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CREDIT BALANCE
DECEMBER OPENING BALANCE 15,014,406.93
1 02/12/2022 NIP Charge + VAT 53.75 15,014,353.18
2 02/12/2022 NIP CR/SALAMI JEMILAT chq 1210 Bimbo Alli B 425,000.00 14,589,353.18
3 04/12/2022 STAMP DUTY CHARGE 100 14,589,253.18
4 05/12/2022 DEP UBN CQ 4263/DS 559937/ CELPLAS IND 7,200,000.00 21,789,253.18
5 05/12/2022 DEP UBN CQ 4263/DS 559938/ CELPLAS IND 9,000,000.00 30,789,253.18
6 09/12/2022 NIP Charge + VAT 53.75 30,789,199
7 09/12/2022 NIP CR/THE SALESBROTHERS VENTURES chq 1211 200,000.00 30,589,199.43
8 15/12/2022 NIP Charge + VAT 53.75 30,589,145.68
9 15/12/2022 NIP CR/ARCLINK ENERGY SERVICES LTD chq 1211 15,280,000.00 15,309,145.68
10 20/12/2022 CQ 1215 PD ENGR SIKIRU A SALAMI 50,000.00 15,259,145.68
11 20/12/2022 NEFT + VAT Charge - T 53.75 15,259,091.93
12 20/12/2022 NEFT IFO ABDULSALAMI JEMILA chq 1214 350,000.00 14,909,091.93
13 20/12/2022 NEFT + VAT Charge - T 53.75 14,909,038.18
14 20/12/2022 NEFT IFO ABDULSALAMI JEMILAT chq 1213 155,000.00 14,754,038.18
15 22/12/2022 DP UBN CQ10543/002228872/CELPLAS IND 8,500,000.00 23,254,038.18
16 22/12/2022 DEP UBN CQ 10544/DS 228673/CEPLAS IND 3,390,000.00 26,644,038.18
17 23/12/2022 NIP Charge + VAT 53.75 26,643,984.43
18 23/12/2022 NIP CR/ABDULSALAMI JEMILA/ABN/T chq 1216 Xmas Gi 355,000.00 26,288,984.43
19 26/12/2022 STAMP DUTY CHARGE 100 26,288,884.43
20 27/12/2022 SMS No ifica on Charge Dec 2022 84 26,288,800.43
21 28/12/2022 ZB CHQ 1217 PD DR ADETOKUNBO ADEDEJI chq 1217 100,000.00 26,188,800.43
22 30/12/2022 TRF TO JEMILAT ABDULSALAMI chq 1218 H/K Mrs Fayose 285,000.00 25,903,800.43
23 31/12/2022 Acct Maint. Fee + VAT 18,490.01 25,885,310.42
24
TOTAL 15630000 1570000 19096.51 28090000 25,885,310.42
SUMMARY
NO DATE TRANSACTION DETAILS DEBIT PROD. OTHER DEBIT BANK CHAR. CREDIT BALANCE
1 JANUARY TOTAL 10,408,000.00 180,000.00 11,979.60 17,755,000.00 31,115,384.55