EFTA00272107.pdf
dataset_9 pdf 102.7 KB • Feb 3, 2026 • 2 pages
Statement Period Date: 7/1/2014 - 7/31/2014
Account Type: 5/3 Bus Standard Ckg
FIFTH THIRD BANK Account Number: 7433812323
(SOUTH FLORIDA)
P.O. BOX 630900 CD/CLNNATI OH 43263.0900 Relationship Manager Name: Helene Tolentino
Phone: 239-591-6422
REQUIRO SCIENTIA LLC
0 Business Banking Support: 877-534-2264
27 HIGH TECH BLVD
THOMASVIUE NC 27360-5560
415
Account Summary - 7433812323
07/01 Beginning Balance $283,442.79 Number of Days in Period 31
26 Checks 5(23.625.70)
15 Withdrawals / Debits 5(182.724.41)
3 Deposits / Credits $203.734.05
07/31 Ending Balance $280.826.73
Analysis Period: 06/01/14 - 06/30/14
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Service Charge withdrawn on 07/11/14 $51.50
Standard Monthly Service Charge waived if: Current Relationship Overview:
Your business maintains a total monthly average Balance Criteria Met? Yes
balance of $3,500 across its business checking. savings. Total Combined Monthly Average Balance $235,318.65
and certificate of deposit accounts.
OR your business spends at least $500 per month on Other Criteria Met? No
its business credit card. 5MX) Business Credit Card Spend? No
Checks 26 checks totaling $23,625.70
• Indicates gap in check sequence 1= Electronic Image s = Substitute Check
Number Date Paid Amount Number Date Paid Amount Number Date Paid Amount
6722 i 07/14 1.25thoo 6737 i 07/08 172.00 6746 i 07/15 87.50
6728•i 07/08 277.04 6738 i 07/02 4.000.00 6747 i 07/28 277.04
6730•i 07/08 275.00 6739 i 07/07 1,190.00 6748 i 07/28 640.22
6731 i 07/07 331.38 67401 07/10 674.33 6749 i 07/28 326.64
6732 i 07/08 450.00 67411 07/14 560.52 6750 i 07/29 331.38
6733 i 07/08 22.00 6742i 07/10 99.24 6751 i 07/28 38.61
6734 i 07/17 1.154.40 6743i 07/10 645.64 6752 i 07/28 684.27
6735 i 07/07 38.61 6744i 07/14 4.145.64 6755•i 07/31 1.869.00
6736 i 07/08 4.000.CO 6745i 07/16 85.24
For additional information and account disclosures, please visit www.53.com:businossbanking Page I of 2
EFTA00272107
FIFTH THIRD BANK
Withdrawals / Debits 15 items totaling $182,724.41
Date Amount Description
07/02 7.274.53 5/3 COMM LEASE #XXXXXXXXX4018 PAID BY AUTO BILLPAYER
07/09 2.786.41 PAYCHEX - RCX PAYX-RCX-BOA PAYROLL 55982200000747X REQUIRO SCIENTIA LLC 070914
07/10 151.12 PAYCHEX EIB INVOICE X55798400020738 REQUIRO SCIENTIA LLC 071014
07/10 1.306.46 PAYCHEX TPS 27487 TAXES 55981200012481X REQUIRO SCIENTIA LLC 071014
07/11 5,000.00 OUTGOING WIRE TRANS 071114
07/11 51.50 SERVICE CHARGE
07/14 3,138.22 5/3 COMMRCL LN #XXXXXXXXXXXCO26 PAID BY AUTO B1LLPAYER
07/14 1.00 MOBILE DEPOSIT FEE
07/15 32,711.75 AMEX EPayment ACH PMT V3238 071514
07/23 2,786.41 PAYCHEX - RCX PAYX-RCX-BOA PAYROLL 56190600000550X REQUIRO SCIENTIA LLC 072314
07/24 1.306.46 PAYCHEX TPS 27539 TAXES 56189100011737X REQUIRO SCIENTIA LLC 072414
07/29 10.000.00 5/3 ONLINE TRANSFER TO CK: XXXXXX2349 REF # 00356355124
07/29 20.000.00 5/3 ONLINE TRANSFER TO CK: XXXXXX2299 REF # 00356375956
07/29 33.000.00 5/3 ONLINE TRANSFER TO CK: XXXXXX2299 REF #1)0356375479
07/30 63.210.55 OUTGOING WIRE TRANS 073014
Deposits / Credits 3 items totaling $203,734.05
Date Amount Description
07/14 64.95 MOBILE CHECK DEPOSIT
07/14 4.434.17 MOBILE CHECK DEPOSIT
07/17 199.234.93 INCOMING WIRE TRANS 071714
Daily Balance Summary
Date . \moon) Date Amount Date Amount
07/02 272.168.26 07/14 250.101.27 07/24 411.204.44
07/07 270,608.27 07/15 217,302.02 07/28 409.237.66
07/08 265,412.23 07/16 217,216.78 07/29 345.906.28
07/09 262,625.82 07/17 415,297.31 07/30 282.695.73
07/10 259,749.03 07/23 412,510.90 07/31 280.826.73
07/11 254,697.53
Page 2 of 2
EFTA00272108
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- Document ID
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- Created
- Feb 3, 2026