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Account Transactions

The document is a bank statement for an account with the LKR Staff Savings A 0180125925005 from 01/01/2021 to 11/07/2021. It shows various deposits and withdrawals over this period, beginning with an opening balance of LKR 45,002.66 and ending with an available balance of LKR 19,151.73. Major transactions include POS purchases, a profit distribution, funds transferred between accounts, and an outgoing funds transfer.

Uploaded by

Nizath Mustapha
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
177 views20 pages

Account Transactions

The document is a bank statement for an account with the LKR Staff Savings A 0180125925005 from 01/01/2021 to 11/07/2021. It shows various deposits and withdrawals over this period, beginning with an opening balance of LKR 45,002.66 and ending with an available balance of LKR 19,151.73. Major transactions include POS purchases, a profit distribution, funds transferred between accounts, and an outgoing funds transfer.

Uploaded by

Nizath Mustapha
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
You are on page 1/ 20

Account:LKR Staff Savings A 0180125925005

Currency: LKR
Available Balance: 19,151.73 CR
Branch Name: Staff Branch
Account Type: Staff Savings Ac
From Date: 01/01/2021
To Date: 11/07/2021
11/07/2021 12:52:53

Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
Opening Balance (LKR):
45,002.66 CR
10/07/2021 10/07/2021 POS Visa Locl BaseII # 1,780.64 19,151.73 CR
707183231,POS Purchase
ref.118803040448-0707084222
Ref.118803040448-
0707084222-
7050818@CARGILLS-
SENTRA RATHMA 70508185
09/07/2021 09/07/2021 POS Visa Locl BaseII # 5,420.00 20,932.37 CR
707178244,POS Purchase
ref.118611088375-0705172714
Ref.118611088375-
0705172714-
6640544@SARASAVI BOOK
SHOP (PV 66405441
08/07/2021 08/07/2021 POS Visa Locl BaseII # 1,080.00 26,352.37 CR
707172036,POS Purchase
ref.118406968528-0703120558
Ref.118406968528-
0703120558-6100124@ELITE
INDIAN RESTAURAN
61001249
07/07/2021 07/07/2021 POS Visa Locl BaseII # 1,095.00 27,432.37 CR
707165507,POS Purchase
ref.118405042250-0703104701
Ref.118405042250-
0703104701-
7060061@ARPICO-
DEHIWALA 70600618

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
07/07/2021 07/07/2021 POS Visa Locl BaseII # 2,800.00 28,527.37 CR
707165118,POS Purchase
ref.118414045420-0703200930
Ref.118414045420-
0703200930-7050628@KFC-
MOUNT LAVINIA 70506281
07/07/2021 07/07/2021 POS Visa Locl BaseII # 5,709.90 31,327.37 CR
707164765,POS Purchase
ref.118511025390-0704171847
Ref.118511025390-
0704171847-
1100141@KEELLS SUPER -
RATHMAL 11001413
06/07/2021 06/07/2021 POS Visa Locl BaseII # 630.00 37,037.27 CR
707158824,POS Purchase
ref.118403584838-0703083044
Ref.118403584838-
0703083044-
3900200@FAMILY BAKER-
RATHMALAN 39002001
02/07/2021 02/07/2021 POS Visa Locl BaseII # 3,223.86 37,667.27 CR
707138256,POS Purchase
ref.118012020326-0629174206
Ref.118012020326-
0629174206-
1100177@KEELLS SUPER -
RATHMAL 11001775
02/07/2021 02/07/2021 POS Visa Locl BaseII # 1,070.00 40,891.13 CR
707135987,POS Purchase
ref.117613605632-0625184432
Ref.117613605632-
0625184432-6100124@ELITE
INDIAN RESTAURAN
61001249
30/06/2021 30/06/2021 Profit Distribution 113.04 41,961.13 CR
0180125925005
30/06/2021 30/06/2021 SO # 2888510,SO FRM 62,000.00 41,848.09 CR
125925-005 TO 001*** SO
FRM 125925-005 TO 001***
30/06/2021 30/06/2021 POS Visa Locl BaseII # 570.00 103,848.09 CR
707124806,POS Purchase
ref.117802549970-0627082511
Ref.117802549970-
0627082511-
3900200@FAMILY BAKER-
RATHMALAN 39002001
30/06/2021 30/06/2021 POS Visa Locl BaseII # 324.00 104,418.09 CR
707124298,POS Purchase
ref.117602049310-0625082443
Ref.117602049310-
0625082443-
7050818@CARGILLS-
SENTRA RATHMA 70508185

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
30/06/2021 30/06/2021 POS Visa Locl BaseII # 1,123.12 104,742.09 CR
707123531,POS Purchase
ref.117705035061-0626112101
Ref.117705035061-
0626112101-
1100140@KEELLS SUPER -
RATHMAL 11001408
30/06/2021 30/06/2021 POS Visa Locl BaseII # 5,842.00 105,865.21 CR
707122919,POS Purchase
ref.117814038606-0627194318
Ref.117814038606-
0627194318-
4200420@NAVALANKA
SUPER CITY 42004209
28/06/2021 28/06/2021 OUT-CEFT-IBTRF # 50,000.00 111,707.21 CR
45375,Personal Personal
27/06/2021 27/06/2021 POS LOCAL SETTLE # 2,200.00 161,707.21 CR
707109719,POS Purchase
ref.010910037801-0625181959
Ref.010910037801-
0625181959-
7601605@SMART
COLLECTIONS LA 76016059
27/06/2021 27/06/2021 POS Visa Locl BaseII # 3,849.61 163,907.21 CR
707108517,POS Purchase
ref.117411059822-0623165731
Ref.117411059822-
0623165731-
1100140@KEELLS SUPER -
RATHMAL 11001409
26/06/2021 26/06/2021 ATM WDR COM #707104976 , 40,000.00 167,756.82 CR
W/D ref.010913078322-
0626102952-RMOU
Ref.010913078322-
0626102952-
RMOUNTL@MOUNT'LV-
CRM2 BR RMOUNTL2
25/06/2021 25/06/2021 POS LOCAL SETTLE # 14,990.00 207,756.82 CR
707099116,POS Purchase
ref.010899579149-0623161002
Ref.010899579149-
0623161002-
9401553@ABANS ELITE-
DEHIWELA 94015533
25/06/2021 25/06/2021 POS Visa Locl BaseII # 2,750.00 222,746.82 CR
707098935,POS Purchase
ref.117314002965-0622195641
Ref.117314002965-
0622195641-7050628@KFC-
MOUNT LAVINIA 70506284
25/06/2021 25/06/2021 POS Visa Locl BaseII # 40,610.00 225,496.82 CR
707098577,POS Purchase
ref.117311547525-0622165744
Ref.117311547525-
0622165744-7600100@AUTO
FORCE 76001001
23/06/2021 23/06/2021 Salary June - 2021 166,482.05 266,106.82 CR

