1417XXXXXXXXX225426 08 2023
1417XXXXXXXXX225426 08 2023
1417XXXXXXXXX225426 08 2023
Branch Details
Branch Name: CHANG (HARYANA)
Bank Address: VPO CHANG
City:
Pin: 127027
IFSC Code: PUNB0141700
MICR Code : 127024062
Customer Details
Customer Name: SPOON AND FORKS CATERING SERVICES
Joint Account Holder 1:
Pin: 127021
Nominee :
Transaction Cheque
Withdrawal Deposit Balance Narration
Date Number
IMPS-
25/08/2023 5.90 4,49,877.14 Dr. CHG/323713635738/UTIB0003340/92001006398435
4
IMPS-
25/08/2023 5,000.00 4,49,871.24 Dr. OUT/323713635738/UTIB0003340/920010063984354
GST
24/08/2023 46,099.00 4,44,871.24 Dr. Onlin/GST24082023000005292/0461005318/GST
DELH
24/08/2023 30,000.00 3,98,772.24 Dr. IMPS-IN/323620115088/9717599146/SPOON &
GST
24/08/2023 33,087.00 4,28,772.24 Dr. Onlin/GST24082023000005089/0460997043/GST
DELH
GST
24/08/2023 5,555.00 3,95,685.24 Dr. Onlin/GST24082023000004889/0460988714/GST
DELH
GST
24/08/2023 7,746.00 3,90,130.24 Dr. Onlin/GST24082023000004851/0460986702/GST
DELH
GST
24/08/2023 10,756.00 3,82,384.24 Dr. Onlin/GST24082023000004540/0460976294/GST
DELH
24/08/2023 60,000.00 3,71,628.24 Dr. IMPS-IN/323618156609/9717599146/SPOON &
Page No 1
-
Account Statement For Account:1417008700052254
IMPS-
23/08/2023 24,000.00 4,30,273.24 Dr. OUT/323514487884/HDFC0004356/50100578207310
IMPS-
22/08/2023 5.90 4,06,273.24 Dr. CHG/323419433592/SBIN0006448/20213459996
IMPS-
22/08/2023 25,000.00 4,06,267.34 Dr. OUT/323419433592/SBIN0006448/20213459996
NEFT_OUT:PUNBH23234269467/Kapren gas
22/08/2023 69,120.00 3,81,267.34 Dr.
servic/ICIC0006868/686805003393
NEFT_CHRG:PUNBH23234269467/ICIC0006868/686
22/08/2023 5.02 3,12,147.34 Dr. 805003393
IMPS-
22/08/2023 5.90 3,12,142.32 Dr. CHG/323417420818/KKBK0005617/2613108272
IMPS-
22/08/2023 6,000.00 3,12,136.42 Dr. OUT/323417420818/KKBK0005617/2613108272
IMPS-
22/08/2023 5.90 3,06,136.42 Dr. CHG/323412400008/UTIB0003340/92001006398435
4
IMPS-
22/08/2023 50,000.00 3,06,130.52 Dr. OUT/323412400008/UTIB0003340/920010063984354
NEFT_OUT:PUNBH23234036657/Maheshwari
22/08/2023 50,000.00 2,56,130.52 Dr.
tradin/BARB0SULKOT/37470200000002
NEFT_CHRG:PUNBH23234036657/BARB0SULKOT/
22/08/2023 5.02 2,06,130.52 Dr. 37470200000002
NEFT_OUT:PUNBH23234024872/INDIA INFOLINE
22/08/2023 1,00,936.00 2,06,125.50 Dr.
FI/SCBL0036001/9900325SL3728027
NEFT_CHRG:PUNBH23234024872/SCBL0036001/99
22/08/2023 16.82 1,05,189.50 Dr. 00325SL3728027
IMPS-
22/08/2023 5.90 1,05,172.68 Dr. CHG/323409386035/SBIN0006448/20213459996
IMPS-
22/08/2023 65,000.00 1,05,166.78 Dr. OUT/323409386035/SBIN0006448/20213459996
NEFT_IN:N233232604743638/0038/ G R
21/08/2023 4,37,472.98 10,401.76 Dr.
