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AmBank E-Statement Sept 2023

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0% found this document useful (0 votes)
84 views3 pages

AmBank E-Statement Sept 2023

Uploaded by

risha
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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ACCOUNT STATEMENT

PENYATA AKAUN

Protected by PIDM up to RM250,000 for each depositor /


Dilindungi oleh PIDM setakat RM250,000 bagi setiap pendeposit
BANDAR PUTERI KLANG - 240
MDM LALITAH A/P BIDAMALLY
NO 50 JALAN DATO ABDUL HAMID 45
TAMAN SENTOSA FASA 19 ACCOUNT NO. / NO. AKAUN : 2400010041548
41200 41200 KLANG SELANGOR STATEMENT DATE / TARIKH PENYATA : 09/08/2023 - 08/09/2023
CURRENCY / MATA WANG : MYR
PAGE / MUKA SURAT : 1 of 3

ACCOUNT SUMMARY / RINGKASAN AKAUN


CATEGORY NO. OF TRANSACTION BALANCE
KATEGORI BILANGAN TRANSAKSI BAKI
OPENING BALANCE / BAKI PEMBUKAAN 592.05
TOTAL DEBITS / JUMLAH DEBIT 4 1,661.00
TOTAL CREDITS / JUMLAH KREDIT 10 1,193.67
CLOSING BALANCE / BAKI PENUTUPAN 124.72
CHEQUES NOT CLEARED / CEK BELUM JELAS 0.00

DATE TRANSACTION CHEQUE NO. DEBIT CREDIT BALANCE


TARIKH TRANSAKSI NO. CEK DEBIT KREDIT BAKI

Baki Bawa Ke Hadapan / Balance b/f 592.05


09Aug DEBIT TRANSFER, LALITAH A/P BIDAMALLY, 500.00 92.05
own, trf
14Aug INWARD IBG, AIRPAY MY SDN BHD, 176.21 268.26
14553399168749121810,
85270104706654129 SE
14Aug INWARD IBG, AIRPAY MY SDN BHD, 90.88 359.14
2030185722558248721, 85458196373708501
SE
14Aug INWARD IBG, AIRPAY MY SDN BHD, 254.29 613.43
4615910118572263602, 85517695629401813
SE
16Aug INWARD IBG, AIRPAY MY SDN BHD, 234.55 847.98
756609121850323526, 85830232866561342
SE
20Aug PURCHASE, KK-BANDAR BOTANIK, MYR1 1.00 846.98
KLANG MYMY,
21Aug INWARD IBG, AIRPAY MY SDN BHD, 99.88 946.86
816330240581192450, 86403281479278488
SE
28Aug INWARD IBG, AIRPAY MY SDN BHD, 123.54 1,070.40
13833670606134510580,
87550194178071870 SE
31Aug INT/HB/PFT, , , 0.13 1,070.53
0110_0110
ACCOUNT STATEMENT
PENYATA AKAUN Basic Savings
Protected by PIDM up to RM250,000 for each depositor /
Account
Dilindungi oleh PIDM setakat RM250,000 bagi setiap pendeposit

ACCOUNT NO. / NO. AKAUN : 2400010041548


STATEMENT DATE / TARIKH PENYATA : 09/08/2023 - 08/09/2023
CURRENCY / MATA WANG : MYR
PAGE / MUKA SURAT : 2 of 3

DATE TRANSACTION CHEQUE NO. DEBIT CREDIT BALANCE


TARIKH TRANSAKSI NO. CEK DEBIT KREDIT BAKI
02Sep DEBIT TRANSFER, LALITAH A/P BIDAMALLY, 1,060.00 10.53
own, Sent from AmOnline
04Sep INWARD IBG, AIRPAY MY SDN BHD, 78.15 88.68
2210457086492901742, 88253321881591657
SE
04Sep INWARD IBG, AIRPAY MY SDN BHD, 45.39 134.07
3495074966047599296, 88482848222224233
SE
04Sep DuitNow DR TRF /MISC DEBIT, RISHALINI A/P 100.00 34.07
SIVA KUMAR, Sent from AmOnline, pyptn n
slliance bank
06Sep INWARD IBG, AIRPAY MY SDN BHD, 90.65 124.72
16085888342804943220,
88889069433528169 SE

1. PRIVACY NOTICE / NOTIS PRIVASI


AmBank Group had issued its Privacy Notice , which details AmBank Group 's use and processing of your personal information as required by Personal Data Protection
Act 2010. The Privacy Notice can be accessed via AmBank Group's website http://www.ambank.com.my/eng/privacy-policy and available at any of our branches. If you
have any queries in relation to AmBank Group's Privacy Notice , please feel free to contact our Customer Service Officers at 03-2178 8888 or email to
[email protected]

