March 01, 2007 - JEGE INC
Skuth 30, 2007 JPMorgan 0
Primary Accotmt Private Bank
Page 2 of -1 Nmib
Business Checking
Account Number 739-47434 0
JEGE INC
Summary
Opening Balance $97,236.56
Deposits and Credits $100,000.00
Checks, Withdrawals and Debits $117,028.17
Ending Balance $80,208.39
Activity
Date Description Debit Credits Balance
Waning Balance $97,236.58
Mar 01 Check Paid a 1028 $22,278.81 $74 957 75
Mar 02 Check Paid # 1038 4548.10 $74 411.65
Mar 02 Check Paid # 1044 $15,000.00 $59,411.65
Mar 05 Check Paid 0 1043 $218.39 $59,193.26
Mar Oa Check Paid # 1031 $33 258.41 $25,934.85
Mar 08 Check Paid 0 1036 $80.00 $25,874.85
Mar 13 Internal Funds Transfer $50,000.00 $75,874.65
FUNDS TRANSFERRED FROM DOA ACS 7391
10438 TO DDA AC# 739474340 As reque
sted
Mar 13 Check Paid 0 1224 $4,922.84 $70,952.01
Mar 14 Check Paid ft 1042 $494.71 $70,457.30
Mar 19 Check Paid # 1047 $519.72 $89 937.58
Mar 19 Check Paid 0 1049 $814.55 $69 123.03
Mar 19 Check Paid 1 1050 $2,143.00 $66,980.03
Mar 20 Check Paid ft 1046 $1,012.00 $65,968.03
Mar 21 Check Paid 8 1051 823,495.88 $42,472.17
Mar 22 Check Paid 0 1048 $3 601 50 $38 870 67
Mar 23 Check Pald # 1045 $1,733.10 $37,137.57
Mar 26 Check Paid # 1052 $108.00 $37,029.57
Mar 27 Check Paid 0 1053 $201.18 $38,828.39
Mar 28 Internal Funds Transfer $50,000.00 $88,828.39
FUNDS TRANSFERRED FROM ODAAC*7391
10438 TO DDA AC* 739474340 Letter f
corn client
Mar 28 Check Paid # 1055 $8,620.00 $80 208 39
$117,028.17 $100,000.00
Ending Balance $80,208.39
Checks Paid
Check Date Amount Check Date Amount Check Date Amount
1028 Mar 01 $22,278.81 1036* Mar 06 $60.00 1042* Mar 14 $494.71
103I• Mar 06 $33,258.41 10311' Mar 02 $548.10 1043 Mar 05 $218.39
Confidential Treatment Requested by JPM-SDNY-00018866
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00288064
EFTA01495630