Date Narration Chq./Ref - No. Value DT Withdrawal Amt. Deposit Amt. Closing Balance
Date Narration Chq./Ref - No. Value DT Withdrawal Amt. Deposit Amt. Closing Balance
Date Narration Chq./Ref - No. Value DT Withdrawal Amt. Deposit Amt. Closing Balance
: 1 Statement of account
Date Narration Chq./Ref.No. Value Dt Withdrawal Amt. Deposit Amt. Closing Balance
01/12/23 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC232720004 01/12/23 5,239.19 -29,925,202.92
T 027PCFC232720004
01/12/23 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC232860002 01/12/23 6,964.73 -29,932,167.65
T 027PCFC232860002
01/12/23 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC232960004 01/12/23 6,722.04 -29,938,889.69
T 027PCFC232960004
01/12/23 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC233070009 01/12/23 6,817.95 -29,945,707.64
T 027PCFC233070009
01/12/23 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC233240001 01/12/23 2,719.67 -29,948,427.31
T 027PCFC233240001
02/12/23 ACH D- YES BANK RETAIL ASSE-ALN000301044 0000008141888267 02/12/23 33,790.00 -29,982,217.31
CREDIT CARD
05/12/23 CASH DEPOSIT BY - GURUBAKSH - ASHOK VIHA 000000000000000 05/12/23 100,000.00 -29,894,881.88
LTD-INDBR32023120500664223
05/12/23 NEFT DR-CITI0000003-CITI CREDIT CARD SUN N339232769017350 05/12/23 216,689.00 -29,726,039.88
NY AHUJA-NETBANK, MUM-N339232769017350-C
EDIT CARD
06/12/23 CHQ PAID SELF - CHQ PAID - ASHOK VIHAR 0000000000000208 06/12/23 150,000.00 -29,931,184.88
07/12/23 EMI 84675355 CHQ S846753550351 12238467 0000000084675355 07/12/23 75,484.00 -30,038,605.88
5355
07/12/23 EMI 84675355 CHQ S846753550351 12238467 0000000084675355 07/12/23 75,484.00 -29,963,121.88
5355
08/12/23 EMI 84675355 CHQ S846753550351 12238467 000000000000000 08/12/23 75,484.00 -29,988,605.88
5355-84675355
OCOMM LTD
CARD
CARD
09/12/23 NEFT CR-UTIB0000109-AL ASHWIN INDIA SOUR AXOIC33431785914 09/12/23 100,000.00 -29,888,077.68
LIMITED-AXOIC33431785914
11/12/23 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC233450001 11/12/23 1,130.96 -29,889,208.64
C233450001
11/12/23 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC233450001 11/12/23 1,127,600.04 -28,761,608.60
ST 027PCFC233450001
EX PVT LTD
S PVT LTD
11/12/23 INTEREST ON EXPORT PACKING CREDIT AGAINS 027PCFC233070009 08/12/23 1,704.49 -29,569,626.09
T 027PCFC233070009
12/12/23 CHQ PAID-MICR CTS-CH-SWASTIC PET INDUSTR 0000000000000199 12/12/23 236,496.00 -29,159,054.25
LTD
PVT LTD
INDUSTRIES
EX PVT LTD
13/12/23 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC233470004 13/12/23 1,132.04 -29,909,360.29
C233470004
13/12/23 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC233470004 13/12/23 1,133,568.60 -28,775,791.69
ST 027PCFC233470004
T LTD
LTD
AYS
16/12/23 CHQ PAID SELF - CHQ PAID - ASHOK VIHAR 0000000000000218 16/12/23 765,000.00 -29,474,994.49
51-335261568873-PHONE INSTALLMENT
IMITED
TE LIMITED
EX PVT LTD
20/12/23 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC233540001 20/12/23 1,124.24 -29,268,270.88
C233540001
20/12/23 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC233540001 20/12/23 1,090,188.90 -28,178,081.98
ST 027PCFC233540001
MPANY
