12/27/2024 | PAYMENT | LUBOMIR JARMILA PROCHAZKA PNP PNP - 168273558 | $-1,046.00 | $1,046.00 |
10/03/2024 | PAYMENT | LUBOMIR JARMILA PROCHAZKA PNP PNP - 163583956 | $-1,046.00 | $2,092.00 |
08/13/2024 | PAYMENT | LUBOMIR JARMILA PROCHAZKA PNP PNP - 160963109 | $-1,048.48 | $3,138.00 |
07/16/2024 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $4,186.48 | $4,186.48 |
03/26/2024 | PAYMENT | JARMILA PROCHAZKA PNP PNP - 153311850 | $-1,057.64 | $0.00 |
03/21/2024 | AMENDMENT | S46 POSTAGE FEE* | $1.00 | $1,057.64 |
03/15/2024 | PENALTY | INSTALLMENT 4 PENALTY FOR 2023/2024 REAL ESTATE TAXES | $40.64 | $1,056.64 |
01/02/2024 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3129 | $-1,016.00 | $1,016.00 |
10/02/2023 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3122 | $-1,016.00 | $2,032.00 |
09/01/2023 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3123 | $-1,016.60 | $3,048.00 |
07/17/2023 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $4,064.60 | $4,064.60 |
02/28/2023 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3115 | $-887.00 | $0.00 |
01/04/2023 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3114 | $-887.00 | $887.00 |
10/07/2022 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3111 | $-887.00 | $1,774.00 |
08/23/2022 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3108 | $-889.13 | $2,661.00 |
07/15/2022 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $3,550.13 | $3,550.13 |
03/07/2022 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3104 | $-861.66 | $0.00 |
12/29/2021 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3106 | $-861.66 | $861.66 |
10/11/2021 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK CK. 3100 | $-861.66 | $1,723.32 |
08/31/2021 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3098 | $-861.79 | $2,584.98 |
07/14/2021 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $3,446.77 | $3,446.77 |
03/02/2021 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3094 | $-836.00 | $0.00 |
12/31/2020 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK 3090 | $-836.00 | $836.00 |
10/14/2020 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 3084 | $-836.00 | $1,672.00 |
08/20/2020 | PAYMENT | PROCHAZKA, JARMILA CHECK NUM: 3079 | $-837.58 | $2,508.00 |
07/09/2020 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $3,345.58 | $3,345.58 |
02/26/2020 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 3068 | $-811.00 | $0.00 |
01/02/2020 | PAYMENT | PROCHAZKA, JARMILA CHECK NUM: 3064 | $-811.00 | $811.00 |
10/02/2019 | PAYMENT | PROCHAZKA, JARMILA CHECK NUM: 3052 | $-811.00 | $1,622.00 |
08/15/2019 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 3046 | $-815.18 | $2,433.00 |
07/10/2019 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $3,248.18 | $3,248.18 |
03/01/2019 | PAYMENT | PROCHAZKA, LUBOMIR CHECK NUM: 3027 | $-788.00 | $0.00 |
12/27/2018 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 3020 | $-788.00 | $788.00 |
09/11/2018 | PAYMENT | PROCHAZKA, JARMILA CHECK NUM: 3005 | $-788.00 | $1,576.00 |
08/16/2018 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 3002 | $-789.59 | $2,364.00 |
07/10/2018 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $3,153.59 | $3,153.59 |
03/01/2018 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 2979 | $-732.00 | $0.00 |
12/21/2017 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 2973 | $-732.00 | $732.00 |
09/28/2017 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 2953 | $-732.00 | $1,464.00 |
08/16/2017 | PAYMENT | PROCHAZKA, LUBOMIR & JARMILA CHECK NUM: 2943 | $-733.35 | $2,196.00 |
07/10/2017 | BILL | PROCHAZKA, LUBOMIR & JARMILA | $2,929.35 | $2,929.35 |
02/27/2017 | PAYMENT | LENNAR RENO HOMEBUILDING CHECK NUM: 832199 | $-32.00 | $0.00 |
12/29/2016 | PAYMENT | LENNAR RENO HOMEBUILDING CHECK NUM: 814477 | $-32.00 | $32.00 |
