Navy - Federal - Credit - Union - August - Statement
Navy - Federal - Credit - Union - August - Statement
Statement of Account
ed
#000000Q8V1XUQ0A0#000JMA90F Questions about this Statement?
LOUIS T COCHRAN JR Toll-free in the U.S. 1-888-842-6328
8638 GROVER PL For toll-free numbers when overseas,
SHREVEPORT LA 71115-2740 visit navyfederal.org/overseas/
Collect internationally 1-708-255-8837
Say "Yes" to Paperless! View
your digital statements via Mo-
ir
bile or
Navy Federal Online Banking.
qu
Say "Yes" to Paperless Statements
If you haven't already, go paperless! You can access up to 36 months of statements anytime, anywhere.
To get started, select "Statements" in digital banking.*
It's an easy way to reduce the risk of identity theft and cut down on paper clutter.
Insured by NCUA. *Message and data rates may apply. Visit navyfederal.org for more information.
e-Checking
7154284710
Previous
Balance
$780.60
Deposits/
Credits
$8,520.05
re Withdrawals/
Debits
$2,165.91
Ending
Balance
$10,590.20
YTD
Dividends
$0.02
al
Membership Savings
REMITTANCE RECEIVED AFTER STATEMENT PERIOD WILL APPEAR ON YOUR NEXT STATEMENT
pp
CARMENCEITA WILLIAMS
DEPOSIT VOUCHER
18618510 (FOR MAIL USE ONLY. DO NOT SEND CASH THROUGH THE MAIL
DEPOSITS MAY NOT BE AVAILABLE FOR IMMEDIATE WITHDRAWAL)
ACCOUNT NUMBER ACCOUNT TYPE AMOUNT ENCLOSED
A
NFCU
PO BOX 3100
TOTAL
MERRIFIELD VA 22119-3100
40571542847103181719230000000000000000000000000000006
Page 2 of 4
Statement Period
07/06/23 - 08/07/23
ed
Checking
e-Checking - 7112300137
Joint Owner(s): NONE
Date Transaction Detail Amount($) Balance($)
07-06 Beginning Balance 12.85
ir
07-06 Deposit - Deposit - Visual-I Accounting Solutions 2,639.07 2,651.91
07-08 Deposit - ACH Paid From Stripe Transfer 122320 242.25 2,409.67
07-08 Deposit - ACH Paid From Intuit Pymt Soln Deposit 122420 111.00 2,521.25
07-08 Deposit - ACH Paid From Stripe Transfer 122420 112.58 2,633.83
qu
07-10 Paid To - Intuit Pymt Soln Tran Fee Chk 2100002 110.00- 2,523.83
07-15 Deposit - ACH Paid From Intuit Pymt Soln Deposit 122820 211.00 2,734.84
07-15 Paid To - Stripe Transfer Chk 9100001 0.02- 2,734.81
07-15 Paid To - Intuit Pymt Soln Tran Fee Chk 10.00- 2,224.81
07-17 Deposit - Intuit Pymt Soln Tran Fee Chk 2,900.00 2,224.81
07-18 Paid To - Gemini Trust CO ACH Transfer Chk 32228680 500.00 - 1,724.81
07-18
07-19
07-19
07-19
07-19
07-19
07-19
Deposit - ACH Paid From Intuit Pymt Soln Deposit 123020
Paid To - Intuit Pymt Soln Tran Fee Chk 2100002
Dividend
Deposit - ACH Paid From Stripe Transfer 010521
Deposit - ACH Paid From Intuit Pymt Soln Deposit 010721
Paid To - Intuit Pymt Soln Tran Fee Chk 2100002
Deposit - ACH Paid From Intuit Pymt Soln Deposit 010821
re 510.50
44.05-
0.02
587.26
372.00
10.00-
167.50
2,235.31
2,191.26
2,192.17
2,779.43
3,151.43
3,141.43
3,308.93
al
07-21 Paid To - Intuit Pymt Soln Tran Fee Chk 2100002 20.00- 3,288.93
07-21 Deposit - ACH Paid From Stripe Transfer 011321 811.10 4,100.03
07-21 Deposit - ACH Paid From Stripe Transfer 011421 378.99 4,479.02
07-21 Deposit - ACH Paid From Intuit Pymt Soln Deposit 011421 678.00 5,158.01
ov
07-21 Paid To - Intuit Pymt Soln Tran Fee Chk 2100002 48.91- 5,109.10
07-23 Deposit - Visual-I Accounting Solutions 2 582.42 7,691.52
07-23 Transfer To Checking 300.00 7,991.52
07-23 Transfer To Checking 990.90 8,982.42
r
pp
A
Page 3 of 4
Statement Period
07/06/23 - 08/07/23
ed
Statement of Account
For CARMENCEITA WILLIAMS
ir
Date Transaction Detail Amount($) Balance($)
07-23 Transfer To Checking 200.00 - 8,782.42
07-24 Transfer To Checking 2,448.00 - 6,333.78
qu
07-24 Paid To - Stripe Transfer Chk 9100001 0.02- 6,333.76
07-26 Paid To - Self Lender Inc Admin Fee Chk 6112102 9.00- 6,324.76
07-26 Deposit - ACH Paid From Stripe Transfer 012021 92.69 6,417.45
07-26 Paid To - Stripe Transfer Chk 9100001 0.02- 6,417.43
07-26 Deposit - ACH Paid From Intuit Pymt Soln Deposit 012221 192.00 6,809.43
