Statement of Account: Date Narration Chq./Ref - No. Value DT Withdrawal Amt. Deposit Amt. Closing Balance
Statement of Account: Date Narration Chq./Ref - No. Value DT Withdrawal Amt. Deposit Amt. Closing Balance
Statement of Account: Date Narration Chq./Ref - No. Value DT Withdrawal Amt. Deposit Amt. Closing Balance
: 1
-118210700925-AMB
000356-118242911479-RETURN
01011SX8OD0ICVX0@PAYTM-PYTM0123456-11847
3347063-CHICKEN
@ICICI-ICIC0000001-118473550336-VERIFIED
MERCHANT
BAVANAM-SRIRAMBHAVANAM-1
@OKHDFCBANK-HDFC0000021-118799025019-UPI
ESB0YBLUPI-118708301006-FRIE PICE
ESB0YBLUPI-118708297996-UPI
@ICICI-ICIC0000001-118818440016-VERIFIED
MERCHANT
0000128-118923231400-ACCOUNT OPENING
00356-119034570429-FD
UNB0363200-119148405210-NARASIMHA
10/07/21 UPI-MS SHAH CYCLE AND AU-Q24715465@YBL-S 0000119151475453 10/07/21 6,000.00 21,812.17
BHULAKSHMI-BHULAKSHMIAKKALA@O
KICICI-SIBL0000935-119180140623-UPI
BIN0021345-119258221714-WHEEL
BIN0021345-119258392025-UPI
FCBANK-YESB0000413-119368095410-CHITTI
119310363936-HAND RETURN
1@OKICICI-RATN0000000-119300721616-UPI
1@OKICICI-RATN0000000-119371054667-UPI
6501-PAYMENT ON CRED
-119605727055-TEMPERD GLASS
I-UBIN0813559-119937386872-CABEL TV
@ICICI-ICIC0000001-119939712106-VERIFIED
MERCHANT
RATN0000000-120081249056-UPI
000356-120046984306-SAVINGS
-ICIC0002363-120105410521-NA
22/07/21 INST-ALERT CHG INC GST APR-JUN2021-MIR21 MIR2119984836388 22/07/21 17.70 1,201.47
19984836388
00075-120487843433-UPI
IN0020169-120914016623-UPI
KHDFCBANK-HDFC0000050-120948090877-UPI
ICIC0007548-121091925697-UPI
BI-SBIN0008294-121115754156-SAVINGS
VENKATESWAR-VENKIGAJENDRA@O
KSBI-SBIN0011660-121279091405-VIKARABAD
NARASIMHARAO-CHEVULA775-3@OK
AXIS-RATN0000000-121220244051-UPI
STATEMENT SUMMARY :-
Opening Balance Dr Count Cr Count Debits Credits Closing Bal
5,881.17 24 13 95,232.70 128,753.00 39,401.47
Generated On: 09-Nov-2021 12:38 Generated By: 52319197 Requesting Branch Code: NET