Epstein Files

EFTA00522170.pdf

dataset_9 pdf 340.6 KB Feb 3, 2026 7 pages
Deutsche Bank Account Deposits Transactions From January 02, 2017 To March 07.2018 Wealth Management AND Product Type Value Date Market Value NOW and SuperNOW 03107/2018 50.171 92) US Deposits Base Currency USD Accounts Deutsche Bank Trust Company Americas Transaction Activity from 01/02/2017 - 03/07/2018 Transaction Type Transaction Date Description To/From Funds Added (USD) Funds Subtracted (USD) Deposits/Other Credits 02128/2018 INTEREST PAYMENT 0.06 — 02128/2018 PREAUTHORIZED 102081503508187113 WEB PMTS Ossa 1,462.54 Other Debits DEBIT Properties 02106/2018 PREAUTHORIZED 102081503500709064 WEB PMTS Ossa — 2,925.08 Other Debits DEBIT Properties Deposits/Other Credits 01/31/2018 INTEREST PAYMENT 0.29 01/22/2018 POS Purchase MERCHANT PURCHASE TERMINAL — 337.89 Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 01-19-18 SEQ # 801924083056 Deposits/Other Credits 12/29/2017 INTEREST PAYMENT 0.34 12/20/2017 POS Purchase MERCHANT PURCHASE TERMINAL — 325.96 Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 12-19-17 SEQ # 735328083056 12/0672017 PREAUTHORIZED 102081503507866887 WEB PMTS Ossa — 1,462.54 Other Debits DEBIT Properties Deposits/Other Credits 11/30/2017 INTEREST PAYMENT 0.46 — 11202017 POS Purchase MERCHANT PURCHASE TERMINAL — 390.09 Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 11-19-17 SEQ # 732322083054 Deposits/Other Credits 10/31/2017 INTEREST PAYMENT 0.71 10/2672017 PREAUTHORIZED 102081503505754618 WEB PMTS Ossa -- 2,925.08 Other Debits DEBIT Properties Reporting Currency, USD Page 1 of 7 Generated on 03/08/2018 1 EFTA00522170 Deutsche Bank Account Deposits Transactions From January 02.2017 To March 07. 2018 Wealth Management AND Product Type Value Date Market Value NOW and SuperNOW 03107/2018 $0.171 92) US Deposits Base Currency USD Accounts Deutsche Bank Trust Company Americas Transaction Activity from 01/02/2017 - 03/07/2018 Transaction Type Transaction Date Description To/From Funds Added (USD) Funds Subtracted (USD) 10,202017 POS Purchase MERCHANT PURCHASE TERMINAL 328.8'' Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 10-19-17 SEQ # 729225083056 Deposits/Other Credits 09/29/2017 INTEREST PAYMENT 0.75 - 09/20/2017 POS Purchase MERCHANT PURCHASE TERMINAL -- 320.82 Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 09-19-17 SEQ # 726225083054 Deposits/Other Credits 08/31/2017 INTEREST PAYMENT 0.98 -- 08/31/2017 PREAUTHORIZED 102081503508505510 WEB PMTS Ossa — 1,462.54 Other Debits DEBIT Properties 08/21/2017 POS Purchase MERCHANT PURCHASE TERMINAL — 326.61 Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 08-19-17 SEQ # 723122083956 08/0872017 PREAUTHORIZED 102081503504380756 WEB PMTS Ossa — 2,925.08 Other Debits DEBIT Properties Deposits/Other Credits 07/31/2017 INTEREST PAYMENT 1.21 - 07/20/2017 POS Purchase MERCHANT PURCHASE TERMINAL — 363.08 Other Debits 449398 AT T BILL PAYMENT 800 331 0 TX 07-19-17 SEQ # 720023083056 Deposits/Other Credits 06/30/2017 INTEREST PAYMENT 1.00 06/12/2017 POS Purchase MERCHANT PURCHASE TERMINAL -- Other Debits 449398 AT T BILL PAYMENT WWW ATT C TX 06-09-17 SEQ # 716127799459 ... Reporting Currency, USD Page 2 of 7 Generated on 03/08/2018 1 EFTA00522171 Deutsche Bank Account Deposits Transactions From January 02.2017 To March 07.2018 Wealth Management AND Product Type Value Date Market Value NOW and SuperNOW 03107/2018 US Deposits Base Currency USD Accounts Deutsche Bank Trust Company Americas Transaction Activity from 01/02/2017 - 03/07/2018 Transaction Type Transaction Date Description To/From Funds Added (USD) Funds Subtracted (USD) 06/06/2017 INCOMING MONEY ORG=903742898 KARYNA SHULIAK 16,000.00 Deposits/Other Credits TRANSF 301 E 66TH ST APT 8H NEWYORK, NY 1006562 06061310GCO2C002146 06/0272017 PREAUTHORIZED 102081503505827207 WEB PMTS Ossa -- 1,462.54 Other Debits DEBIT Properties Deposits/Other Credits 05/31/2017 INTEREST PAYMENT 0.02 — 05/0272017 PREAUTHORIZED 102111924683436584 WEB PMTS Ossa — 1,462.54 Other Debits DEBIT Properties Deposits/Other Credits 04/28/2017 INTEREST PAYMENT 0.17 — 04/2572017 PREAUTHORIZED 101091000016631242 Tax Paymnt NYS — 378.00 Other Debits DEBIT DTF PIT 04/04/2017 PREAUTHORIZED 102111924685799687 WEB PMTS Ossa — 1,462.54 Other Debits DEBIT Properties Deposits/Other Credits 03/31/2017 INTEREST PAYMENT 0.32 — 03/0872017 PREAUTHORIZED 102111924686197424 WEB PMTS Ossa — 1.462 54 Other Debits DEBIT Properties Deposits/Other Credits 02/28/2017 INTEREST PAYMENT 0.60 02/21/2017 POS Purchase MERCHANT PURCHASE TERMINAL — 63.80 Other Debits 408162 SUSHI SEKI NEW YORK NY 02-18-17 SECI # 705021700079 02/21/2017 POS Purchase MERCHANT PURCHASE TERMINAL - 8.78 Other Debits 401339 16 HANDLES NEW YORK NY 02-18-17 SECI # 705026002782 Reporting Currency, USD Page 3 of 7 Generated on 03/08/2018 1 EFTA00522172 Deutsche Bank Account Deposits Transactions From January 02, 2017 To March 07. 