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TXN Date Value Date Description Ref No./Cheque No. Branch Code Debit Credit Balance

This document is a bank account statement for ALFA KISAN SEWA KENDRA for the period of September 1, 2020 to October 21, 2020. It shows transactions including transfers in and out via UPI, NEFT, and IMPS totaling over Rs. 6,40,029.28 with the balance as of October 21, 2020. There are multiple small transfers in of Rs. 1-5,000 each and some larger transfers out of Rs. 10,000-30,000 on various dates in September 2020.

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Masy121
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0% found this document useful (0 votes)
621 views

TXN Date Value Date Description Ref No./Cheque No. Branch Code Debit Credit Balance

This document is a bank account statement for ALFA KISAN SEWA KENDRA for the period of September 1, 2020 to October 21, 2020. It shows transactions including transfers in and out via UPI, NEFT, and IMPS totaling over Rs. 6,40,029.28 with the balance as of October 21, 2020. There are multiple small transfers in of Rs. 1-5,000 each and some larger transfers out of Rs. 10,000-30,000 on various dates in September 2020.

Uploaded by

Masy121
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
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Account Name :ALFA KISAN SEWA KENDRA

Address CHAHATTA BLOCK RUPAIDIH , GONDA , Gonda


BALRAMPUR MANDI
UTTAR PRADESH-271204
India
Date :21 Oct 2020
Account Number :00000039489562012
Account Description :CA-SME POWER-POS -OTH-INR
Branch :BISHNAPUR
Drawing Power :0.00
Interest Rate(% p.a.) :15.65
MOD Balance :0.00
CIF No. :90588211808
IFS Code :SBIN0008946
MICR Code :271002161
Balance as on 1 Sep 2020 :4,80,029.28

