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59025

This document is a bank account ledger report for Padmavathy Ayyavu's account with the Punjab National Bank in Tirupur, Tamil Nadu from April 1, 2021 to March 31, 2022. It shows a variety of transactions including deposits, withdrawals, transfers and fees that resulted in the account balance changing over this period. The opening balance was 76,453.78 Cr and the balance being carried forward after all transactions over the year is 28,202.98 Cr. The report provides details of transaction dates, amounts, and reference numbers.
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© © 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
100% found this document useful (1 vote)
152 views6 pages

59025

This document is a bank account ledger report for Padmavathy Ayyavu's account with the Punjab National Bank in Tirupur, Tamil Nadu from April 1, 2021 to March 31, 2022. It shows a variety of transactions including deposits, withdrawals, transfers and fees that resulted in the account balance changing over this period. The opening balance was 76,453.78 Cr and the balance being carried forward after all transactions over the year is 28,202.98 Cr. The report provides details of transaction dates, amounts, and reference numbers.
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/ 6

TMPCAAZczE9aJ7b

27-07-2022 10:30:39 PUNJAB NATIONAL BANK, TIRUPUR Page 1


REP31
Customer Account Ledger Report

Report To : M
SolId :
Set Id : 044900 TIRUPUR TN
Gl Sub Head Code :
Acct Range : 0449000101059025 to 0449000101059025
Currency Code :
Account Label :
Open/Closed A/cs (O/C) :
Period : 01-04-2021 to 31-03-2022
Limit Details : Y
Order by GL. Date.