2018 Wealth Management AND Product Type Value Date Market Value NOW and SuperNOW 03107/2018 US Deposits Base Currency USD Accounts Deutsche Bank Trust Company Americas Transaction Activity from 01/02/2017 - 03/07/2018 Transaction Type Transaction Date Descdption To/From Funds Added (USD) Funds Subtracted (USD) 02/16/2017 ATM Withdrawal CASH WITHDRAWAL TERMINAL -- 40.00 TX58960 712 FIFTH AVENUE 4TH FL ATM Debit Card Withdrawals NEW YORK NY02-16-17 3:12 PMSEO # 000000008058 02/14/2017 PREAUTHORIZED 102111924687742560 WEB PMTS Ossa — 5,850.16 Other Debits DEBIT Properties Deposits/Other Credits 01/31/2017 INTEREST PAYMENT 0.95 01/3072017 POS Purchase MERCHANT PURCHASE TERMINAL — 31.59 449215 SEAMLSSJACKSONHOLE Other Debits SEAMLESS NY 01-29-17 SR) # 702928715525 01/20/2017 POS Purchase MERCHANT PURCHASE TERMINAL — 15.03 Other Debits 449215 SEAMLSSUPTHAI SEAMLESS NY 01-19-17 SEO # 701927715210 01/20/2017 POS Purchase MERCHANT PURCHASE TERMINAL — 393.10 Other Debits 449398 AT T BILL PAYMENT 111 111 1 TX 01-19-17 SEC) # 701923083054 01/11/2017 POS Purchase MERCHANT PURCHASE TERMINAL 15.03 O1bei Debits 449215 SEAMLSSUPTHAI SEAMLESS NY 01.10.17 SEO # 701020715949 01/1072017 POS Purchase MERCHANT PURCHASE TERMINAL 55.67 Other Debits 449215 SEAMLSSUPTHAI SEAMLESS NY 01.10.17 SEO # 701026715933 Other Debits 01/09/2017 POS Purchase MERCHANT PURCHASE TERMINAL 30.20 .... Reporting Currency. USD Page 4 of 7 Generated on 03/08/2018 1 EFTA00522173 Deutsche Bank Account Deposits Transactions From January 02. 2017 To March 07. 2018 Wealth Management AND Product Type Value Date Market Value NOW and SuperNOW 03/07/2018 $(1 1/1 92) US Deposits Base Currency USD Accounts Deutsche Bank Trust Company Americas Transaction Activity from 01/02/2017 - 03/07/2018 Transaction Type Transaction Date Description To/From Funds Added (USD) Funds Subtracted (USD) 443105 LE PAIN OUOTIDIEN NEW YORK NY 01-08-17 SEO # 700822286688 Total 16.007.86 28.634 36 Reporting Currency; USD Page 5 of 7 Generated on 03/08/2018 EFTA00522174 Deutsche Bank Account Deposits Transactions Selected Report Criteria Wealth Management Account/List/RelatioaClient Account Number : Date Range From 01/02/2017 To 03107/2018 Currency Reporting Currency: USD Reporting Currency: USD Page 6 of 7 Generated on 03/08/2018 EFTA00522175 Deutsche Bank Account Deposits Transactions Disclaimer Wealth Management FX Rates used for Currency Conversion corresponds to the date (s) of the activity within the selected reporting period. Please note that the information presented is as of the most recent available value date for each account type. Total values appearing in each module may differ due to rounding variances. If you have selected a client relationship or an account list, please be advised that some of your accounts may not be applicable to this page. The above information is made available at the client's request and for the client's convenience. This screen contains information regarding accounts held through various companies (which may include, without limitation) Deutsche Bank Trust Company Americas, U.S. commercial bank and/or Deutsche Bank Securities Inc., ("DBSI"), member FINRA, NYSE and SIPC and does not constitute an official account statement. Please refer to the "Legal" link for important information. Some or all of the information on this page has been converted to your preferred currency using the most recent FX rate available. To view the date of the FX rate used, click on "Tools" at the top of this page and see FX calculator. The rate presented here is for your information only and should not be used for reporting or transactional purposes. 'This information could not be converted to your preferred currency because an FX rate was not available. If an ""U' (underdetermined) appears for a majority of the data displayed, you may want to select another preferred currency from the "Settings" page or update your "Display currency as" at the top of the page. FDIC insurance applies only to deposit accounts maintained with Deutsche Bank Trust Company Americas. Reporting Currency; USD Page 7 of 7 Generated on 03/08/2018 EFTA00522176

Entities

0 total entities mentioned

No entities found in this document

Document Metadata

Document ID
12eef03c-93d8-484c-a41b-7e6e588073c8
Storage Key
dataset_9/EFTA00522170.pdf
Content Hash
4f82ab714af29bfd5c0e6bad58f8a7ed
Created
Feb 3, 2026