Account Statement from 1 Sep 2020 to 21 Oct 2020


Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
3 Sep 3 Sep BY TRANSFER 8946 1.00 4,80,030.28
2020 2020 TRANSFER- FROM
UPI/CR/0247 48993571620
20478911/KH 92 /
AN
MOH/ABHY/n
ajimkhan9/hii-
3 Sep 3 Sep BY TRANSFER 8946 10,000.00 4,90,030.28
2020 2020 TRANSFER- FROM
UPI/CR/0247 50985021620
20034290/KH 99 /
AN
MOH/ABHY/n
ajimkhan9/UP
I-
3 Sep 3 Sep BY TRANSFER 8946 10,000.00 5,00,030.28
2020 2020 TRANSFER- FROM
UPI/CR/0247 50990351620
20039209/KH 92 /
AN
MOH/ABHY/n
ajimkhan9/UP
I-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
4 Sep 4 Sep BY MAA0005504 99922 1.00 5,00,031.28
2020 2020 TRANSFER- 36506
INB MAA0005504
IMPS024812 36506
859241/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 45979501620
98 /
4 Sep 4 Sep BY MAA0005504 99922 5,000.00 5,05,031.28
2020 2020 TRANSFER- 37217
INB MAA0005504
IMPS024812 37217
859280/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980081620
97 /
4 Sep 4 Sep BY MAA0005504 99922 5,000.00 5,10,031.28
2020 2020 TRANSFER- 37299
INB MAA0005504
IMPS024812 37299
859285/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980141620
90 /
4 Sep 4 Sep BY MAC0005482 99922 5,000.00 5,15,031.28
2020 2020 TRANSFER- 04803
INB MAC0005482
IMPS024812 04803
859292/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 45979521620
97 /
4 Sep 4 Sep BY MAB0005380 99922 5,000.00 5,20,031.28
2020 2020 TRANSFER- 58715
INB MAB0005380
IMPS024812 58715
859294/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980131620
91 /
4 Sep 4 Sep BY MAA0005504 99922 4,999.00 5,25,030.28
2020 2020 TRANSFER- 37535
INB MAA0005504
IMPS024812 37535
859296/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 45979531620
96 /
4 Sep 4 Sep BY TRANSFER 1 25,000.00 5,50,030.28
2020 2020 TRANSFER- FROM
UPI/CR/0248 50991381620
12845431/AB 96 /
DUL
HA/PUNB/97
92736395/Pa
yme-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
4 Sep 4 Sep BY MAB0005380 99922 5,000.00 5,55,030.28
2020 2020 TRANSFER- 68934
INB MAB0005380
IMPS024812 68934
859496/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980101620
93 /
4 Sep 4 Sep BY MAC0005482 99922 5,000.00 5,60,030.28
2020 2020 TRANSFER- 15157
INB MAC0005482
IMPS024812 15157
859500/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 45979511620
98 /
4 Sep 4 Sep BY MAA0005504 99922 5,000.00 5,65,030.28
2020 2020 TRANSFER- 47692
INB MAA0005504
IMPS024812 47692
859503/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980141620
90 /
4 Sep 4 Sep BY MAB0005380 99922 5,000.00 5,70,030.28
2020 2020 TRANSFER- 69177
INB MAB0005380
IMPS024812 69177
859505/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980061620
99 /
4 Sep 4 Sep BY MAA0005504 99922 4,999.00 5,75,029.28
2020 2020 TRANSFER- 47819
INB MAA0005504
IMPS024812 47819
859270/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980081620
97 /
4 Sep 4 Sep BY MAB0005380 99922 5,000.00 5,80,029.28
2020 2020 TRANSFER- 70966
INB MAB0005380
IMPS024812 70966
859546/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980091620
96 /
4 Sep 4 Sep BY MAA0005504 99922 5,000.00 5,85,029.28
2020 2020 TRANSFER- 49618
INB MAA0005504
IMPS024812 49618
859547/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 45979521620
97 /
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
4 Sep 4 Sep BY MAB0005380 99922 5,000.00 5,90,029.28
2020 2020 TRANSFER- 71128
INB MAB0005380
IMPS024812 71128
859550/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 45979501620
98 /
4 Sep 4 Sep BY MAB0005380 99922 5,000.00 5,95,029.28
2020 2020 TRANSFER- 71213
INB MAB0005380
IMPS024812 71213
859529/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980091620
96 /
4 Sep 4 Sep BY MAB0005380 99922 4,500.00 5,99,529.28
2020 2020 TRANSFER- 71278
INB MAB0005380
IMPS024812 71278
859531/8879 TRANSFER
443539/XX32 FROM
