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This file contains: Memo from Ann Harvey to Rose Mary Woods RE: September records for Key Biscayne Bank and Security Pacific Bank. 1 pg. [Memo], 10/7/1971 Account ledger copy. Account number not specified. Handwritten note specifying Special Account. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for account 2-1645-4 dated 09/30/71 and copy of paid RN Special Account check payable to Guest Fund in the amount of $637.82. 1 pg. [Financial Records], N.D. Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 10/1/1971 Account ledger copy. Account number not specified. Handwritten note specifying General Account. 2 pgs. [Financial Records], N.D. Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. [Financial Records], 9/30/1971 Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 10/1/1971 Account ledger copy. Account number not specified. Handwritten note specifying 715 San Clemente Account. 1 pg. [Financial Records], N.D. Security Pacific National Bank statement copy for account number 006 866. 1 pg. [Financial Records], 9/30/1971 Security Pacific National Bank balance sheet. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. [Financial Records], 9/30/1971 Memo from Ann Harvey to Rose Mary Woods RE: August records for Key Biscayne Bank and Security Pacific Bank. 1 pg. [Memo], 9/13/1971 Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. [Financial Records], 8/31/1971 Account ledger copy. Account number not specified. 2 pgs. [Financial Records], N.D. Account ledger copy. Account number not specified. 1 pg. [Financial Records], N.D. Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN Special Account number 2-1645-4. 1 pg. [Financial Records], 8/31/1971 Account ledger copy. Account number not specified. Handwritten note 715 bottom left corner.2 pgs. [Financial Records], N.D. Security Pacific National Bank balance sheet. Account number not specified. 1 pg. [Financial Records], N.D. Security Pacific National Bank statement copy for account number 006 866. 1 pg. [Financial Records], 8/31/1971 Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. [Financial Records], 8/31/1971 Memo from Marilyn R. Parent to Rose Mary Woods RE: July records for Key Biscayne Bank and Security Pacific Bank. 1 pg. [Memo], 8/11/1971 Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. [Financial Records], 7/30/1971 Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 7/31/1971 Account ledger copy. Account number not specified. Handwritten note specifying General Account. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN Special Account number 2-1645-4. 1 pg. [Financial Records], 7/30/1971 Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 7/31/1971 Account ledger copy. Account number not specified. 1 pg. [Financial Records], N.D. Security Pacific National Bank statement copy for account number 006 866. Handwritten note specifying San Clemente 715 Trustee Account. 1 pg. [Financial Records], 7/30/1971 Security Pacific National Bank balance sheet. Account number not specified. 1 pg. [Financial Records], 7/31/1971 Account ledger copy. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. [Financial Records], 7/30/1971

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26126166
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WHSF: Returned, 7-8
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doc
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26126166
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WHSF: Returned, 7-8
description
This file contains: Memo from Ann Harvey to Rose Mary Woods RE: September records for Key Biscayne Bank and Security Pacific Bank. 1 pg. [Memo], 10/7/1971 Account ledger copy. Account number not specified. Handwritten note specifying Special Account. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for account 2-1645-4 dated 09/30/71 and copy of paid RN Special Account check payable to Guest Fund in the amount of $637.82. 1 pg. [Financial Records], N.D. Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 10/1/1971 Account ledger copy. Account number not specified. Handwritten note specifying General Account. 2 pgs. [Financial Records], N.D. Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. [Financial Records], 9/30/1971 Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 10/1/1971 Account ledger copy. Account number not specified. Handwritten note specifying 715 San Clemente Account. 1 pg. [Financial Records], N.D. Security Pacific National Bank statement copy for account number 006 866. 1 pg. [Financial Records], 9/30/1971 Security Pacific National Bank balance sheet. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. [Financial Records], 9/30/1971 Memo from Ann Harvey to Rose Mary Woods RE: August records for Key Biscayne Bank and Security Pacific Bank. 1 pg. [Memo], 9/13/1971 Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. [Financial Records], 8/31/1971 Account ledger copy. Account number not specified. 2 pgs. [Financial Records], N.D. Account ledger copy. Account number not specified. 1 pg. [Financial Records], N.D. Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN Special Account number 2-1645-4. 1 pg. [Financial Records], 8/31/1971 Account ledger copy. Account number not specified. Handwritten note 715 bottom left corner.2 pgs. [Financial Records], N.D. Security Pacific National Bank balance sheet. Account number not specified. 1 pg. [Financial Records], N.D. Security Pacific National Bank statement copy for account number 006 866. 1 pg. [Financial Records], 8/31/1971 Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. [Financial Records], 8/31/1971 Memo from Marilyn R. Parent to Rose Mary Woods RE: July records for Key Biscayne Bank and Security Pacific Bank. 1 pg. [Memo], 8/11/1971 Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. [Financial Records], 7/30/1971 Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 7/31/1971 Account ledger copy. Account number not specified. Handwritten note specifying General Account. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN Special Account number 2-1645-4. 1 pg. [Financial Records], 7/30/1971 Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. [Financial Records], 7/31/1971 Account ledger copy. Account number not specified. 1 pg. [Financial Records], N.D. Security Pacific National Bank statement copy for account number 006 866. Handwritten note specifying San Clemente 715 Trustee Account. 1 pg. [Financial Records], 7/30/1971 Security Pacific National Bank balance sheet. Account number not specified. 1 pg. [Financial Records], 7/31/1971 Account ledger copy. Account number not specified. 1 pg. [Financial Records], N.D. Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. [Financial Records], 7/30/1971