27-07-2022 10:30:39 PUNJAB NATIONAL BANK TIRUPUR Page 2

Customer Account Ledger Report from 01-04-2021 to 31-03-2022

Service OutLet : 044900 TIRUPUR TN


Account No : 0449000101059025 INR PADMAVATHY AYYAVU
Gl Sub Head Code :
Opening Balance : 76,453.78Cr
Peg Review date : 31-12-2099
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
GL. Value Instrmnt Particulars Transaction Transaction Balance Entry Verified
Date Date Number Debit Amount Credit Amount User Id User Id
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Order by GL. Date.
03-04-2021 03-04-2021 TRTR/ACTCDEP/109309055882/FIK 25,000.00 1,01,453.78Cr CDCI CDCI
03-04-2021 03-04-2021 UPI/109385684082/P2A/9174350669/NAINA SANGTANI 100.00 1,01,553.78Cr CDCI CDCI
03-04-2021 03-04-2021 UPI/109306702994/P2A/9174350669/NAINA SANGTANI 6,300.00 1,07,853.78Cr CDCI CDCI
03-04-2021 03-04-2021 483515 SELF 1,05,000.00 2,853.78Cr 343577RV 325688WBS
03-04-2021 03-04-2021 CDS/CRTR/036400B1036400/587/03-04-2021 37,500.00 40,353.78Cr CDCI CDCI
03-04-2021 03-04-2021 CDS/CRTR/036400B1036400/590/03-04-2021 1,500.00 41,853.78Cr CDCI CDCI
05-04-2021 05-04-2021 CASHDEP FIK CHARGE4-03-04-2021 55.00 41,798.78Cr 53799BDDB SYSTEM
05-04-2021 05-04-2021 IMPS-IN/109515864826/8770835447/SANJAY 1.00 41,799.78Cr CDCI CDCI
05-04-2021 05-04-2021 BY CASH -018600 49,000.00 90,799.78Cr 300037ASS 311757VN
05-04-2021 05-04-2021 IMPS-IN/109521308626/8770835447/SANJAY 53,620.00 1,44,419.78Cr CDCI CDCI
06-04-2021 06-04-2021 TRTR/ACTCDEP/109613059115/FIK 25,000.00 1,69,419.78Cr CDCI CDCI
06-04-2021 06-04-2021 BY CASH -660200 22,500.00 1,91,919.78Cr 339743AA 338611PRN
06-04-2021 06-04-2021 UPI/109669757714/P2A/7415327247/DEVENDRA NAMDEV 7,370.00 1,99,289.78Cr CDCI CDCI
07-04-2021 07-04-2021 CASHDEP FIK CHARGE4-06-04-2021 55.00 1,99,234.78Cr 308766RCD SYSTEM
08-04-2021 08-04-2021 483516 SELF 1,95,000.00 4,234.78Cr 343577RV 325688WBS
08-04-2021 08-04-2021 TRTR/ACTCDEP/109816045237/FIK 25,000.00 29,234.78Cr CDCI CDCI
09-04-2021 09-04-2021 CASHDEP FIK CHARGE4-08-04-2021 55.00 29,179.78Cr 53799BDDB SYSTEM
09-04-2021 09-04-2021 BY CASH -070900 49,000.00 78,179.78Cr 338246SKD 84203DKS
09-04-2021 09-04-2021 CDS/CRTR/042000B1042000/2682/09-04-2021 57,000.00 1,35,179.78Cr CDCI CDCI
09-04-2021 09-04-2021 483517 SELF 1,30,000.00 5,179.78Cr 343577RV 325688WBS
09-04-2021 09-04-2021 UPI/109935944845/P2A/8840267645/SALMAN SHAH SO JEE 25,000.00 30,179.78Cr CDCI CDCI