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
22/06/2021 22/06/2021 IB Fund Trf # 2870042 Ref. IB 20,000.00 99,624.77 CR
TRS
22/06/2021 22/06/2021 IB Fund Trf # 2869150 Ref. IB 60,000.00 79,624.77 CR
TRS
11/06/2021 11/06/2021 POS LOCAL SETTLE # 2,895.68 19,624.77 CR
707039729,POS Purchase
ref.010828905182-0609152714
Ref.010828905182-
0609152714-5312125@M N
HEALTHCARE PHARM
53121250
06/06/2021 06/06/2021 POS Visa Locl BaseII # 3,824.19 22,520.45 CR
707020118,POS Purchase
ref.115418031483-0603234332
Ref.115418031483-
0603234332-
4200420@NAVALANKA
SUPER CITY 42004209
05/06/2021 05/06/2021 OUT-CEFT-IBTRF # 6,000.00 26,344.64 CR
43967,Bus - Imaadh and
Haaziq June Bus - Imaadh and
Haaziq June
03/06/2021 03/06/2021 IB Fund Trf # 2835326 Ref. IB 30,000.00 32,344.64 CR
TRS
31/05/2021 31/05/2021 Profit Distribution 77.13 2,344.64 CR
0180125925005
30/05/2021 30/05/2021 SO # 2826925,SO FRM 62,000.00 2,267.51 CR
125925-005 TO 001*** SO
FRM 125925-005 TO 001***
30/05/2021 30/05/2021 POS Visa Locl BaseII # 6,305.34 64,267.51 CR
706992190,POS Purchase
ref.114617048140-0526232736
Ref.114617048140-
0526232736-
8020120@NAVALANKA
SUPER CITY 80201203
26/05/2021 26/05/2021 POS Visa Locl BaseII # 9,304.00 70,572.85 CR
706979785,POS Purchase
ref.114211022108-0522172321
Ref.114211022108-
0522172321-
4200424@NAVALANKA
SUPER CITY 42004249
25/05/2021 25/05/2021 POS LOCAL SETTLE # 2,323.72 79,876.85 CR
706974184,POS Purchase
ref.010759524421-0523111355
Ref.010759524421-
0523111355-5312125@M N
HEALTHCARE PHARM
53121250
24/05/2021 24/05/2021 OUT-CEFT-IBTRF # 43155,self 25,000.00 82,200.57 CR
self
24/05/2021 24/05/2021 IB Fund Trf # 43153 Ref. IB 500.00 107,200.57 CR
TRS

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
24/05/2021 24/05/2021 IB Fund Trf # 43152 Ref. IB 500.00 107,700.57 CR
TRS
24/05/2021 24/05/2021 OUT-CEFT-IBTRF # 61,500.00 108,200.57 CR
43149,loan repay loan repay
20/05/2021 20/05/2021 Salary May - 2021 166,533.36 169,700.57 CR
07/05/2021 07/05/2021 POS Visa Locl BaseII # 4,434.73 3,167.21 CR
706882756,POS Purchase
ref.112411006676-0504172626
Ref.112411006676-
0504172626-
1100141@KEELLS SUPER -
RATHMAL 11001411
06/05/2021 06/05/2021 POS Visa Locl BaseII # 800.00 7,601.94 CR
706875713,POS Purchase
ref.112205763756-0502112422
Ref.112205763756-
0502112422-
6640544@SARASAVI BOOK
SHOP (PV 66405441
05/05/2021 05/05/2021 POS LOCAL SETTLE # 4,000.00 8,401.94 CR
706868159,POS Purchase
ref.010650253041-0502104926
Ref.010650253041-
0502104926-9001394@IT
GALAXY (PVT) LTD 90013949
05/05/2021 05/05/2021 POS Visa Locl BaseII # 2,650.00 12,401.94 CR
706865181,POS Purchase
ref.112206004077-0502113851
Ref.112206004077-
0502113851-7060026@BIK
BOK 70600263
03/05/2021 03/05/2021 OUT-CEFT-IBTRF # 41928,bus 10,000.00 15,051.94 CR
fee Imaadh bus fee Imaadh
03/05/2021 03/05/2021 IB Fund Trf # 41899 Ref. IB 500.00 25,051.94 CR
TRS
03/05/2021 03/05/2021 IB Fund Trf # 41898 Ref. IB 500.00 25,551.94 CR
TRS
03/05/2021 03/05/2021 POS Visa Locl BaseII # 2,603.36 26,051.94 CR
706854669,POS Purchase
ref.112009561380-0430144838
Ref.112009561380-
0430144838-
9382600@CARGILLS-SEN-
RATMALANA 93826006
02/05/2021 02/05/2021 POS Visa Locl BaseII # 4,470.95 28,655.30 CR
706845457,POS Purchase
ref.111814545707-0428201839
Ref.111814545707-
0428201839-
9382600@CARGILLS-SEN-
RATMALANA 93826006
30/04/2021 30/04/2021 Profit Distribution 118.31 33,126.25 CR
0180125925005