Kumpulan AmBank telah mengeluarkan satu Notis Privasi yang menjelaskan mengenai penggunaan dan pemprosesan maklumat peribadi anda oleh Kumpulan AmBank
sebagaimana yang dikehendaki oleh Akta Perlindungan Data Peribadi 2010. Notis Privasi ini boleh didapati melalui laman sesawang Kumpulan AmBank di
http://www.ambank.com.my/eng/privacy-policy dan juga di mana-mana cawangan kami. Sekiranya anda mempunyai sebarang pertanyaan berkaitan dengan Notis
Privasi Kumpulan AmBank ini, sila hubungi Pegawai Khidmat Pelanggan kami di 03-2178 8888 atau email kepada [email protected]

2. COMPLAINTS MANAGEMENT / PENGURUSAN ADUAN

If we are unable to resolve your enquiry/complaint to your satisfaction, you may contact the below alternatives:
Sekiranya jawapan kami terhadap pertanyaan/aduan anda tidak memuaskan, anda boleh menghubungi alternatif di bawah:

Ombudsman for Financial Services Bank Negara Malaysia


(Formerly known as Financial Mediation Bureau) 1300 88 5465
Tel : 03-2272 2811 (9am - 5pm, Monday - Friday)
Fax : 03-2272 1577 Email : [email protected]
Level 14, Main Block or visit
Menara Takaful Malaysia BNMLINK Customer Service Centre
No. 4, Jalan Sultan Sulaiman (9am - 5pm, Monday - Friday)
50000 Kuala Lumpur. Ground Floor, D Block,
Email : [email protected] Jalan Dato’ Onn,
website : www.ofs.org.my 50480 Kuala Lumpur.
0110_0110
ACCOUNT STATEMENT
PENYATA AKAUN Basic Savings
Protected by PIDM up to RM250,000 for each depositor /
Account
Dilindungi oleh PIDM setakat RM250,000 bagi setiap pendeposit

ACCOUNT NO. / NO. AKAUN : 2400010041548


STATEMENT DATE / TARIKH PENYATA : 09/08/2023 - 08/09/2023
CURRENCY / MATA WANG : MYR
PAGE / MUKA SURAT : 3 of 3

3. CHEQUE CREDITING SCHEDULE NOTICE / NOTIS JADUAL PENGKREDITAN CEK


Please be informed that the crediting of funds from deposited cheque into a payee’s account is as per the following schedule:
Harap maklum bahawa pengkreditan dana daripada cek yang didepositkan ke dalam akaun penerima adalah seperti jadual yang berikut:

Depositing Time / Masa Deposit Crediting Time / Masa Pengkreditan Crediting Time / Masa Pengkreditan

Business Day 1 / Hari Urus Niaga 1 Business Day 2 / Hari Urus Niaga 2 Business Day 3 / Hari Urus Niaga 3

BEFORE / SEBELUM
cut-off time of 4:00 p.m. / waktu akhir 4:00 After 8:30 p.m. / Selepas 8:30 malam -N.A.- / -Tiada-
petang

AFTER / SELEPAS
cut-off time of 4:00 p.m. / waktu akhir 4:00 -N.A.- / -Tiada- After 8:30 p.m. / Selepas 8:30 malam
petang

Kindly plan your transactions accordingly. For any queries, please call our Contact Centre at 03- 2178 8888.
Sila rancang transaksi anda dengan sewajarnya. Untuk sebarang pertanyaan, sila hubungi Pusat Panggilan kami melalui 03- 2178 8888.

4. Fixed Deposit/Term Deposit-i Products


Please be informed that effective Tuesday, 1 January 2019, all Fixed Deposit/Term Deposit-i placements which are withdrawn before maturity will have NO interest/profit
payable. Kindly refer to the table below:

Fixed Deposit/Term Deposit-i Products

Before 1 January 2019 a) No interest/profit will be paid if the tenure of Fixed Deposit/Term Deposit-i is 3 months and below;

b) For Fixed Deposit/Term Deposit-i with tenures longer than 3 months, only 50% of interest/profit
will be paid if withdrawal is made after completion of 3 months from placement date and above,
and

c) For Afdhal Term Deposit-i, only 50% of profit will be paid after completion of 7 calendar days ;
no profit will be paid for less than 7 days’ completion.
Effective 1 January 2019 No interest /profit will be paid for all Fixed Deposit/Term Deposit-i products which are
withdrawn before maturity

0110_0110

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