INFRAPROJECTS L
17/08/2023 35,000.00 4,47,874.74 Dr. To:0153001700001754:SHANKAR MUKHIYA
17/08/2023 20,000.00 4,12,874.74 Dr. IMPS-IN/322911161937/9717599146/SPOON &
IMPS-
16/08/2023 5.90 4,32,874.74 Dr. CHG/322821007724/UTIB0003340/92001006398435
4
Page No 2
-
Account Statement For Account:1417008700052254
IMPS-
16/08/2023 3,000.00 4,32,868.84 Dr. OUT/322821007724/UTIB0003340/920010063984354
IMPS-
15/08/2023 2,500.00 4,25,862.94 Dr. OUT/322706882499/SBIN0006448/20213459996
IMPS-
14/08/2023 1,000.00 4,23,362.94 Dr. OUT/322622877268/UTIB0003340/920010063984354
IMPS-
09/08/2023 25,000.00 4,47,357.04 Dr. OUT/322120520522/SBIN0006448/20213459996
IMPS-
09/08/2023 5.90 4,22,357.04 Dr. CHG/322023444476/SBIN0006448/20213459996
IMPS-
09/08/2023 10,000.00 4,22,351.14 Dr. OUT/322023444476/SBIN0006448/20213459996
NEFT_OUT:PUNBH23220474475/lalit traders
08/08/2023 1,25,000.00 4,12,351.14 Dr.
/HDFC0000132/50200021033722
NEFT_CHRG:PUNBH23220474475/HDFC0000132/5
08/08/2023 16.82 2,87,351.14 Dr. 0200021033722
SBI CARDS/YPNB2029603533/0457754403/Bill
07/08/2023 17,000.00 2,87,334.32 Dr.
Payment
07/08/2023 30,000.00 2,70,334.32 Dr. To:2407000100487715:BABLU MUKHIYA
IMPS-
07/08/2023 5.90 2,40,334.32 Dr. CHG/321920341104/SBIN0006448/20213459996
IMPS-
07/08/2023 20,000.00 2,40,328.42 Dr. OUT/321920341104/SBIN0006448/20213459996
NEFT_OUT:PUNBH23219321290/Maheshwari
07/08/2023 50,000.00 2,20,328.42 Dr.
tradin/BARB0SULKOT/37470200000002
NEFT_CHRG:PUNBH23219321290/BARB0SULKOT/
07/08/2023 5.02 1,70,328.42 Dr. 37470200000002
NEFT_OUT:PUNBH23219322270/Kapren gas
07/08/2023 50,000.00 1,70,323.40 Dr.
servic/ICIC0006868/686805003393
NEFT_CHRG:PUNBH23219322270/ICIC0006868/686
07/08/2023 5.02 1,20,323.40 Dr. 805003393
IMPS-
07/08/2023 5.90 1,20,318.38 Dr. CHG/321920340750/UTIB0003340/92001006398435
4
IMPS-
07/08/2023 30,000.00 1,20,312.48 Dr. OUT/321920340750/UTIB0003340/920010063984354
IMPS-
06/08/2023 5.90 90,312.48 Dr. CHG/321809208145/FINO0001001/20167790277
Page No 3
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Account Statement For Account:1417008700052254
IMPS-
06/08/2023 4,000.00 90,306.58 Dr. OUT/321809208145/FINO0001001/20167790277
NRTGS/PUNBR52023080517660638/0457318587/asi
05/08/2023 5,00,000.00 86,306.58 Dr.
awebgur
Charges for RTGS Customer Payment
05/08/2023 28.32 4,13,693.42 Cr.
:000391904649
IMPS-
05/08/2023 100.00 4,13,721.74 Cr. OUT/321720183012/ICIC0001359/135905000562
NEFT_IN:N217232581730858/0037/ G R
05/08/2023 4,83,574.01 4,13,821.74 Cr.
INFRAPROJECTS L
NEFT_IN:N216232579991056/0037/ G R
04/08/2023 3,80,000.00 69,752.27 Dr.
