01/06/2025 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - DEPOSIT | $-1,002.00 | $1,002.00 |
10/02/2024 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - DEPOSIT | $-1,002.00 | $2,004.00 |
08/11/2024 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - DEPOSIT | $-1,005.59 | $3,006.00 |
07/16/2024 | BILL | CONARD, TARRY P & ANA C | $4,011.59 | $4,011.59 |
03/04/2024 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-973.00 | $0.00 |
12/14/2023 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-973.00 | $973.00 |
09/29/2023 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-973.00 | $1,946.00 |
08/21/2023 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-975.82 | $2,919.00 |
07/17/2023 | BILL | CONARD, TARRY P & ANA C | $3,894.82 | $3,894.82 |
03/01/2023 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-855.00 | $0.00 |
01/03/2023 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-855.00 | $855.00 |
10/05/2022 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-855.00 | $1,710.00 |
08/17/2022 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - 00021 | $-858.54 | $2,565.00 |
08/04/2022 | AMENDMENT | AMENDMENT TO RE 2023 | $0.00 | $3,423.54 |
07/15/2022 | BILL | CONARD, TARRY P & ANA C | $3,423.54 | $3,423.54 |
02/23/2022 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-830.93 | $0.00 |
12/28/2021 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-830.93 | $830.93 |
10/05/2021 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-830.93 | $1,661.86 |
08/16/2021 | PAYMENT | NAVY FEDERAL CREDIT UNION ACH LERE - EFT | $-831.08 | $2,492.79 |
07/14/2021 | BILL | CONARD, TARRY P & ANA C | $3,323.87 | $3,323.87 |
03/10/2021 | PAYMENT | NAVY FEDERAL ACH CORE - | $-806.00 | $0.00 |
12/28/2020 | PAYMENT | NAVY FEDERAL ACH CORE - | $-806.00 | $806.00 |
10/01/2020 | PAYMENT | NAVY FEDERAL CHECK BANK: CORELOGIC NUM: ACH | $-806.00 | $1,612.00 |
10/01/2020 | ADJUST | REMOVE PYMT/WRONG PYMT FILE BANK: CORELOGIC NUM: ACH | $808.25 | $2,418.00 |
10/01/2020 | VOID | NAVY FEDERAL CHECK BANK: CORELOGIC NUM: ACH | $-808.25 | $1,609.75 |
08/17/2020 | PAYMENT | NAVY FEDERAL CHECK BANK: CORELOGIC NUM: ACH | $-808.25 | $2,418.00 |
07/09/2020 | BILL | CONARD, TARRY P & ANA C | $3,226.25 | $3,226.25 |
03/03/2020 | PAYMENT | NAVY FEDERAL CHECK BANK: CORELOGIC NUM: ACH | $-782.00 | $0.00 |
01/03/2020 | PAYMENT | NAVY FEDERAL CHECK BANK: CORELOGIC NUM: EFT | $-782.00 | $782.00 |
09/12/2019 | PAYMENT | TICOR TITLE CHECK NUM: 10023077 | $-782.00 | $1,564.00 |
08/16/2019 | PAYMENT | NAVY FEDERAL CHECK BANK: CORELOGIC NUM: EFT | $-786.31 | $2,346.00 |
