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P.O.

Box 15284
Wilmington, DE 19850
Customer service information

1.888.BUSINESS (1.888.287.4637)

bankofamerica.com
WMA, INC.
Bank of America, N.A.
20120 JUBILEE WAY
P.O. Box 25118
PORTER RANCH, CA 91326-2412 Tampa, FL 33622-5118

Your Business Advantage Fundamentals™ Banking


Preferred Rewards for Bus Gold
for July 1, 2023 to July 31, 2023 Account number: 3251 7718 6655
WMA, INC.

Account summary
Beginning balance on July 1, 2023 $3,001.52 # of deposits/credits: 10
Deposits and other credits 588.38 # of withdrawals/debits: 59
Withdrawals and other debits -3,702.24 # of items-previous cycle¹: 0
Checks -0.00 # of days in cycle: 31
Service fees -20.00 Average ledger balance: $347.79
Ending balance on July 31, 2023 -$132.34 ¹Includes checks paid, deposited items and other debits

PULL: E CYCLE: 67 SPEC: E DELIVERY: E TYPE: IMAGE: I BC: CA1 Page 1 of 6


WMA, INC. ! Account # 3251 7718 6655 ! July 1, 2023 to July 31, 2023

IMPORTANT INFORMATION:
BANK DEPOSIT ACCOUNTS
How to Contact Us - You may call us at the telephone number listed on the front of this statement.

Updating your contact information - We encourage you to keep your contact information up-to-date. This includes address,
email and phone number. If your information has changed, the easiest way to update it is by visiting the Help & Support tab of
Online Banking.

Deposit agreement - When you opened your account, you received a deposit agreement and fee schedule and agreed that your
account would be governed by the terms of these documents, as we may amend them from time to time. These documents are
part of the contract for your deposit account and govern all transactions relating to your account, including all deposits and
withdrawals. Copies of both the deposit agreement and fee schedule which contain the current version of the terms and
conditions of your account relationship may be obtained at our financial centers.

Electronic transfers: In case of errors or questions about your electronic transfers - If you think your statement or receipt is
wrong or you need more information about an electronic transfer (e.g., ATM transactions, direct deposits or withdrawals,
point-of-sale transactions) on the statement or receipt, telephone or write us at the address and number listed on the front of
this statement as soon as you can. We must hear from you no later than 60 days after we sent you the FIRST statement on
which the error or problem appeared.

- Tell us your name and account number.


- Describe the error or transfer you are unsure about, and explain as clearly as you can why you believe there is an error
or why you need more information.
- Tell us the dollar amount of the suspected error.

For consumer accounts used primarily for personal, family or household purposes, we will investigate your complaint and will
correct any error promptly. If we take more than 10 business days (10 calendar days if you are a Massachusetts customer) (20
business days if you are a new customer, for electronic transfers occurring during the first 30 days after the first deposit is
made to your account) to do this, we will provisionally credit your account for the amount you think is in error, so that you will
have use of the money during the time it will take to complete our investigation.

For other accounts, we investigate, and if we find we have made an error, we credit your account at the conclusion of our
investigation.

Reporting other problems - You must examine your statement carefully and promptly. You are in the best position to discover
errors and unauthorized transactions on your account. If you fail to notify us in writing of suspected problems or an
unauthorized transaction within the time period specified in the deposit agreement (which periods are no more than 60 days
after we make the statement available to you and in some cases are 30 days or less), we are not liable to you and you agree to
not make a claim against us, for the problems or unauthorized transactions.

Direct deposits - If you have arranged to have direct deposits made to your account at least once every 60 days from the same
person or company, you may call us to find out if the deposit was made as scheduled. You may also review your activity online
or visit a financial center for information.

