02262014 FED FUNDS TRANSFER SYSTEM PAGE: 47073
INCOMING WIRE BOOKING Date: 05/30/2014
Value Date: 02 26/2014
Bankaccount: (UBS-FINSVC RETAIL)
Amount:
Wire: 001001 PW Book Date: 02/26/2014 Credit Parts' (Client):
Credit Type: CREDIT TRANSFER
PW Client/GL. Y1 23692 Type: 1 Multi? N
NEW YORK NY 10065-7007
Status: JOURNALED $5 QP: Code: IN
Ordering Customer (Tag 50):
/739474235
NEW YORK NY 10065-7007
Ordering Institution (Tag 52D):
/iFw021000021
CRASUS33
Details of Payment (Tag 70):
/RFB/OS1 OF 14/02/26
Final Beneficiary (Tag 59):
Y123692
Information for Beneficiary (Tag 72):
/REC/RCVD VIA FED, IMAD
//0226B1OGC01C01566502261759FT02
Wire Status
Status Description Reference Date Time
1) 11 PBK PEND BOOKING 9930057KT0300027 02/26/2014 17:59:48
022681QGC01C015665 02/26/2014 17:59:48
2) 21 IBK INITIALLY BOOKED SYSTEM 02/26/2014 17:59:48
3) 41 APP APPROVED ZINB 02/26/2014 18:06:25
4) 65 JRN JOURNALED 02/26/2014 19:31:05
SDNY_GM_00028203
CONFIDENTIAL
EFTA 00138823
EFTA01279412
FED FUNDS TRANSFER SYSTEM PAGE: 8442
OUTGOING WIRE DETAIL Date: 06/30/2014
Value Date: 03 05/2014
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1
Wire: 005898 Model. B order of Client :
PW Client/GL. Yl 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABAO 021000021 JPMORGAN CHASE BANK, NA IE: $5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Post). 739474235
Third Party? N Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: NE03845
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0305B6B7IK1C002382
Memo. BANK reference Number: US01064KU0773827
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 03/05/2014
13:08:03
2) 2)55 REL TREAS RELEASE / SENT 03/05/2014
13:13:09
3) 3)80 COM TRANSFER COMPLETE 03/05/2014
13:13:59
4) 4)85 JRN JOURNALED 03/05/2014
19:30:53
SDNY_GM_00028204
CONFIDENTIAL
EFTA _OO138824
EFTA01279413
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 03/05/2014 13:08:03
LAST UPDATE TO WIRE NE03845 03/05/2014 13:13:09
SDNY_GM_00028205
CONFIDENTIAL
EFTA (()138825
EFTA01279414
03122014 FED FUNDS TRANSFER SYSTEM PAGE: 22413
OUTGOING WIRE DETAIL Date: 06/30/2014
Value Date: 03 12/2014
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1. 1
Wire: 005389 Model. By order of (Client):
PW Client/GL. Y1 23692 Type. 1 (CASH)
OP.
NEW YORK NY 10065-7007
ABAO 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dost). 739474235
Third Party? N Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: ME06730
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0312B6B7IK1C001409
Memo. BANK reference Number: US01071KU0855005
Treasury Department:
Memo.
Wire Approvals Wire Status
Status TYPe User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 03/12/2014
10:58:04
2) 2)55 REL TREAS RELEASE / SENT 03/12/2014
10:58:08
3) 3)80 COM TRANSFER COMPLETE 03/12/2014
10:58:46
4) 4)85 JRN JOURNALED 03/12/2014
19:30:58
SDNY_GM_00028206
CONFIDENTIAL
EFTA 00138826
EFTA01279415
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 03/12/2014 10:58:04
LAST UPDATE TO WIRE NE06730 03/12/2014 10:56:08
SDNY_GM_00028207
CONFIDENTIAL
EFTA 00138827
EFTA01279416
09252015 FBD FUNDS TRANSFER SYSTEM PAGE: 50980
OUTGOING WIRE DETAIL Date: 12/31/2015
Value Date: 09 25/2015
Bankaccount: (UBS-FINSVC RET OUT)
Amount:
Wire: 006082 Model. B order of Client :
PW Client/GL. Yl 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABA* 026013673 TD BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. ACCL. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dest). 7916581767
Third Party? Y WILLIAM DAILEY BUILDING AND ZO Status: JOURNALED
NING CONSULTANT Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: CB10325
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0925B6B7IK1C002888
Memo. BANK reference Number: US01268KU0657782
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 09/25/2015
13:19:03
2) 2)55 REL TREAS RELEASE / SENT 09/25/2015
13:24:27
3) 3)80 COM TRANSFER COMPLETE 09/25/2015
13:25:07
4) 4)85 JRN JOURNALED 09/25/2015
19:31:07
SDNY_GM_00028208
CONFIDENTIAL
EFTA _00I38828
EFTA01279417
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 09/25/2015 13:19:03
LAST UPDATE TO WIRE CE10325 09/25/2015 13:24:27
SDNY_GM_00028209
CONFIDENTIAL
EFTA _00I38829
EFTA01279418
10142015 FED FUNDS TRANSFER SYSTEM PAGE: 26464
OUTGOING WIRE DETAIL Date: 01/29/2016
Value Date: 10 14/2015
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1, I .