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Richard M. Nixon's Returned Materials Collection
Returned White House Special Files
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Richard Nixon Presidential Library White House Special Files Collection Folder List Box Number Folder Number Document Date Document Type Document Description 7 8 10/07/1971 Memo Memo from Ann Harvey to Rose Mary Woods RE: September records for Key Biscayne Bank and Security Pacific Bank. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. Handwritten note specifying Special Account. 1 pg. 7 8 N.D. Financial Records Key Biscayne Bank statement copy for account 2-1645-4 dated 09/30/71 and copy of paid RN Special Account check payable to Guest Fund in the amount of $637.82. 1 pg. 7 8 10/01/1971 Financial Records Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. Handwritten note specifying General Account. 2 pgs. 7 8 09/30/1971 Financial Records Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. Wednesday, July 22, 2009 Page 1 of 5 Box Number Folder Number Document Date Document Type Document Description 7 8 10/01/1971 Financial Records Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. Handwritten note specifying 715 San Clemente Account. 1 pg. 7 8 09/30/1971 Financial Records Security Pacific National Bank statement copy for account number 006 866. 1 pg. 7 8 N.D. Financial Records Security Pacific National Bank balance sheet. Account number not specified. 1 pg. 7 8 09/30/1971 Financial Records Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. 7 8 09/13/1971 Memo Memo from Ann Harvey to Rose Mary Woods RE: August records for Key Biscayne Bank and Security Pacific Bank. 1 pg. 7 8 N.D. Financial Records Bank balance sheet copy. Account number not specified. 1 pg. Wednesday, July 22, 2009 Page 2 of 5 Box Number Folder Number Document Date Document Type Document Description 7 8 08/31/1971 Financial Records Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. 2 pgs. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. 1 pg. 7 8 N.D. Financial Records Bank balance sheet copy. Account number not specified. 1 pg. 7 8 08/31/1971 Financial Records Key Biscayne Bank statement copy for RN Special Account number 2-1645-4. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. Handwritten note 715 bottom left corner.2 pgs. 7 8 N.D. Financial Records Security Pacific National Bank balance sheet. Account number not specified. 1 pg. Wednesday, July 22, 2009 Page 3 of 5 Box Number Folder Number Document Date Document Type Document Description 7 8 08/31/1971 Financial Records Security Pacific National Bank statement copy for account number 006 866. 1 pg. 7 8 08/31/1971 Financial Records Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. 7 8 08/11/1971 Memo Memo from Marilyn R. Parent to Rose Mary Woods RE: July records for Key Biscayne Bank and Security Pacific Bank. 1 pg. 7 8 07/30/1971 Financial Records Key Biscayne Bank statement copy for RN and PN account number 2-0527-4. 1 pg. 7 8 07/31/1971 Financial Records Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. Handwritten note specifying General Account. 1 pg. 7 8 07/30/1971 Financial Records Key Biscayne Bank statement copy for RN Special Account number 2-1645-4. 1 pg. Wednesday, July 22, 2009 Page 4 of 5 Box Number Folder Number Document Date Document Type Document Description 7 8 07/31/1971 Financial Records Key Biscayne Bank balance sheet copy. Account number not specified. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. 1 pg. 7 8 07/30/1971 Financial Records Security Pacific National Bank statement copy for account number 006 866. Handwritten note specifying San Clemente 715 Trustee Account. 1 pg. 7 8 07/31/1971 Financial Records Security Pacific National Bank balance sheet. Account number not specified. 1 pg. 7 8 N.D. Financial Records Account ledger copy. Account number not specified. 1 pg. 7 8 07/30/1971 Financial Records Key Biscayne Bank statement copy for RN account number 2-1893-1. 1 pg. Wednesday, July 22, 2009 Page 5 of 5 PERSONAL AND CONFIDENTIAL MEMORANDUM for Pared FILE: Date: October 7, 1971 To: Rose Mary Woods From: Ann Harvey Enclosed please find Xerox copies of the following records for the month of September: 1. Bank statement and reconciliation of General Account at Key Biscayne Bank and check register. 2. Bank statement and reconciliation of Special Account at Key Biscayne. 3. Bank statement and reconciliation of San Clemente 715 Trustee Account at Security Pacific Bank and check register. 4. Bank statement of personal checking account at Key Biscayne Bank for President Nixon. Enclosures TOTAL DEDUCTIBLE DESCRIPTION OF DEPOSITS NATURE OF ITEM AMOUNT OF ITEM TOTAL AMOUNT BOUNCE OF ITEM OF DEPOSIT nick Feb support 01 5/19 Guist Fund charges 563 98 15,821 74 Balanced 6/8/71 Duep march april -186/4 Guest Fund supparchip 1,107 48 14,714 26 " may expense check 6/4 6 doz 610°F 3,125 01 17,839 27 19.6/9 Guest Fund glasses dog 60 - 17,779 27 020 reid 021 Need Balanced 7/12/71 - MRP June Expense check 7/7 3,124 97 20,904 24 wedding 022 Guasurer of the u.d. 14,796 83 6,107 41 Balanced 8/9/ May expenses - mRP support 023 8/9 Gust Fund charges 637 82 5469 59 024 " Herbert W Kalumbach Transfer I funds to San Chimacters 3,000 V - 2,469 59 0 July Expense check 8/10 3125 01 5,594 60 Belinus to hire 9/13/71 ann DATE CHECK ISSUED TO AMOUNT AMOUNT IN PAYMENT OF OF BALANCE OF CHECK DEPOSIT OF DEPOSIT BALANCE BROUGHT FORWARD 5,594 " and Evpense Check 9/21 3125 01 8719. 