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
30/04/2021 30/04/2021 SO # 2766835,SO FRM 62,000.00 33,007.94 CR
125925-005 TO 001*** SO
FRM 125925-005 TO 001***
30/04/2021 30/04/2021 IB Fund Trf # 2766736 Ref. IB 10.00 95,007.94 CR
TRS
30/04/2021 30/04/2021 ATM WD OTATM CAS 30,000.00 94,997.94 CR
#706837944 , W/D ref.7664-
0430134433-AKP2@ICBS
W/D ref.7664-0430134433-
AKP2@ICBS
29/04/2021 29/04/2021 ATM WDR #700438590 , W/D 900.00 124,997.94 CR
ref.8304-0429133003-
A00007@28,GA Ref.8304-
0429133003-
A00007@28,GALLE ROAD,
DEHIWAL A00007
28/04/2021 28/04/2021 ATM WD OTATM CAS 4,500.00 125,897.94 CR
#706822014 , W/D
ref.111816373225-0428164345
-009A W/D ref.111816373225-
0428164345-009A
27/04/2021 27/04/2021 IB Fund Trf # 2756760 Ref. IB 100.00 130,397.94 CR
TRS
26/04/2021 26/04/2021 POS LOCAL SETTLE # 1,200.00 130,297.94 CR
706810534,POS Purchase
ref.010607006781-0424142255
Ref.010607006781-
0424142255-
9430764@MCDONALD'S
94307644
25/04/2021 25/04/2021 IB Fund Trf # 41245 Ref. IB 100.00 131,497.94 CR
TRS
23/04/2021 23/04/2021 Holiday Allowance - 2021 30,000.00 131,597.94 CR
23/04/2021 23/04/2021 IB Fund Trf # 40894 Ref. IB 500.00 101,597.94 CR
TRS
23/04/2021 23/04/2021 IB Fund Trf # 40893 Ref. IB 500.00 102,097.94 CR
TRS
23/04/2021 23/04/2021 OUT-CEFT-IBTRF # 100,000.00 102,597.94 CR
40888,loan loan
23/04/2021 23/04/2021 Salary April - 2021 166,517.51 202,597.94 CR
22/04/2021 22/04/2021 ATM WD OTATM CAS 4,500.00 36,080.43 CR
#706789748 , W/D
ref.111210371682-0422104555
-009A W/D ref.111210371682-
0422104555-009A
22/04/2021 22/04/2021 POS Visa Locl BaseII # 858.10 40,580.43 CR
706787145,POS Purchase
ref.110911017959-0419171815
Ref.110911017959-
0419171815-
7050818@CARGILLS-
SENTRA RATHMA 70508185

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
21/04/2021 21/04/2021 ATM WDR COM #706784066 , 6,000.00 41,438.53 CR
W/D ref.010589906252-
0421123441-TLIB
Ref.010589906252-
0421123441-
TLIBPCS@LIBERTY PLAZA
SP TLIBPCS1
17/04/2021 17/04/2021 ATM WDR COM #706765058 , 9,500.00 47,438.53 CR
W/D ref.010569815887-
0417162748-RMOU
Ref.010569815887-
0417162748-
RMOUNTL@MOUNT'LV-
CRM2 BR RMOUNTL2
15/04/2021 15/04/2021 POS Visa Locl BaseII # 900.00 56,938.53 CR
706750230,POS Purchase
ref.110103030524-0411084204
Ref.110103030524-
0411084204-
1100141@KEELLS SUPER -
RATHMAL 11001413
14/04/2021 14/04/2021 POS Visa Locl BaseII # 7,958.33 57,838.53 CR
706747274,POS Purchase
ref.110105504978-0411111102
Ref.110105504978-
0411111102-
5680403@ARPICO SUPER
CENTRE - 56804030
14/04/2021 14/04/2021 POS Visa Locl BaseII # 453.00 65,796.86 CR
706747273,POS Purchase
ref.110112501643-0411182018
Ref.110112501643-
0411182018-
3900200@FAMILY BAKER-
RATHMALAN 39002001
14/04/2021 14/04/2021 POS Visa Locl BaseII # 1,168.00 66,249.86 CR
706747272,POS Purchase
ref.110104504900-0411100529
Ref.110104504900-
0411100529-5800100@LUCKY
STORES 58001001
12/04/2021 12/04/2021 ATM WD OTATM CAS 4,500.00 67,417.86 CR
#706738512 , W/D
ref.110214370201-0412142904
-009A W/D ref.110214370201-
0412142904-009A
12/04/2021 12/04/2021 OUT-CEFT-IBTRF # 60,000.00 71,917.86 CR
40196,personal personal
09/04/2021 09/04/2021 ATM WD OTATM CAS 4,500.00 131,917.86 CR
#706720703 , W/D
ref.109917369714-0409170927
-009A W/D ref.109917369714-
0409170927-009A