Wire: 006301 Model. B order of Client :
PW Client/GL. Yl 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABAS 021000021 JPMORGAN CHASE BANK, NA IE: $5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dost). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: CE10325
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 1014B6B7IK1C002807
Memo. BANK reference Number: US01287KU0860383
Treasury Department:
Memo.
Wire Approvals Wire Status
Status TYPe User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 10/14/2015
14:52:03
2) 2)55 REL TREAS RELEASE / SENT 10/14/2015
14:56:44
3) 3)80 COM TRANSFER COMPLETE 10/14/2015
14:57:47
4) 4)85 JRN JOURNALED 10/14/2015
19:30:56
SDNY_GM_00028210
CONFIDENTIAL
EFTA_MOI38830
EFTA01279419
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 10/14/2015 14:52:03
LAST UPDATE TO WIRE CE10325 10/14/2015 14:56:44
SDNY_GM_00028211
CONFIDENTIAL
EFTA_00I38831
EFTA01279420
10192015 FBD FUNDS TRANSFER SYSTEM PAGE: 36036
OUTGOING WIRE DETAIL Date: 01/29/2016
Value Date: 10 19/2015
Bankaccount: (UBS-FINSVC RET OUT)
Amount: , 1.
Wire: 006157 Model. B order of Client :
PW Client/GL. Y1 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABA* 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. ACCL. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dest). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: Z800405
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 1019B6B7IK1C002710
Memo. BANK reference Number: US01292KU0911122
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 10/19/2015
14:12:02
2) 2)55 REL TREAS RELEASE / SENT 10/19/2015
14:14:37
3) 3)80 COM TRANSFER COMPLETE 10/19/2015
14:15:25
4) 4)85 JAN JOURNALED 10/19/2015
19:31:05
SDNY_GM_00028212
CONFIDENTIAL
EFTA _00I38832
EFTA01279421
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 10/19/2015 14:12:02
LAST UPDATE TO WIRE 2E00405 10/19/2015 14:14:37
SDNY_GM_00028213
CONFIDENTIAL
EFTA_00138833
EFTA01279422
12142015 FED FUNDS TRANSFER SYSTEM PAGE: 30519
OUTGOING WIRE DETAIL Date: 03/31/2016
Value Date: 12 14/2015
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1, . 4
Wire: 006343 Model. By order of (Client):
PW Client/GL. Y1 23692 Type. 1 (CASH)
OP.
NEW YORK NY 10065-7007
ABAO 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final (lost). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: R600472
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 1214B6B7IK1C003309
Memo. BANK reference Number: US01348KU0539111
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 12/14/2015
14:14:55
2) 2)55 REL TREAS RELEASE / SENT 12/14/2015
14:57:30
3) 3)80 COM TRANSFER COMPLETE 12/14/2015
15:03:02
4) 4)85 JRN JOURNALED 12/14/2015
19:30:58
SDNY_GM_00028214
CONFIDENTIAL
EFTA (0)38834
EFTA01279423
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 12/14/2015 14:14:55
LAST UPDATE TO WIRE RE08472 12/14/2015 14:57:30
SDNY_GM_00028215
CONFIDENTIAL
EFTA_00I38835
EFTA01279424
12212015 FED FUNDS TRANSFER SYSTEM PAGE: 49364
OUTGOING WIRE DETAIL Date: 03/31/2016
Value Date: 12 21/2015
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 4, .
