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Account Statement From 1 Apr 2023 To 31 Oct 2023: TXN Date Value Date Description Ref No./Cheque No. Debit Credit Balance

This bank statement is for the account of Mr. Pinal Vinu Bhai Nasit for the period of April 1, 2023 to October 31, 2023. It shows deposits, withdrawals, transfers and transactions made on the account. The opening balance on April 1 was Rs. 62,853.81 and the closing balance on October 31 was Rs. 4,35,453.61 after various credits of deposits and transfers totalling Rs. 20,61,918.61 and debits of withdrawals, transfers and payments totalling Rs. 18,26,465.

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Bhavik Nasit
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0% found this document useful (0 votes)
358 views3 pages

Account Statement From 1 Apr 2023 To 31 Oct 2023: TXN Date Value Date Description Ref No./Cheque No. Debit Credit Balance

This bank statement is for the account of Mr. Pinal Vinu Bhai Nasit for the period of April 1, 2023 to October 31, 2023. It shows deposits, withdrawals, transfers and transactions made on the account. The opening balance on April 1 was Rs. 62,853.81 and the closing balance on October 31 was Rs. 4,35,453.61 after various credits of deposits and transfers totalling Rs. 20,61,918.61 and debits of withdrawals, transfers and payments totalling Rs. 18,26,465.

Uploaded by

Bhavik Nasit
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 :Mr.

PINAL VINU BHAI NASIT


Address : 501, AVISHKAR HEIGHTS, NEAR VASTUPUNJAN
MOTA VARACHHA
SURAT-395006
Surat
Date :2 Nov 2023
Account Number :00000032869138025
Account Description :CA-GEN-PUB-IND-NONRURAL-INR
Branch :A K ROAD, SURAT
Drawing Power :0.00
Interest Rate(% p.a.) :15.65
MOD Balance :0.00
CIF No. :86646305089
IFS Code :SBIN0013359
(Indian Financial System)
MICR Code :395002059
(Magnetic Ink Character Recognition)
Nomination Registered :No
Balance as on 1 Apr 2023 :62,853.81

