10/01/2024 | PAYMENT | DANIEL, DAY R CHECK 0066005116 | $-76.00 | $152.00 |
08/12/2024 | PAYMENT | DANIEL, DAY CHECK 0058444627 | $-87.04 | $228.00 |
07/03/2024 | BILL | JDB TRUST, DTD 5/12/15, TRUST 2 | $315.04 | $315.04 |
03/04/2024 | PAYMENT | DANIEL, DAY R CHECK 0019750040 | $-76.00 | $0.00 |
01/02/2024 | PAYMENT | DAY R DANIEL CHECK 91080056 | $-76.00 | $76.00 |
10/02/2023 | PAYMENT | DANIEL, DAY R CHECK 0093413083 | $-76.00 | $152.00 |
08/13/2023 | PAYMENT | DANIEL, DAY CHECK 85292618 | $-87.04 | $228.00 |
07/13/2023 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $315.04 | $315.04 |
03/06/2023 | PAYMENT | DANIEL, DAY R CHECK NUM: 5293 | $-76.00 | $0.00 |
01/03/2023 | PAYMENT | DANIEL, DAY R CHECK NUM: 5295 | $-76.00 | $76.00 |
10/01/2022 | PAYMENT | DANIEL, DAY CHECK NUM: 5294 | $-76.00 | $152.00 |
08/25/2022 | PAYMENT | DANIEL, DAY R CHECK NUM: 2586 | $-87.04 | $228.00 |
07/07/2022 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $315.04 | $315.04 |
03/04/2022 | PAYMENT | DANIEL, DAY R CHECK NUM: 5282 | $-76.00 | $0.00 |
01/05/2022 | PAYMENT | DANIEL, DAY R CHECK NUM: 5283 | $-76.00 | $76.00 |
10/05/2021 | PAYMENT | DANIEL, DAY R CHECK NUM: 5284 | $-76.00 | $152.00 |
08/13/2021 | PAYMENT | DANIEL, DAY R CHECK NUM: 35103986 | $-87.04 | $228.00 |
07/12/2021 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $315.04 | $315.04 |
03/01/2021 | PAYMENT | DANIEL, DAY R CHECK NUM: 5262 | $-75.00 | $0.00 |
12/31/2020 | PAYMENT | DANIEL, DAY R CHECK NUM: 5261 | $-75.00 | $75.00 |
12/08/2020 | PAYMENT | DANIEL, DAY CHECK NUM: 5260 | $-75.00 | $150.00 |
11/17/2020 | PAYMENT | DANIEL, DAY CHECK NUM: 40322986 | $-86.68 | $225.00 |
10/21/2020 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $311.68 | $311.68 |
02/28/2020 | PAYMENT | DANIEL, DAY R CHECK NUM: 5238 | $-75.00 | $0.00 |
01/03/2020 | PAYMENT | DANIEL, DAY CHECK NUM: 5237 | $-75.00 | $75.00 |
10/06/2019 | PAYMENT | DANIEL, DAY CHECK NUM: 5236 | $-75.00 | $150.00 |
08/16/2019 | PAYMENT | DANIEL, DAY R CHECK NUM: 55979129 | $-86.68 | $225.00 |
07/03/2019 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $311.68 | $311.68 |
03/01/2019 | PAYMENT | DANIEL, DAY R CHECK NUM: 5203 | $-75.00 | $0.00 |
01/03/2019 | PAYMENT | DANIEL, DAY R CHECK NUM: 5202 | $-75.00 | $75.00 |
10/01/2018 | PAYMENT | DANIEL, DAY R CHECK NUM: 5201 | $-75.00 | $150.00 |
08/20/2018 | PAYMENT | DAY, DANIEL CHECK NUM: 25917149 | $-86.68 | $225.00 |
07/03/2018 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $311.68 | $311.68 |
03/02/2018 | PAYMENT | DANIEL, DAY R CHECK NUM: 5166 | $-75.00 | $0.00 |
01/16/2018 | PAYMENT | DANIEL, DAY R CHECK NUM: 64232299 | $-75.00 | $75.00 |
10/12/2017 | PAYMENT | DANIEL, DAY R CHECK NUM: 2567 | $-75.00 | $150.00 |
08/09/2017 | PAYMENT | DANIEL, DAY CHECK NUM: 1736 | $-86.68 | $225.00 |
07/03/2017 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $311.68 | $311.68 |
08/08/2016 | PAYMENT | DANIEL, DAY CHECK NUM: 95016476 | $-301.68 | $0.00 |
07/01/2016 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $301.68 | $301.68 |
12/30/2015 | PAYMENT | DANIEL, DAY R CHECK NUM: 2536 | $-150.00 | $0.00 |
10/02/2015 | PAYMENT | DANIEL, DAY R CHECK NUM: 2530 | $-75.00 | $150.00 |
07/30/2015 | PAYMENT | DANIEL, DAY R CHECK NUM: 2526 | $-76.68 | $225.00 |
07/01/2015 | BILL | JDB TRUST, DTD 5/12/15, TRUST | $301.68 | $301.68 |