Wire: 006299 Model. B order of Client :
PW Client/GL. Yl 23692 Type. 1 (CASH)
OP.
NEW YORK NY 10065-7007
ABAO 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dost). 4010447913
Third Percy? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: 2800405
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 1221B6B7IK2C001365
Memo. BANK reference Number: US01355KU0631228
Treasury Department:
Memo.
Wire Approvals Wire Status
Status TYPe User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 12/21/2015
13:17:15
2) 2)55 REL TREAS RELEASE / SENT 12/21/2015
13:38:51
3) 3)80 COM TRANSFER COMPLETE 12/21/2015
13:40:44
4) 4)85 JRN JOURNALED 12/21/2015
19:31:05
SDNY_GM_00028216
CONFIDENTIAL
EFTA_00 I 38836
EFTA01279425
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 12/21/2015 13:17:15
LAST UPDATE TO WIRE 2E00405 12/21/2015 13:36:51
SDNY_GM_00028217
CONFIDENTIAL
EFTA_00138S37
EFTA01279426
01212016 FBD FUNDS TRANSFER SYSTEM PAGE: 42485
OUTGOING WIRE DETAIL Date: 04/29/2016
Value Date: 01 21/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1, 1 .
Wire: 006570 Model. order of Client :
PW Client/GL. Y1 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABA* 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. ACCL. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dest). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
8-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: CB10312
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0121B687IK1C003431
Memo. BANK reference Number: US01021KU0953923
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 01/21/2016
15:54:02
2) 2)55 REL TREAS RELEASE / SENT 01/21/2016
15:58:13
3) 3)80 COM TRANSFER COMPLETE 01/21/2016
15:59:01
4) 4)85 JAN JOURNALED 01/21/2016
19:30:51
SDNY_GM_00028218
CONFIDENTIAL
EFTA_00 B8838
EFTA01279427
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 01/21/2016 15:54:02
LAST UPDATE TO WIRE CE10312 01/21/2016 15:56:13
SDNY_GM_00028219
CONFIDENTIAL
EFTA_00138S39
EFTA01279428
01272016 FED FUNDS TRANSFER SYSTEM PAGE: 54874
OUTGOING WIRE DETAIL Date: 04/29/2016
Value Date: 01 27/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount:
Wire: 005694 Model. B order of Client :
PW Client/GL. Y1 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABA* 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dest). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: R608472
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0127B687IK1C001945
Memo. BANK reference Number: US01027KU0011919
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 01/27/2016
11:47:37
2) 2)55 REL TREAS RELEASE / SENT 01/27/2016
11:48:29
3) 3)80 COM TRANSFER COMPLETE 01/27/2016
11:49:13
4) 4)85 JAN JOURNALED 01/27/2016
19:30:53
SDNY_GM_00028220
CONFIDENTIAL
EFTA_00138840
EFTA01279429
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 01/27/2016 11:47:37
LAST UPDATE TO WIRE RE08472 01/27/2016 11:46:29
SDNY_GM_00028221
CONFIDENTIAL
EFTA_00B8841
EFTA01279430
02222016 FED FUNDS TRANSFER SYSTEM PAGE: 41121
OUTGOING WIRE DETAIL Date: 05/31/2016
Value Date: 02 22/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount:
Wire: 005784 Model. B order of Client :
PW Client/GL. Yl 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABAO 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Cnt). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: RE08472
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0222B6B7IK1C002130
Memo. BANK reference Number: US01053KUO283916
Treasury Department:
Memo.
Wire Approvals Wire Status
Status TYPe User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 02/22/2016
12:21:42
2) 2)55 REL TREAS RELEASE / SENT 02/22/2016
12:36:21
3) 3)80 COM TRANSFER COMPLETE 02/22/2016
12:37:15
4) 4)85 JRN JOURNALED 02/22/2016
19:31:07
SDNY_GM_00028222
CONFIDENTIAL
EFTA _00138842
EFTA01279431
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 02/22/2016 12:21:42
LAST UPDATE TO WIRE RE08472 02/22/2016 12:36:21
SDNY_GM_00028223
CONFIDENTIAL
EFTA_00138843
EFTA01279432
02262016 FBD FUNDS TRANSFER SYSTEM PAGE: 51904
OUTGOING WIRE DETAIL Date: 05/31/2016
Value Date: 02 26/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1 .
