Schedule C: Bank interest, Refunded Expenditures and Rebates
| Payer | Reason/Type of Payment | Date Received | Payment |
|---|---|---|---|
| BB&T Bank/Truist 200 W 2nd St Winston Salem, NC 27101-4019 |
Bank Interest | 04/30/2025 | $ 88.28 |
| BB&T Bank/Truist 200 W 2nd St Winston Salem, NC 27101-4019 |
Bank Interest | 05/31/2025 | $ 65.84 |
| BB&T Bank/Truist 200 W 2nd St Winston Salem, NC 27101-4019 |
Bank Interest | 06/30/2025 | $ 34.13 |
| United Bank 14426 Albemarle Point Pl Ste 100 Chantilly, VA 20151-1763 |
Bank Interest | 05/24/2025 | $ 205.60 |
| United Bank 14426 Albemarle Point Pl Ste 100 Chantilly, VA 20151-1763 |
Bank Interest | 06/13/2025 | $ 62.58 |
| 5 Records | Page 1 of 1 | |||
Report period: 04/01/2025 - 06/30/2025