09-04-2021 09-04-2021 UPI/109959372968/P2A/8840267645/SALMAN SHAH SO JEE 15,000.00 45,179.78Cr CDCI CDCI
09-04-2021 09-04-2021 ATM WDR 5267 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 30,179.78Cr CDCI CDCI
09-04-2021 09-04-2021 ATM WDR 5270 PNB \220 TIRUPUR AVINASI RO \ACOIMB 10,000.00 20,179.78Cr CDCI CDCI
09-04-2021 09-04-2021 TRTR/ACTCDEP/109917002143/FIK 25,000.00 45,179.78Cr CDCI CDCI
10-04-2021 10-04-2021 ATM WDR 5649 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 30,179.78Cr CDCI CDCI
10-04-2021 10-04-2021 ATM WDR 5652 PNB \220 TIRUPUR AVINASI RO \ACOIMB 10,000.00 20,179.78Cr CDCI CDCI
12-04-2021 12-04-2021 CASHDEP FIK CHARGE4-09-04-2021 55.00 20,124.78Cr 53799BDDB SYSTEM
12-04-2021 12-04-2021 TRTR/ACTCDEP/110214074252/FIK 25,000.00 45,124.78Cr CDCI CDCI
12-04-2021 12-04-2021 ATM WDR 1509 PNB \TIRUPUR AVINASHI ROAD \ COIMB 15,000.00 30,124.78Cr CDCI CDCI
12-04-2021 12-04-2021 ATM REV 1509 PNB \TIRUPUR AVINASHI ROAD \ COIMB 15,000.00 45,124.78Cr CDCI CDCI
12-04-2021 12-04-2021 BY CASH -070900 33,200.00 78,324.78Cr 338246SKD 84203DKS
12-04-2021 12-04-2021 ATM WDR 8654 PNB \54 SABARI STREET BINNY \ COIMB 12,000.00 66,324.78Cr CDCI CDCI
12-04-2021 12-04-2021 ATM WDR 8657 PNB \54 SABARI STREET BINNY \ COIMB 13,000.00 53,324.78Cr CDCI CDCI
12-04-2021 12-04-2021 ATM WDR 8657 PNB \54 SABARI STREET BINNY \ COIMB 11.80 53,312.98Cr CDCI CDCI
Page 1
TMPCAAZczE9aJ7b
13-04-2021 13-04-2021 BY CASH -798500 20,000.00 73,312.98Cr 1306944NJ 308886PR
13-04-2021 13-04-2021 CASHDEP FIK CHARGE4-12-04-2021 55.00 73,257.98Cr 309871PSD SYSTEM
17-04-2021 17-04-2021 483519 TO SELF 70,000.00 3,257.98Cr 316880S 325688WBS
19-04-2021 19-04-2021 TRTR/ACTCDEP/110916042074/FIK 25,000.00 28,257.98Cr CDCI CDCI
20-04-2021 20-04-2021 CASHDEP FIK CHARGE4-19-04-2021 55.00 28,202.98Cr 53799BDDB SYSTEM
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Page Total Credit : 5,42,091.00
Page Total Debit : 5,90,341.80

27-07-2022 10:30:39 PUNJAB NATIONAL BANK TIRUPUR Page 3

Customer Account Ledger Report from 01-04-2021 to 31-03-2022

Service OutLet : 044900 TIRUPUR TN


Account No : 0449000101059025 INR PADMAVATHY AYYAVU
Gl Sub Head Code :
B/F Balance : 28,202.98Cr
Peg Review date : 31-12-2099
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
GL. Value Instrmnt Particulars Transaction Transaction Balance Entry Verified
Date Date Number Debit Amount Credit Amount User Id User Id
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