Wire: 005746 Model. order of Client :
PW Client/GL. Y1 23692 Type. 1 (CASH)
QP.
NEW YORK NY 10065-7007
ABA* 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. ACCL. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dest). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B -Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: CB10325
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0226B6B7IK1C002857
Memo. BANK reference Number: US01057KU0347103
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 02/26/2016
11:48:38
2) 2)55 REL TREAS RELEASE / SENT 02/26/2016
11:57:28
3) 3)80 COM TRANSFER COMPLETE 02/26/2016
11:58:58
4) 4)85 JAN JOURNALED 02/26/2016
19:30:56
SDNY_GM_00028224
CONFIDENTIAL
EFTA_00138844
EFTA01279433
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 02/26/2016 11:48:38
LAST UPDATE TO WIRE CE10325 02/26/2016 11:57:28
SDNY_GM_00028225
CONFIDENTIAL
EFTA_00138845
EFTA01279434
04062016 FED FUNDS TRANSFER SYSTEM PAGE: 12567
OUTGOING WIRE DETAIL Date: 07/29/2016
Value Date: 04 06/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1, .
Wire: 005939 Model. B order of Client :
PW Client/GL. Y1 23692 Type. 1 (CASH)
OP.
NEW YORK NY 10065-7007
ABAO 021000021 JPMORGAN CHASE BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dost). 4010447913
Third Party? Y Morgan Manhattan Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: CE10325
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0406B6B7IK1C002305
Memo. BANK reference Number: US01097KU0805954
Treasury Department:
Memo.
Wire Approvals Wire Status
Status TYPe User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 04/06/2016
12:59:12
2) 2)55 REL TREAS RELEASE / SENT 04/06/2016
13:36:49
3) 3)80 COM TRANSFER COMPLETE 04/06/2016
13:38:46
4) 4)85 JRN JOURNALED 04/06/2016
19:30:52
SDNY_GM_00028226
CONFIDENTIAL
EFTA 00138846
EFTA01279435
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 04/06/2016 12:59:12
LAST UPDATE TO WIRE CE10325 04/06/2016 13:36:49
SDNY_GM_00028227
CONFIDENTIAL
EFTA_00138847
EFTA01279436
07272016 FED FUNDS TRANSFER SYSTEM PAGE: 53274
INCOMING WIRE BOOKING Date: 10/31/2016
Value Date: 07 27/2016
Bankaccount: (UBS-FINSVC RETAIL)
Amount: 1 .
Wire: 000699 PW Book Date: 07/27/2016 Credit Party (Client):
Credit Type: PAYMENT ADVICE
PW Client/GL. Yl 23692 Type: 1 Multi? N PO BOX 308
TEANECK NJ 07666-0308
Status: JOURNALED IE: S5 QP: Code: IN
Ordering Customer (Tag 52D):
/004984501964
PRYOR CASHMAN LLP
Ordering Institution (Tag 56D):
//CP0008
CITIBANK N.A.
US-NEW YORK 10022-4617
Ordering Institution Ref. (Tag 21):
00162094698001
Information for Beneficiary (Tag 72):
/REC/RCVD VIA CHIPS SSN 0428021
/BNF/FFC:
//A/C Y123692
//PRYOR CASHMAN LLP
//INTEREST ON LAWYER ACCOUNT IOLA
Wire Status
Status Description Reference Date Time
1) 11 PBK PEND BOOKING 9930209KQ0915260 07/27/2016 15:50:10
07/27/2016 15:50:10
2) 21 IBK INITIALLY BOOKED 2808 07/27/2016 16:18:30
3) 41 APP APPROVED AX00666 07/27/2016 17:59:05
4) 65 JRN JOURNALED 07/27/2016 19:30:58
SDNY_GM_00028228
CONFIDENTIAL
EFTA_00I38848
EFTA01279437
09072016 FED FUNDS TRANSFER SYSTEM PAGE: 12470
OUTGOING WIRE DETAIL Date: 12/30/2016
Value Date: 09 07/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1
wire: 005732 Model. By order of (Client):
PW Client/GL. Y1 23692 Type. 1 (CASH)
QP. PO BOX 308
TEANECK NJ 07666-0308
ABA* 121000248 WELLS FARGO BANK, NA IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dost). 2090002390441
