 3,745.96 Apr 27 1,919.59 May 6 422.12
Apr 16 3,608.29 Apr 28 917.42 May 7 367.06
Apr 17 3,526.43 Apr 29 1,495.16 May 8 334.43
Apr 20 3,091.33 Apr 30 1,155.80 May 11 91.45
Apr 21 2,936.80 May 1 1,355.80 May 12 84.72
Apr 22 2,668.03 May 4 482.03 May 13 77.22
Apr 23 2,355.13
Balances only appear for days reflecting change.