NET-HDFCR52023122364861048-C733212312231
32158
20984560
120984560
VERSEAS PRIVATE-P361230289384171
27/12/23 NEFT DR-CITI0000003-CITI CREDIT CARD SUN N361232801870466 27/12/23 95,092.00 -28,588,398.07
NY AHUJA-NETBANK, MUM-N361232801870466-C
AL
28/12/23 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC232720004 28/12/23 4,703.15 -28,794,439.22
T 027PCFC232720004
28/12/23 AMIT KUMAR - CHQ PAID - ALIPUR 0000000000000221 28/12/23 750,000.00 -29,544,439.22
29/12/23 CHQ PAID-MICR CTS-CH-SWASTIK PET INDUSTR 0000000000000200 29/12/23 230,596.00 -29,775,035.22
02/01/24 ACH D- YES BANK RETAIL ASSE-ALN000301044 0000009028967302 02/01/24 33,790.00 -30,049,565.22
02/01/24 ACH D- YES BANK RETAIL ASSE-ALN000301044 0000009028967302 02/01/24 33,790.00 -30,015,775.22
CREDIT CARD
- - 49678100001530 - AMIT
03/01/24 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC232860002 02/01/24 7,183.00 -29,592,954.01
T 027PCFC232860002
03/01/24 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC232960004 02/01/24 6,933.27 -29,599,887.28
T 027PCFC232960004
03/01/24 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC233450001 02/01/24 5,273.41 -29,605,160.69
T 027PCFC233450001
03/01/24 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC233470004 02/01/24 4,803.09 -29,609,963.78
T 027PCFC233470004
03/01/24 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC233540001 02/01/24 2,920.98 -29,612,884.76
T 027PCFC233540001
03/01/24 AUTO INT ON EXPORT PACKING CREDIT AGAINS 027PCFC233240001 02/01/24 7,649.15 -29,620,533.91
T 027PCFC233240001
00005857
03/01/24 NEFT RETURN-ACCOUNT DOES NOT EXIST-21750 N003242814004658 03/01/24 923.00 -29,622,903.91
400005857-BARBJ24003304229
OCOMM LTD
EDIT CARD
04/01/24 IB CASH WDL CHGS INCL GST 281223-CDT2400 CDT2400221141943 04/01/24 590.00 -29,771,495.74
221141943
05/01/24 ACH D- YES BANK RETAIL ASSE-ALN000301044 0000009190820565 05/01/24 33,790.00 -29,966,974.74
05/01/24 PDO INT ON EXPORT PACKING CREDIT AGAINST 027PCFC232720004 04/01/24 1,523.20 -29,968,497.94
027PCFC232720004
EX PVT LTD
06/01/24 NEFT DR-YESB0CMSNOC-YES BANK CREDIT CARD N006242822201009 06/01/24 16,914.00 -28,802,277.06
-NETBANK, MUM-N006242822201009-CARD
07/01/24 EMI 84675355 CHQ S846753550361 01248467 000000000000000 07/01/24 75,484.00 -28,877,761.06
5355
08/01/24 CASH DEPOSIT BY - GURUBAKSH - ASHOK VIHA 000000000000000 08/01/24 92,000.00 -28,785,761.06
CARD
PVT LTD
10/01/24 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC240100003 10/01/24 1,105.74 -28,469,568.88
C240100003
10/01/24 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC240100003 10/01/24 997,494.00 -27,472,074.88
ST 027PCFC240100003
10/01/24 INTEREST ON EXPORT PACKING CREDIT AGAINS 027PCFC232860002 10/01/24 2,082.16 -26,651,213.44
T 027PCFC232860002
10/01/24 RTGS CR-SBIN0000TBU-E PAO GST REFUNDS TH SBINR52024011015316008 10/01/24 491,518.00 -26,452,760.44
LIMITED-SBINR52024011015316008
INTERNET-HDFCR52024011170246357-C718101
10124173502
ISTICS
S PVT LTD
NG
AYS
INDUSTRIES
T LTD
12/01/24 CHQ PAID SELF - CHQ PAID - ASHOK VIHAR 0000000000000222 12/01/24 500,000.00 -28,511,929.44
12/01/24 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC240120003 12/01/24 3,379.26 -28,515,308.70