70/Transfer f- 48980171620
97 /
4 Sep 4 Sep BY TRANSFER 1 500.00 6,00,029.28
2020 2020 TRANSFER- FROM
UPI/CR/0248 50986141620
12614361/AB 93 /
DUL
HA/PUNB/97
92736395/Pa
yme-
4 Sep 4 Sep BY TRANSFER 4430 30,000.00 6,30,029.28
2020 2020 TRANSFER- FROM
NEFT*HDFC 31994100443
0000001*N24 08 /
82012339616
90*MOHD
SHAMSUDDI
N*-
5 Sep 5 Sep BY UA03049266 99922 10,000.00 6,40,029.28
2020 2020 TRANSFER- 69MOADEIW
INB FR6
IMPS/P2A/U TRANSFER
A0304926669 FROM
/XXXXXXX01 11505338911
2SBIN- Mr.
SHAHABUD
DIN
MAQSOO /
5 Sep 5 Sep CASH / 8946 2,00,000.0 8,40,029.28
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
5 Sep 5 Sep BY IT00ADDBL6 99922 1,50,000.0 9,90,029.28
2020 2020 TRANSFER- TRANSFER 0
INB Loan- FROM
30770584766
Mrs.
RUQAIYA
KHATOON /
7 Sep 7 Sep CHEQUE TRANSFER 8946 100.00 9,89,929.28
2020 2020 WDL- FROM
CHEQUE 30210428218
TRANSFER INDIAN OIL
TO-376542 CORPORATI
ON / 376542
7 Sep 7 Sep CHEQUE TRANSFER 8946 9,50,000.0 39,929.28
2020 2020 WDL- FROM 0
CHEQUE 30210428218
TRANSFER INDIAN OIL
TO-376543 CORPORATI
ON / 376543
8 Sep 8 Sep TO NEFT INB: 99922 35,000.00 4,929.28
2020 2020 TRANSFER- CNABDCIAP
INB NEFT 5
UTR NO: TRANSFER
SBIN4202526 TO
37765-MPS 31979440443
Enterprise 06 / MPS
Enterprise
14 Sep 14 Sep BY MAA0005579 99922 1.00 4,930.28
2020 2020 TRANSFER- 28115
INB MAA0005579
IMPS025822 28115
562180/8828 TRANSFER
574650/XX69 FROM
79/bankAcco 45979341620
un- 99 /
16 Sep 16 Sep BY TRANSFER 4430 1.00 4,931.28
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994160443
0000001*PYT 03 /
MH20260123
307*OCL
NODAL
OFFICE-
17 Sep 17 Sep BY TRANSFER 4430 2.01 4,933.29
2020 2020 TRANSFER- FROM
NEFT*HDFC 31994140443
0000240*N26 05 /
12012471775
17*HDFC
BANK*20261
M-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
18 Sep 18 Sep BY TRANSFER 4430 12.00 4,945.29
2020 2020 TRANSFER- FROM
NEFT*HDFC 31994150443
0000240*N26 04 /
22012480518
19*HDFC
BANK*20262
M-
19 Sep 19 Sep BY TRANSFER 4430 4.00 4,949.29
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994220443
0000001*PYT 05 /
MH20263508
405*OCL
NODAL
OFFICE-
25 Sep 25 Sep ATM WDL- / 4292 1,500.00 3,449.29
2020 2020 ATM CASH
466 SBI
BISHNAPUR
ATM
BALRAMPUR
-
30 Sep 30 Sep BY TRANSFER 4430 10,500.00 13,949.29
2020 2020 TRANSFER- FROM
NEFT*HDFC 31999720443
0000240*N27 08 /
42012584685
42*HDFC
BANK*20274
M-
30 Sep 30 Sep TO TRANSFER 8946 5,000.00 8,949.29
2020 2020 TRANSFER- TO
UPI/DR/0274 50994981620
13432951/MA 94 /
SIHUDD/UTI
B/900443378
7/Pos-
1 Oct 1 Oct BY TRANSFER 4430 5,500.00 14,449.29
2020 2020 TRANSFER- FROM
NEFT*HDFC 31994220443
0000240*N27 05 /
52012607145
34*HDFC
BANK*20275
M-
1 Oct 1 Oct TO TRANSFER 8946 5,000.00 9,449.29
2020 2020 TRANSFER- TO
UPI/DR/0275 50996041620
14531503/Mr 97 /
SHAHA/SBIN
/1150533891/
Pos t-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
3 Oct 3 Oct TO TRANSFER 8946 5,500.00 3,949.29
2020 2020 TRANSFER- TO
UPI/DR/0277 50980331620
21800492/MA 91 /
HRUNNI/SBI
N/983318855
4/Pos t-
6 Oct 6 Oct BY TRANSFER 4430 2,000.00 5,949.29
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999640443
0000001*PYT 08 /
MN20280770
158*OCL
NODAL
OFFICE-
6 Oct 6 Oct CASH / 8946 85,000.00 90,949.29
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
6 Oct 6 Oct CASH / 8946 42,000.00 1,32,949.29
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
7 Oct 7 Oct BY TRANSFER 4430 1,000.00 1,33,949.29
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999620443
0000001*PYT 00 /
MN20281952
083*OCL
NODAL
OFFICE-
7 Oct 7 Oct CASH / 8946 48,300.00 1,82,249.29
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
7 Oct 7 Oct TO IMPS000179 99922 26,000.00 1,56,249.29
2020 2020 TRANSFER- 67620MOADI
INB JLAN8
IMPS/P2A/02 TRANSFER
8112605047/ TO
XXXXXXX60 45978641620
8SYNB- 97 /
8 Oct 8 Oct BY TRANSFER 4430 1,200.00 1,57,449.29
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994220443