Third Party? Y Holland and Knight, LLP Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes. 150629.00001
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: RE08472
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0907B687IK1C001901
Memo. BANK reference Number: US01251KU0525958
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 09/07/2016
12:02:51
2) 2)55 REL TREAS RELEASE / SENT 09/07/2016
12:14:38
3) 3)80 COM TRANSFER COMPLETE 09/07/2016
12:15:25
4) 4)85 JRN JOURNALED 09/07/2016
19:30:57
SDNY_GM_00028229
CONFIDENTIAL
EFTA_MA38849
EFTA01279438
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 09/07/2016 12:02:51
LAST UPDATE TO WIRE RE08472 09/07/2016 12:14:38
SDNY_GM_00028230
CONFIDENTIAL
EFTA_00I38850
EFTA01279439
09082016 FBD FUNDS TRANSFER SYSTEM PAGE: 15293
OUTGOING WIRE DETAIL Date: 12/30/2016
Value Date: 09 08/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount: 1 , 4 .1
Wire: 005347 Model. B order of Client :
PW Client/GL. Y1 23692 Type. 1 (CASH)
QP. PO BOX 308
TEANECK NJ 07666-0308
ABA* 021000089 CITIBANK, N.A. IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. ACCL. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dest). 9990602561
Third Party? Y Monte Albers de Leon Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: 0031H
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0908B687IK1C001431
Memo. BANK reference Number: US01252KU0539826
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 09/08/2016
10:35:56
2) 2)55 REL TREAS RELEASE / SENT 09/08/2016
10:46:07
3) 3)80 COM TRANSFER COMPLETE 09/08/2016
11:02:51
4) 4)85 JRN JOURNALED 09/08/2016
19:30:56
SDNY_GM_00028231
CONFIDENTIAL
EFTA_00B8851
EFTA01279440
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 09/08/2016 10:35:56
LAST UPDATE TO WIRE OONH 09/08/2016 10:46:07
SDNY_GM_00028232
CONFIDENTIAL
EFTA 00138852
EFTA01279441
09092016 FED FUNDS TRANSFER SYSTEM PAGE: 17927
OUTGOING WIRE DETAIL Date: 12/30/2016
Value Date: 09 09/2016
Bankaccount: (UBS-FINSVC RET OUT)
Amount:
Wire: 005610 Model. B order of Client :
PW Client/GL. Yl 23692 Type. 1 (CASH)
QP. PO BOX 308
TEANECK NJ 07666-0308
ABA8 021000089 CITIBANK, N.A. IE: S5 QP: Code: IN
Further Credit Instructions: SI: AFLNT35 DIV: 32
1 Name. Addr.
City. Acct. OR ABA.
2 Name. Addr.
Acct. OR ABA.
3 Name. Addr.
Acct. OR ABA.
Beneficiary Acct (Final Dost). 9990602561
Third Party? Y Monte Albers de Leon Status: JOURNALED
Fee: 0.00 Exempt. WIRE
Intl. N UNITED STATES
B-Notes.
Loa Document: Memos. (NONE)
RPDS Memo:
Initiator Message to Home Office:
Memo.
Margin or Commodity Credit Department:
Memo.
Retail Credit Department:
Memo.
Document Review Department:
Memo. Releaser ID: CR10312
Lending Services Department:
Memo.
Correspondent Services Department: FED Reference Number: 0909B687IK1C001882
Memo. BANK reference Number: US01253KU0555488
Treasury Department:
Memo.
Wire Approvals Wire Status
Status Type User ID Dept Date Time Status Description Date
Time
1) 1)50 PTR PEND TREAS RELEASE 09/09/2016
11:19:19
2) 2)55 REL TREAS RELEASE / SENT 09/09/2016
11:32:23
3) 3)80 COM TRANSFER COMPLETE 09/09/2016
12:31:50
4) 4)85 JRN JOURNALED 09/09/2016
19:31:10
SDNY_GM_00028233
CONFIDENTIAL
EFTA_GOI38853
EFTA01279442
5) 5)
6) 6)
7) 7)
8) 8)
9) 9)
10) 10)
11) 11)
12) 12)
INITIATOR OF WIRE SWK SWK 09/09/2016 11:19:19
LAST UPDATE TO WIRE CE10312 09/09/2016 11:32:23
SDNY_GM_00028234
CONFIDENTIAL
EFTA_00I38854
EFTA01279443