INFRAPROJECTS L
04/08/2023 590.00 4,49,752.27 Dr. IW CHQ : 313421 REJ
IMPS-
03/08/2023 5.90 4,49,162.27 Dr. CHG/321507933870/JSFB0004512/45120200002290
21
IMPS-
03/08/2023 70,000.00 4,49,156.37 Dr. OUT/321507933870/JSFB0004512/45120200002290
21
03/08/2023 70,000.00 3,79,156.37 Dr. IMPS-IN/321505152022/9717599146/SPOON &
IMPS-
02/08/2023 5.90 4,49,156.37 Dr. CHG/321417885418/SBIN0006448/20213459996
IMPS-
02/08/2023 5,000.00 4,49,150.47 Dr. OUT/321417885418/SBIN0006448/20213459996
IMPS-
29/07/2023 5.90 4,21,660.47 Dr. CHG/321011466705/SBIN0006448/20213459996
IMPS-
29/07/2023 50,000.00 4,21,654.57 Dr. OUT/321011466705/SBIN0006448/20213459996
IMPS-
28/07/2023 5.90 3,71,654.57 Dr. CHG/320922439553/KKBK0005617/2613108272
IMPS-
28/07/2023 10,000.00 3,71,648.67 Dr. OUT/320922439553/KKBK0005617/2613108272
GST
28/07/2023 35,968.00 3,61,648.67 Dr. Onlin/GST28072023000002654/0455484433/GST
RAJA
IMPS-
28/07/2023 5.90 3,25,680.67 Dr. CHG/320911373738/HDFC0000924/50200054000975
IMPS-
28/07/2023 60,000.00 3,25,674.77 Dr. OUT/320911373738/HDFC0000924/50200054000975
IMPS-
28/07/2023 5.90 2,65,674.77 Dr. CHG/320911371187/HDFC0000924/50200054000975
IMPS-
28/07/2023 25,000.00 2,65,668.87 Dr. OUT/320911371187/HDFC0000924/50200054000975
Page No 4
-
Account Statement For Account:1417008700052254
IMPS-
27/07/2023 5.90 2,40,668.87 Dr. CHG/320818328821/SBIN0006448/20213459996
IMPS-
27/07/2023 50,000.00 2,40,662.97 Dr. OUT/320818328821/SBIN0006448/20213459996
IMPS-
27/07/2023 25,000.00 1,89,457.07 Dr. OUT/320815310448/HDFC0000924/50200054000975
IMPS-
26/07/2023 5.90 1,64,457.07 Dr. CHG/320723259367/ICIC0006635/663501500363
IMPS-
26/07/2023 15,000.00 1,64,451.17 Dr. OUT/320723259367/ICIC0006635/663501500363
IMPS-
26/07/2023 5.90 1,49,451.17 Dr. CHG/320723259336/HDFC0000924/50200054000975
IMPS-
26/07/2023 50,000.00 1,49,445.27 Dr. OUT/320723259336/HDFC0000924/50200054000975
IMPS-
26/07/2023 5.90 19,440.25 Dr. CHG/320711197990/HDFC0004356/50100578207310
IMPS-
26/07/2023 50,000.00 19,434.35 Dr. OUT/320711197990/HDFC0004356/50100578207310
IMPS-
24/07/2023 10,000.00 1,80,909.23 Dr. OUT/320522089646/KKBK0005617/2613108272
IMPS-
24/07/2023 5.90 1,70,909.23 Dr. CHG/320521085974/UTIB0003340/92001006398435
4
IMPS-
24/07/2023 5,000.00 1,70,903.33 Dr. OUT/320521085974/UTIB0003340/920010063984354
Page No 5
-
Account Statement For Account:1417008700052254
IMPS-
24/07/2023 5.90 1,65,903.33 Dr. CHG/320521085584/UTIB0003340/92001006398435
4
IMPS-
24/07/2023 30,000.00 1,65,897.43 Dr. OUT/320521085584/UTIB0003340/920010063984354
IMPS-
23/07/2023 5.90 58,380.19 Dr. CHG/320416978595/HDFC0000924/50200072344227
IMPS-
23/07/2023 1,00,000.00 58,374.29 Dr. OUT/320416978595/HDFC0000924/50200072344227
IMPS-
23/07/2023 5.90 41,625.71 Cr. CHG/320322945078/UTIB0003340/92001006398435
4
IMPS-
23/07/2023 10,000.00 41,631.61 Cr. OUT/320322945078/UTIB0003340/920010063984354
NEFT_OUT:PUNBH23203038357/lalit traders
22/07/2023 96,010.00 51,631.61 Cr.