0000001*PYT 05 /
MN20282124
829*OCL
NODAL
OFFICE-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
8 Oct 8 Oct CASH / 8946 91,000.00 2,48,449.29
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
8 Oct 8 Oct BY TRANSFER 4430 1,795.28 2,50,244.57
2020 2020 TRANSFER- FROM
NEFT*HDFC 31996780443
0000240*N28 03 /
22012688621
46*HDFC
BANK*20282
M-
8 Oct 8 Oct CASH / 8946 56,000.00 3,06,244.57
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
9 Oct 9 Oct BY TRANSFER 4430 419.00 3,06,663.57
2020 2020 TRANSFER- FROM
NEFT*PYTM 31996770443
0000001*PYT 04 /
MN20283283
205*OCL
NODAL
OFFICE-
9 Oct 9 Oct CASH / 8946 25,500.00 3,32,163.57
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
9 Oct 9 Oct CASH / 8946 61,000.00 3,93,163.57
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
10 Oct 10 Oct BY TRANSFER 4430 200.00 3,93,363.57
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994160443
0000001*PYT 03 /
MN20284439
241*OCL
NODAL
OFFICE-
11 Oct 11 Oct BY TRANSFER 4430 600.00 3,93,963.57
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994210443
0000001*PYT 06 /
MN20285563
089*OCL
NODAL
OFFICE-
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
12 Oct 12 Oct BY TRANSFER 4430 3,200.00 3,97,163.57
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999580443
0000001*PYT 05 /
MN20286682
207*OCL
NODAL
OFFICE-
12 Oct 12 Oct BY TRANSFER 4430 200.00 3,97,363.57
2020 2020 TRANSFER- FROM
NEFT*HDFC 31999670443
0000240*N28 05 /
62012720167
66*HDFC
BANK*20285
M-
12 Oct 12 Oct BY TRANSFER 4430 1,000.00 3,98,363.57
2020 2020 TRANSFER- FROM
NEFT*HDFC 31994230443
0000240*N28 04 /
62012722502
85*HDFC
BANK*20284
M-
12 Oct 12 Oct CASH / 8946 2,32,300.0 6,30,663.57
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
12 Oct 12 Oct CASH / 38976288 8946 124.87 6,30,538.70
2020 2020 HANDLING
CHARGES--
38976288
12 Oct 12 Oct CASH / 8946 90,000.00 7,20,538.70
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
12 Oct 12 Oct CASH / 38976288 8946 79.65 7,20,459.05
2020 2020 HANDLING
CHARGES--
38976288
13 Oct 13 Oct CASH / 8946 40,000.00 7,60,459.05
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
13 Oct 13 Oct CASH / 38976288 8946 59.00 7,60,400.05
2020 2020 HANDLING
CHARGES--
38976288
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
13 Oct 13 Oct BY TRANSFER 4430 910.00 7,61,310.05
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999720443
0000001*PYT 08 /
MN20287853
953*OCL
NODAL
OFFICE-
13 Oct 13 Oct BY TRANSFER 4430 17,000.00 7,78,310.05
2020 2020 TRANSFER- FROM
NEFT*HDFC 31996790443
0000240*N28 02 /
72012741947
98*HDFC
BANK*20287
M-
13 Oct 13 Oct CASH / 8946 65,000.00 8,43,310.05
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
13 Oct 13 Oct CASH / 38976288 8946 59.00 8,43,251.05
2020 2020 HANDLING
CHARGES--
38976288
14 Oct 14 Oct BY TRANSFER 4430 2,620.00 8,45,871.05
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994180443
0000001*PYT 01 /
MN20288031
390*OCL
NODAL
OFFICE-
14 Oct 14 Oct CASH / 8946 35,000.00 8,80,871.05
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
14 Oct 14 Oct CASH / 38976288 8946 59.00 8,80,812.05
2020 2020 HANDLING
CHARGES--
38976288
14 Oct 14 Oct CHEQUE TRANSFER 8946 8,57,000.0 23,812.05
2020 2020 WDL- FROM 0
CHEQUE 30210428218
TRANSFER INDIAN OIL
TO-376545 CORPORATI
ON / 376545
14 Oct 14 Oct CASH / 8946 63,000.00 86,812.05
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
14 Oct 14 Oct CASH / 38976288 8946 59.00 86,753.05
2020 2020 HANDLING
CHARGES--
38976288
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
15 Oct 15 Oct BY TRANSFER 4430 500.00 87,253.05
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999590443
0000001*PYT 04 /
MN20289185
252*OCL
NODAL
OFFICE-
15 Oct 15 Oct BY TRANSFER 4430 6,000.00 93,253.05
2020 2020 TRANSFER- FROM
NEFT*HDFC 31994120443