1.1 Balonud to hiss. Comm 10/7/71 Sept Expense Check 10/5 3/25 / Special lecet Key Biscayne Bank STATEMENT ACCOUNT KEY BISCAYNE. FLORIDA 33149 HON RICHARD M NIXUN 2-1645*4 SPECIAL ACCOUNT MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIFORNIA 09/30/71 6,232.42 1 637.82 3,125.01 .00 8,719,61 09/01 6,232.42 637.82 09/03 5,594.60 3,125.01 09/24 8,719.61 CHECKS ENCLOSED 01 NOW TRUST SERVICES HERE ON THE KEY RICHARD M. NIXON No 10023 SPECIAL ACCOUNT 63-138 631 Key Biscayne Bank August 9, 1971 PAY SIX HUNDRED THIRTY-SEVEN AND 82/100* PAYS * * DOLLARS s*637.82* TO GUEST FUND RICHARD M. NIXON THE SPECIAL ACCOUNT ORDER OF 63-138 SEP O 31971 63-138 ⑆0631⑉0138⑆ 2⑉1645⑈ ⑇0000063782⑇ Sprint A SIMPLE VIAY TO BALANCE YOUR ACCOUNT CHECKS OUTSTANDING permise, 001 NOT CHARL-ED TO ACCOUNT) NUMBER AMOUNT BALANCE SHOWN ON THIS STATEMENT $ 8,719.61 PLUS + - DEPOSITS NOT CREDITED $ ON STATEMENT 0 TOTAL $ MINUS OUTSTANDING CHECKS $ BALANCE $ 8,719 61 Balance puck book TOTAL as at 10/1/71 S BALAN SHOULD AGRU With " UP THECK BOOK ALHR YOU HAVE DEDUCITY TRVE: CHARGE OF ANY OTHER CHARGE SHOWN ON HRS STATEMENT / DATE CHECK ISSUED TO AMOUNT AMOUNT CHECK DATE IN PAYMENT OF OF BALANCE NO. OF CHECK OF DEPOSIT DEPOSIT BALANCE BROUGHT FORWARD 18,400 32 0350 8/12 Then of u. J. Personal aci Croft Trank 917 00 V 17.489 32 0351 8/12 The Viterans adm 6 min Life In prem Policy 137 2c 17.352 12 Vike Asha & 0352 " County 7 allange Drg License King Timaker 15. - 1 17,337. 12 Co. Roy. ck: 6 Crises 8/17 152 - 17,489 12 10353 8/17 Florida P&L. Co. Sew to 8/27/71 200 54 5 17,288 28 0354 8/17 Den Waterworks borp Sec. 6/8- 8/10 30 32 17.258 & 0355 8/17 the 4. -Pm trant Julie/ David 284 - 16.974 26 0356 8/17 heasing of the u S. Form Exp use July months 2 593 01 XI 16.381 25 o/c 8/10 First Feb S+L of miami 359 7 500 Buy Lane - 16,022 25 0357 8/20 mony (ann. Prem. Rmn Policy 922-43 96) 516 2 70 15.505 55 wase sin. 0358 8/23 baby Names Water C. whitter Print. 937 7 15,496 18 20359 813 Mickelsons Inc Ricture frame 93 60 15,402 58 0360 8131 Glindole Ted San. 9/5 mark Pay. Whither 451 - D 14,951 55 0361 8/31 Bike Wee learn -bnn chy Ceme Maint 12. - 14,939 so second mark- A/C 8/3, Paul C. Williams Bay Lane 300 - 14,639 58 Conntries Ref ck 203.11 behik- Entry x 8/3 155.62 166.78 11. 16 7 14628 42 Balanced to here 9/21/71 band 1st most 1/C 9/7 Suctor Midini Led 1x2 been 516 Bay Lan 740 - 13.158 4) 0362 Stewart Pist Control The aug few 9/7 accepting 40 - 13,848 42 Den Waterwork Carp. Service 8-12- - 9-10-71 363 9/7 78 55 13,769 87 0364 9/13 aetna Life - 3m. Prem. 1,215. 96 12,553 91 0345 9/14 7 lover Powert Light 6. Sew 9-1-71 208 - > 12,345 91 0360 9/15 a C. Combined 741 Camp Fund Contril 100 0 -- 12,245. 91 Beink spirt 12am 050 0367 9/15 Bleck aster % G. + P/R Assas $149.05 1,199 05 > 11,046 86 0368 9/15 H.W Kalmboch, Prestic X for fund 6 Sinc 5,000 > - 6,049 86 better Props. 50- 9/21 Deposit sept. big Rint Dal 12550 89 9/21 12,600 89 18,647 75 A/C 9/15 First Ind 1st more Bay Lane 359 - V 18,288 15 0364 4/21 The Pierre 9/21/71 mr. Nixon 41 1 0 18,247 75 9/22 basy alem. state C. 9/20/71 w aby see 0370 Whither Pleas. 10 34 0 18,237 41 .37, 9/24 Treas of u. I Family Eips for lung 426 0 61 17,810 50 General Cust DATE CHECK ISSUED TO IN PAYMENT OF AMOUNT OF AMOUNT CHECK DATE OF CHECK NO. DEPOSIT OF DEPOSIT BALANCE BALANCE BROUGHT FORWARD 255 20372 9/28 Day Pribute To Ske Donalion 100 - o 17,710 9/23 Deposit Interest on Cart #10 N 7/27 016 57 18721 Balanced to her. lenn 10/7/71 Paul C. Williams sepend nove F/C 10/1 Sny Lane 300 i 10/5 Payment 20373 10/1 Blender Fed Oct Sex whicher From 451 - kins - she Props. 11/5 Deposit : Sept Sorary 10/5 12,600 84 amarmed too 90 20374 10/5 Columbia Country Club- fork Fee 15.- 15. 90 10375 10/5 Stewart Peat Centrol aga+149 are Spr. for to - Key Biscayne Bank STATEMENT OF ACCOUNT KEY BISCAYNE FLORIDA 33149 HON RICHARD M NIXON OR 2-0527-4 MRS PATRICIA R NIXON MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIF 09/30/71 16,979.03 14 11,191.17 13,617.76 .00 19,405.62 09/01 16,979.03 740.00D 09/01 16,239.03 917.00 09/02 15,322.03 451.00 09/08 14,871.03 93.60 09/10 14,777.43 40.00 78.55 09/15 14,658.88 359.00D 09/16 14,299.88 284.00 09/17 14.015.88 12.00 593.01 09/21 1,215.96 5,000.00 7,194.91 208.00 09/22 6,986.91 1,199.05 12,600.89 09/24 18,388.75 1,016.87 09/30 19,405.62 CHECKS INCLOSED 14 NOW TRUST SERVICES HERE ON THE KEY RECEIVED OCT? 1971 KALMBACH, DeMARCO, KNAPP & CHILLINGWORTH LAW OFFICES S-SERVICE CHARGE -OVERDRAFT C-CREDIT MEMO KEY R-RETURNED CHECK DEBIT MEMO E-ERROR CORRECT HERE'S A SIMPLE WAY TO BALANCE YOUR ACCOUNT CHECKS OUTSTANDING (WRITTEN, BUT NOT CHARGED TO ACCOUNT) NUMBER AMOUNT 20366 100 20369 41 / BALANCE SHOWN ON 20370 10 34 THIS STATEMENT $ 19,405.62 20371 426 61 20372 100 1 PLUS + DEPOSITS NOT CREDITED $ ON STATEMENT TOTAL $ - - MINUS- OUTSTANDING CHECKS $ 677.95 BALANCE 18,727.67 Bal pr TOTAL 677 95 as ar 10/1/71 BALANCE SHOULD AGREE WITH YOUR CHECK BOOK AFTER YOU HAVE DEDUCTED SERVICE CHARGE CR ANY OTHER CHARGE SHOWN ON THIS STATEMENT DATE CHECK DATE CHECK ISSUED TO AMOUNT OF AMOUNT IN PAYMENT OF BALANCE NO. OF CHECK DEPOSIT OF DEPOSIT BALANCE BROUGHT FORWARD Service 700 92 373 2/7 July aug naile in with 20 ! 