/HDFC0000132/50200021033722
NEFT_CHRG:PUNBH23203038357/HDFC0000132/5
22/07/2023 5.02 1,47,641.61 Cr. 0200021033722
IMPS-
22/07/2023 5.90 1,47,646.63 Cr. CHG/320311891494/UTIB0003340/92001006398435
4
IMPS-
22/07/2023 10,000.00 1,47,652.53 Cr. OUT/320311891494/UTIB0003340/920010063984354
NEFT_OUT:PUNBH23203029974/Kapren gas
22/07/2023 50,000.00 1,57,652.53 Cr.
servic/ICIC0006868/686805003393
NEFT_CHRG:PUNBH23203029974/ICIC0006868/686
22/07/2023 5.02 2,07,652.53 Cr. 805003393
From:05121132001479:DHANWANTRY
21/07/2023 65,158.00 2,07,657.55 Cr.
ENTERPRISES
NEFT_IN:N202232559538016/0038/ G R
21/07/2023 5,29,684.52 1,42,499.55 Cr.
INFRAPROJECTS L
IMPS-
20/07/2023 5.90 3,87,184.97 Dr. CHG/320109719918/SBIN0006448/20213459996
IMPS-
20/07/2023 10,000.00 3,87,179.07 Dr. OUT/320109719918/SBIN0006448/20213459996
Page No 6
-
Account Statement For Account:1417008700052254
IMPS-
17/07/2023 5.90 2,49,552.75 Dr. CHG/319810456554/SBIN0006448/20213459996
IMPS-
17/07/2023 5,000.00 2,49,546.85 Dr. OUT/319810456554/SBIN0006448/20213459996
IMPS-
16/07/2023 5.90 2,44,546.85 Dr. CHG/319711399945/FINO0001001/20167790277
IMPS-
16/07/2023 20,000.00 2,44,540.95 Dr. OUT/319711399945/FINO0001001/20167790277
NEFT_OUT:PUNBH23196287799/Kapren gas
15/07/2023 39,258.00 2,24,540.95 Dr.
servic/ICIC0006868/686805003393
NEFT_CHRG:PUNBH23196287799/ICIC0006868/686
15/07/2023 5.02 1,85,282.95 Dr. 805003393
NEFT_OUT:PUNBH23196165361/Maheshwari
15/07/2023 50,000.00 1,85,277.93 Dr.
tradin/BARB0SULKOT/37470200000002
NEFT_CHRG:PUNBH23196165361/BARB0SULKOT/
15/07/2023 5.02 1,35,277.93 Dr. 37470200000002
IMPS-
14/07/2023 5.90 35,267.89 Dr. CHG/319512229050/SBIN0006448/20213459996
IMPS-
14/07/2023 50,000.00 35,261.99 Dr. OUT/319512229050/SBIN0006448/20213459996
IMPS-
14/07/2023 5.90 14,738.01 Cr. CHG/319512228830/KKBK0005617/2613108272
IMPS-
14/07/2023 50,000.00 14,743.91 Cr. OUT/319512228830/KKBK0005617/2613108272
NEFT_IN:N194232548782875/0038/ G R
13/07/2023 5,05,644.15 64,743.91 Cr.
INFRAPROJECTS L
IMPS-
13/07/2023 5.90 4,40,900.24 Dr. CHG/319413148163/KKBK0004574/7546573241
IMPS-
13/07/2023 8,000.00 4,40,894.34 Dr. OUT/319413148163/KKBK0004574/7546573241
GST
13/07/2023 1,64,973.00 4,32,894.34 Dr. Onlin/GST13072023000000948/0452376939/GST
DELH
IMPS-
13/07/2023 5.90 2,67,921.34 Dr. CHG/319408121277/UBIN0555321/55320201000855
7
IMPS-
13/07/2023 5,000.00 2,67,915.44 Dr. OUT/319408121277/UBIN0555321/55320201000855
7
13/07/2023 60,129.00 2,62,915.44 Dr. NEFT:PUNBH23194556264/0452303105/Preeti
Charges for NEFT Customer Payment :000386339155
13/07/2023 5.02 2,02,786.44 Dr.
