July 01,2005 - NES, Lie
July 29,2005
Numl,ei ° JPMorgan Private Bank
Page 2 of 21
Business Checkin
Account Numbe
NES, LLC
Summary
Opening Balance $83.481.33
Deposits and Credits $393 073 33
Checks, Withdrawals and Debits $200 687 00
Ending Balance 5275,867.66
Activity
Date Description Debit Credits Balance
Opening Balance $83,481.33
Jul 01 Internal Funds Transfer $50,000.00 $133,481.33
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA ACAS 0007
39110438 TO DOA AC* 000739121472 LE
TIER FROM CLIENT
Jul 01 Chedc Paid M 21803 $170.31 $133,311.02
Jul 01 Check Paid if 21804 $80.98 $133,230.06
Jul 01 Check Paid ft 21805 $53.68 $133,176.38
Jul 01 Check Paid N 21806 $53.88 $133,122.70
Jul 01 Cheek PaidIt 21808 $381.35 $132,761.35
Jul 01 Chedc Paid 1 21809 $375.37 $132,385.98
Jul 01 Check PaidIt 21811 $119.42 $132,266.56
Jul 05 Check Paid N 21637 $3,292.32 $128,974.24
Jul 08 Electronic Funds Transfer $17,766.35 $111,208.89
ADP TX/FINCL SVC Re: ADP - TAX
Ref: t36TPW 070726A01
Jul 08 Electronic Funds Transfer $37,875.67 $73,33322
ADP TX/FINCL SVC Re: ADP - TAX
Ref. 540001775201TPW
Jul 07 Electronic Funds Transfer $3,141.45 $70,191.77
ADP TX/FINCL SVC Re: ADP - TAX
Ref. 66TPW070726V01
Jul 08 Check Paid # 21807 $99.93 $70,091.84
Jul 08 Check Paid 21816 $106.84 $69,985.00
Jul 11 Check Paid ft 1158 $9,590.00 $60,395.00
Jul 11 Check Paid if 21814 $84.49 $60,310.51
Jul 11 Check Paid M 21820 $526.00 $59,784.51
Jul 11 Check Piddle 21821 $196.88 $59,587.65
Jul 12 Internal Funds Transfer $50,000.00 $109,587.65
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA
TTER FROM CLIENT
Jul 12 Cheek Paid # 21757 $181.95 $109,405.70
Jul 12 Check Paid * 21813 $760.47 $108,645.23
Confidential Treatment Requested by JPM-SDNY-00020676
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00289874
EFTA01497251