680 374 " which s Landscape Service } 335 91 7 345 Co 375 So Calif Gas Co. 4/25 7127 " gas Jas Service Serv e 37 43 307 02 376 " Sau Diego Das Elec Co elec.Seprice 6128 7/28 107 35 7 200 27 377 " Mission Pool Service supplies July service 68 80 131 47 Transfer from Gerruas weeking account with 8/10 3,000 - 3,131 47 378 8/9 Galfing Freends of the Bus bells share 200 - 2,931 4; 379 8/17 Bay Cities Hardraw wise items 12 02 2919 45 an can 380 8/18 CapistrausHeating action; heating service work 110 03 2 2,809 42 381 " " " units gave 284 X 78 2,524 64 382 8/26 City of San Clement will 5/27-7/30 5/27 7/30 632 40 & D 1,892 24 383 8/27 Brigids Forcia buy Parpoll 482 14 7 1.410 10 384 8/31 So Craf Das C. 7/27 18/25 Balanced and 9/2/71 gas Serv 26 29 X 1.383 8' 385 9/2 White Lindscape See - Inc must beg 335 91 2 1,047. 90 386 9/2 San Drigo In & Elect 7/28/71- 8/26/71 elect sim 90 55 ) 957 35 9/7 In #1736 clear 387 Greenwood Lishing 21 2274 Rpr Broken flever line 41.19 52.50 93 69 863 66 388 4/9 Metro Sept water Sew. Sew for Sept. , 20 1 843. 66 389 9/9 Missin - new new aug metr part Paintin service 131. 80 yo- 171. 80 671. 86 Re 390 9/14 / The Starteent boep Plumba Light Buttie 691 22 <9. 36, 0/15 Deposit Xfer from Key Bescayn Her and 1 9/15 5,000 - 4980 64 391 9/29 Brigide Darcia Sept Parpose 482 14 0 4498 50 392 9/30 Whited Londoces Sers -)ng Tent 335 0 91 4162 59 Beloned hue. and 10/7/71 393 10/, So. Coly Has Co. 8/25 9127 Yes sween 57 63 394 10/1 Cyprus Show Comm basn 395 Metro Soft in ate Sin July-ling Security Sept 450 1 10/5 Jew. for Out 20 - 715 San Clemente SECURITY PACIFIC NATIONAL BANK S CUSTOMER'S STATEMENT HERBERT W KALMBACH 109 006 Hbt ATTORNEY AT LAW 017 CLIENTS TRUST ACCOUNT C2 550 NEWPORT CENTER DR NEWPORT BEACH CA 92660 ACCOUNT WPORT CENTER OFFICE NUMBER 006 866 PERIOD AUG 31 71 TO SEP 30 71 CHECKS CHECKS CHECKS CHECKS DEPOSITS DATE BALANCE 632 4C SEP 1 71 1410 10 26 29 SEP 8 71 1383 81 90 55 SEP 10 71 1293 26 93 69 335 91 SEP 13 71 803 60 5000 00 SEP 15 71 5863 66 171 80 \ SEP 16 71 5091 86 20 00 691 22 SEP 20 71 4980 64 RECEIVED OCT 6 1971 KALMBACH, DeMARCO, KNAPP & CHILLINGWORTH LAW OFFICES CHECKING ACCOUNT SUMMARY DEPOSITS CHECKS SERVICE CHARGE BEGINNING BALANCE ENDING BALANCE TOTAL NUMBER TOTAL AMOUNT TOTAL NUMBER TOTAL AMOUNT NUMBER OF ITEMS AMOUNT 2042 50 1 5000 00 8 2061 86 8 00 49c 04 ou 1 KEY N SCELLANEOUS ENTRY S SERVICE CHARGE IMPORTANT - DEPOSITOR PLEASE NOTE RELEASING ENTRY X AUTOMATIC TRANSFER C Please examine this statement of your account and the enclosed items at once ,tro error CURITY PACIFIC NATIONAL BANK to us within ten davs. this statement will De considered correct For your conven ence. a 5 AC 390 7.71 5Y conciling your account IS provided on the back of this sheet 715 CHECKS OUTSTANDING (NOT YET SUBTRACTED FROM THIS STATEMENT) SECURITY PACIFIC NATIONAL BANK NUMBER OR DATE AMOUNT NUMBER OR DATE AMOUNT CUSTOMER'S RECONCILEMENT 391 482 14 392 335 91 To reconcile your record with this statement of your account, we suggest the following steps: : Remove any memorandums of bank charges from the checks returned to you with this statement. Subtract these charges and the monthly service charge, if any, (indicated by "S") from your check book balance. 2. If you have authorized any automatic deductions from your account (Auto- matic Transfer deductions), check off () on your check book record each "check" indicated by an "X". 3. Sort the checks in numerical order or by date issued. Check off ) each of these checks on your check record. Under "CHECKS OUTSTANDING" at the right, list the numbers (or dates) and amounts of the checks that you have not checked off and any Automatic Transfer deduction entered in your check book record during this statement period which is not reflected in this state- ment. Total these amounts. TOTAL 818/05 4. If you have authorized any funds to be automatically credited to your ac- count (Automatic Transfer deposits). check off () on your check book DEPOSITS NOT CREDITED IN THIS STATEMENT record each deposit indicated by an "X". DATE ENTERED DATE ENTERED 5. Check off () on your check book record each deposit shown in this state- AMOUNT AMOUNT IN YOUR RECORD IN YOUR RECORD ment. Under "DEPOSITS NOT CREDITED IN THIS STATEMENT," list the amount of any Automatic Transfer deposit entered in your check book record during this statement period which is not reflected as a deposit in.this state- ment. Also. list any deposits in your record that do not appear in this statement. Normally these deposits would be received by us after this statement was pre- TOTAL cared and would appear in your next statement. If, however, any of these deposits were made before the last date shown on this statement, please bring this matter to the attention of an officer at the Bank. RECONCILEMENT 6. Under RECONCILEMENT': a. Enter the ending balance as shown in this statement. Ending Balance Shown In This Statement b. Add the total of "DEPOSITS NOT CREDITED IN THIS STATEMENT." 4,980 64 C. Subtract the total of "CHECKS OUTSTANDING. Add: Total of DEPOSITS NOT CREDITED IN THIS STATEMENT The remaining balance should agree with your check book balance. If it does not, any difference should normally be located if you: a. Check the addition and subtraction in your check book record. D. Make certain that the amounts of checks and deposits are entered cor- Subtract: Total of CHECKS OUTSTANDING 818 05 rectly in your record. C. Make certain that no check was issued without being entered in your record. BALANCE (Should agree with your check book balance) 4,6259 Key Biscayne Bank STATEMENT OF ACCOUNT KEY DISCAYNE FLORIDA 33149 ACCOUNT TOMETH HON RICHARD M NIXON 2-1893-1 MK HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIF 09/30/71 2,861.65 .00 .00 .00 2,861,65 09/01 2,861.65 CHECKS ENCLOSED 00 NOW TRUST SERVICES HERE, ON THE KEY RECEIVED OCT 8 1971 KALMBACH, DeMARCO, KNAPP & CHILLINGWORIH LAW OFFICES RVICE CHARGE -OVERDRAFT C-CREDIT MEMO THE TURNED CHECK D-DEBIT MEMO E-ERROR CORRECT MEMORANDUM FILE: Date: September 13, 1971 To: Rose Mary Woods From: Ann Harvey Enclosed please find Xerox copies of the following records for the month of August: 1. Bank statement and reconciliation of General Account at Key Biscayne Bank and check register. 2. Bank statement and reconciliation of Special Account at Key Biscayne. 