Page No 7
-
Account Statement For Account:1417008700052254
NEFT_OUT:PUNBH23193543996/Pushpendra yadav
12/07/2023 1,04,000.00 2,02,781.42 Dr.
/HDFC0004356/50100578207310
NEFT_CHRG:PUNBH23193543996/HDFC0004356/5
12/07/2023 16.82 98,781.42 Dr. 0100578207310
IMPS-
04/07/2023 4,000.00 4,49,758.70 Dr. OUT/318522447760/HDFC0000924/50200054000975
IMPS-
03/07/2023 5,000.00 4,45,162.80 Dr. OUT/318412293465/HDFC0000924/50200054000975
NEFT_OUT:PUNBH23184406285/Sunshine
03/07/2023 6,500.00 4,40,162.80 Dr.
rectifie/JSFB0004512/4512020000229021
NEFT_CHRG:PUNBH23184406285/JSFB0004512/45
03/07/2023 2.07 4,33,662.80 Dr. 12020000229021
IMPS-
03/07/2023 5.90 4,33,660.73 Dr. CHG/318407267881/JSFB0004512/45120200002290
21
IMPS-
03/07/2023 50,000.00 4,33,654.83 Dr. OUT/318407267881/JSFB0004512/45120200002290
21
IMPS-
02/07/2023 5.90 3,83,654.83 Dr. CHG/318322257361/SBIN0006448/20213459996
IMPS-
02/07/2023 8,000.00 3,83,648.93 Dr. OUT/318322257361/SBIN0006448/20213459996
IMPS-
02/07/2023 5.90 3,75,648.93 Dr. CHG/318319246465/HDFC0004356/50100578207310
IMPS-
02/07/2023 1,500.00 3,75,643.03 Dr. OUT/318319246465/HDFC0004356/50100578207310
IMPS-
02/07/2023 5.90 3,74,143.03 Dr. CHG/318314223557/UTIB0003340/92001006398435
4
IMPS-
02/07/2023 3,000.00 3,74,137.13 Dr. OUT/318314223557/UTIB0003340/920010063984354
IMPS-
01/07/2023 8,000.00 3,69,993.71 Dr. OUT/318213128001/HDFC0000924/50200072344227
1417008700052254:Int.Coll:31-05-2023 to 29-06-202
30/06/2023 2,929.00 3,61,993.71 Dr.
Page No 8
-
Account Statement For Account:1417008700052254
IMPS-
29/06/2023 5.90 3,59,064.71 Dr. CHG/318015956527/HDFC0000924/50200072344227
IMPS-
29/06/2023 50,000.00 3,59,058.81 Dr. OUT/318015956527/HDFC0000924/50200072344227
NRTGS/PUNBR52023062916402189/0449326903/lali
29/06/2023 3,25,000.00 3,09,058.81 Dr.
t trad
Charges for RTGS Customer Payment
29/06/2023 28.32 15,941.19 Cr.
:000382757687
IMPS-
29/06/2023 5.90 15,969.51 Cr. CHG/318011942152/SBIN0006448/20213459996
IMPS-
29/06/2023 15,000.00 15,975.41 Cr. OUT/318011942152/SBIN0006448/20213459996
IMPS-
29/06/2023 5.90 30,975.41 Cr. CHG/318011942093/INDB0001784/158978621639
IMPS-
29/06/2023 10,000.00 30,981.31 Cr. OUT/318011942093/INDB0001784/158978621639
IMPS-
29/06/2023 5.90 40,981.31 Cr. CHG/318011942040/KKBK0005617/2613108272
IMPS-
29/06/2023 15,000.00 40,987.21 Cr. OUT/318011942040/KKBK0005617/2613108272
IMPS-
29/06/2023 20,000.00 1,12,999.01 Cr. OUT/318008930478/KKBK0004587/0314226295
IMPS-
29/06/2023 5.90 1,32,999.01 Cr. CHG/318008930258/SBIN0006448/20213459996
IMPS-
29/06/2023 50,000.00 1,33,004.91 Cr. OUT/318008930258/SBIN0006448/20213459996
NEFT_IN:N179232521252090/0037/ G R
28/06/2023 5,13,771.55 1,83,004.91 Cr.