07-27 Paid To - Stripe Transfer Chk 9100001 0.02- 6,809.41
2,582.42 9,391.83
re
07-27 Deposit - Visual-I Accounting Solutions
08-27 Ending Balance 9,391.83
Items Paid
Date Item Amount($) Date Item Amount($)
al
07-24 ACH 2,448.00 08-03 ACH 20.00
07-26 ACH 0.02 08-02 ACH 48.91
07-26 ACH 10.00 08-03 ACH 0.02
07-26 ACH 500.00 08-03 ACH 9.00
07-26 ACH 4,500.00 08-05 ACH 0.02
07-26 ACH 44.05 08-05 ACH 0.02
07-27 ACH 10.00 08-05 ACH 10.00
ov
e-Checking - 7112300137
Joint Owner(s): NONE
Date Transaction Detail Amount($) Balance($)
07-27 Beginning Balance 6,810.10
r
Statement Period
07/06/23 - 08/07/23
ed
Items Paid
Date Item Amount($) Date Item Amount($)
08-09 POS 12.50 08-09 POS 3,892.80
08-09 POS 805.32 08-09 POS 4,595.34
08-09 POS 2,919.60
ir
Savings
Membership Savings - 3136363805
Joint Owner(s): NONE
qu
Date Transaction Detail Amount($) Balance($)
07-10 Beginning Balance 3.23
07-10 Dividend 0.0 0.0
08-10 Ending Balance 3.23
Your account earned $0.91, with an annual percentage yield earned of 0.33%, for the dividend period from 07/06/23 through 08-07-2023
SAVINGS DIVIDENDS
CHECKING DIVIDENDS
Disclosure Information
0.18
0.91re
2023 Year to Date Federal Income Tax Information
by the number of days the applicable rate was in effect and multiplying each of the results by the applicable daily periodic rate and adding the results together.
What to Do if You Think You Find a Mistake on Your Statement
Errors Related to a Checking Line of Credit Advance
If you think there is an error on your statement, write to us at:
Navy Federal Credit Union, PO Box 3000, Merrifield, VA 22119-3000; or by fax, 1-708-208-4244.
You may also contact us on the Web: navyfederal.org.
In your letter, give us the following information:
• Account information: Your name and account number.
• Dollar amount: The dollar amount of the suspected error.
r
• Description of problem: If you think there is an error on your bill, describe what you believe is wrong and why you believe it is a mistake.
You must contact us within 60 days after the error appeared on your statement.
You must notify us of any potential errors in writing (or electronically). You may call us, but if you do, we are not required to investigate any potential error, and you may have to
pp
Errors Within Your Checking Account, Money Market Savings Account, or Savings Account
In case of errors or questions about your electronic transfers telephone us at 1-888-842-6328, write us at the address provided above, or through Navy Federal Online Banking as soon as you
can, if you think your statement or receipt is wrong or if you need more information about a transfer listed on the statement or receipt. We must hear from you no later than 60 days after we
sent the FIRST statement on which the problem or error appeared.
• Tell us your name and account number (if any).
• Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe it is an error or why you need more information.
• Tell us the dollar amount of the suspected error.
We will investigate your complaint and will correct any error promptly. If we take more than 10 business days to do this, we will provisionally credit your account for the amount you think is in error,
so that you will have the use of the money during the time it takes us to complete our investigation.
Payments
Your check must be payable to Navy Federal Credit Union and include your Checking Line of Credit account number. Include the voucher found at the bottom of your statement and mail the enclosed
envelope to: Navy Federal Credit Union, PO Box 3100, Merrifield, VA 22119-3100. Payments received by 5:00 pm Eastern Time at the mail address above will be credited the same day. Mailed payments
for your Checking Line of Credit account may not be commingled with funds designated for credit to other Navy Federal Credit Union accounts.