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
09/04/2021 09/04/2021 ATM WD OTATM CAS 4,500.00 136,417.86 CR
#706720696 , W/D
ref.109917369710-0409170839
-009A W/D ref.109917369710-
0409170839-009A
09/04/2021 09/04/2021 Discretionary Bonus - 2021 140,425.00 140,917.86 CR
08/04/2021 08/04/2021 ATM WD OTATM CAS 500.00 492.86 CR
#706713639 , W/D
ref.109812369211-0408124900
-009A W/D ref.109812369211-
0408124900-009A
03/04/2021 03/04/2021 POS Visa Locl BaseII # 6,055.86 992.86 CR
706683241,POS Purchase
ref.109007023658-0331131314
Ref.109007023658-
0331131314-
1100140@KEELLS SUPER -
RATHMAL 11001409
03/04/2021 03/04/2021 POS Visa Locl BaseII # 510.00 7,048.72 CR
706682374,POS Purchase
ref.109006014179-0331122738
Ref.109006014179-
0331122738-7010110@O E M
SPARE PARTS (PVT
70101107
03/04/2021 03/04/2021 POS Visa Locl BaseII # 440.00 7,558.72 CR
706681406,POS Purchase
ref.108907536779-0330132922
Ref.108907536779-
0330132922-6100124@ELITE
INDIAN RESTAURAN
61001249
02/04/2021 02/04/2021 POS Visa Locl BaseII # 520.00 7,998.72 CR
706677185,POS Purchase
ref.108907037012-0330132000
Ref.108907037012-
0330132000-7050628@KFC-
MOUNT LAVINIA 70506281
02/04/2021 02/04/2021 POS Visa Locl BaseII # 631.00 8,518.72 CR
706676415,POS Purchase
ref.108903546940-0330083047
Ref.108903546940-
0330083047-
9382600@CARGILLS-SEN-
RATMALANA 93826006
02/04/2021 02/04/2021 POS Visa Locl BaseII # 690.00 9,149.72 CR
706676081,POS Purchase
ref.108807470783-0329131015
Ref.108807470783-
0329131015-6100124@ELITE
INDIAN RESTAURAN
61001249
01/04/2021 01/04/2021 OUT-CEFT-IBTRF # 38,000.00 9,839.72 CR
39402,personal personal
01/04/2021 01/04/2021 OUT-CEFT-IBTRF # 10,000.00 47,839.72 CR
39401,Imaadh Imaadh

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
01/04/2021 01/04/2021 POS Visa Locl BaseII # 750.00 57,839.72 CR
706670853,POS Purchase
ref.108603299550-0327084956
Ref.108603299550-
0327084956-3000041@THE
LANKA HOSPITALS CO
30000416
01/04/2021 01/04/2021 POS Visa Locl BaseII # 2,653.97 58,589.72 CR
706670682,POS Purchase
ref.108812047618-0329175157
Ref.108812047618-
0329175157-
7060062@ARPICO-
DEHIWALA 70600621
01/04/2021 01/04/2021 POS Visa Locl BaseII # 1,746.60 61,243.69 CR
706669947,POS Purchase
ref.108713436985-0328183223
Ref.108713436985-
0328183223-
6640705@SOFTLOGIC
SUPERMARKETS 66407050
01/04/2021 01/04/2021 POS Visa Locl BaseII # 210.00 62,990.29 CR
706669809,POS Purchase
ref.108502924450-0326080105
Ref.108502924450-
0326080105-5071029@FIVE
STAR BAKERS RAT 50710296
31/03/2021 31/03/2021 Profit Distribution 73.43 63,200.29 CR
0180125925005
31/03/2021 31/03/2021 POS Visa Locl BaseII # 2,020.00 63,126.86 CR
706662524,POS Purchase
ref.108712010162-0328175439
Ref.108712010162-
0328175439-7050994@LANKA
FILLING STATION 70509942
31/03/2021 31/03/2021 POS Visa Locl BaseII # 1,795.53 65,146.86 CR
706661557,POS Purchase
ref.108603000884-0327085622
Ref.108603000884-
0327085622-
1100141@KEELLS SUPER -
RATHMAL 11001411
30/03/2021 30/03/2021 SO # 2698369,SO FRM 62,000.00 66,942.39 CR
125925-005 TO 001*** SO
FRM 125925-005 TO 001***
30/03/2021 30/03/2021 ATM WD OTATM CAS 4,900.00 128,942.39 CR
#706657348 , W/D
ref.108908611366-0330083246
-UB62 W/D ref.108908611366-
0330083246-UB62
30/03/2021 30/03/2021 POS Visa Locl BaseII # 250.00 133,842.39 CR
706657014,POS Purchase
ref.108613586924-0327192439
Ref.108613586924-
0327192439-
9382600@CARGILLS-SEN-
RATMALANA 93826006

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
30/03/2021 30/03/2021 POS Visa Locl BaseII # 1,039.00 134,092.39 CR
706657011,POS Purchase
ref.108613586908-0327192350
Ref.108613586908-
0327192350-
9382600@CARGILLS-SEN-
RATMALANA 93826006
30/03/2021 30/03/2021 POS Visa Locl BaseII # 2,100.00 135,131.39 CR
706657010,POS Purchase
ref.108607531735-0327125610
Ref.108607531735-
0327125610-
5680420@ARPICO SUPER
CENTRE - 56804206
27/03/2021 27/03/2021 POS Visa Locl BaseII # 1,216.00 137,231.39 CR
706642456,POS Purchase
ref.108312026522-0324182705
Ref.108312026522-
0324182705-
7050818@CARGILLS-
SENTRA RATHMA 70508185
26/03/2021 26/03/2021 ATM WD OTATM CAS 9,500.00 138,447.39 CR
#706638104 , W/D
ref.108510149691-0326102358
-A001 W/D ref.108510149691-
0326102358-A001
25/03/2021 25/03/2021 ATM WDR COM #706632833 , 19,500.00 147,947.39 CR
W/D ref.010431639361-
0325125934-TARP
Ref.010431639361-
0325125934-
TARPDEH@ARPICO-DEHIWE
RM TARPDEH1
24/03/2021 24/03/2021 Salary March - 2021 166,593.68 167,447.39 CR
23/03/2021 23/03/2021 ATM WDR COM #706621298 , 9,500.00 853.71 CR
W/D ref.010422238777-
0323183719-TARP
Ref.010422238777-
0323183719-
TARPDEH@ARPICO-DEHIWE
RM TARPDEH1
23/03/2021 23/03/2021 IB Fund Trf # 2683767 Ref. IB 10,000.00 10,353.71 CR
TRS
10/03/2021 10/03/2021 POS Visa Locl BaseII # 600.00 353.71 CR
706551373,POS Purchase
ref.106603026847-0307084915
Ref.106603026847-
0307084915-7010110@O E M
SPARE PARTS (PVT
70101107
10/03/2021 10/03/2021 POS Visa Locl BaseII # 345.00 953.71 CR
706550920,POS Purchase
ref.106603028445-0307090608
Ref.106603028445-
0307090608-
1100141@KEELLS SUPER -
RATHMAL 11001410