INFRAPROJECTS L
IMPS-
28/06/2023 5.90 3,30,766.64 Dr. CHG/317913875302/HDFC0000924/50200072344227
IMPS-
28/06/2023 40,000.00 3,30,760.74 Dr. OUT/317913875302/HDFC0000924/50200072344227
NEFT_OUT:PUNBH23179292697/Maheshwari
28/06/2023 1,00,000.00 2,90,760.74 Dr.
tradin/BARB0SULKOT/37470200000002
NEFT_CHRG:PUNBH23179292697/BARB0SULKOT/
28/06/2023 5.02 1,90,760.74 Dr. 37470200000002
Page No 9
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Account Statement For Account:1417008700052254
IMPS-
28/06/2023 5.90 1,90,755.72 Dr. CHG/317907845451/SBIN0006448/20213459996
IMPS-
28/06/2023 50,000.00 1,90,749.82 Dr. OUT/317907845451/SBIN0006448/20213459996
IMPS-
28/06/2023 5.90 1,40,749.82 Dr. CHG/317907845295/HDFC0000924/50200072344227
IMPS-
28/06/2023 30,000.00 1,40,743.92 Dr. OUT/317907845295/HDFC0000924/50200072344227
IMPS-
24/06/2023 5,000.00 4,49,690.02 Dr. OUT/317515586850/INDB0001784/158978621639
IMPS-
22/06/2023 5,000.00 4,46,184.12 Dr. OUT/317309400821/SBIN0006448/20213459996
IMPS-
22/06/2023 5.90 4,41,184.12 Dr. CHG/317309400734/HDFC0004356/50100578207310
IMPS-
22/06/2023 50,000.00 4,41,178.22 Dr. OUT/317309400734/HDFC0004356/50100578207310
IMPS-
21/06/2023 30,000.00 4,45,341.42 Dr. OUT/317209325101/SBIN0006448/20213459996
IMPS-
20/06/2023 3,000.00 4,45,335.52 Dr. OUT/317115277952/SBIN0006448/20213459996
IMPS-
20/06/2023 5.90 4,42,335.52 Dr. CHG/317110251122/SBIN0006448/20213459996
IMPS-
20/06/2023 50,000.00 4,42,329.62 Dr. OUT/317110251122/SBIN0006448/20213459996
Page No 10
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Account Statement For Account:1417008700052254
IMPS-
20/06/2023 5.90 4,32,329.62 Dr. CHG/317110248795/BKID0006054/60541011001019
1
IMPS-
20/06/2023 5,000.00 4,32,323.72 Dr. OUT/317110248795/BKID0006054/605410110010191
IMPS-
20/06/2023 5,000.00 4,42,317.82 Dr. OUT/317110248224/SBIN0006448/20213459996
IMPS-
20/06/2023 5.90 4,37,317.82 Dr. CHG/317110248154/BKID0006054/60541011001019
1
IMPS-
20/06/2023 4,000.00 4,37,311.92 Dr. OUT/317110248154/BKID0006054/605410110010191
IMPS-
20/06/2023 5.90 4,33,311.92 Dr. CHG/317110248023/FINO0001001/20167790277
IMPS-
20/06/2023 10,000.00 4,33,306.02 Dr. OUT/317110248023/FINO0001001/20167790277
IMPS-
19/06/2023 5.90 4,23,306.02 Dr. CHG/317009164966/SBIN0006448/20213459996
IMPS-
19/06/2023 5,000.00 4,23,300.12 Dr. OUT/317009164966/SBIN0006448/20213459996
IMPS-
19/06/2023 5.90 4,18,300.12 Dr. CHG/317009164901/UTIB0003340/92001006398435
4
IMPS-
19/06/2023 10,000.00 4,18,294.22 Dr. OUT/317009164901/UTIB0003340/920010063984354
IMPS-
18/06/2023 5.90 4,08,294.22 Dr. CHG/316917135490/SBIN0006448/20213459996
IMPS-
18/06/2023 3,000.00 4,08,288.32 Dr. OUT/316917135490/SBIN0006448/20213459996
IMPS-
18/06/2023 5.90 4,05,288.32 Dr. CHG/316908104843/SBIN0006448/20213459996
IMPS-
18/06/2023 5,000.00 4,05,282.42 Dr. OUT/316908104843/SBIN0006448/20213459996
IMPS-
18/06/2023 15,000.00 3,95,276.52 Dr. OUT/316903099212/FINO0001001/20167790277
IMPS-
16/06/2023 5.90 3,80,276.52 Dr. CHG/316801027084/BARB0BAWANA/349501000068
30
IMPS-
16/06/2023 50,000.00 3,80,270.62 Dr. OUT/316801027084/BARB0BAWANA/349501000068
30
Page No 11
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Account Statement For Account:1417008700052254
From:05121132001479:DHANWANTRY
16/06/2023 45,686.00 3,30,270.62 Dr.