C240120003
12/01/24 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC240120003 12/01/24 1,162,512.00 -27,352,796.70
ST 027PCFC240120003
X INTERNET-HDFCR52024011370742089-C77848
130124180303
15/01/24 CHQ PAID-MICR CTS-CH-SWASTIK PET INDUSTR 0000000000000215 15/01/24 242,646.00 -28,183,833.02
15/01/24 CHQ PAID SELF - CHQ PAID - ASHOK VIHAR 0000000000000228 15/01/24 435,000.00 -28,618,833.02
VT LTD
17/01/24 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC240170002 17/01/24 1,134.60 -29,123,851.37
C240170002
17/01/24 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC240170002 17/01/24 1,147,779.36 -27,976,072.01
ST 027PCFC240170002
17/01/24 EXP PACKING CREDIT (FCY) DISBURSED AGAIN 027PCFC240170003 17/01/24 1,103,799.96 -26,872,272.05
ST 027PCFC240170003
17/01/24 COMMISSION ON EXPORT LOAN AGAINST 027PCF 027PCFC240170003 17/01/24 1,126.68 -26,873,398.73
C240170003
18/01/24 CHQ PAID SELF - CHQ PAID - ASHOK VIHAR 0000000000000219 18/01/24 600,000.00 -27,473,398.73
18/01/24 .ACH DEBIT RETURN CHARGES 020124 020124- CDT2400221141943 18/01/24 413.00 -27,485,811.73
CDT2400221141943
EX PVT LTD
FCR52024011872051642-C77681180124180539
N NO: HDFC24010700222326
19/01/24 EXP PACKING CREDIT (FCY) LIQUIDATED AGAI 027PCFC232960004 19/01/24 1,015,160.46 -28,956,338.19
NST 027PCFC232960004
19/01/24 INTEREST ON EXPORT PACKING CREDIT AGAINS 027PCFC232960004 19/01/24 4,020.05 -28,960,358.24
T 027PCFC232960004
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685415 19/01/24 84,709.00 -28,875,649.24
10685415
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685417 19/01/24 77,625.00 -28,798,024.24
10685417
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685416 19/01/24 92,937.00 -28,705,087.24
10685416
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685485 19/01/24 81,492.00 -28,623,595.24
10685485
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685493 19/01/24 102,635.00 -28,520,960.24
10685493
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685487 19/01/24 148,136.00 -28,372,824.24
10685487
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685486 19/01/24 81,509.00 -28,291,315.24
10685486
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685488 19/01/24 88,438.00 -28,202,877.24
10685488
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685491 19/01/24 85,973.00 -28,116,904.24
10685491
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685489 19/01/24 91,920.00 -28,024,984.24
10685489
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685413 19/01/24 88,106.00 -27,936,878.24
10685413
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685414 19/01/24 147,002.00 -27,789,876.24
10685414
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685490 19/01/24 78,415.00 -27,711,461.24
10685490
19/01/24 NEFT CR-SBIN0004266-E PAO GST REFUNDS-E SBIC300210685492 19/01/24 100,875.00 -27,610,586.24
10685492
H24019096889
2960004
MPANY
- - 110022798218 - SANGEETA
STATEMENT SUMMARY :-
Opening Balance Dr Count Cr Count Debits Credits Closing Bal
-29,919,963.73 177 47 14,874,629.28 17,011,544.84 -27,783,048.17
Generated On: 23-JAN-2024 15:04:53 Generated By: Requesting Branch Code: 1261
154863949