22-04-2021 22-04-2021 BY CASH -070900 59,000.00 87,202.98Cr 301029JS 336466RV


23-04-2021 23-04-2021 CASH HAND CHARGE5 - 22-04-2021 29.50 87,173.48Cr 84203DKSD SYSTEM
23-04-2021 23-04-2021 483520 SELF 85,000.00 2,173.48Cr 343577RV 304881SSS
27-04-2021 27-04-2021 BY CASH -205310 40,000.00 42,173.48Cr 1343624MS 1306938AR
27-04-2021 27-04-2021 ATM WDR 1622 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 27,173.48Cr CDCI CDCI
27-04-2021 27-04-2021 ATM WDR 1622 PNB \220 TIRUPUR AVINASI RO \ACOIMB 11.80 27,161.68Cr CDCI CDCI
27-04-2021 27-04-2021 ATM WDR 1625 PNB \220 TIRUPUR AVINASI RO \ACOIMB 10,000.00 17,161.68Cr CDCI CDCI
27-04-2021 27-04-2021 ATM WDR 1625 PNB \220 TIRUPUR AVINASI RO \ACOIMB 11.80 17,149.88Cr CDCI CDCI
28-04-2021 28-04-2021 CASH HAND CHARGE5 - 27-04-2021 29.50 17,120.38Cr 1306938AR SYSTEM
29-04-2021 29-04-2021 ATM WDR 2221 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 2,120.38Cr CDCI CDCI
29-04-2021 29-04-2021 ATM WDR 2221 PNB \220 TIRUPUR AVINASI RO \ACOIMB 11.80 2,108.58Cr CDCI CDCI
06-05-2021 06-05-2021 BY CASH -294000 25,000.00 27,108.58Cr 351583AN 325915KKC
07-05-2021 07-05-2021 ATM WDR 5014 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 12,108.58Cr CDCI CDCI
07-05-2021 07-05-2021 ATM WDR 5017 PNB \220 TIRUPUR AVINASI RO \ACOIMB 10,000.00 2,108.58Cr CDCI CDCI
10-05-2021 10-05-2021 TRTR/ACTCDEP/113012006344/FIK 25,000.00 27,108.58Cr CDCI CDCI
11-05-2021 11-05-2021 ATM WDR 113107855967 TPR PNRD ONSITE I \ 10,000.00 17,108.58Cr CDCI CDCI
11-05-2021 11-05-2021 CASHDEP FIK CHARGE4-10-05-2021 55.00 17,053.58Cr 53799BDDB SYSTEM
12-05-2021 12-05-2021 UPI/113216027839/P2A/7081391399/RISHABH GUPTA 30,000.00 47,053.58Cr CDCI CDCI
13-05-2021 13-05-2021 ATM WDR 6388 PNB \220 TIRUPUR AVINASI RO \ACOIMB 12,000.00 35,053.58Cr CDCI CDCI
13-05-2021 13-05-2021 ATM WDR 6391 PNB \220 TIRUPUR AVINASI RO \ACOIMB 13,000.00 22,053.58Cr CDCI CDCI
13-05-2021 13-05-2021 UPI/113313922071/P2A/9889136545/MOHD SANI 25,000.00 47,053.58Cr CDCI CDCI
14-05-2021 14-05-2021 TRTR/ACTCDEP/113413010170/FIK 25,000.00 72,053.58Cr CDCI CDCI
15-05-2021 15-05-2021 CASHDEP FIK CHARGE4-14-05-2021 55.00 71,998.58Cr 335872SCD SYSTEM
15-05-2021 15-05-2021 Charges for NEFT Customer Payment :000189093251 4.72 71,993.86Cr 338575RR 325688WBS
15-05-2021 15-05-2021 483521 NEFT:PUNBH21135432448/SRI SAMY TRADERS 70,000.00 1,993.86Cr 338575RR 325688WBS
09-06-2021 01-06-2021 0449000101059025:Int.Pd:01-03-2021 to 31-05-2021 212.00 2,205.86Cr 340989SS8 340989SS8
11-06-2021 11-06-2021 NEFT ABESH SO GURBAT KHAN 50,000.00 52,205.86Cr CDCI CDCI
11-06-2021 11-06-2021 ATM WDR 8175 PNB \54 SABARI STREET BINNY \ COIMB 10,000.00 42,205.86Cr CDCI CDCI
11-06-2021 11-06-2021 ATM WDR 8181 PNB \54 SABARI STREET BINNY \ COIMB 10,000.00 32,205.86Cr CDCI CDCI
12-06-2021 12-06-2021 ATM WDR 9543 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 17,205.86Cr CDCI CDCI
12-06-2021 12-06-2021 ATM WDR 9546 PNB \220 TIRUPUR AVINASI RO \ACOIMB 10,000.00 7,205.86Cr CDCI CDCI
14-06-2021 14-06-2021 CDS/CRTR/312700B1312700/793/14-06-2021 85,000.00 92,205.86Cr CDCI CDCI
14-06-2021 14-06-2021 BY CASH -752400 30,700.00 1,22,905.86Cr 301050UK 309811JS
14-06-2021 14-06-2021 483518 TO SELF 1,20,000.00 2,905.86Cr 316880S 325688WBS
14-06-2021 14-06-2021 TRTR/ACTCDEP/116514018129/FIK 25,000.00 27,905.86Cr CDCI CDCI
15-06-2021 15-06-2021 ATM WDR 1127 PNB \TIRUPUR AVINASHI ROAD \ COIMB 15,000.00 12,905.86Cr CDCI CDCI
15-06-2021 15-06-2021 TRTR/ACTCDEP/116610018805/FIK 25,000.00 37,905.86Cr CDCI CDCI
15-06-2021 15-06-2021 UPI/116619796937/P2A/9993104413/ASHISH KUMAR 50.00 37,955.86Cr CDCI CDCI
15-06-2021 15-06-2021 UPI/116678345822/P2A/9993104413/ASHISH KUMAR 25,000.00 62,955.86Cr CDCI CDCI
15-06-2021 15-06-2021 UPI/116645488357/P2A/9993104413/ASHISH KUMAR 21,700.00 84,655.86Cr CDCI CDCI
15-06-2021 15-06-2021 CASHDEP FIK CHARGE4-14-06-2021 55.00 84,600.86Cr 325662RGD SYSTEM
18-06-2021 18-06-2021 483522 TO SELF 80,000.00 4,600.86Cr 316880S 325688WBS
03-07-2021 03-07-2021 SMS CHRG FOR:01-04-2021to30-06-2021 17.70 4,583.16Cr 312823GSB 312823GSB
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Page Total Credit : 4,91,662.00
Page Total Debit : 5,15,281.82
Page 2
TMPCAAZczE9aJ7b