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
10/03/2021 10/03/2021 POS Visa Locl BaseII # 2,169.97 1,298.71 CR
706550855,POS Purchase
ref.106310035490-0304161908
Ref.106310035490-
0304161908-
1100141@KEELLS SUPER -
RATHMAL 11001411
07/03/2021 07/03/2021 ATM WD OTATM CAS 30,000.00 3,468.68 CR
#706537370 , W/D ref.7673-
0307110615-AECDW2@ICBS
W/D ref.7673-0307110615-
AECDW2@ICBS
07/03/2021 07/03/2021 IB Fund Trf # 2653950 Ref. IB 8,700.00 33,468.68 CR
TRS
07/03/2021 07/03/2021 POS Visa Locl BaseII # 165.00 24,768.68 CR
706535331,POS Purchase
ref.106202779034-0303080641
Ref.106202779034-
0303080641-5071029@FIVE
STAR BAKERS RAT 50710296
07/03/2021 07/03/2021 POS LOCAL SETTLE # 1,016.00 24,933.68 CR
706534795,POS Purchase
ref.010307605801-0303151038
Ref.010307605801-
0303151038-5312125@M N
HEALTHCARE PHARM
53121250
06/03/2021 06/03/2021 IB Fund Trf # 37739 Ref. IB 150.00 25,949.68 CR
TRS
06/03/2021 06/03/2021 IB Fund Trf # 2652760 Ref. IB 100.00 26,099.68 CR
TRS
05/03/2021 05/03/2021 ATM WD OTATM CAS 4,900.00 25,999.68 CR
#706525744 , W/D
ref.106412145593-0305122104
-A000 W/D ref.106412145593-
0305122104-A000
05/03/2021 05/03/2021 IB Fund Trf # 2650194 Ref. IB 150.00 30,899.68 CR
TRS
04/03/2021 04/03/2021 POS Visa Locl BaseII # 250.00 30,749.68 CR
706521113,POS Purchase
ref.105613462717-0225183532
Ref.105613462717-
0225183532-5202056@SRINA
PALACE 52020563
04/03/2021 04/03/2021 POS Visa Locl BaseII # 400.00 30,999.68 CR
706520701,POS Purchase
ref.105613600521-0225184035
Ref.105613600521-
0225184035-6620011@THE
BEAUTY STORES 66200110
04/03/2021 04/03/2021 POS Visa Locl BaseII # 245.00 31,399.68 CR
706520121,POS Purchase
ref.105803860689-0227084308
Ref.105803860689-
0227084308-5071029@FIVE
STAR BAKERS RAT 50710296

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
03/03/2021 03/03/2021 POS Visa Locl BaseII # 5,336.40 31,644.68 CR
706514355,POS Purchase
ref.105913034300-0228184726
Ref.105913034300-
0228184726-
1100141@KEELLS SUPER -
RATHMAL 11001411
03/03/2021 03/03/2021 POS Visa Locl BaseII # 330.77 36,981.08 CR
706513363,POS Purchase
ref.105713023920-0226185035
Ref.105713023920-
0226185035-
7050818@CARGILLS-
SENTRA RATHMA 70508185
03/03/2021 03/03/2021 POS Visa Locl BaseII # 335.00 37,311.85 CR
706513291,POS Purchase
ref.105613040033-0225191646
Ref.105613040033-
0225191646-
7050520@FAMILY SUPER
70505204
02/03/2021 02/03/2021 ATM WD OTATM CAS 4,900.00 37,646.85 CR
#706508639 , W/D ref.7177-
0302174102-AECKP2@ICBS
W/D ref.7177-0302174102-
AECKP2@ICBS
02/03/2021 02/03/2021 POS Visa Locl BaseII # 1,243.00 42,546.85 CR
706505055,POS Purchase
ref.105713545410-0226185307
Ref.105713545410-
0226185307-
9382613@CARGILLS-SEN-
RATMALANA 93826133
01/03/2021 01/03/2021 OUT-CEFT-IBTRF # 50,000.00 43,789.85 CR
37402,personal personal
28/02/2021 28/02/2021 Profit Distribution 78.27 93,789.85 CR
0180125925005
28/02/2021 28/02/2021 SO # 2638000,SO FRM 62,000.00 93,711.58 CR
125925-005 TO 001*** SO
FRM 125925-005 TO 001***
26/02/2021 26/02/2021 ATM WDR COM #706487788 , 800.00 155,711.58 CR
W/D ref.010276854070-
0226112558-TMOU
Ref.010276854070-
0226112558-TMOUNTL@MT
LAVINIA-1 BR TMOUNTL1
26/02/2021 26/02/2021 POS Visa Locl BaseII # 413.00 156,511.58 CR
706485682,POS Purchase
ref.105413520983-0223183414
Ref.105413520983-
0223183414-
9382600@CARGILLS-SEN-
RATMALANA 93826006

