EFTA00272103.pdf
dataset_9 pdf 105.3 KB • Feb 3, 2026 • 2 pages
Statement Period Date: 5/1/2014 - 5/31/2014
Account Type: 5/3 Bus Standard Ckg
FIFTH THIRD BANK Account Number: 7433812323
)SOUTH FLORIDA)
P.O. BOX 630900 CD/UNNATI OH 43263.0900 Relationship Manager Name: Helene Tolemino
Phone: 239-591-6422
REQUIRO SCIENTIA LLC
0 Business Banking Support: 877-534-2264
27 HIGH TECH BLVD
THOMASVIUE NC 27360-5560
121
Account Summary - 7433812323
05/01 Beginning Balance $210,056.41 Number of Days in Period 31
29 Checks $(53339.91)
14 Withdrawals / Debits $(199.736.77)
3 Deposits / Credits $210.484.53
05/31 Ending Balance $167,064.26
Analysis Period: 04/01/14 - 04/30/14
Standard Monthly Service Charge $11.00
Standard Monthly Service Charge Waived (see below) -$11.00
MISCELLANEOUS $25.00
WIRE INCOMING NON-STRUCTURED $26.50
Service Charge withdrawn on 05/12/14 $51.50
Standard Monthly Service Charge waived if: Current Relationship Overview:
Your business maintains a total monthly average Balance Criteria Met? Yes
balance of 33.500 across its business checking. savings. Total Combined Monthly Average Balance $277.293.99
and certificate of deposit accounts.
OR your business spends at least $500 per month on Other Criteria Met? No
its business credit card. $500 Business Credit Card Spend? No
Checks 29 checks totaling $53,739.91
• Indicates gap in check sequence = Electronic Image s= Substitute Check
Number Date Paid Amount Number Date Paid Amount Number Date Paid Amount
66631 05/15 650.00 66821 05/06 1.440.00 6693 i 05/27 204.47
66659 05/05 1.906.39 6684*i 05/09 290.31 6694 i 05/27 13.947.00
6666 i 05/01 277.04 6685 i 05/09 32.48 6695 i 05/28 4.123.06
6667 i 05/05 64.18 66861 05/12 6.52 6696 i 05/27 140.00
66709 05/09 2.017.00 66871 05/12 1.541.57 6697 i 05/23 97.50
66739 05/02 300.00 66881 05/12 172.00 6698 i 05/23 45.00
6674 i 05/05 399.76 6689 i 05/06 4.000.00 6699 i 05/27 673.98
66789 05/02 13.738.00 66901 05/13 4.000.00 6701.1 05/30 351.38
66809 05/05 12.91 66911 05/27 2,072.82 6706.1 05/29 384.00
6681 i 05/05 550.00 6692 i 05/23 302.54
For additional information and account disclosures, please visit www.53.com:businossbanking Page 1 of 2
EFTA00272103
FIFTH THIRD BANK
Withdrawals / Debits 14 items totaling $199,736.77
Date Amount Description
05/01 1.316.65 PAYCHEX TPS 27239 TAXES 54986500189535X REQUIRO SCIENTIA LW 0501 14
05/01 7.274.53 5/3 COMM LEASE MOCXXVOCXX4018 PAID BY AUTO BILLPAYER
05/12 222.14 PAYCHEX EIB INVOICE X54998400027445 REQUIRO SCIENTIA LLC 051214
05/12 51.50 SERVICE CHARGE
05/14 2.786.41 PAYCHEX - RCX PAYX-RCX-BOA PAYROLL 55184400300287X REQUIRO SCIENTIA LLC 051414
05/14 3.138.22 5/3 COMMRCL IN #XXXXXXXXXXX0026 PAID BY AUTO BILLPAYER
05/15 1.306.46 PAYCHEX TPS 27293 TAXES 55186700016823X REQUIRO SCIENTIA LW 051514
05/15 100.000.00 FUNDS TRANSFER TO CK: XXVOCX2281 REF # 00613813654
05/20 17.812.50 OUTGOING WIRE TRANS 052014
05/21 54.459.96 AMEX EPaymcnt ACH PMT V5458 052114
05/27 1.00 MOBILE DEPOSIT FEE
05/28 2.786.41 PAYCHEX - RCX PAYX-RCX-BOA PAYROLL 55388100001126X REQUIRO SCIENTIA LLC 052814
05/29 1.306.46 PAYCHEX TPS 27345 TAXES 55391200009961X REQUIRO SCIENTIA LW 052914
05/30 7.274.53 5/3 COMM LEASE #XXXXXXXXX4018 PAID BY AUTO BILLPAYER
Deposits / Credits 3 items totaling $210,484.53
Date Amount Description
05/19 197.708.53 INCOMING WIRE TRANS 051914
05/27 976.49 MOBILE CHECK DEPOSIT
05/27 11.799.51 MOBILE CHECK DEPOSIT
Daily Balance Summary
Date Amount Date Amount Date Amount
05/01 201.188.19 05/13 170.443.43 05/23 187.553.37
05/02 187.150.19 05/14 164.518.80 05/27 183.290.10
05/05 184,216.95 05/15 62.562.34 05/28 176.380.63
05/06 178,776.95 05/19 260.270.87 05/29 174.690.17
05/09 176,437.16 05/20 242.458.37 05/30 167.064.26
05/12 174,443.43 05/21 187.998.41
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EFTA00272104
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- Document ID
- 31b29bda-450d-4bd8-afca-70cf54b22f00
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- dataset_9/EFTA00272103.pdf
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- Created
- Feb 3, 2026