Account Statement from 1 Apr 2023 to 31 Oct 2023

Txn Date Value Description Ref No./Cheque Debit Credit Balance


Date No.
7 Apr 2023 7 Apr 2023 TO CLEARING-ICI STAR 834011 30,324.00 32,529.81
HEALTH AND ALLIED I-
834011
7 Apr 2023 7 Apr 2023 FI Txn @ CSP outlet- TRANSFER 3,000.00 35,529.81
004253182103738560 FROM
MoneyTRF TXN @KO 34743304310
1A74S093-
10 Apr 10 Apr DEBIT-ACHDr 21,985.00 13,544.81
2023 2023 ICIC00261000001992 TP ACH
ICICI B-
28 Apr 28 Apr CASH DEPOSIT-CASH 24,000.00 37,544.81
2023 2023 DEPOSIT SELF-
10 May 10 May DEBIT-ACHDr 21,985.00 15,559.81
2023 2023 ICIC00261000001992 TP ACH
ICICI B-
19 May 19 May CASH DEPOSIT-CASH 40,000.00 55,559.81
2023 2023 DEPOSIT SELF-
19 May 19 May CASH HANDLING CHARGES-- 38976288 59.00 55,500.81
2023 2023 38976288
20 May 20 May TO CLEARING-Chq No. 834012 40,000.00 15,500.81
2023 2023 834012 HDF AVISHKAR
HEIGHTS CO-834012
30 May 30 May CASH DEPOSIT-CASH 22,000.00 37,500.81
2023 2023 DEPOSIT SELF-
10 Jun 10 Jun DEBIT-ACHDr 21,985.00 15,515.81
2023 2023 ICIC00261000001992 TP ACH
ICICI B-
26 Jun 26 Jun CASH DEPOSIT-CASH 6,00,000.00 6,15,515.81
2023 2023 DEPOSIT SELF-
26 Jun 26 Jun CASH HANDLING CHARGES-- 38976288 531.00 6,14,984.81
2023 2023 38976288
27 Jun 27 Jun CHQ TRANSFER-RTGS UTR 834013 6,00,047.20 14,937.61
2023 2023 NO: DINESHBHAI
SBINR52023062757567531- KESHAVBHAI
834013 DINESHBHAI NASIT
KESHAVBHAI NASIT
Txn Date Value Description Ref No./Cheque Debit Credit Balance
Date No.
30 Jun 30 Jun CASH DEPOSIT-CASH 22,000.00 36,937.61
2023 2023 DEPOSIT SELF-
10 Jul 2023 10 Jul 2023 DEBIT-ACHDr 21,985.00 14,952.61
ICIC00261000001992 TP ACH
ICICI B-
28 Jul 2023 28 Jul 2023 CASH DEPOSIT-CASH 22,000.00 36,952.61
DEPOSIT SELF-
10 Aug 10 Aug DEBIT-ACHDr 21,985.00 14,967.61
2023 2023 ICIC00261000001992 TP ACH
ICICI B-
24 Aug 24 Aug CHEQUE DEPOSIT--458040 TRANSFER TO 2,60,000.00 2,74,967.61
2023 2023 33067923347
/ 458040
25 Aug 25 Aug BY TRANSFER-INB MAF00036109330 1.00 2,74,968.61
2023 2023 IMPS323712309420/98989898 0
98/XX7660/Payment- MAF00036109330
0
25 Aug 25 Aug BY TRANSFER-INB MAD00036472374 1.00 2,74,969.61
2023 2023 IMPS323712311693/98989898 6
98/XX7660/Payment- MAD00036472374
6
25 Aug 25 Aug BY TRANSFER-INB MAA00137910184 1.00 2,74,970.61
2023 2023 IMPS323712318859/98989898 0
98/XX7660/Payment- MAA00137910184
0
25 Aug 25 Aug BY TRANSFER-INB MAA00137910187 1.00 2,74,971.61
2023 2023 IMPS323712318868/98989898 8
98/XX7660/Payment- MAA00137910187
8
25 Aug 25 Aug BY TRANSFER-INB MAD00036473265 1.00 2,74,972.61
2023 2023 IMPS323712320548/98989898 5
98/XX7660/Payment- MAD00036473265
5
28 Aug 28 Aug TO CLEARING-Chq No. 834014 2,38,000.00 36,972.61
2023 2023 834014 HDF SURAT
MOTORCARS LLP-834014
28 Aug 28 Aug CASH DEPOSIT-CASH 26,000.00 62,972.61
2023 2023 DEPOSIT SELF-
28 Aug 28 Aug CASH HANDLING CHARGES-- 38976288 59.00 62,913.61
2023 2023 38976288
6 Sep 2023 6 Sep 2023 TO CLEARING-Chq No. 834015 26,465.00 36,448.61
834015 KOT KOTAK
MAHINDRA PRIM LTD-834015