3. Bank statement and reconciliation of San Clemente 715 Trustee Account at Security Pacific Bank and check register. 4. Bank statement of personal checking account at Key Biscayne Bank for President Nixon. Enclosures HERE'S A SHAPLE W/Y TO BALANCE YOUR ACCOUNT CHECKS OUTSTANDING (WRITTEN, BUT NOT CHARGED TO ACCOUNT) NUMBER AMOUNT 1 20350 917- - BALANCE SHOWN ON 20355 284 - THIS STATEMENT $ 16,979.03 20356 593.01 20359 93.60 20360 451 - 1 PLUS + 20361 12 - DEPOSITS NOT CREDITED $ ON STATEMENT - TOTAL $ 0- I I MINUS - OUTSTANDING CHECKS $ $ 2,350.67 BALANCE $14,628.42 TOTAL 2,350 61 BALANCE SHOULD AGREE WITH YOUR CHECK BOOK AFTER YOU HAVE DEDUCTED SERVICE CHARGE OR ANY OTHER CHARGE SHOWN On ON TH S STATEMENT Key Biscayne Bank STATEMENT OF ACCOUNT KEY BISCAYNE, FLORIDA 33149 ACCOUNT NUMBER HON RICHARD M NIXON OR 2-0527-4 MRS PATRICIA R NIXON MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIF DATE 08/31/71 8,252.32 19 4,026.18 12,752.89 .00 16,979.03 DEBIT 08/02 8,252.32 9.00 14.00 08/02 253.70 7,975.62 740.000 24.55 08/03 166.78 451.00 6,593.29 45.88 08/04 6.547.41 541.14 08/06 6.006.27 359.00D 50.00 08/11 5,697.27 12,550.89 08/12 18,248.15 40.00 08/13 18,208.16 152.00 08/19 18,36r.16 15.00 08/23 18,345.16 30.32 08/24 18,314.84 200.54 08/25 18/114.30 137.20 172.00 08/26 17,805.10 300.00D 08/30 17,505.10 9.37 516.70 08/31 16,979.03 CHECKS ENCLOSED 19 NOW TRUST SERVICES HERE ON THE KEY RECEIVED SEP 131971 KALMBACH, DeMARCO, KNAPP & CHILLINGWORTH LAW OFFICES S SI RVICE CHARGE -OVERDRAFT C-CREDIT MEMO KEY. RETURNED CHECK D-DEBIT MEMO E-ERROR CORRECT : DATE CHECK DATE CHECK ISSUED TO IN PAYMENT OF AMOUNT OF AMOUNT BALANCE NU. OF CHECK DEPOSIT OF DEPOSIT BALANCE BROUGHT FORWARD 18,406 32 20150 8/12 Thes of u. J. Personal aircraft Trad 917 ON 0 17.489 32 20351 8/12 The Viterans adm 6 mos Life prem Policy 137 20 , 17.352 1: Vike Pasha & 20352 to County of arange Dog License King Timakai 15. - / 17,337 /2 Crises \ Deableday C. Roy. ck: 6 8/17 152 - 17,489 12 20353 8/17 Florida PvL. Co. Sew to 8/27/71 200 54 ( 17,288 2. 20354 8/17 Den Waterworks Corp. Serv. 6/8-8/10 30 32 L 17,258 u 20355 8/17 Freasurer of the 4 I Pm Julie/ as trant David 284 - 0 16.974 21 20356 8/17 heary of the u S. From Exp July 71 593 01 0 16.381 2. A/C 8/10 First Fed 8+2 miami LOK meal 359 7 500 Bay Lane - 16,022 2: 20357 8/20 mony (ann. Prem. Rmn Policy 922-43 46) 516 4 70 15,505 55 Water sear. 20358 8/23 bacy Water C. it better Print. 4. 37 / 15,496 18 20359 813 Mickelsons I've Picture Frame 93 60 0 15,402 50 20360 8/31 Glendele Tex Sav. 9/5 must Pay Whitter 451 - C 14,951 51 20361 8/31 Bire Wee lessn. -bnn che am Maint 12, c - 14,939 So Second mark A/C 8/3, Paul C. Williams Bay Jane 300 - 7 14,634 50 8/3, Conntries Ry ch"203411 bebek- Entry 155.00 166.78 11. 16 Z 14,628 4; Balanced to here 9/21/71 born 1st most A/C 4/7 Dute Miami ted 1x2 been 516 Bay Lane 740 relie I ternach Pest Control The aug sere 20362 9/7 accepting 40 - 8-12-71 - 9-10-21 20363 9/7 Den Waterwork Carp. Signature 78 55 70364 9/13 aetna Life - 3ml Prem. 1,215 96 20345 9/14 I lorida fower to Light C. Sere 9-1-71 208 -- 20360 9/15 Ca C. Combined fed Comp Fund Contral 100 -- Bleck Oster % G. Desirt + PIR needs Did (Lin 050 20367 9/15 $149.05 1,199 05 20368 9/15 H.W. Kelmbock, Prester for fund Sinc 5,000 - sept. Kens Whitter Props. 50- 9/21 Deposit bing Dai 12550. 89 9/21 12,600 39 A/C First Ford 1st most 9/15 Bay Lane 359. I 9/21 The Pierre 9/01/71 Mr. Nixon 41 1 CHECK DATE DATE NO. CHECK ISSUED TO IN PAYMENT OF AMOUNT V OF BALANCE OF CHESS v DE DEPOSIT DEPOSIT - BALANCE BROUGHT FORWARD 68780 46 4/25 Gland are Indial 7/6 mtg put 3351 25 whitter 451 - 68335 TE 20332 6/28 Engraving 2 isli 34 68300 96 P/C 6/30 SML may 740 4/C il 67,500 96 Wireiowd had Bulcued 7/12/71 300 67260 96 20333 7/7 Street Pest Coutrol June sureen SucBayLan 40 00 61,220 96 " a Sulka Co. was 20354 shirts 177 90 67013 06 20335 " Dade June County Waste Dev Have 12/31/71 as each 52 66,991 06 Salary (12 250 851 July But written aydren pup (523) 7/y 13,000 35 79,591 91 20836 7/8 have Gener Bity less 2 of west 172 & 79419 91 20331 The nessy , live Re school 56 - 79393 91 20338 The Carley company iinsinraver 1136 - 18257 41 KDRS Transt accept would a 20339 presenty 1282 NO 975 35 A/C miami 7/12 ist Fed Louision upmty 354 a 616 35 General corp we the service 20340 7/19 5/12 IV 6/05 45 570 47 Service re 166 7) See entry on 20311 7/22 Florida Pewer Light to 7/1/71 25/71 155 63 9-13-71 41+ 8.5 " 2342 The Pierre an Nixed 24 55 340 3. " 20243 Burning Free Club Ju etatement artsily 14 - 376 30 " Casts classing 20344 Wakefuld Hennet, Webster Lot 12, Blk 8-74 157 96 218 tc eskc Trust acct Cetter property balowas 7/23 6,157 98 6,376 33 20345 7/26 Perinds Call Dimester Water Co Whithenoug 9 - 6,367 33 30346 " 6 diviers 7/15 253 70 V 6113 63 currest key Bruck 540 TR.15 an culertificate of Deposit ned 7/14/41 7/26 1,763 84 7,577 57 Leasurer 9 u & June person & 20341 LENE 541 14 & 7,336 43 20348 Glendale Federal Samigs 8/5 netg put. tempings 451 - V 6,885 43 c/c 1/26 Paule Williams the may 500 Bay sure 300 - 6585 43 Balanced 8/9/71 MRP will Stewart Rest Carted Duly services 0349 500Bay Lane to - 6,545 43 august Rent. whether supe ty 8/9 50 - 6,595 43 A/C 8/3 Geertinmanized S.Lam ist mtg 216 Bay Lane 740 I 585543 July salary 8/10 12,550.89 18+06 32 CHECK DATE DATE CHECK ISSUED TO AMOUNT AMOUNT NO. IN PAYMENT Of OF BALANCE OF CHECK OF DEPOSIT DEPOSIT BALANCE BROUGHT FORWARD 6,894.40 1/3 December experies disk 2,416 67 9,811 07 balawad 1/19/21 MRP balanced 1/17/71 mer Jan Expense check 4/10 3,35 01 12936 is about chair 10751 2/10 Clearurer Than 500 - 12436 10152 " Hallemark Cards cards 3250 ! 