UNT Libraries Special Collections - 21 Matching Results

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[Dallas National Bank Schedule of Fees]
Dallas National Bank schedule of fees on November 1, 2003 listing miscellaneous fees, deposit box charges, and ATM services.
Deposit Summary
Deposit summary and receipt of $50.00 made on July 9, 2003. Included is a checking deposit of $50.00 made on July 10, 2003. There is a TSDC membership application filled out by Gerold Reimondo including occupation and contact information.
Deposit Summary
Deposit summary with a total of $25.00 on November 10, 2003. Included is a membership application form filled out by Bill P. Boyd with contact information.
Deposit Summary
Deposit summary of $100.00 made on July 21, 2003. Included is a list of members with contact information.
[Deposit Summary and Invoice]
Deposit summary and invoice with a total of $685.00.
[Electronic transfers error]
Photocopy of a document discussing electronic transfers and contact information in case of an error occurs.
[Handwritten Memo]
A handwritten memo including a message: "Will get 6 checks/page front and back. Effective May 31, 2003." Backside of the memo is an announcement from the Dallas National Bank regarding the arrival of image statements.
Reconciliation Report
Reconciliation report with an ending account balance of $2,463.57 reconciled for the period ending on June 30, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $2,613.57 reconciled for the period ending on August 31, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $2,398.57 reconciled for the period ending on January 31, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $2,398.57 reconciled for the period ending on February 28, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $3,222.57 reconciled for the period ending on September 30, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $2,613.57 reconciled for the period ending on July 31, 2003.
Reconciliation Report
Reconciliation report with ending account balance of $2,463.57 reconciled for the period ending on June 25, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $3,247.57 reconciled for the period ending on October 31, 2003.
Reconciliation Report
Reconciliation report with an ending balance of $3,247.57 reconciled on November 28, 2003.
Reconciliation Report
Reconciliation report with an ending account balance of $3,247.57 reconciled for the period ending on December 31, 2003.
[Reconciliation Report and Deposit Summary]
Reconciliation report with an ending balance of $2463.57 and a deposit summary total of $65.00.
Schedule of Dues Collected for the Texas Stonewall Democratic Caucus
A listing of membership dues collected for the Texas Stonewall Democratic Caucus.
Stonewall Democrats of San Antonio New and Renewing Members
Texas Stonewall Democrats of San Antonio new and renewing members listing with handwritten notes.
[United States Postal Service P.O. Box receipt]
United States Postal Service P.O. Box receipt of $76.00 made on September 15, 2003. A receipt for Post Office Box/Caller Service Fees of $76.00 made on September 15, 2003. Two P.O. Box renewal notices addressed to Texas Stonewall Democratic Caucus.
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