10/28/2014 | PAYMENT | GANG, DAY R. CHECK NUM: 2501 | $-76.68 | $0.00 |
10/28/2014 | PAYMENT | Amend: Auto Restore Payment CHECK NUM: 2503 | $-225.00 | $76.68 |
10/28/2014 | AMENDMENT | PYMNT 1 APPLIED TO WRONG PRCEL | $-3.07 | $301.68 |
10/28/2014 | ADJUSTMENT | Amend: Auto Adj Out Payment NUM: 2503 | $225.00 | $304.75 |
10/03/2014 | VOID | DANIEL, DAY CHECK NUM: 2503 | $-225.00 | $79.75 |
09/02/2014 | PENALTY | Instlmnt 1 Penalty for 2014-15 | $3.07 | $304.75 |
07/07/2014 | BILL | GANG, DAY R. | $301.68 | $301.68 |
08/05/2013 | PAYMENT | GANG, DAY CHECK NUM: 2467 | $-353.44 | $0.00 |
07/01/2013 | BILL | GANG, DAY R. | $353.44 | $353.44 |
02/27/2013 | PAYMENT | MALLOY, DAY R. CHECK NUM: 9109 | $-86.23 | $0.00 |
12/13/2012 | PAYMENT | MALLOY, DAY R. CHECK BANK: 94-77/1224 NUM: 9105 | $-86.23 | $86.23 |
09/20/2012 | PAYMENT | GANG, DAY RENAE CHECK BANK: 94-77/1224 NUM: 2441 | $-86.23 | $172.46 |
07/26/2012 | PAYMENT | GANG, DAY RENAE CHECK BANK: 94-77/1224 NUM: 2437 | $-86.25 | $258.69 |
07/06/2012 | BILL | GANG, DAY R. | $344.94 | $344.94 |
07/28/2011 | PAYMENT | FREEMAN, MARIAN CHECK BANK: 94-77/1224 NUM: 735 | $-319.38 | $0.00 |
07/06/2011 | BILL | FREEMAN, MARIAN | $319.38 | $319.38 |
08/03/2010 | PAYMENT | FREEMAN, MARIAN CHECK BANK: 94-77/1224 NUM: 562 | $-295.73 | $0.00 |
07/08/2010 | BILL | FREEMAN, MARIAN | $295.73 | $295.73 |
07/21/2009 | PAYMENT | FREEMAN, MARIAN CHECK BANK: 94-77/1224 NUM: 390 | $-273.82 | $0.00 |
07/09/2009 | BILL | FREEMAN, MARIAN | $273.82 | $273.82 |
07/30/2008 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 250 | $-254.25 | $0.00 |
07/10/2008 | BILL | FREEMAN, MARIAN | $254.25 | $254.25 |
07/24/2007 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 136 | $-235.42 | $0.00 |
07/05/2007 | BILL | FREEMAN, MARIAN | $235.42 | $235.42 |
08/01/2006 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 129 | $-204.08 | $0.00 |
07/11/2006 | BILL | FREEMAN, MARIAN | $204.08 | $204.08 |
08/02/2005 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 11929 | $-200.06 | $0.00 |
07/15/2005 | BILL | FREEMAN, MARIAN | $200.06 | $200.06 |
07/26/2004 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 11737 | $-209.62 | $0.00 |
07/07/2004 | BILL | FREEMAN, MARIAN | $209.62 | $209.62 |
07/16/2003 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 11480 | $-136.41 | $0.00 |
07/09/2003 | BILL | FREEMAN, MARIAN | $136.41 | $136.41 |
07/15/2002 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 11224 | $-135.21 | $0.00 |
07/08/2002 | BILL | FREEMAN, MARIAN | $135.21 | $135.21 |
07/23/2001 | PAYMENT | REEEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 10976 | $-169.22 | $0.00 |
07/10/2001 | BILL | FREEMAN, MARIAN | $169.22 | $169.22 |
07/17/2000 | PAYMENT | FREEMAN, KENNETH CHECK BANK: 94-77/1224 NUM: 10745 | $-145.04 | $0.00 |
07/11/2000 | BILL | FREEMAN, MARIAN | $145.04 | $145.04 |
07/23/1999 | PAYMENT | FREEMAN, MARIAN & KENNETH B CHECK BANK: 94-77/1224 NUM: 10521 | $-144.37 | $0.00 |
07/13/1999 | BILL | FREEMAN, MARIAN | $144.37 | $144.37 |
07/27/1998 | PAYMENT | FREEMAN, KENNETH B. & MARIAN CHECK | $-92.07 | $0.00 |
07/14/1998 | BILL | FREEMAN, MARIAN | $92.07 | $92.07 |
07/18/1997 | PAYMENT | FREEMAN, KENNETH B. & MARIAN CHECK | $-89.06 | $0.00 |
07/14/1997 | BILL | FREEMAN, MARIAN | $89.06 | $89.06 |
07/29/1996 | PAYMENT | FREEMAN, MARIAN | $-40.37 | $0.00 |
07/15/1996 | BILL | FREEMAN, MARIAN | $40.37 | $40.37 |