27-07-2022 10:30:39 PUNJAB NATIONAL BANK TIRUPUR Page 4

Customer Account Ledger Report from 01-04-2021 to 31-03-2022

Service OutLet : 044900 TIRUPUR TN


Account No : 0449000101059025 INR PADMAVATHY AYYAVU
Gl Sub Head Code :
B/F Balance : 4,583.16Cr
Peg Review date : 31-12-2099
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
GL. Value Instrmnt Particulars Transaction Transaction Balance Entry Verified
Date Date Number Debit Amount Credit Amount User Id User Id
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

07-07-2021 07-07-2021 TRTR/ACTCDEP/118815543333/FIK 25,000.00 29,583.16Cr CDCI CDCI


08-07-2021 08-07-2021 CASHDEP FIK CHARGE4-07-07-2021 55.00 29,528.16Cr 53799BDDB SYSTEM
08-07-2021 08-07-2021 ATM WDR 118913266249 MS NAGAR \ 10,000.00 19,528.16Cr CDCI CDCI
08-07-2021 08-07-2021 CDS/CRTR/042000B1042000/9690/08-07-2021 58,200.00 77,728.16Cr CDCI CDCI
14-07-2021 14-07-2021 ATM WDR 7697 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 62,728.16Cr CDCI CDCI
14-07-2021 14-07-2021 ATM WDR 7700 PNB \220 TIRUPUR AVINASI RO \ACOIMB 10,000.00 52,728.16Cr CDCI CDCI
22-07-2021 22-07-2021 483523 SELF 50,000.00 2,728.16Cr 343577RV 325688WBS
11-08-2021 11-08-2021 BY CASH -193800 38,600.00 41,328.16Cr 350552DP 338756PK
13-08-2021 13-08-2021 483524 SELF 36,000.00 5,328.16Cr 343577RV 304881SSS
18-08-2021 18-08-2021 BY CASH -070900 49,000.00 54,328.16Cr 338246SKD 339429MGD
19-08-2021 19-08-2021 483525 TO SELF 50,000.00 4,328.16Cr 316880S 81209KKK
21-08-2021 21-08-2021 TRTR/ACTCDEP/123318002485/FIK 25,000.00 29,328.16Cr CDCI CDCI
22-08-2021 22-08-2021 ATM WDR 2517 PNB \220 TIRUPUR AVINASI RO \ACOIMB 12,000.00 17,328.16Cr CDCI CDCI
22-08-2021 22-08-2021 ATM WDR 2520 PNB \220 TIRUPUR AVINASI RO \ACOIMB 13,000.00 4,328.16Cr CDCI CDCI
23-08-2021 23-08-2021 CASHDEP FIK CHARGE4-21-08-2021 55.00 4,273.16Cr 304469LSM SYSTEM
23-08-2021 23-08-2021 TRTR/ACTCDEP/123516020259/FIK 14,500.00 18,773.16Cr CDCI CDCI
24-08-2021 24-08-2021 ATM WDR 5120 PNB \TIRUPUR AVINASHI ROAD \ COIMB 15,000.00 3,773.16Cr CDCI CDCI
24-08-2021 24-08-2021 CASHDEP FIK CHARGE4-23-08-2021 35.00 3,738.16Cr 304469LSM SYSTEM
25-08-2021 25-08-2021 CDS/CRTR/367200B1367200/1984/25-08-2021 50,000.00 53,738.16Cr CDCI CDCI
25-08-2021 25-08-2021 483526 SELF 50,000.00 3,738.16Cr 343577RV 81209KKK
27-08-2021 27-08-2021 BY CASH -070900 37,050.00 40,788.16Cr 338246SKD 339429MGD
03-09-2021 03-09-2021 483527 SELF 37,000.00 3,788.16Cr 343577RV 81209KKK
05-09-2021 01-09-2021 0449000101059025:Int.Pd:01-06-2021 to 31-08-2021 152.00 3,940.16Cr 340989SS8 340989SS8
24-09-2021 24-09-2021 IMPS-IN/126714388569/9360725122/SUBATHRA 24,000.00 27,940.16Cr CDCI CDCI
24-09-2021 24-09-2021 ATM WDR 3619 PNB \54 SABARI STREET BINNY \ COIMB 15,000.00 12,940.16Cr CDCI CDCI
24-09-2021 24-09-2021 ATM WDR 3622 PNB \54 SABARI STREET BINNY \ COIMB 10,000.00 2,940.16Cr CDCI CDCI
28-09-2021 28-09-2021 CDS/CRTR/042000B1042000/9023/28-09-2021 12,500.00 15,440.16Cr CDCI CDCI
29-09-2021 29-09-2021 BY CASH -659600 30,000.00 45,440.16Cr 326271AB 325917SS
01-10-2021 01-10-2021 483528 SELF 43,000.00 2,440.16Cr 343577RV 1341751SK
04-10-2021 04-10-2021 SMS CHRG FOR:01-07-2021to30-09-2021 17.70 2,422.46Cr 87157GA6 87157GA6
30-10-2021 30-10-2021 TRTR/ACTCDEP/130309432470/FIK 25,000.00 27,422.46Cr CDCI CDCI
30-10-2021 30-10-2021 BY CASH -958500 55,900.00 83,322.46Cr 308660NA 309095PD
30-10-2021 30-10-2021 483529 SELF 80,000.00 3,322.46Cr 343577RV 1341751SK
01-11-2021 01-11-2021 CASH -029900 30,000.00 33,322.46Cr 355786AS 87445HMA
01-11-2021 01-11-2021 CASHDEP FIK CHARGE4-30-10-2021 55.00 33,267.46Cr 326295AGD SYSTEM
02-11-2021 02-11-2021 ATM WDR 5157 PNB \54 SABARI STREET BINNY \ COIMB 15,000.00 18,267.46Cr CDCI CDCI
02-11-2021 02-11-2021 ATM WDR 5160 PNB \54 SABARI STREET BINNY \ COIMB 10,000.00 8,267.46Cr CDCI CDCI
20-11-2021 20-11-2021 BY CASH -723100 49,000.00 57,267.46Cr 318322PT 2041421PS
20-11-2021 20-11-2021 483530 SELF 55,000.00 2,267.46Cr 343577RV 351095KK
20-11-2021 20-11-2021 BY CASH -798500 34,550.00 36,817.46Cr 84759SK 1306938AR
21-11-2021 21-11-2021 ATM WDR 5934 PNB \54 SABARI STREET BINNY \ COIMB 13,000.00 23,817.46Cr CDCI CDCI
21-11-2021 21-11-2021 ATM REV 5934 PNB \54 SABARI STREET BINNY \ COIMB 13,000.00 36,817.46Cr CDCI CDCI
21-11-2021 21-11-2021 ATM WDR 5937 PNB \54 SABARI STREET BINNY \ COIMB 12,000.00 24,817.46Cr CDCI CDCI
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Page Total Credit : 5,71,452.00
Page Total Debit : 5,51,217.70