ENTERPRISES
IMPS-
16/06/2023 5.90 3,75,956.62 Dr. CHG/316713981711/HDFC0004356/50100578207310
IMPS-
16/06/2023 2,265.00 3,75,950.72 Dr. OUT/316713981711/HDFC0004356/50100578207310
IMPS-
16/06/2023 5.90 3,73,685.72 Dr. CHG/316710963402/ICIC0006635/663501500363
IMPS-
16/06/2023 12,000.00 3,73,679.82 Dr. OUT/316710963402/ICIC0006635/663501500363
IMPS-
16/06/2023 5.90 3,61,679.82 Dr. CHG/316710961700/UBIN0555321/55320201000855
7
IMPS-
16/06/2023 10,000.00 3,61,673.92 Dr. OUT/316710961700/UBIN0555321/55320201000855
7
IMPS-
16/06/2023 5.90 3,51,673.92 Dr. CHG/316710961643/SBIN0006448/20213459996
IMPS-
16/06/2023 10,000.00 3,51,668.02 Dr. OUT/316710961643/SBIN0006448/20213459996
IMPS-
16/06/2023 5.90 3,41,668.02 Dr. CHG/316710961564/ICIC0006868/686805003393
IMPS-
16/06/2023 36,470.00 3,41,662.12 Dr. OUT/316710961564/ICIC0006868/686805003393
NEFT_OUT:PUNBH23166450867/Lakshman Chandra
15/06/2023 95,000.00 3,05,192.12 Dr.
/SBIN0002033/41317340320
NEFT_CHRG:PUNBH23166450867/SBIN0002033/41
15/06/2023 5.02 2,10,192.12 Dr. 317340320
NRTGS/PUNBR52023061515915338/0446612202/La
15/06/2023 2,00,000.00 2,10,187.10 Dr.
kshman C
Charges for RTGS Customer Payment
15/06/2023 28.32 10,187.10 Dr.
:000379778847
IMPS-
15/06/2023 5.90 10,158.78 Dr. CHG/316611890515/SBIN0006448/20213459996
IMPS-
15/06/2023 10,000.00 10,152.88 Dr. OUT/316611890515/SBIN0006448/20213459996
IMPS-
15/06/2023 5.90 152.88 Dr. CHG/316610883340/SBIN0006448/20213459996
IMPS-
15/06/2023 25,000.00 146.98 Dr. OUT/316610883340/SBIN0006448/20213459996
Unless constituent notifies the bank immediately of any discrepancy found by him in his statement of
Account, it will be taken that he has found the account correct.
*COMPUTER GENERATED ENTERIES SHOWN IN THE STATEMENT OF ACCOUNT DO NOT REQUIRE ANY
AUTHENTICATION / INITIAL FROM THE BANK OFFICIAL.PLEASE DO NOT ACCEPT ANY MANUAL ENTRY IN
YOUR COMPUTER GENERATED STATEMENT OF ACCOUNT
* PLEASE ENSURE THAT ALL THE CHEQUE LEAVES IN YOUR CUSTODY ARE DULY BRANDED WITH YOUR
16 DIGITS ACCOUNT NUMBER
* CUSTOMERS ARE REQUESTED IN THEIR OWN INTEREST NOT TO ISSUE CHEQUES WITHOUT
Page No 12
-
ADEQUATE CLEAR FUNDS /ARRANGEMENTS. SUCH CHEQUES CAN BE RETURNED WITHOUT MAKING
ANY FURTHER REFERENCE TO THEM.
*Pls note Penal interest may be charged in loan accounts due to financial reasons such as over
drawings, non receipt of install on the rates prescrribed by bank from time to time and for non financial
reasons like non submission of , QMS forms, non adherence to terms and conditions etc.