July 30,2005 - NES, LLC
August 31,2005
Primary Account Number: OJPMorgan Private Bank
Page 3 of 23
Business Check'
Account Numbe (cunt.)
NES. LLC
Activity
Date Description Debit Credits Balance
Aug 04 Electronic Funds Transfer $3,248.86 $169,515.71
ADP TX/FINCL SVC Re* ADP - TM
Ret 66TPW080430V01
Aug 05 Check Paid t 21878 $677.75 9168,837.98
Aug 08 Check Paid 0 21885 $28.11 $168,809.85
Aug 08 Chedc Paid it 21898 $11.50 $168,798.35
Aug 09 Chedc Paid # 1182 $497.18 $168,301.17
Aug 09 Check Paid t 1163 $3,000.00 $165,301.17
Aug 10 Electronic Funds Transfer $95.70 $165,205.47
ADP PAYROLL FEES Re: ADP - FEES
Ret 13TPW 7985180
Aug 11 Check Paid t 21902 $30.75 $165,174.72
Aug 11 Check Paid ft 21903 $74.84 $165,099.88
Aug11 Chedc Paid it 21904 $25.83 $165,074.05
Aug 12 Check Paid # 21900 $6,013.93 $159,060.12
Aug 12 Check Pald # 21901 $30.64 $159,029.48
Aug 12 Check Paid # 21906 $131.60 $158,897.88
Aug 12 Check Paid # 21910 $354.75 $158,543.13
Aug 12 Check Paid it 21912 $130.44 $158,412.60
Aug12 Check Paid it 21914 $49.95 $158,362.74
Aug12 Check Paid # 21916 $37.98 $158,324.76
Aug12 Check Paid ft 21917 $41.78 $158,283.00
Aug12 Check Paid # 21919 $35.10 $158,247.90
Aug12 Check Paid it 21922 $360.00 $157 887 90
Aug 15 Check Paid # 1164 $1,600.00 $156,287.90
Aug 15 Chedc Paid if 21909 $78.65 $156,209.25
Aug 15 Check Paid ft 21911 $945.26 $155,263.99
Aug 15 Check Paid # 21913 $133.30 $166,130.69
Aug 15 Check Paid t 21915 $33.69 $155,097.00
Aug 15 Chedc Paid # 21923 $83.64 $155,013.38
Aug 15 Check Paid N 21926 $7,988.02 $147,027.34
Aug 18 Check Paid t 21905 $680.39 $146,346.95
Aug 18 Check Paid # 21918 $87.25 $146,279.70
Aug 18 Check Paid # 21920 $204.90 8148,074.80
Aug 17 Electronic Funds Transfer $18,434.89 $127,639.91
ADP TYJFINCL SVC Re: ADP -TAX
Ret 66TPW081832A01
Aug 17 Electronic Funds Transfer $41,084.37 $86,555.54
ADP TX/FINCL SVC Re: ADP -TAX
Ref 420001662180TPW
Aug 18 Electronic Funds Transfer $3,248.85 $83,306.88
ADP TYJFINCL SVC Re: ADP -TAX
Ret 66TPW 081832V01
Aug 18 Check Paid 0 21921 $98.76 $83,207.93
Confidential Treatment Requested by JPM-SDNY-00020704
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00289902
EFTA01497277