27-07-2022 10:30:39 PUNJAB NATIONAL BANK TIRUPUR Page 5

Customer Account Ledger Report from 01-04-2021 to 31-03-2022

Service OutLet : 044900 TIRUPUR TN


Account No : 0449000101059025 INR PADMAVATHY AYYAVU
Page 3
TMPCAAZczE9aJ7b
Gl Sub Head Code :
B/F Balance : 24,817.46Cr
Peg Review date : 31-12-2099
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
GL. Value Instrmnt Particulars Transaction Transaction Balance Entry Verified
Date Date Number Debit Amount Credit Amount User Id User Id
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

21-11-2021 21-11-2021 ATM REV 5937 PNB \54 SABARI STREET BINNY \ COIMB 12,000.00 36,817.46Cr CDCI CDCI
24-11-2021 24-11-2021 ATM WDR 9144 PNB \TIRUPUR AVINASHI ROAD \ COIMB 15,000.00 21,817.46Cr CDCI CDCI
24-11-2021 24-11-2021 ATM REV 9144 PNB \TIRUPUR AVINASHI ROAD \ COIMB 15,000.00 36,817.46Cr CDCI CDCI
24-11-2021 24-11-2021 ATM WDR 3961 PNB \220 TIRUPUR AVINASI RO \ACOIMB 13,000.00 23,817.46Cr CDCI CDCI
24-11-2021 24-11-2021 ATM WDR 3964 PNB \220 TIRUPUR AVINASI RO \ACOIMB 12,000.00 11,817.46Cr CDCI CDCI
24-11-2021 24-11-2021 CDS/CRTR/367100B1367100/6904/24-11-2021 49,000.00 60,817.46Cr CDCI CDCI
30-11-2021 30-11-2021 996142 TO SELF 58,000.00 2,817.46Cr 316880S 1341751SK
02-12-2021 02-12-2021 TRTR/ACTCDEP/133617416651/FIK 25,000.00 27,817.46Cr CDCI CDCI
03-12-2021 03-12-2021 TRTR/ACTCDEP/133713435490/FIK 20,000.00 47,817.46Cr CDCI CDCI
03-12-2021 03-12-2021 ATM WDR 3691 PNB \54 SABARI STREET BINNY \ COIMB 15,000.00 32,817.46Cr CDCI CDCI
03-12-2021 03-12-2021 ATM WDR 3694 PNB \54 SABARI STREET BINNY \ COIMB 10,000.00 22,817.46Cr CDCI CDCI
03-12-2021 03-12-2021 CASHDEP FIK CHARGE4-02-12-2021 55.00 22,762.46Cr 326295AGD SYSTEM
04-12-2021 04-12-2021 CASHDEP FIK CHARGE4-03-12-2021 45.00 22,717.46Cr 308766RCD SYSTEM
07-12-2021 01-12-2021 0449000101059025:Int.Pd:01-09-2021 to 30-11-2021 84.00 22,801.46Cr 340924JA5 340924JA5
10-12-2021 10-12-2021 CDS/CRTR/367100B1367100/9528/10-12-2021 49,000.00 71,801.46Cr CDCI CDCI
15-12-2021 15-12-2021 996144 SELF -440200 50,000.00 21,801.46Cr 1196245BK 331743LS
18-12-2021 18-12-2021 TRTR/ACTCDEP/135216446329/FIK 25,000.00 46,801.46Cr CDCI CDCI
20-12-2021 20-12-2021 CASHDEP FIK CHARGE4-18-12-2021 55.00 46,746.46Cr 326295AGD SYSTEM
