Feb:vary 28, 2004 - I NES, LLC
March 31,2004
nilWiry' Account Numbe
JPMorgan Private Bank
Page 5 of 24
Business Checkin
Account Nurnbe (coot.)
NES. LLC
Activity
Date Description Debit Credits Balance
Mar 26 Electronic Funds Transfer $858.58 $50,760.19
ADP TX/FINCL SVC Re: ADP - TM
Ret 68TPW 0428110VV
Mar26 Check Paid 0 20758 $381.00 $50,399.19
Mar26 Check Paid # 20778 $212.00 $50,187.19
Mar 29 Check Paid* 1057 $5,538.42 $44,848.77
Mar 29 Check Paid # 20752 $415.45 $44,233.32
Mar 30 Internal Funds Transfer $100,000.00 $144,233.32
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA AC-ffl
LE
TIER FROM CUENT
Mar 31 Electronic Funds Transfer 515,788.59 $128,444.73
ADP TX/FINCL SVC Re: ADP - TM
Ret 88TPW 040113A01
Mar 31 Electronic Funds Transfer $30,029.93 $98,414.80
ADP TX/FINCL SVC Re: ADP - TM
Ref. 898001989318TPW
Mar 31 Check Paid ft 1059 58.153.80 $92 281 00
Mar 31 Check Paid it 20782 $77.53 $92,183.47
Mar 31 Check PaidIt 20783 $110.34 $92,073.13
Mar 31 Check Paid N 20784 $82.07 $91,991.06
Mar 31 Check Paid St 20785 $43.20 $91,947.88
Mar 31 Check Paid # 20788 $349.48 $91,598.40
$400,015.33 $400,858.58
Ending Balance $91,598.40
Checks Paid
Check Date Amouat Check Date Amount Check Date Amount
1028 Mar 15 $5,000.00 207038 Mar 01 $80814 20723 Mar 09 $50.58
icksr Mar 09 $104,797.00 207089 Mar 10 $388.33 20724 Mar 09 $50.58
1048 Mar 03 $5,538.42 20709 Mar 01 $99.93 20725 Mar 10 $50.58
1049 Mar 05 $1,944.48 20710 klar 01 $211.97 20726 Mar 10 81,813.08
1050 Mar 09 $56,987.07 207W Mar 08 $887.00 20727 Mar 10 $310.34
1051 Mar 15 $100.00 20715 Mar 08 $587.02 20728 Mar 08 $178.85
1052 Mar 19 $300.00 20716 Mar 12 $205.50 20729 Mar 19 $4.58
1053 Mar 10 $5,182.00 20717 Mar 08 $577.50 20730 Mar 17 $800.00
1054 Mar 18 $1,808.89 20718 Mar 10 $113.55 20731 Mar 10 $145.31
1055 Mar 25 $3,100.00 20719 Mar 10 $47.42 20732 Mar 10 $50.58
1056 Mar 24 $3,000.00 20720 Mar 08 $32 72 20733 Mar 10 $71.53
1057 Mar 29 $5,538.42 20721 mar 08 $137.90 20734 Mar 18 $454.89
1059* Mar 31 $8,153.80 20722 Mar 10 $82.07 20735 Mar 10 $210.10
Confidential Treatment Requested by JPM-SDNY-00020234
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00289432
EFTA01496821