07/10/2019 | BILL | CONARD, TARRY P & ANA C | $3,132.31 | $3,132.31 |
02/27/2019 | PAYMENT | NAVY FEDERAL CHECK BANK: ACH NUM: CORELOGIC | $-745.00 | $0.00 |
12/31/2018 | PAYMENT | NAVY FEDERAL CHECK BANK: ACH NUM: CORELOGIC | $-745.00 | $745.00 |
10/01/2018 | PAYMENT | NAVY FEDERAL CHECK NUM: CORELOGIC | $-745.00 | $1,490.00 |
08/20/2018 | PAYMENT | CORELOGIC CHECK NUM: ACH | $-748.19 | $2,235.00 |
07/10/2018 | BILL | CONARD, TARRY P & ANA C | $2,983.19 | $2,983.19 |
02/27/2018 | PAYMENT | NAVY FEDERAL CHECK BANK: ACH NUM: CORELOGIC | $-698.00 | $0.00 |
01/02/2018 | PAYMENT | NAVY FEDERAL CHECK BANK: ACH NUM: CORELOGIC | $-698.00 | $698.00 |
09/29/2017 | PAYMENT | NAVY FEDERAL CHECK BANK: ACH NUM: ACH | $-698.00 | $1,396.00 |
08/18/2017 | PAYMENT | NAVY FEDERAL CHECK | $-700.93 | $2,094.00 |
07/10/2017 | BILL | CONARD, TARRY P / NERI, ANA C | $2,794.93 | $2,794.93 |
03/01/2017 | PAYMENT | TICOR TITLE CHECK NUM: 10006177 | $-368.00 | $0.00 |
01/10/2017 | PAYMENT | SANTA YNEZ VALLEY CONSTRUCTION CHECK NUM: 5340 | $-368.00 | $368.00 |
10/11/2016 | PAYMENT | SANTA YNEZ VALLEY CONSTRUCTION CHECK NUM: 5026 | $-368.00 | $736.00 |
08/17/2016 | PAYMENT | SANTA YNEZ VALLEY CONST CHECK NUM: 4868 | $-372.61 | $1,104.00 |
07/11/2016 | BILL | SORBET, PHILLIP E TRS ET AL | $1,476.61 | $1,476.61 |
03/11/2016 | PAYMENT | SANTA YNEZ VALLEY CONSTRUCTION CHECK NUM: 4320 | $-59.00 | $0.00 |
01/13/2016 | PAYMENT | SANTA YNEZ VALLEY CONSTRUCTION CHECK NUM: 4080 | $-59.00 | $59.00 |
11/04/2015 | PAYMENT | ANDREW MITCHELL CORK: D BANK: PNP INTERNET NUM: 20855676 | $-61.36 | $118.00 |
10/16/2015 | PENALTY | Instlmnt 2 Penalty for 2015-16 | $2.36 | $179.36 |
07/23/2015 | PAYMENT | SORBET, PHILLIP E & PHYLLIS CHECK NUM: 2260 | $-60.72 | $177.00 |
07/07/2015 | BILL | SORBET, PHILLIP E TRS ET AL | $237.72 | $237.72 |
07/29/2014 | PAYMENT | SBT10, LLC CHECK NUM: 1214 | $-230.22 | $0.00 |
07/08/2014 | BILL | SBT 10 LLC | $230.22 | $230.22 |
02/20/2014 | PAYMENT | SBT10, LLC CHECK NUM: 1209 | $-55.00 | $0.00 |
01/07/2014 | PAYMENT | SBT10 LLC CHECK NUM: 1207 | $-55.00 | $55.00 |
09/25/2013 | PAYMENT | SBT10 LLC CHECK NUM: 1197 | $-55.00 | $110.00 |
08/21/2013 | PAYMENT | SBT10,LLC CHECK NUM: 1195 | $-55.87 | $165.00 |
07/08/2013 | BILL | SBT 10 LLC | $220.87 | $220.87 |
02/26/2013 | PAYMENT | SBT10, LLC CHECK NUM: 1119 | $-52.00 | $0.00 |
01/15/2013 | PAYMENT | SBT 10, LLC CHECK NUM: 1137 | $-52.00 | $52.00 |
10/01/2012 | PAYMENT | SBT 10 LLC CHECK NUM: 1180 | $-52.00 | $104.00 |
08/16/2012 | PAYMENT | SBT10, LLC CHECK NUM: 1166 | $-56.00 | $156.00 |
07/10/2012 | BILL | SBT 10 LLC | $212.00 | $212.00 |