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
25/02/2021 25/02/2021 ATM WDR COM #706483875 , 19,500.00 156,924.58 CR
W/D ref.010273154656-
0225181136-RMOU
Ref.010273154656-
0225181136-
RMOUNTL@MOUNT'LV-
CRM2 BR RMOUNTL2
24/02/2021 24/02/2021 Salary February - 2021 171,502.36 176,424.58 CR
23/02/2021 23/02/2021 ATM WDR #700413514 , W/D 4,500.00 4,922.22 CR
ref.6300-0223174407-
A00007@28,GA Ref.6300-
0223174407-
A00007@28,GALLE ROAD,
DEHIWAL A00007
21/02/2021 21/02/2021 OUT-CEFT-IBTRF # 1,390.00 9,422.22 CR
36451,Imaadh's fee - February
Imaadh's fee - February
21/02/2021 21/02/2021 IB Fund Trf # 2624089 Ref. IB 10,000.00 10,812.22 CR
TRS
21/02/2021 21/02/2021 ATM WD OTATM CAS 4,500.00 812.22 CR
#706461310 , W/D
ref.105212314267-0221123643
-A000 W/D ref.105212314267-
0221123643-A000
20/02/2021 20/02/2021 OUT-CEFT-IBTRF # 15,000.00 5,312.22 CR
36437,pers pers
18/02/2021 18/02/2021 POS Visa Locl BaseII # 1,760.00 20,312.22 CR
706444739,POS Purchase
ref.104306873830-0212120510
Ref.104306873830-
0212120510-6100124@ELITE
INDIAN RESTAURAN
61001249
17/02/2021 17/02/2021 POS Visa Locl BaseII # 6,716.20 22,072.22 CR
706439985,POS Purchase
ref.104505028306-0214111521
Ref.104505028306-
0214111521-
1100140@KEELLS SUPER -
RATHMAL 11001409
17/02/2021 17/02/2021 POS Visa Locl BaseII # 580.00 28,788.42 CR
706438030,POS Purchase
ref.104402077072-0213075133
Ref.104402077072-
0213075133-
5613787@FAMILY BAKER
56137879
16/02/2021 16/02/2021 POS Visa Locl BaseII # 1,017.16 29,368.42 CR
706434015,POS Purchase
ref.104403513040-0213091704
Ref.104403513040-
0213091704-
8000100@HEALTHCARE
PHARMACY 80001001
14/02/2021 14/02/2021 IB Fund Trf # 2612143 Ref. IB 27,000.00 30,385.58 CR
TRS

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
14/02/2021 14/02/2021 POS Visa Locl BaseII # 611.00 3,385.58 CR
706424602,POS Purchase
ref.104210516101-0211160248
Ref.104210516101-
0211160248-
9382600@CARGILLS-SEN-
RATMALANA 93826006
13/02/2021 13/02/2021 ATM WD OTATM CAS 16,000.00 3,996.58 CR
#706421964 , W/D
ref.104412879063-0213124153
-A000 W/D ref.104412879063-
0213124153-A000
13/02/2021 13/02/2021 ATM WD OTATM CAS 9,500.00 19,996.58 CR
#706421170 , W/D
ref.104409865337-0213092234
-A000 W/D ref.104409865337-
0213092234-A000
13/02/2021 13/02/2021 POS Visa Locl BaseII # 6,080.00 29,496.58 CR
706420726,POS Purchase
ref.104113542043-0210185337
Ref.104113542043-
0210185337-
5680420@ARPICO SUPER
CENTRE - 56804204
13/02/2021 13/02/2021 POS Visa Locl BaseII # 350.00 35,576.58 CR
706419445,POS Purchase
ref.104114946086-0210193033
Ref.104114946086-
0210193033-
5613787@FAMILY BAKER
56137879
12/02/2021 12/02/2021 POS Visa Locl BaseII # 596.02 35,926.58 CR
706415453,POS Purchase
ref.104007000602-0209131535
Ref.104007000602-
0209131535-
1100140@KEELLS SUPER -
RATHMAL 11001408
11/02/2021 11/02/2021 POS Visa Locl BaseII # 3,951.43 36,522.60 CR
706409850,POS Purchase
ref.103913055232-0208190725
Ref.103913055232-
0208190725-
7050818@CARGILLS-
SENTRA RATHMA 70508185
10/02/2021 10/02/2021 IB Fund Trf # 2606340 Ref. IB 35,000.00 40,474.03 CR
TRS
10/02/2021 10/02/2021 ATM WD OTATM CAS 4,000.00 5,474.03 CR
#706405428 , W/D
ref.104112661717-0210122451
-A000 W/D ref.104112661717-
0210122451-A000

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
10/02/2021 10/02/2021 POS Visa Locl BaseII # 2,520.00 9,474.03 CR
706401617,POS Purchase
ref.103813039744-0207185220
Ref.103813039744-
0207185220-
7060111@NOLIMIT 70601111
10/02/2021 10/02/2021 POS Visa Locl BaseII # 2,891.00 11,994.03 CR
706401521,POS Purchase
ref.103613062372-0205185521
Ref.103613062372-
0205185521-
7060061@ARPICO-
DEHIWALA 70600618
10/02/2021 10/02/2021 POS Visa Locl BaseII # 480.00 14,885.03 CR
706401370,POS Purchase
ref.103812032442-0207182306
Ref.103812032442-
0207182306-7050628@KFC-
MOUNT LAVINIA 70506284
09/02/2021 09/02/2021 OUT-CEFT-IBTRF # 3,000.00 15,365.03 CR
36082,Imaadh January Imaadh
January
06/02/2021 06/02/2021 POS Visa Locl BaseII # 1,953.25 18,365.03 CR
706385580,POS Purchase
ref.103502546370-0204082848
Ref.103502546370-
0204082848-
9382600@CARGILLS-SEN-
RATMALANA 93826006
05/02/2021 05/02/2021 ATM WD OTATM CAS 9,000.00 20,318.28 CR
#706381928 , W/D
ref.000611065877-0205180312
-0000 W/D ref.000611065877-
0205180312-0000
03/02/2021 03/02/2021 POS Visa Locl BaseII # 2,222.00 29,318.28 CR
706366834,POS Purchase
ref.102913045185-0129184932
Ref.102913045185-
0129184932-
8020120@NAVALANKA
SUPER CITY 80201203
03/02/2021 03/02/2021 POS Visa Locl BaseII # 3,646.07 31,540.28 CR
706366554,POS Purchase
ref.103107004190-0131123048
Ref.103107004190-
0131123048-
7050818@CARGILLS-
SENTRA RATHMA 70508185
02/02/2021 02/02/2021 POS Visa Locl BaseII # 843.05 35,186.35 CR
706361372,POS Purchase
ref.102805108176-0128104633
Ref.102805108176-
0128104633-
6640704@SOFTLOGIC
SUPERMARKETS 66407048

