First from the test system starting at line 4962: xxxxxxxxxxxxxxxxxxx <--- Line 4962 xxxxxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxxxxx *Page 4 4-25-10 Combined Statement Lead # xxxxxxxxxx . * - - - - - - - - -ACTIVITY SINCE LAST STATEMENT- - - - - - - - - - -* Post Eff Date Date Description Amount 4-08 4-08 TRANSFER TO CHECKING 100.00 OVERDRAFT ACCOUNT NO. xxxxxxxxxx 4-12 4-12 PAYMENT - THANK YOU 25.00- IB TO LN FR DDA 00xxxxxxxxxx 4-12 4-12 PAYMENT - THANK YOU 176.04- IB TO LN FR DDA 00xxxxxxxxxx * - - - - - - - - - -FINANCE CHARGE CALCULATION- - - - - - - - - - -* Days Daily Corresponding Average In Periodic Annual Daily Periodic Rate Cycle Rate Percentage Rate Balance Finance Charge 30 .000493150 18.0000% 73.96 1.09 Now from the production system I'm testing against (again line 4962): xxxxxxxxxxxxxxxxxxx <- Line 4962 xxxxxxxxxxxxxxxxxxx xxxxxxxxxxxxxxxxxxx *Page 4 4-25-10 Combined Statement Lead # xxxxxxxxxx . * - - - - - - - - -ACTIVITY SINCE LAST STATEMENT- - - - - - - - - - -* Post Eff Date Date Description Amount 4-08 4-08 TRANSFER TO CHECKING 100.00 OVERDRAFT ACCOUNT NO. xxxxxxxxxx 4-12 4-12 PAYMENT - THANK YOU 25.00- IB TO LN FR DDA 00xxxxxxxxxx 4-12 4-12 PAYMENT - THANK YOU 176.04- IB TO LN FR DDA 00xxxxxxxxxx 4-23 4-23 INTEREST CAPITALIZED 1.09 <- This line missing, but the batch mode <- of diffmerge not reporting it so * - - - - - - - - - -FINANCE CHARGE CALCULATION- - - - - - - - - - -* Days Daily Corresponding Average In Periodic Annual Daily Periodic Rate Cycle Rate Percentage Rate Balance Finance Charge 30 .000493150 18.0000% 73.96 1.09