03/06/2012 | PAYMENT | SBT10, LLC CHECK NUM: 1072 | $-68.00 | $0.00 |
01/06/2012 | PAYMENT | SBT10, LLC CHECK NUM: 1047 | $-68.00 | $68.00 |
10/03/2011 | PAYMENT | SBT10, LLC CHECK NUM: 1065 | $-68.00 | $136.00 |
08/16/2011 | PAYMENT | SBT10 LLC CHECK NUM: 1035 | $-72.29 | $204.00 |
07/08/2011 | BILL | SBT 10 LLC | $276.29 | $276.29 |
03/04/2011 | PAYMENT | SBT10, LLC CHECK NUM: 1021 | $-125.00 | $0.00 |
01/05/2011 | PAYMENT | SBT10,LLC CHECK BANK: 94-72 NUM: 1101 | $-125.00 | $125.00 |
10/12/2010 | PAYMENT | SBT10 LLC CHECK BANK: 94-7074 NUM: 9169 | $-125.00 | $250.00 |
08/16/2010 | PAYMENT | SBT10 LLC CHECK BANK: 94-7074 NUM: 9136 | $-126.94 | $375.00 |
07/08/2010 | BILL | SBT 10 LLC | $501.94 | $501.94 |
03/03/2010 | PAYMENT | SBT10 LLC CHECK BANK: 94-7074 NUM: 9100 | $-142.00 | $0.00 |
01/06/2010 | PAYMENT | SBT10 LLC CHECK BANK: 94-7074 NUM: 9074 | $-142.00 | $142.00 |
11/19/2009 | PAYMENT | WESTERN TITLE CO CHECK BANK: 94-7074 NUM: 19434 | $-1,560.40 | $284.00 |
11/03/2009 | INTEREST | Monthly Interest | $8.09 | $1,844.40 |
10/16/2009 | PENALTY | Instlmnt 2 Penalty for 2009-10 | $14.36 | $1,836.31 |
10/05/2009 | INTEREST | Monthly Interest | $8.09 | $1,821.95 |
09/01/2009 | INTEREST | Monthly Interest | $8.09 | $1,813.86 |
08/31/2009 | PENALTY | Instlmnt 1 Penalty for 2009-10 | $5.80 | $1,805.77 |
08/03/2009 | INTEREST | Monthly Interest | $8.09 | $1,799.97 |
07/06/2009 | BILL | SANTA MARIA PROJECT LLC | $571.12 | $1,791.88 |
07/01/2009 | INTEREST | Monthly Interest | $8.09 | $1,220.76 |
07/01/2009 | INTEREST | Monthly Interest | $8.09 | $1,212.67 |
06/01/2009 | INTEREST | Monthly Interest | $80.94 | $1,204.58 |
04/27/2009 | PENALTY | Publication Cost for Delinqncy | $6.50 | $1,123.64 |
03/13/2009 | PENALTY | Instlmnt 4 Penalty for 2008-09 | $67.99 | $1,117.14 |
01/16/2009 | PENALTY | Instlmnt 3 Penalty for 2008-09 | $43.75 | $1,049.15 |
10/17/2008 | PENALTY | Instlmnt 2 Penalty for 2008-09 | $24.36 | $1,005.40 |
08/29/2008 | PENALTY | Instlmnt 1 Penalty for 2008-09 | $9.81 | $981.04 |
07/15/2008 | BILL | THE SANTA MARIA PROJECT LLC | $971.23 | $971.23 |
08/21/2007 | PAYMENT | SIERRA SIGNATURE HOMES CHECK BANK: 94-211 NUM: 17517 | $-899.34 | $0.00 |
07/12/2007 | BILL | THE SANTA MARIA PROJECT LLC | $899.34 | $899.34 |
08/24/2006 | PAYMENT | SIERRA SIGNATURE HOMES, LLC CHECK BANK: 94-211 NUM: 15431 | $-832.20 | $0.00 |
07/12/2006 | BILL | THE SANTA MARIA PROJECT LLC | $832.20 | $832.20 |
08/08/2005 | PAYMENT | SIERRA SIGNATURE HOMES LLC CHECK BANK: 94-211 NUM: 12167 | $-828.46 | $0.00 |
07/15/2005 | BILL | THE SANTA MARIA PROJECT LLC | $828.46 | $828.46 |