March 31,2007 - 116 EAST 65TH ST LLC
Argil 30,2007 JPMorgan 0
Primary Accotmi Number Private Bank
Rage 2 of 4
Business Checking
Account Number
116 EAST 65TH ST LLC
Summary
Opening Balance $32,518.94
Deposits and Credits $327.40
Checks, Withdrawals and Debits $18,898.35
Ending Balance $16,147.99
Activity
Date Description Debit Credits Balance
Weningffialance $32,618.84
Apr 05 Chet* Paid 0 1067 $823.14 $31 895 BO
Apr 10 Check Paid * 1068 $168.31 $31 727 49
Apr 12 Electronic Funds Transfer $219.63 $31,947.12
PAYPAL Re: TRANSFER
Re 4V6222UR8XMJU
AP( le Electronic Funds Transfer $107.77 $32,054.89
PAYPAL Re: TRANSFER
Ref. 4V6222UU8M2RY
Apr 17 Check Paid 8 1070 $520.20 $31,534.89
Apr 18 Check Paid 8 1065 $5,100.00 $26,434.69
Apr le Check Paid # 1069 $3,747.50 $22,687.19
Apr 18 Check Paid * 1072 $3,142.00 $19,545.19
Apr 20 Check Paid A 1068 $75.00 $19,470.19
Apr20 Check Paid 5 1073 $243.84 619,228.35
Apr 23 Check Paid # 1074 $108.38 $19,117.97
Apr 25 Electronic Funds Transfer $2,617.61 $16,500.36
CON ED OF NY Re: INTELL CK
Ref: 427327066000086
Apr 25 Check Paid 8 1078 $24.64 $18,475.72
Apr1..6_ Check Paid * 1077 $281.50 $16,194.22
Apr 27 Check Paid # 1078 $46.23 $16,147 99
$16,898.35 $327.40
Ending Balance $16,147.99
Checks hid
Cheek Date Amount Check Date Amount Check Date Amount
1065 Apr 18 $5,100.00 1069 Apr 18 $3,747.50 1074 A 23 $108.38
1066 Apr 20 276.00 1070 Apr 17 $620.20 I076* Apr 27 $48.23
1067 Apr 05 $623.14 1072* Apr 18 $3,142.00 1077 Apr 26 $281.50
1068 Aix 10 $168.31 1073 Apr20 $243.84 1078 AY 25 $24.64
Total Cheeks $14,080.74
Enclosed Checks: 12 *Gap in check sequence
Confidential Treatment Requested by JPM-SDNY-00043153
JPMorgan Chase
CONFIDENTIAL SDNY_GM_00312351
EFTA01516255