0000240*N28 07 /
92012767955
00*HDFC
BANK*20289
M-
15 Oct 15 Oct CASH / 8946 23,000.00 1,16,253.05
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
15 Oct 15 Oct CASH / 38976288 8946 59.00 1,16,194.05
2020 2020 HANDLING
CHARGES--
38976288
15 Oct 15 Oct BY MAA0005801 99922 1.96 1,16,196.01
2020 2020 TRANSFER- 90596
INB MAA0005801
IMPS028917 90596
748587/9167 TRANSFER
259199/XX01 FROM
90/482012e7 48979941620
9a- 91 /
16 Oct 16 Oct BY TRANSFER 4430 2,701.00 1,18,897.01
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999670443
0000001*PYT 05 /
MN20290340
794*OCL
NODAL
OFFICE-
16 Oct 16 Oct CASH / 8946 1,29,000.0 2,47,897.01
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
16 Oct 16 Oct CASH / 38976288 8946 114.17 2,47,782.84
2020 2020 HANDLING
CHARGES--
38976288
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
16 Oct 16 Oct BY TRANSFER 4430 1,620.00 2,49,402.84
2020 2020 TRANSFER- FROM
NEFT*HDFC 31999590443
0000240*N29 04 /
02012778351
36*HDFC
BANK*20290
M-
16 Oct 16 Oct CASH / 8946 1,09,000.0 3,58,402.84
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
16 Oct 16 Oct CASH / 38976288 8946 96.47 3,58,306.37
2020 2020 HANDLING
CHARGES--
38976288
17 Oct 17 Oct BY TRANSFER 4430 100.00 3,58,406.37
2020 2020 TRANSFER- FROM
NEFT*PYTM 31994140443
0000001*PYT 05 /
MN20291494
316*OCL
NODAL
OFFICE-
17 Oct 17 Oct CASH / 8946 52,500.00 4,10,906.37
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
17 Oct 17 Oct CASH / 38976288 8946 59.00 4,10,847.37
2020 2020 HANDLING
CHARGES--
38976288
17 Oct 17 Oct BY TRANSFER 4430 1,000.00 4,11,847.37
2020 2020 TRANSFER- FROM
NEFT*HDFC 31999700443
0000240*N29 09 /
12012791402
13*HDFC
BANK*20291
M-
17 Oct 17 Oct CASH / 8946 1,01,000.0 5,12,847.37
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
17 Oct 17 Oct CASH / 38976288 8946 89.39 5,12,757.98
2020 2020 HANDLING
CHARGES--
38976288
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
18 Oct 18 Oct BY TRANSFER 4430 3,925.00 5,16,682.98
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999630443
0000001*PYT 09 /
MN20292630
890*OCL
NODAL
OFFICE-
19 Oct 19 Oct BY TRANSFER 4430 100.00 5,16,782.98
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999700443
0000001*PYT 09 /
MN20293748
946*OCL
NODAL
OFFICE-
19 Oct 19 Oct CASH / 8946 2,34,500.0 7,51,282.98
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
19 Oct 19 Oct CASH / 38976288 8946 207.53 7,51,075.45
2020 2020 HANDLING
CHARGES--
38976288
19 Oct 19 Oct CASH / 8946 1,35,500.0 8,86,575.45
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
19 Oct 19 Oct CASH / 38976288 8946 119.92 8,86,455.53
2020 2020 HANDLING
CHARGES--
38976288
20 Oct 20 Oct BY TRANSFER 4430 1,081.49 8,87,537.02
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999670443
0000001*PYT 05 /
MN20294903
740*OCL
NODAL
OFFICE-
20 Oct 20 Oct CASH / 8946 40,500.00 9,28,037.02
2020 2020 DEPOSIT-
CASH
DEPOSIT
SELF-
20 Oct 20 Oct CASH / 38976288 8946 59.00 9,27,978.02
2020 2020 HANDLING
CHARGES--
38976288
20 Oct 20 Oct CHEQUE TRANSFER 8946 9,00,000.0 27,978.02
2020 2020 WDL- FROM 0
CHEQUE 30210428218
TRANSFER INDIAN OIL
TO-376546 CORPORATI
ON / 376546
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code
No.
20 Oct 20 Oct BY TRANSFER 4430 100.00 28,078.02
2020 2020 TRANSFER- FROM
NEFT*CITI00 31999550443
00002*CITIN 08 /
20150306378
*ONE97
COMMUNIC
AT-
20 Oct 20 Oct CASH / 8946 1,63,600.0 1,91,678.02
2020 2020 DEPOSIT- 0
CASH
DEPOSIT
SELF-
20 Oct 20 Oct CASH / 38976288 8946 144.79 1,91,533.23
2020 2020 HANDLING
CHARGES--
38976288
21 Oct 21 Oct BY TRANSFER 4430 1,450.00 1,92,983.23
2020 2020 TRANSFER- FROM
NEFT*PYTM 31999710443
0000001*PYT 09 /
MN20295057
438*OCL
NODAL
OFFICE-

**This is a computer generated statement and does not require a signature.

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