9,180 taken 2/70 whited Oct, any 659 8327 10014 2/24 Guest Twice support chgs 215 46 8970 62 Feb expense check 3/5 3,125 01 1209563 10015 3/12 Guist Fund nor. A sec 10016 January support chico 1,026 27 11,069 36 3/19 Guest Fund 933 66 10/35 of balanced 4/5/71 MFP march expense check 1/12 3,125 01 13,260 71 balanced 5/10/71 mcp / apilexpeurs check 5/10 3,125 01 16335 72 10017 5/19 Guest Fund 2ch support charges 563 98 15,821 74 Balanced 6/8/71 Ducp march april 10018 6/4 Guest Fund supporting 1,107 48 14,714 26 " may expense check 6/4 & dezensy 3,135 01 17,839 25 10019 6/9 Guest Fund glasses dy 60 I 17,779 27 10020 reid 10021 reed Balanced 7/12/71 - IMRP 1/26 June Expense check 7/7 Guarniser of the and wedding 3,124 97 20,904 14 10022 expenses 14,796 83/- 610741 Balanced 8/9/71 mer 8/9 support 10023 Great Lund changes 637 82 0 10024 " In ansped of fund 546959 Herbert Kaluback to San Universation 3,000 - V 2,469.59 0 July Expense check 8/10 3/2501 5,594.60 Belineed to Ruse 4/13/71 ann 3.40023 637.82 6,232.12 it ; 1 TOTAL 3 was CHECKS $ 637.82 SALANCE $ 5,594.60 637.82 DEVERED Key Biscayon / KEY HON RICHARD M NIXUN 2-1645-4 SPECIAL ACCOUNT MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIFORNIA 08/31/71 20,904.24 2 17,796.83 3,125.01 .00 6,232,42 08/02 20,904.24 14,796.83 08/06 6,107.41 3,125.01 08/12 9,232.42 3,000.00 08/13 6,232.42 CHECKS ENCLOSED c2 NOW TRUST SERVICES HERE ON THE KEY RECEIVED SEP 1 3 1971 AM DeMARCO, KNAPP & CHILLINGWORTH LAW OFFICES DATE CHECK DATE CHECK ISSUED TO AMOUNT AMOUNT IN PAYMENT OF OF BALANCE NO. OF CHECK DEPOSIT OF DEPOSIT BALANCE BROUGHT FORWARD 700 9 373 8/9 metrosift Water Service white Landscape Service 20 - 680 90 374 " mainte- service 335 91 345 02 375 " So Calif Gas Co. 4/25- 7/27 gas Serv e 37 43 307 Coo 6/28 - 7/28 376 " San Diego Das Elec Co ce 107 35 200 2 377 " Mission Pool Service supplies July service 68 80 131 if Transfer from wilding account 8/10 3,000 - 3,131 4 378 8/9 of the Bus shown beds Cyprics area 200 1/2 - 2,931 4 379 8/17 Bay Cities Handware wise items 12 02 2919 4 an can. 380 8/18 Capistrans Heating detion; heating were 110 03 > 2,809 4 381 " " " service units Jace 284 78 2,524 6 382 8/26 City of Son Clements will 5/27 7/30 630 40 0 1,892 i 383 8/27 Brigids Carcis (ung People 482 14 7 1.410 /- 384 5/31 So Cay C. 7/27 1,20 Balanced 9/2/71 you Sers. 26 29 0 ann 1.383 & 385 9/2 White tenders few - Lnc 12: / buy 335 91 386 9/2 Jan Drigs In L But 7/23/71 8/26/71 an 40 55 387 9/7 Theesand Luking 4 2274 Rpr seem In In #. 1736 CLin 5250 11.19 93 69 388 4/9 Melio Sept water Sew. Sun for Sept. 20 - 389 919 Miner - new aug mater part service 131 80 yo- - 171 80 712 DATE CHECK DATE AMOUNT AMOUNT CHECK ISSUED TO IN PAYMENT OF V OF BALANCE NO. OF CHECK OF DEPOSIT DEPOSIT BALANCE BROUGHT FORWARD 4,102.53 348 5/10 San Diego Gas Elec Co. 3/30 To 4/28 elec serv. 151 03 3,951 81 349 5/26 Brigide Garcia Balanced 6/4/71 may payrole 467 14 3,48+36 mrp 350 6/4 Metro Soft Water Sevia June service 20 - 3,46430 351 " So Calif Gas Co 4/27-5/26 32 83 343153 11 352 Bell theynware Plunting Garcia house 16 79 3,+14.74 " white shandicape Sen services 353 335 91 3,078.83 354 6/9 SauDiega Electric 4/28 TO 5/27/71 120 79 2,9580 355 & Mission Poid Service may sircuse (46) & misc supplies 61 43 2,8905 356 " The Sturterant Corp repair izen gate -plintry suitch 60 06 2,830 50 357 6/21 raid water 358 " City of San Clemente 3/29 TC 5/27 553 38 2,277 1. 359 6/25 The Corp 291 50 6, green 1985 Laurfer from General acct c/23 3,000 - 4,985 6- Balanced 7/7/74 mRp 360 7/7 White Landscape Service gazenias 2,092 - 361 metro Soft Water Service July sew 20 - 362 MissiinPaul Service alic service June Service 40 1 363 364 Veid Electric 5/27 TO 6/28 77 45 leak- Gaven 365 resoleve 20 - 273567 Salfing Friends ofthe resident agare Water may 7/3 300 CO 3,0350 360 7/8 Principal Tarena Inc. memore 432 it > 25635 361 7/19 White's Landrapsin 4 your 226 01 v 1,7274 363 So Caif Gas Co 7/26 6/25 13 3 1713 369 " Comm assu security may june 450 - N 1,263 370 7/28 Brigide Garcia Park trick experises Pain payroll 432 14 78/- 371 7/29 Brigide Carcia 30 53 750% 372 " larsies 50 - 700 % Balanced 8/9/71 DRP 715 CHECKS OUTSTANDING (NOT YET SUBTRACTED FROM THIS STATEMENT SECURITY PACIFIC NATIONAL BANK NUMBER OR DATE AMOUNT NUMBER OR DATE AMOUNT 382 632 CUSTOMER'S RECONCILEMENT 40 384 26 29 To reconcile your record with this statement of your account, we suggest the following steps: Pemore any memorannums of bank charges from the checks returned to with this statement Subtract those charges and the monthly service care any. (ins nated by "S") from your check book balance. you have Authorit - any automatic deductions from your account (Auto- To isfer cenual me check off (v) on your check book record each reck' indicated in X". Sort the checks in numbers our 01 or date issued Check off () each of :e creaks on your crush 1000' Under "Cr ECKS OUTSTANDING" at the the numbers for test and ELTRY our 01 ine checks that you have unreada off R' Au estatio Tr. nater deduction chiered in your check MOONER decise the Nates ant which 15 not relinated in this state- Toty these amo THIS TOTAL 658 69 more 00 any fundr autoriatically credited to your ac- on 100, on your check book DEPOSITS NOT CREDITED IN THIS STATEMENT DECOME in DATE ENTERED DATE ENTERED each deposit shown in this state- YOUR AMOUNT IN YOUR RECORD AMOUNT or :. NO CARDITED IN TH13 STATEMENT." list the A.. 30 enterne your :* BOX book record -- not 00 as a deposit in this state- our 190010 Mar coinct appear in this statement. and 28 is after this statement was pre- TOTAL - - emeas .f, however, any of these TOWN this statement please bring others .... - RECONCILEMENT IRECONCE is 9.59 this statement. Ending Balance Snown In This Statement 2042 50 AND DEPOSITS NOT CREDITED IN THIS STATEMENT. CONSTANDING Add: Total of DEPOSITS NOT CREDITED IN THIS STATEMENT 110 0.13500 you your check book calance If it,does encorros D3 or ated if you. See aroution in your check book record. Me-1. Mary on of checks and deposits are entered cor- Subtract Total of CHECKS OUTSTANDING 688 67 out Doing tered in your BALANCE (Should agree with your check book balance) 138381 SEC TY PACIFIC NATIONAL BAN on ) CUSTOMER'S STATEMENT HERBERT W KALMBACH 169 006 866 ATTORNEY AT LAW 017 CLIENTS TRUST