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
02/02/2021 02/02/2021 POS LOCAL SETTLE # 1,651.60 36,029.40 CR
706360719,POS Purchase
ref.010130005087-0130195714
Ref.010130005087-
0130195714-5302125@M N
HEALTHCARE PHARM
53021250
01/02/2021 01/02/2021 ATM WD OTATM CAS 30,000.00 37,681.00 CR
#706357575 , W/D
ref.103214603008-0201144214
-A000 W/D ref.103214603008-
0201144214-A000
01/02/2021 01/02/2021 IB Fund Trf # 35658 Ref. IB 500.00 67,681.00 CR
TRS
01/02/2021 01/02/2021 IB Fund Trf # 35653 Ref. IB 500.00 68,181.00 CR
TRS
31/01/2021 31/01/2021 Profit Distribution 83.67 68,681.00 CR
0180125925005
31/01/2021 31/01/2021 ATM WDR COM #706353383 , 9,500.00 68,597.33 CR
W/D ref.010132592676-
0131114816-TMOU
Ref.010132592676-
0131114816-TMOUNTL@MT
LAVINIA-1 BR TMOUNTL1
31/01/2021 31/01/2021 POS Visa Locl BaseII # 620.00 78,097.33 CR
706352380,POS Purchase
ref.102805515927-0128112231
Ref.102805515927-
0128112231-
5680420@ARPICO SUPER
CENTRE - 56804208
31/01/2021 31/01/2021 POS Visa Locl BaseII # 2,370.00 78,717.33 CR
706351634,POS Purchase
ref.102806011700-0128122736
Ref.102806011700-
0128122736-7060110@GLITZ
70601106
31/01/2021 31/01/2021 POS Visa Locl BaseII # 677.00 81,087.33 CR
706351117,POS Purchase
ref.102811061715-0128171546
Ref.102811061715-
0128171546-
1100074@KEELLS - MT
LAVINIA 11000748
30/01/2021 30/01/2021 SO # 2584838,SO FRM 62,000.00 81,764.33 CR
125925-005 TO 001*** SO
FRM 125925-005 TO 001***
30/01/2021 30/01/2021 IB Fund Trf # 35408,For 3,500.00 143,764.33 CR
Shanika's wedding Ref. IB
TRS For Shanika's wedding

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
30/01/2021 30/01/2021 POS Visa Locl BaseII # 680.00 147,264.33 CR
706346747,POS Purchase
ref.102607005110-0126125300
Ref.102607005110-
0126125300-6100124@ELITE
INDIAN RESTAURAN
61001249
29/01/2021 29/01/2021 Performance Bonus - 2020 70,200.00 147,944.33 CR
29/01/2021 29/01/2021 POS LOCAL SETTLE # 6,365.00 77,744.33 CR
706340716,POS Purchase
ref.010113766342-0127191829
Ref.010113766342-
0127191829-
9812214@SOFTLOGIC
GLOMARK 98122145
25/01/2021 25/01/2021 ATM WD OTATM CAS 9,500.00 84,109.33 CR
#706324211 , W/D
ref.102518694980-0125183935
-A000 W/D ref.102518694980-
0125183935-A000
25/01/2021 25/01/2021 IB Fund Trf # 34842,Imaadh 2,000.00 93,609.33 CR
and Haaziq Ref. IB TRS
Imaadh and Haaziq
25/01/2021 25/01/2021 OUT-CEFT-IBTRF # 1,500.00 95,609.33 CR
34820,Registration fee for
Imaadh Registration fee for
Imaadh
24/01/2021 24/01/2021 ATM WDR COM #706319223 , 14,500.00 97,109.33 CR
W/D ref.010093782203-
0124105156-TARP
Ref.010093782203-
0124105156-
TARPDEH@ARPICO-DEHIWE
RM TARPDEH1
24/01/2021 24/01/2021 OUT-CEFT-IBTRF # 34658 50,000.00 111,609.33 CR
22/01/2021 22/01/2021 Salary January - 2021 161,400.86 161,609.33 CR
18/01/2021 18/01/2021 IB Fund Trf # 34126 Ref. IB 500.00 208.47 CR
TRS
18/01/2021 18/01/2021 IB Fund Trf # 34125 Ref. IB 500.00 708.47 CR
TRS
18/01/2021 18/01/2021 POS Visa Locl BaseII # 180.00 1,208.47 CR
706288134,POS Purchase
ref.101412879501-0114174808
Ref.101412879501-
0114174808-5071029@FIVE
STAR BAKERS RAT 50710296
17/01/2021 17/01/2021 POS Visa Locl BaseII # 530.98 1,388.47 CR
706284295,POS Purchase
ref.101412511568-0114174047
Ref.101412511568-
0114174047-
9382600@CARGILLS-SEN-
RATMALANA 93826006

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
17/01/2021 17/01/2021 POS Visa Locl BaseII # 345.00 1,919.45 CR
706283661,POS Purchase
ref.101312384853-0113182758
Ref.101312384853-
0113182758-
5613787@FAMILY BAKER
56137879
17/01/2021 17/01/2021 POS Visa Locl BaseII # 1,420.00 2,264.45 CR
706283539,POS Purchase
ref.101411055694-0114172202
Ref.101411055694-
0114172202-
1100141@KEELLS SUPER -
RATHMAL 11001410
17/01/2021 17/01/2021 POS Visa Locl BaseII # 1,925.00 3,684.45 CR
706282453,POS Purchase
ref.101313038952-0113184119
Ref.101313038952-
0113184119-
7050818@CARGILLS-
SENTRA RATHMA 70508185
16/01/2021 16/01/2021 ATM WDR COM #706278901 , 9,500.00 5,609.45 CR
W/D ref.010051627343-
0116081109-TMOU
Ref.010051627343-
0116081109-TMOUNTL@MT
LAVINIA-1 BR TMOUNTL1
15/01/2021 15/01/2021 POS Visa Locl BaseII # 815.03 15,109.45 CR
706274587,POS Purchase
ref.101103679582-0111085547
Ref.101103679582-
0111085547-
6964029@CARGILLS FC
COLPETTY 69640297
14/01/2021 14/01/2021 POS Visa Locl BaseII # 1,025.00 15,924.48 CR
706270052,POS Purchase
ref.100812084389-0108180038
Ref.100812084389-
0108180038-
6640700@SARASAVI BOOK
SHOP (PV 66407005
14/01/2021 14/01/2021 POS Visa Locl BaseII # 811.00 16,949.48 CR
706269612,POS Purchase
ref.100812084968-0108180618
Ref.100812084968-
0108180618-
6640544@SARASAVI BOOK
SHOP (PV 66405441
14/01/2021 14/01/2021 POS Visa Locl BaseII # 150.00 17,760.48 CR
706269501,POS Purchase
ref.100812744287-0108174021
Ref.100812744287-
0108174021-5202056@SRINA
PALACE 52020563
13/01/2021 13/01/2021 IB Fund Trf # 2554680 Ref. IB 10,000.00 17,910.48 CR
TRS