© 2023 Bank of America Corporation

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Your checking account
WMA, INC. ! Account # 3251 7718 6655 ! July 1, 2023 to July 31, 2023

Deposits and other credits


Date Description Amount

07/03/23 Misc. Credit Adjustment on 07/03/23 19.99

07/03/23 Misc. Credit Adjustment on 07/03/23 19.99

07/03/23 Misc. Credit Adjustment on 07/03/23 19.99

07/05/23 FEE REVERSAL 20.00

07/05/23 CHECKCARD 0703 Experian* Credit Report 479-3436237 CA 7490641318417758059 19.99

07/05/23 CHECKCARD 0703 Experian* Credit Report 479-3436237 CA 7490641318417758055 19.99

07/05/23 CHECKCARD 0703 Experian* Credit Report 479-3436237 CA 7490641318417758055 19.99

07/11/23 CHECKCARD 0710 AMAZON.COM AMZN.COM/BIL AMZN.COM/BILLWA 7443106319208300712 121.76

07/20/23 RETURN OF POSTED CHECK / ITEM (RECEIVED ON 07-19) 71.68

07/25/23 Speedy #94 DES:FUNDING ID:48536617 INDN:KHALULYAN, GEVORK CO ID:1954703626 255.00


PPD

Total deposits and other credits $588.38

Withdrawals and other debits


Date Description Amount
07/05/23 Zelle Transfer Conf# fnq98jdku; Fischer, Darrell -100.00
07/17/23 LYFT RIDE DES:PAYMENTS ID:043000099681988 INDN:INC WMA CO -22.08
ID:9049042264 WEB
07/18/23 Zelle payment to PAULA LOPEZ for "GAVIN"; Conf# aps10o1nk -92.00
07/18/23 LYFT CANCEL FEE DES:PAYMENTS ID:043000095122260 INDN:1400310000036914709974 -7.00
CO ID:9049042264 CCD
07/19/23 LYFT RIDE DES:PAYMENTS ID:043000096819606 INDN:INC WMA CO -71.68
ID:9049042264 WEB
07/20/23 Temporary Credit Reversal on 07/20/23 -19.99
07/20/23 Temporary Credit Reversal on 07/20/23 -19.99
07/20/23 Temporary Credit Reversal on 07/20/23 -19.99
07/28/23 LYFT RIDE DES:RETRY PYMT ID:043000092677358 INDN:INC WMA CO -71.68
ID:9049042264 WEB
continued on the next page

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WMA, INC. ! Account # 3251 7718 6655 ! July 1, 2023 to July 31, 2023