10/05/2016 | PAYMENT | LENNAR RENO HOMEBUILDING CHECK NUM: 785273 | $-32.00 | $64.00 |
08/18/2016 | PAYMENT | LENNAR RENO HOMEBUILDING CHECK NUM: 769649 | $-36.73 | $96.00 |
07/11/2016 | BILL | LENNAR RENO LLC | $132.73 | $132.73 |
08/12/2015 | PAYMENT | LECK, DANIEL A & MAUREEN CHECK NUM: 1170 | $-132.63 | $0.00 |
07/07/2015 | BILL | LECK, DANIEL A TRS ET AL | $132.63 | $132.63 |
08/11/2014 | PAYMENT | DANIEL A LECK INC CHECK NUM: 2040 | $-132.48 | $0.00 |
07/08/2014 | BILL | LECK, DANIEL A TRS ET AL | $132.48 | $132.48 |
08/19/2013 | PAYMENT | DANIEL LECK CORK: D BANK: PNP INTERNET NUM: 11156038 | $-156.34 | $0.00 |
07/08/2013 | BILL | LECK, DANIEL A TRS ET AL | $156.34 | $156.34 |
08/17/2012 | PAYMENT | DANIEL LECK INC CORK: D | $-150.08 | $0.00 |
07/10/2012 | BILL | LECK, DANIEL A TRS ET AL | $150.08 | $150.08 |
08/14/2011 | PAYMENT | DANIEL LECK CHECK NUM: 9256 | $-146.40 | $0.00 |
07/08/2011 | BILL | LECK, DANIEL A TRS ET AL | $146.40 | $146.40 |
08/17/2010 | PAYMENT | LECK, DANIEL A CHECK BANK: 94-72 NUM: 8994 | $-146.40 | $0.00 |
07/08/2010 | BILL | LECK, DANIEL A TRS ET AL | $146.40 | $146.40 |
12/07/2009 | PAYMENT | TICOR TITLE CHECK BANK: BANK OF WEST NUM: 50009629 | $-118.00 | $0.00 |
10/09/2009 | PAYMENT | ZIONS MANAGEMENT SERVICES CO CHECK BANK: 31-5 NUM: 110034838 | $-59.00 | $118.00 |
08/12/2009 | PAYMENT | ZIONS MNGMNT SERVICE COMPANY CHECK BANK: 31-5 NUM: 110021872 | $-60.69 | $177.00 |
07/06/2009 | BILL | NEVADA STATE BANK | $237.69 | $237.69 |
05/01/2009 | PAYMENT | Amend: Auto Restore Payment CHECK BANK: 16-3717 NUM: 709241876 | $-486.17 | $0.00 |
05/01/2009 | AMENDMENT | REMOVE PEN AND PUBLISHING FEES | $-7.73 | $486.17 |
05/01/2009 | ADJUST | Amend: Auto Adj Out Payment BANK: 16-3717 NUM: 709241876 | $486.17 | $493.90 |
04/27/2009 | PENALTY | Publication Cost for Delinqncy | $6.50 | $7.73 |
03/13/2009 | PENALTY | Instlmnt 4 Penalty for 2008-09 | $0.05 | $1.23 |
12/23/2008 | VOID | ZIONS MANAGEMENT SERVICES CO CHECK BANK: 16-3717 NUM: 709241876 | $-486.17 | $1.18 |
12/01/2008 | INTEREST | Monthly Interest | $1.18 | $487.35 |
11/03/2008 | INTEREST | Monthly Interest | $1.18 | $486.17 |
10/17/2008 | PENALTY | Instlmnt 2 Penalty for 2008-09 | $7.54 | $484.99 |
10/01/2008 | INTEREST | Monthly Interest | $1.18 | $477.45 |
09/02/2008 | INTEREST | Monthly Interest | $1.18 | $476.27 |
08/29/2008 | PENALTY | Instlmnt 1 Penalty for 2008-09 | $3.07 | $475.09 |
08/04/2008 | INTEREST | Monthly Interest | $1.18 | $472.02 |
07/15/2008 | BILL | RIVERVIEW ESTATES LLC | $298.71 | $470.84 |
07/01/2008 | INTEREST | Monthly Interest | $1.18 | $172.13 |
07/01/2008 | INTEREST | Monthly Interest | $1.18 | $170.95 |
06/02/2008 | INTEREST | Monthly Interest | $11.83 | $169.77 |
04/28/2008 | PENALTY | Publication Cost for Delinqncy | $6.00 | $157.94 |
03/14/2008 | PENALTY | Instlmnt 4 Penalty for 2007-08 | $7.10 | $151.94 |
01/18/2008 | PENALTY | Instlmnt 3 Penalty for 2007-08 | $2.84 | $144.84 |
10/09/2007 | PAYMENT | RIVERVIEW ESTATES, LLC CHECK BANK: 71-234 NUM: 1338 | $-71.00 | $142.00 |
08/27/2007 | PAYMENT | RIVERVIEW ESTATES, LLC CHECK BANK: 71-234 NUM: 1229 | $-71.59 | $213.00 |
07/12/2007 | BILL | RIVERVIEW ESTATES LLC | $284.59 | $284.59 |
03/12/2007 | PAYMENT | RIVERVIEW ESTATES CHECK BANK: 71-234 NUM: C1109-902 | $-71.00 | $0.00 |
01/17/2007 | PAYMENT | CHASE DEVELOPMENT CHECK BANK: 90-78 NUM: 1022 | $-71.00 | $71.00 |
01/17/2007 | AMENDMENT | postmarked 1/12 | $-2.84 | $142.00 |
01/12/2007 | PENALTY | Instlmnt 3 Penalty for 2006-07 | $2.84 | $144.84 |
10/13/2006 | PAYMENT | RIVERVIEW ESTATES CHECK BANK: 71-234 NUM: C1109-530 | $-71.00 | $142.00 |
09/01/2006 | PAYMENT | RIVERVIEW ESTATES, LLC CHECK BANK: 71-234-749 NUM: C1109-432 | $-71.76 | $213.00 |
09/01/2006 | AMENDMENT | POSTMARK | $-2.87 | $284.76 |
09/01/2006 | PENALTY | Instlmnt 1 Penalty for 2006-07 | $2.87 | $287.63 |
07/12/2006 | BILL | RIVERVIEW ESTATES LLC | $284.76 | $284.76 |