21-12-2021 21-12-2021 CASH -029900 40,000.00 86,746.46Cr 355786AS 51513NKJ
21-12-2021 21-12-2021 996145 SELF 44,000.00 42,746.46Cr 343577RV 1341751SK
21-12-2021 21-12-2021 TRTR/ACTCDEP/135517439301/FIK 25,000.00 67,746.46Cr CDCI CDCI
22-12-2021 22-12-2021 TRTR/ACTCDEP/135616021473/FIK 20,000.00 87,746.46Cr CDCI CDCI
22-12-2021 22-12-2021 CASHDEP FIK CHARGE4-21-12-2021 55.00 87,691.46Cr 315127NRD SYSTEM
23-12-2021 23-12-2021 CASHDEP FIK CHARGE4-22-12-2021 45.00 87,646.46Cr 325244MKR SYSTEM
24-12-2021 24-12-2021 996146 SELF 85,000.00 2,646.46Cr 343577RV 1341751SK
27-12-2021 27-12-2021 BY CASH -958500 20,000.00 22,646.46Cr 308660NA 309095PD
30-12-2021 30-12-2021 CASH -626000 15,000.00 37,646.46Cr 77240AS 1347148AK
31-12-2021 31-12-2021 996147 TO SELF 35,000.00 2,646.46Cr 316880S 1341751SK
03-01-2022 03-01-2022 SMS CHRG FOR:01-10-2021to31-12-2021 17.70 2,628.76Cr 1322333SR 1322333SR
05-01-2022 05-01-2022 CDS/CRTR/042000B1042000/4051/05-01-2022 25,200.00 27,828.76Cr CDCI CDCI
05-01-2022 05-01-2022 BY CASH -798500 45,000.00 72,828.76Cr 1306944NJ 308886PR
06-01-2022 06-01-2022 CDS/CRTR/479700B1479700/4689/06-01-2022 48,000.00 1,20,828.76Cr CDCI CDCI
06-01-2022 06-01-2022 996148 TO SELF 1,18,000.00 2,828.76Cr 338575RR 351095KK
06-01-2022 06-01-2022 TDS CASHWD: M1188017:06-01-2022:1 820.00 2,008.76Cr 351095KK 81209KKK
06-01-2022 06-01-2022 BY CASH -142400 19,000.00 21,008.76Cr 351451SA 326283PKP
07-01-2022 07-01-2022 ATM WDR 8362 PNB \220 TIRUPUR AVINASI RO \ACOIMB 15,000.00 6,008.76Cr CDCI CDCI
11-01-2022 11-01-2022 BY CASH -068000 49,000.00 55,008.76Cr 329627SD 75508RS
13-01-2022 13-01-2022 996149 SELF 53,000.00 2,008.76Cr 343577RV 351095KK
13-01-2022 13-01-2022 TDS CASHWD: M962981:13-01-2022:1 1,060.00 948.76Cr 351095KK 81209KKK
15-01-2022 15-01-2022 CDS/CRTR/798500B2798500/8805/15-01-2022 50,000.00 50,948.76Cr CDCI CDCI
22-01-2022 22-01-2022 TRTR/ACTCDEP/202219001597/FIK 25,000.00 75,948.76Cr CDCI CDCI
24-01-2022 24-01-2022 BY CASH -958500 20,000.00 95,948.76Cr 308660NA 312887PCK
25-01-2022 25-01-2022 996151 SELF 93,000.00 2,948.76Cr 343577RV 1341751SK
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Page Total Credit : 5,96,284.00
Page Total Debit : 6,18,152.70