Withdrawals and other debits - continued


Date Description Amount
Card account # XXXX XXXX XXXX 0839

07/03/23 PURCHASE 0630 AMZN Mktp US*EG4M582M3 Amzn.com/billWA -10.13


07/03/23 PURCHASE 0630 AMZN Mktp US*IQ9FQ2RC3 Amzn.com/billWA -12.45
07/03/23 CHECKCARD 0630 AMAZON.COM*1901K9RR3 AM AMZN.COM/BILLWA -121.76
24431063181083313300653 CKCD 5942 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0630 AMZN MKTP US*VA1966713 AMZN.COM/BILLWA -15.94
24431063182083352970936 CKCD 5942 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 PURCHASE 0630 KIKOFF* CL3XHWMVKW KIKOFF.COM NV -10.00
07/03/23 PMNT SENT 0630 CASH APP*8INCH DONK 8774174551 CA 24492153181741610222905 -120.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 PURCHASE 0701 DOORDASH*ZANKOU CHICKE WWW.DOORDASH.CA -136.89
07/03/23 CHECKCARD 0701 AMAZON.COM*KQ1SR5I83 AM AMZN.COM/BILLWA -40.50
24431063182083355396386 CKCD 5942 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0701 AMZN MKTP US*KU3L34NX3 AMZN.COM/BILLWA -36.39
24431063182083728228696 CKCD 5942 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0630 SQ *APPLIANCE GUY REPAI San Fernando CA 24692163182102507225848 -225.00
CKCD 1520 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0701 ELEVENLABS.IO ELEVENLABS.IONY 24011343182000016576978 -1.00
RECURRING CKCD 5734 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 PMNT SENT 0630 CASH APP*AMY MACKIN 8774174551 CA 24492153182741620608738 -100.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 PMNT SENT 0701 CASH APP*KATHY KORA 8774174551 CA 24492153182854143934406 -1,000.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 PURCHASE 0701 RING PRO LTE HTTPSRING.COMCA -12.61
07/03/23 CHECKCARD 0701 OPENAI OPENAI.COM CA 24492163182000060178887 RECURRING CKCD -15.00
5734 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0701 MIDJOURNEY INC. HTTPSWWW.MIDJCA 24492163182000064481188 -10.00
RECURRING CKCD 5734 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0702 PADDLE.NET* EYEOGMBH PADDLE.COM NY 24011343183000018831420 -5.00
CKCD 5817 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/03/23 CHECKCARD 0702 Fiverr 855-5859699 NY 24906413183177490471815 CKCD 7399 -28.88
XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/05/23 CHECKCARD 0703 GOOGLE *Activision 855-836-3987 CA 24692163184104535183666 CKCD -99.99
5816 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/05/23 PURCHASE 0703 PAYPAL *MICROSOFT 402-935-7733 WA -9.99
07/05/23 CHECKCARD 0704 GOOGLE *Activision 855-836-3987 CA 24692163185105353478194 CKCD -49.99
5816 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/05/23 PMNT SENT 0704 CASH APP*ERIC NELSO 8774174551 CA 24492153185741662497708 CKCD -150.00
4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/05/23 CHECKCARD 0704 CASH APP*DAKOTA PIK 877-417-4551 AZ 24492153185740420831778 -45.00
CKCD 7299 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/05/23 PMNT SENT 0704 CASH APP*ASHLEY FRO 8774174551 CA 24492153185740463631390 -25.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/06/23 CHECKCARD 0706 AMAZON.COM*7M6CP6L23 AM AMZN.COM/BILLWA -218.95
24431063187083752827392 CKCD 5942 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/06/23 CHECKCARD 0705 CASH APP*DAKOTA PIK 877-417-4551 AZ 24492153186740475653480 -14.00
CKCD 7299 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/06/23 CHECKCARD 0705 CASH APP*DAKOTA PIK 877-417-4551 AZ 24492153186740478129157 -15.00
CKCD 7299 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
continued on the next page

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Your checking account
WMA, INC. ! Account # 3251 7718 6655 ! July 1, 2023 to July 31, 2023

Withdrawals and other debits - continued


Date Description Amount
07/06/23 PMNT SENT 0705 CASH APP*SARMAN HAG 8774174551 CA 24492153186740488761106 -200.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/06/23 PMNT SENT 0705 CASH APP*SARMAN HAG 8774174551 CA 24492153186854488668052 -40.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/06/23 CHECKCARD 0705 CASH APP*DAKOTA PIK 877-417-4551 AZ 24492153186740025204842 -20.00
CKCD 7299 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/07/23 PURCHASE 0707 CHATCSV BURNLEY -20.00
07/10/23 CHECKCARD 0707 IC* COSTCO BY INSTACAR HTTPSINSTACARCA 24011343188000042089214 -84.86
CKCD 5411 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/10/23 PURCHASE 0708 DOORDASH*WINES & SPIRI WWW.DOORDASH.CA -21.68
07/10/23 CHECKCARD 0707 CASH APP*DAKOTA PIK 877-417-4551 AZ 24492153188854281157764 -15.00
CKCD 7299 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/10/23 CHECKCARD 0708 APPLE COM BILL CUPERTINO CA 00000000000000000390482 RECURRING -10.99
CKCD 4899 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/10/23 CHECKCARD 0709 APPLE.COM/BILL 866-712-7753 CA 24692163190109669280834 -9.99
RECURRING CKCD 5818 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/10/23 CHECKCARD 0709 DD DOORDASH STARBUCKS 855-973-1040 CA 24492153190717168225622 -65.93
CKCD 5812 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/10/23 CHECKCARD 0708 THESOCIALHUBSPOT.COM 800-9698615 CA 24421143190900013414446 -12.95
RECURRING CKCD 7273 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/11/23 CHECKCARD 0711 SpotifyAB New York NY 00000000000000000KCMZ8F RECURRING CKCD -9.99
4899 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/12/23 CHECKCARD 0711 DA*1064230515 415-6399034 CA 24906413192178118261199 RECURRING -1.00
CKCD 7333 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/26/23 CHECKCARD 0725 CHATGPT SUBSCRIPTION OPENAI.COM CA 24492163206000038085802 -20.00
RECURRING CKCD 5734 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/27/23 CHECKCARD 0726 LYFT *RIDE TUE 12PM LYFT.COM CA 24011343207000048978375 CKCD -27.98
4121 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/27/23 PMNT SENT 0727 CASH APP*TAMAR POLADIAN 971-2757579 CA 24793383208000621101071 -100.00
CKCD 4829 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/28/23 CHECKCARD 0726 DA*1067502017 415-6399034 CA 24906413207179185561662 RECURRING -1.00
CKCD 7333 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
07/31/23 PURCHASE 0728 KIKOFF* CL3XHWMVKW KIKOFF.COM NV -5.00
07/31/23 PURCHASE 0728 ELEVENLABS.IO ELEVENLABS.IONY -22.00
07/31/23 PURCHASE 0729 FREEPIK COMPANY MALAGA -24.00
07/31/23 CHECKCARD 0730 LYFT *RIDE SAT 4AM lyft.com CA 24055233212400969908927 CKCD -35.99
4121 XXXXXXXXXXXX0839 XXXX XXXX XXXX 0839
Subtotal for card account # XXXX XXXX XXXX 0839 -$3,277.83
Total withdrawals and other debits -$3,702.24