ACCOUNT 02 550 NEWPORT CENTER DR NEWPORT BEACH CA 92660 WPORT CENTER OFFICE ACCOUNT 006 866 JUL 30 71 AUG 31 71 NUMBER PERIOD CHECKS CHECKS checks CHRCKS DEPOSITS 30 53 482 14 AUG 3 71 1200 96 450 00 AUG 9 71 750 96 3000 00 AUG 10 71 3750 96 07 35 AUG 12 71 3643 61 68 80 AUG 13 71 3574 81 20 00 37 43 200 00 AUG 16 71 3317 38 50 00 335 91 AUG 17 71 2931 47 12 02 AUG 20 71 2919 45 110 03 284 78 AUG 23 71 2524 64 482 14 AUG 31 71 2042 50 fille RECEIVED SEP 2 1971 KALMBACH, DeMARCO, KNAPP & CHILLINGWORTH LAW OFFICES CHECKING BALANCE TOTAL 1713 63 1 3000 00 14 2671 13 14 00 2042 50 14 1 ENTR. CHARGE IMPORTANT -- DEPOSITOR PLEASE NOTE Please oxamine this statement of VOLT account and the enclose terms ECURITY PACIFIC NATIONAL BANK to us W 03.5 statement dered correct AC 390 5Y the ! Ky Biscayne Bad KEY BISCAYNE FLORIDA 33149 HUN RICHARD M NIXON 2-1893-1 MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIF 08/31/71 2,861.65 .00 .00 .00 2,861,65 08/02 2,861.65 CHECKS ENCLUSED 00 NOW TRUST SERVICES HERE ON THE KEY Personal act RECEIVED SEP8 1971 KALMBACH, DeMARCO, KNAPP & CHILLINGWORTH LAW OFFICES - ... - - PERSONAL AND CONFIDENTIAL LAW OFFICES KALMBACH, DE MARCO, KNAPP & CHILLINGWORTH MEMORANDUM FILE: Date: August 11, 1971 To: Rose Mary Woods From: Marilyn R. Parent Enclosed please find Xerox copies of the following records for the month of July: 1. Bank statement and reconciliation of General Ac- count at Key Biscayne Bank and check register. 2. Bank statement and reconciliation of Special Ac- count at Key Biscayne. 3. Bank statement and reconciliation of San Clemente 715 Trustee account at Security Pacific Bank and check register. 4. Bank statement of personal checking account at Key Biscayne Bank for President Nixon. MRP Enclosures Key Biscayne Bank ACCOUNT KEY BISCAYNE FLORIDA 33149 HON RICHARD M NIXON OR 2-0527-4 MRS PATRICIA R NIXON MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIF 07/30/71 73,027.14 22 85,297.58 20,522.76 .00 8,252.32 07/01 73,027.14 300.00D 740.00D 07/01 9.00 71,978.14 19.46 98.00 07/02 124.63 3,000.00 68,736.05 70.00 451.00 07/07 68,215.05 .040 359.00D 12,600.89 07/12 34.50 80,422.40 386.75 07/13 80,035.65 26.00 07/14 80,009.65 77,282.56 07/16 2,727.09 532.84 1,136.00 07/19 1,058.25 40.00 177.90 07/20 840.35 52.00 07/21 788.35 300.000 6,157.98 07/26 6,646.33 1,763.89 07/29 8,410.22 157.90 07/30 8,252.32 CHECKS ENCLOSED 22 YOUR PARADE HUGE SUCCESS, THANKS General account SISSIVICE CHARGE -OVERDRAFT COREDIT "EMO KFY REPRESED CHECK DIDEBIT MEMO E ERROR CORRECT HERE'S A SIMPLE WAY TO BALANCE YOUR ACCOUNT CHECKS OUTSTANDING (WRITTEN, BUT NOT CHARGED TO ACCOUNT) NUMBER AMOUNT 20336 192- BALANCE SHOWN ON 20340 45.88 THIS STATEMENT $ 8,252.32 20341 155.62 20342 2455 20343 14- - FLUS 20315 g- DEPOSITS NOT CREDITED $ G 20346 25370 ON STATEMENT 20347 541 14 541 20348 451 - TOTAL 8,252.32 MINUS - ANDING CHECKS 1,666.89 BALANCE $6,585.43 TOTAL 1,66689 Balance per check heal as at 7/31/71 OTHER MRP BALANCE BROUGHT FORWARD 7/5 mtg put 68,786 46 20331 6/25 Gludale Federal whitter for 451 - 68,335 46 20332 6/28 Engraving Craftanced 2 sets registring 34 50 68,300 96 A/C 6/30 A/C Greater SkL 1st mtg 1 have 740 - it Paul 2nd mtg 500mg Line 67,560 96 Balanced 7/12/71 300 1 June service 61,260 96 20333 7/7 Stewart Pert Coutrol 500 Lave 40 00 67,220 96 " 20331 a Sulka Co C shirts pers sure 177 90 67043 06 20335 " Dade County Waste Dev whetter the 12/31/71 p 2000 each 52 - 66991 06 Salary June (13, 550 85) July Rent are pup E-sear (50%) 7/7 12,600 85 19591 91 20336 7/8 the parket Janes City be 3 of whether 172 - 0 79419 91 Boses 30331 The hase gay lead - the Carley coupany insurance personal B6 79393 91 20338 1136 - 18257 41 KDRS Trust are it weare Catton 20339 property 77,282 50 975 35 A/C 7/12 ist Fed Savangs Lune asse 2 minna 1st may 354 E.C 616 35 water service 20340 2/19 General Waterworks corp 5/13/11 6/08 45 83 570 47 service TC 20311 7/22 Florida Powert Light 7/1/2512 155 62 C 414 8.5 " 20342 The Pierre min need 24 55 ( 390 30 " 20343 Burning Tree Club fucatery statement 14 - C. 376 30 " cas 20344 Wakefield Hennt Webster Lot BLA 8-7/1- 157 90 218 to RDKC Trust acct Cetterpropert, bulance 7/23 6,157 98 6,376 38 20345 7/26 Calif Dimestec Water Co Whitherping 9 - 6,367 38 20346 " Period culertificate Brockyne of Bank lewiers 7/15 533 70 6113 68 5 1/2 TR-15 7/14/71 7/26 1,763 84 7,877 57 20347 Treasurer of a june personal 541 14 " 7,336 43 Glendale Federal Samigs 295 nety put. 20348 451 - c 6,835 43 A/C 1/26 Paule Williams the may 500 Bay 300 - 6585 43 Balanced 8/9/71 mRP 20344 E/9 Stewart Test Carted July simices 40 --- 6,545 43 august Reut- and S.Lam not Juty 4, E/9 50 1 6,595 43 A/C 8/7 516 Bay Lane Tto \ 5,850 43 General account Key Biscayne Bank STATEMENT OF ACCOUNT KEY BISCAYNE. FLORIDA 33149 HON RICHARD M NIXON 2=1645-4 SPECIAL ACCOUNT MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIFORNIA 07/30/71 178779.27 .00 3,124.97 .00 20,904,24 07/01 17,779.27 3,124.97 07/12 20,904.24 CHECKS ENCLOSED 00 YOUR PARADE HUGE SUCCESS, THANKS SISERVICE CHARGE OVERDRAFF CORPENTMENTO NEY RETURNED CHECK DIDEBITIMO E E A SIMPLE WAY 11 BALANCE YOUR 10022 14,796.83 $20,904.24 PLUG CREDITED $ t TOTAL 20,904.24 MNUS - $14,796.83 BALANCE $ 6,107.41 balance pu check hook as at 7/31/71 MRP you Expense check calimet chair Y10 3,125 01 12936 of 10751 2/10 Treasurer of the u.s. fews Mcynihan 500 - 12436 08 10152 " Hallemark Cards 3250 ! 