10 Sep 10 Sep DEBIT-ACHDr 21,985.00 14,463.61
2023 2023 ICIC00261000001992 TP ACH
ICICI B-
14 Sep 14 Sep CASH DEPOSIT-CASH 12,000.00 26,463.61
2023 2023 DEPOSIT SELF-
21 Sep 21 Sep TO CLEARING-Chq No. 834019 12,486.00 13,977.61
2023 2023 834019 AXS LIC OF INDIA
AMROLI SSO K-834019
30 Sep 30 Sep CASH DEPOSIT-CASH 48,000.00 61,977.61
2023 2023 DEPOSIT SELF-
30 Sep 30 Sep CASH HANDLING CHARGES-- 38976288 59.00 61,918.61
2023 2023 38976288
3 Oct 2023 3 Oct 2023 BY TRANSFER-Payment- TRANSFER 20,00,000.00 20,61,918.61
FROM
42141755211
4 Oct 2023 4 Oct 2023 CASH CHEQUE-CASH 834020 3,00,000.00 17,61,918.61
WITHDRAWAL BY CHQ-
834020
5 Oct 2023 5 Oct 2023 CASH CHEQUE-CASH 834021 3,00,000.00 14,61,918.61
WITHDRAWAL BY CHQ-
834021
6 Oct 2023 6 Oct 2023 TO CLEARING-Chq No. 834016 26,465.00 14,35,453.61
834016 KOT KOTAK
MAHINDRA PRIM LTD-834016
6 Oct 2023 6 Oct 2023 CASH CHEQUE-CASH 834022 3,00,000.00 11,35,453.61
WITHDRAWAL BY CHQ-
834022
Txn Date Value Description Ref No./Cheque Debit Credit Balance
Date No.
7 Oct 2023 7 Oct 2023 CASH CHEQUE-CASH 834023 3,00,000.00 8,35,453.61
WITHDRAWAL BY CHQ-
834023
9 Oct 2023 9 Oct 2023 CASH CHEQUE-CASH 834025 3,00,000.00 5,35,453.61
WITHDRAWAL BY CHQ-
834025
9 Oct 2023 9 Oct 2023 CHEQUE DEPOSIT--959490 TRANSFER TO 8,00,000.00 13,35,453.61
34573678924
/ 959490
10 Oct 10 Oct CHEQUE WDL-CHEQUE TRANSFER 6,00,000.00 7,35,453.61
2023 2023 TRANSFER TO-45296 FROM
31321121884
/ 45296
10 Oct 10 Oct CHEQUE WDL-CHEQUE TRANSFER 2,00,000.00 5,35,453.61
2023 2023 TRANSFER TO-45297 FROM
32866145387
/ 45297
10 Oct 10 Oct CHEQUE WDL-CHEQUE TRANSFER 1,00,000.00 4,35,453.61
2023 2023 TRANSFER TO-45300 FROM
38381505063
/ 45300
10 Oct 10 Oct CHQ TRANSFER-NEFT UTR 45301 TANJEEL 1,00,004.72 3,35,448.89
2023 2023 NO: SBIN323283269043-45301 ALAM
TANJEEL ALAM
10 Oct 10 Oct CHQ TRANSFER-NEFT UTR 45299 JUBER 1,00,004.72 2,35,444.17
2023 2023 NO: SBIN323283269379-45299
JUBER
10 Oct 10 Oct CHQ TRANSFER-RTGS UTR 45298 2,00,023.60 35,420.57
2023 2023 NO: MOHAMMAD
SBINR52023101076927106- ALAUDDIN
45298 MOHAMMAD
ALAUDDIN
10 Oct 10 Oct DEBIT-ACHDr 21,985.00 13,435.57
2023 2023 ICIC00261000001992 TP ACH
ICICI B-
16 Oct 16 Oct CHEQUE DEPOSIT--880060 TRANSFER TO 1,80,000.00 1,93,435.57
2023 2023 41993243992
/ 880060
17 Oct 17 Oct CASH DEPOSIT-CASH 5,000.00 1,98,435.57
2023 2023 DEPOSIT SELF-
17 Oct 17 Oct CHQ TRANSFER-NEFT UTR 45303 GST 1,84,218.16 14,217.41
2023 2023 NO: SBIN423290938263-45303
GST
26 Oct 26 Oct BY TRANSFER-PAYMENT- TRANSFER 8,59,379.00 8,73,596.41
2023 2023 FROM
42141755211
30 Oct 30 Oct CASH CHEQUE-CASH 45304 3,00,000.00 5,73,596.41
2023 2023 WITHDRAWAL BY CHQ-45304
Please do not share your ATM, Debit/Credit card number, PIN (Personal Identification Number) and OTP (One Time Password)
with anyone over mail, SMS, phone call or any other media. Bank never asks for such information.

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

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