27-07-2022 10:30:39 PUNJAB NATIONAL BANK TIRUPUR Page 6

Customer Account Ledger Report from 01-04-2021 to 31-03-2022

Service OutLet : 044900 TIRUPUR TN


Account No : 0449000101059025 INR PADMAVATHY AYYAVU
Gl Sub Head Code :
B/F Balance : 2,948.76Cr
Peg Review date : 31-12-2099
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
GL. Value Instrmnt Particulars Transaction Transaction Balance Entry Verified
Date Date Number Debit Amount Credit Amount User Id User Id
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

Page 4
TMPCAAZczE9aJ7b

25-01-2022 25-01-2022 TDS CASHWD: M958530:25-01-2022:1 1,860.00 1,088.76Cr 1341751SK 81209KKK


29-01-2022 29-01-2022 CDS/CRTR/165600B1165600/3115/29-01-2022 47,000.00 48,088.76Cr CDCI CDCI
31-01-2022 31-01-2022 TRTR/ACTCDEP/203117018122/FIK 25,000.00 73,088.76Cr CDCI CDCI
01-02-2022 01-02-2022 CASHDEP FIK CHARGE4-31-01-2022 55.00 73,033.76Cr 343737MSD SYSTEM
01-02-2022 01-02-2022 TRTR/ACTCDEP/203218426145/FIK 25,000.00 98,033.76Cr CDCI CDCI
02-02-2022 02-02-2022 BY CASH -958500 10,000.00 1,08,033.76Cr 343089SKK 312887PCK
02-02-2022 02-02-2022 CASHDEP FIK CHARGE4-01-02-2022 55.00 1,07,978.76Cr 315127NRD SYSTEM
03-02-2022 03-02-2022 PMSBY BJ PREM TXN 12.00 1,07,966.76Cr 338575RR 81209KKK
03-02-2022 03-02-2022 TRTR/ACTCDEP/203419405102/FIK 25,000.00 1,32,966.76Cr CDCI CDCI
04-02-2022 04-02-2022 CASHDEP FIK CHARGE4-03-02-2022 55.00 1,32,911.76Cr 326295AGD SYSTEM
05-02-2022 05-02-2022 996150 SELF 1,30,000.00 2,911.76Cr 343546AM 1341751SK
05-02-2022 05-02-2022 TDS CASHWD: M604068:05-02-2022:1 2,600.00 311.76Cr 1341751SK 351095KK
08-02-2022 08-02-2022 TRTR/ACTCDEP/203915036669/FIK 25,000.00 25,311.76Cr CDCI CDCI
09-02-2022 09-02-2022 CASHDEP FIK CHARGE4-08-02-2022 55.00 25,256.76Cr 343072MVD SYSTEM
12-02-2022 12-02-2022 ATM WDR 8975 PNB \220 TIRUPUR AVINASI RO \ACOIMB 12,000.00 13,256.76Cr CDCI CDCI
12-02-2022 12-02-2022 ATM WDR 8978 PNB \220 TIRUPUR AVINASI RO \ACOIMB 11,000.00 2,256.76Cr CDCI CDCI
18-02-2022 18-02-2022 CDS/CRTR/367100B1367100/8731/18-02-2022 49,000.00 51,256.76Cr CDCI CDCI
18-02-2022 18-02-2022 996152 SELF 49,000.00 2,256.76Cr 343577RV 351095KK
18-02-2022 18-02-2022 TDS CASHWD: M1087546:18-02-2022:1 980.00 1,276.76Cr 351095KK 304881SSS
25-02-2022 25-02-2022 TRTR/ACTCDEP/205615411468/FIK 25,000.00 26,276.76Cr CDCI CDCI
27-02-2022 27-02-2022 TRTR/ACTCDEP/205811413774/FIK 25,000.00 51,276.76Cr CDCI CDCI
28-02-2022 28-02-2022 CASHDEP FIK CHARGE4-25-02-2022 55.00 51,221.76Cr 112844AKD SYSTEM
28-02-2022 28-02-2022 CASHDEP FIK CHARGE4-27-02-2022 55.00 51,166.76Cr 326295AGD SYSTEM
02-03-2022 01-03-2022 0449000101059025:Int.Pd:01-12-2021 to 28-02-2022 221.00 51,387.76Cr 302068AG7 302068AG7
04-03-2022 04-03-2022 ATM ANN.CHRG FOR CARD-4997 YEAR ENDED 2021-2022 177.00 51,210.76Cr 329973SY2 329973SY2
05-03-2022 05-03-2022 Charges for NEFT Customer Payment :000261483045 4.72 51,206.04Cr 338575RR 304881SSS
05-03-2022 05-03-2022 996153 NEFT:PUNBH22064091687/SRI JAYA DURGA YARN 49,000.00 2,206.04Cr 338575RR 304881SSS
09-03-2022 09-03-2022 UPI/206855038835/P2A/9479344476/ifsc.npciImarti Ba 20,000.00 22,206.04Cr CDCI CDCI
24-03-2022 24-03-2022 Charges for NEFT Customer Payment :000266674949 4.72 22,201.32Cr 338575RR 1341751SK
24-03-2022 24-03-2022 996154 NEFT:PUNBH22083880368/NIYAJ ALI 20,000.00 2,201.32Cr 338575RR 1341751SK

------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Order by GL. Date.
------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

Date Limits(S.L.+TODs) Draw Power Int Rate


------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

01-04-2021 0.00 0.00 3.0000


01-09-2021 0.00 0.00 2.9000
01-12-2021 0.00 0.00 2.8000
03-02-2022 0.00 0.00 2.7500

------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
Page Total Credit : 0
Page Total Debit : 0

Closing Balance : 2,201.32

Total Credit : 24,77,710.00


Total Debit : 25,51,962.46

Signature :
Page 5
TMPCAAZczE9aJ7b

Signature
************* 7 pages printed. End of Report*************

Page 6

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