9,186 08 A/C 2/10 w at Ind Smt Over of mini have 359 V 8327 08 10014 2/24 Guest Fund Oct. 1976 support chgs 215 46 8970 62 Feb expense check 7/5 3,125 01 1209563 10015 3/12 Guest Fund nor A Dug. January support chgo. 1,026 27 11,069 36 10016 3/19 Guest Fund 933 66 10/35 70 balanced 4/5/71 nipp march experise check 1/12 3125 01 13,260 71 balanced 5/10/71 mcp / Aprilexpruse check 5/10 3,125 01 16385 72 10017 5/19 Guist Lund 246 support charges 563 98 15,821 74 Balanced 6/8/71 Ducp much april 10018 6/4 Guest Fund support chip 1,107 48 14,714 26 " may expense check 6/4 destry 3,135 01 17,839 27 10019 6/9 Guest Fund glassed dy 60 - 17,779 22 10020 reid 10021 reed Balanced 2/12/71 - MRP June Expense check 7/7 3,134 97 wedding 20,904 24 10022 7/26 Guasures The " l expenses 14,746 83 6,107 +1 HER Balanced 8/9 mer 100.23 8/9 Great Friend may support chica ses 637 82 546959 " Herbert w Kelemback Transfer I funds 10024 to San Climitreed 3,000 - 2,46959 SECURITY PACIFIC NATIONAL BANK CUSTOMER'S STATEMENT HERBERT h KALMBACH 169 COE 866 ATTORNEY AT LAW 017 CLIENTS TRUST ACCOUNT C2 550 NEWPORT CENTER DR NEWPORT BEACH CA 92660 ACCOUNT EWPORT CENTER OFFICE NUMBER 006 866 PERIOD JUN 3C 71 TO JUL 30 71 CHECKS CHECKS CHECKS CHECKS DEPOSITS DATE BALANCE 291 50 JUL 1 71 4585 62 300 00 JUL 8 71 5285 62 20 CC JUL S 71 5265 62 20 00 482 14 2092 CC JUL 12 71 2671 48 77 95 JUL 14 71 2593 53 40 00 JUL 15 71 2553 53 826 07 JUL 22 71 1727 46 13 83 JUL 27 71 1713 €3 San Climente 715 Twitee account CHECKING ACCOUNT SUMMARY DEPOSITS CHECKS SERVICE CHARGE SEGINNING BALANCE TOTAL NUMBER TOTAL AMOUNT TOTAL NUMBER TOTAL AMOUNT NOVBER OF ITEMS AMOUNT 5277 12 1 300 CO 9 3863 49 9 00 1713 63 NUME ENCLO 9 1 KEY MISCELLANEOUS ENTRY S SERVICE CHARGE IMPORTANT - DEPOSITOR PLEASE NOTE REVERSING ENTRY X AUTOMATIC TRANSFER Please examine this statement of your account and the enclosed items at once If no - ECURITY PACIFIC NATIONAL BANK to us within ten Jays. this statement will be considered correct. For your convenience 439 AC 390 1.71 5Y conciling your account is provided on the back of this sheet. CHECKS OUTSTANDING INOT YES STRACTED POLY ATEMENT) SECURITY PACIFIC NATIONAL BANK NUMBER 03 DATE N.Ws CREDATE AMOUNT CUSTOMER'S RECONCILEMENT 369 $45000 370 48214 To reconcile your record with this statement of 371 3053 your account, we suggest the following steps: 312 50 - Remove any memorandums of bank charges from the checks returned to to with this statement. Subtract these charges and the monthly service narge, if any. (indicated by "S") from your check book balance. If you have authorized any automatic deductions from your account (Auto. tatic Transfer deductions), check off (v) on your check book record each cocck" indicated by an "X". Sort the checks in immerical order or by date issued. Check off each of nose checks on your check record. Under "CHECKS OUTSTANDING at 10 right, list the numbers (or outes) and incunts of the checks that you have or checked off and/ory Automatic Transfer deduction entered in your check DON record woring is statement period which IS not reflected in this state- Nont. Total these amounts." TOTAL $101267 If you have authorized any funos to De anternaticarly credited to your ac- will cAutomatic Trankfer topos 151. check 04 ) OD your check 0009 DEPOSITS NOT CREDITED IN THIS STATEMENT sord each depor 70, an ENTERED Chack off onive ;- check DOOK record ecch deposit shown in this state- AMOUNT sent. Mer DEPOSITS NOT CREDITED IN THIS STATEMENT list the valunt or any Automotic Transfer deposit entered in your check Look record this statement seriod which is not reflected as 3 decosit in this state- Avea P.S. any n 10 in record that do not at pear at this statement these depos L3 weare De received by us after this statement was clear TOTAL and would appear in your next ciatement. it, nowever, any of these were mass before the tast acts this statement. please bring matter to the attention of an officer at the Bank. RECONCILEMENT Under RECONCILEMENT. a. Enter cirtice as shown 10 in statement Encing Balance Shown is This Statement b. And the total - 1 DEPOSITS NOT CREDITED N THIS STATEMENT 171363 C. Subtract the total C. CHECKS OUTSTANDING Add: Total of DEPOSITS NOT CREDITED THIS STATEMENT 40 The remaining balance beld agree with your check book balance. list does not. any difference our termany Rice Cype. a Check the edult on and subtraction in your check book record. b. Make certain that the amounts cl checks and deposits are entered cor- Subtract: Total of CHECKS OUTSTANDING rectly in your received 101267 C. Make certain May no check was issued without being entered in your record. BALANCE (Should agree with your check book balance) 70096 halance per checkbook as at 7/31/71 IMPP BALANCE BROUGHT FORWARD 4102 53 348 5/10 Sau Riego Gas Elec Co. 3/30 To 4/28 elec serv. 151 03 3,951 50 349 5/26 Brigide Garcia may payrole 467 14 3487 36 Balanced 6/4/71 nicp 350 6/4 MetroSoft Water Service June service 20 - 3,464 36 351 " So Calf Gas Co 4/27-5/26 32 83 3431 53 352 " Bell Greynword Plunting Garcia presse 16 79 3,414 74 " white's Landscape Sen services 353 335 91 3,078 83 354 6/9 Electric 1125 KV 5/27/71 120 19 2,958 04 355 2 Mission Pail Service may sume (40) inis supplier 67 48 2,890 56 356 " The Stee terant lurp repuir wan you spintry switch 60 06 2,830 50 357 6/21 Paid water 358 " City of San Clemente 3/29 TO 5/27 553 38 2,277 12 359 6/25 The Sturterant Corp 3drain gullen 291 50 1,985 62 Lausfer from General acct 6/28 3,000 - 4,985 62 Balanced 7/7/71 mRp 560 7/7 White's Landouge Service sprinkees gazenias 2022 - 361 metro Soft Water Service July serv 20 - 362 MissionPal Service selec service June Service 40 - 363 Veid Electric 5/27.70 6/28 71 95 364 leak- carron 365 revidence 20 - 2735 67 Galfing Freends ofthe President agree Water may 7/8 300 00 3,03561 366 7/8 Principal Laresa June manual 432 14 2,603 in 367 7/19 White's Landrapeden also 826 07 1,727 46 368 " So Calif Gas Co 5/26- 6/25 13 83 1713 63 369 " Cypur here Comm Osser security jul, may, June 450 - 1,263 63 370 7/28 Rigido Garcer July payroll 482 14 781 49 371 7/29 Brigide Carcia Pab truck experises 30 53 750 96 372 " white darsies 50 1 700 96 Balanced 8/9/71 wep Key Biscayne KEY BISCAYNE ELORIDA 33,45 HON RICHARD M NIXUN 2=1893-1 MR HERBERT KALMBACH 550 NEWPORT CENTER DRIVE NEWPORT BEACH, CALIF 07/30/71 2,861.65 .00 .00 .00 2,861.65 07/01 2,861.65 CHECKS ENCLOSED 00 YOUR PARADE HUGE SUCCESS, THANKS Personal account DISERVICE CHARGE OVERDRAFT KEY R RETURNED CHYCK DEBITMENT a