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
11/01/2021 11/01/2021 POS Visa Locl BaseII # 2,067.95 7,910.48 CR
706255725,POS Purchase
ref.100712044309-0107181615
Ref.100712044309-
0107181615-1100181@
11001814
10/01/2021 10/01/2021 ATM WD OTATM CAS 4,500.00 9,978.43 CR
#706251317 , W/D
ref.101012837584-0110124218
-A000 W/D ref.101012837584-
0110124218-A000
10/01/2021 10/01/2021 IB Fund Trf # 33925 Ref. IB 750.00 14,478.43 CR
TRS
10/01/2021 10/01/2021 IB Fund Trf # 33924 Ref. IB 600.00 15,228.43 CR
TRS
10/01/2021 10/01/2021 IB Fund Trf # 2549067 Ref. IB 550.00 15,828.43 CR
TRS
09/01/2021 09/01/2021 IB Fund Trf # 2548198 Ref. IB 500.00 15,278.43 CR
TRS
09/01/2021 09/01/2021 IB Fund Trf # 2548195 Ref. IB 1,000.00 14,778.43 CR
TRS
08/01/2021 08/01/2021 ATM WD OTATM CAS 9,500.00 13,778.43 CR
#706244844 , W/D
ref.100810526946-0108105405
-UB65 W/D ref.100810526946-
0108105405-UB65
07/01/2021 07/01/2021 IB Fund Trf # 2545726 Ref. IB 20,000.00 23,278.43 CR
TRS
07/01/2021 07/01/2021 POS Visa Locl BaseII # 690.00 3,278.43 CR
706239237,POS Purchase
ref.100306811227-0103121714
Ref.100306811227-
0103121714-6100124@ELITE
INDIAN RESTAURAN
61001249
06/01/2021 06/01/2021 IB Fund Trf # 2540125,s Ref. 100.00 3,968.43 CR
IB TRS s
06/01/2021 06/01/2021 POS Visa Locl BaseII # 3,177.80 3,868.43 CR
706234198,POS Purchase
ref.100311008072-0103171420
Ref.100311008072-
0103171420-
1100141@KEELLS SUPER -
RATHMAL 11001411
06/01/2021 06/01/2021 POS Visa Locl BaseII # 12,901.91 7,046.23 CR
706233953,POS Purchase
ref.100306001730-0103115141
Ref.100306001730-
0103115141-
7060061@ARPICO-
DEHIWALA 70600618

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE


Trade Date Value Date Description Debit (LKR) Credit (LKR) Balance
06/01/2021 06/01/2021 POS Visa Locl BaseII # 2,020.00 19,948.14 CR
706233340,POS Purchase
ref.100106004568-0101115553
Ref.100106004568-
0101115553-
7060144@LAUGFS
PETROLEUM PVT L 70601441
06/01/2021 06/01/2021 POS Visa Locl BaseII # 2,570.00 21,968.14 CR
706231759,POS Purchase
ref.100113013901-0101183333
Ref.100113013901-
0101183333-7050628@KFC-
MOUNT LAVINIA 70506284
05/01/2021 05/01/2021 IB Fund Trf # 2538168 Ref. IB 200.00 24,538.14 CR
TRS
05/01/2021 05/01/2021 IB Fund Trf # 2537460 Ref. IB 2,000.00 24,338.14 CR
TRS
04/01/2021 04/01/2021 POS Visa Locl BaseII # 590.52 22,338.14 CR
706223728,POS Purchase
ref.036605008546-1231110334
Ref.036605008546-
1231110334-
1100140@KEELLS SUPER -
RATHMAL 11001409
03/01/2021 03/01/2021 ATM WD OTATM CAS 5,000.00 22,928.66 CR
#706222128 , W/D
ref.100317401510-0103173449
-UB62 W/D ref.100317401510-
0103173449-UB62
03/01/2021 03/01/2021 ATM WD OTATM CAS 9,500.00 27,928.66 CR
#706221013 , W/D
ref.100311870378-0103115617
-A090 W/D ref.100311870378-
0103115617-A090
03/01/2021 03/01/2021 POS Visa Locl BaseII # 2,175.00 37,428.66 CR
706217435,POS Purchase
ref.036312488819-1228175629
Ref.036312488819-
1228175629-
6640544@SARASAVI BOOK
SHOP (PV 66405441
01/01/2021 01/01/2021 OUT-CEFT-IBTRF # 6,000.00 39,603.66 CR
33689,Imaadh Ratmalana
Imaadh Ratmalana
01/01/2021 01/01/2021 IB Fund Trf # 2532024 Ref. IB 350.00 45,603.66 CR
TRS
01/01/2021 01/01/2021 IB Fund Trf # 2531189 Ref. IB 250.00 45,253.66 CR
TRS
01/01/2021 01/01/2021 IB Fund Trf # 2530644 Ref. IB 1.00 45,003.66 CR
TRS
Total From 01/01/2021 To 11/07/2021 1,502,060.60 1,476,209.67 Balance: 19,151.73 CR
Closing Balance (LKR):
19,151.73 CR

AMANA Bank Internet Banking Services – NOT FOR OFFICIAL USE

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