Statement Feb
Statement Feb
Box 2200
Statement Ending 02/28/2025
Corona, CA 92878 Page 1 of 4
800.797.6324
www.mechanicsbank.com
Mechanics Bank Member FDIC. *Terms and conditions apply. Offer valid until 3/31/25. Talk to a banker.
Summary of Accounts
Account Type Account Number Ending Balance
PRIME BUSINESS CHECKING XXXXXXXX0106 $316,563.58
Deposits
Date Description Amount
02/14/2025 DEPOSIT $10,041.90
02/18/2025 DEPOSIT $8,913.10
Electronic Credits
Date Description Amount
02/03/2025 PAYOUT AffiniPayLLC TRN* 1* TX47884622200XT* * 4VXOF665TRIJJUFY\RMR* IK* $58.50
TX478
02/03/2025 StaxPmtsMerchant Svc 15042175 $195.00
SUBTRACT TOTAL
CHECKS
NOT LISTED FROM $
SUBTOTAL ABOVE BALANCE
Other Credits
Date Description Amount
02/21/2025 Incoming Wire Fee Rebate $10.00
02/28/2025 Incoming Wire Fee Rebate $10.00
Electronic Debits
Date Description Amount
02/03/2025 Online Banking Transfer to XXXXXX5152 on 2/02/2025 at 10:27 $5,000.00
Other Debits
Date Description Amount
02/21/2025 Incoming Wire Fee 83607463 $10.00
02/28/2025 Incoming Wire Fee 83852317 $10.00
Checks Cleared
Check Nbr Date Amount Check Nbr Date Amount
7329 02/14/2025 $628.59 7338* 02/25/2025 $347.56
* Indicates skipped check number
Daily Balances
Date Amount Date Amount Date Amount
02/03/2025 $278,159.55 02/12/2025 $309,041.60 02/24/2025 $314,514.03
02/04/2025 $279,692.55 02/13/2025 $321,386.60 02/25/2025 $310,210.51
02/05/2025 $260,923.14 02/14/2025 $336,797.70 02/26/2025 $310,815.01
02/06/2025 $262,195.64 02/18/2025 $336,670.80 02/27/2025 $315,688.58
02/07/2025 $274,558.26 02/19/2025 $337,350.70 02/28/2025 $316,563.58
02/10/2025 $282,346.26 02/20/2025 $323,616.23
02/11/2025 $299,411.26 02/21/2025 $325,980.11