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WMA, INC. ! Account # 3251 7718 6655 ! July 1, 2023 to July 31, 2023

Service fees
Your Overdraft and NSF: Returned Item fees for this statement period and year to date are shown below.

Total for this period Total year-to-date We refunded to you a total of


$20.00 in fees for Overdraft
Total Overdraft fees $20.00 $150.00 and/or NSF: Returned Items
this statement period and a
Total NSF: Returned Item fees $0.00 $0.00 total of $110.00 in fees for
Overdraft and/or NSF:
Returned Items this year.

We want to help you avoid overdraft fees. Here are a few ways to manage your account and stay on top of your balance:
- Enroll in Balance Connect™ for overdraft protection through Online or Mobile Banking to help save on overdraft fees and cover
your payments and purchases by automatically transferring money from your linked backup accounts when needed.
- Sign up for Alerts (footnote 1) to get an email or text message when your balance becomes low
Please call us or visit us if you have any questions or to discuss your options.
(footnote 1) You may elect to receive alerts via text or email. Bank of America does not charge for this service but your mobile carrier's
message and data rates may apply. Delivery of alerts may be affected or delayed by your mobile carrier's coverage.

The Monthly Fee on your primary Business Advantage Fundamentals Banking account was waived for the statement period ending 06/30/23.
A check mark below indicates the requirement(s) you have met to qualify for the Monthly Fee waiver on the account.
$250+ in new net purchases on a linked Business debit card has been met

$5,000+ combined average monthly balance in linked business accounts has not been met

Become a member of Preferred Rewards for Business has been met

For information on how to open a new product, link an existing service to your account, or about Preferred Rewards for Business please
call 1.888.BUSINESS or visit bankofamerica.com/smallbusiness.
Date Transaction description Amount

07/31/23 OVERDRAFT ITEM FEE FOR ACTIVITY OF 07-31 -10.00

07/31/23 OVERDRAFT ITEM FEE FOR ACTIVITY OF 07-31 -10.00

Total service fees -$20.00


Note your Ending Balance already reflects the subtraction of Service Fees.

Daily ledger balances


Date Balance ($) Date Balance($) Date Balance ($)

07/01 3,001.52 07/11 122.36 07/25 195.31


07/03 1,159.94 07/12 121.36 07/26 175.31
07/05 759.94 07/17 99.28 07/27 47.33
07/06 251.99 07/18 0.28 07/28 -25.35
07/07 231.99 07/19 -71.40 07/31 -132.34
07/10 10.59 07/20 -59.69

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