3 BodyPart
3 BodyPart
3 BodyPart
: 1
Nomination : Registered
01/01/18 POS 405988XXXXXX7518 BRIJWASI KESHAV POS 0000000000004671 01/01/18 305.00 30,354.43
DEBIT
01/01/18 POS 405988XXXXXX7518 BRIJWASI KESHAV POS 0000000000000514 01/01/18 175.00 30,179.43
DEBIT
03/01/18 POS 405988XXXXXX7518 RATAN CHAND POS DEB 0000000000003102 03/01/18 2,500.51 24,541.11
IT
05/01/18 EMI 48795679 CHQ S48795679/1-6 01/18 000000000000000 05/01/18 10,880.00 9,661.11
05/01/18 POS REF 405988******7518-01/05 RATAN CHA 000000000000000 05/01/18 18.75 9,679.86
05/01/18 POS 405988XXXXXX7518 PAYTM POS DEBIT 0000800560236499 05/01/18 469.32 9,210.54
05/01/18 POS 405988XXXXXX7518 PAYTM POS DEBIT 0000800500249637 05/01/18 143.00 9,067.54
NE
817796479-NET PAYMENT
Nomination : Registered
ZONE
S DEBIT
NE
31/01/18 POS 405988XXXXXX7518 CCAMOTO POS DEBIT 0000803114574397 31/01/18 708.00 5,632.94
-XXXXXXX1762-BANDWIDTH PAYMENT
05/02/18 EMI 48795679 CHQ S4879567917 02184879567 0000000048795679 05/02/18 10,880.00 -10,797.06
05/02/18 EMI 48795679 CHQ S4879567917 02184879567 0000000048795679 05/02/18 10,880.00 82.94
06/02/18 EMI 48795679 CHQ S4879567917 02184879567 000000000000000 06/02/18 82.94 0.00
9-48795679
043-BANDWIDTH PAYMENT
14/02/18 EMI 48795679 CHQ S4879567917 02184879567 000000000000000 14/02/18 10,797.06 8,202.94
9-48795679
14/02/18 AMB CHRG INCL GST FOR DEC2017-MIR1803951 MIR1803951218855 14/02/18 354.00 7,848.94
218855
14/02/18 AMB CHRG INCL GST FOR JAN2018-MIR1803952 MIR1803952347760 14/02/18 354.00 7,494.94
347760
14/02/18 POS 405988XXXXXX7518 RELIANCEJIO POS DEB 0000LF6057394076 14/02/18 149.00 7,345.94
IT
NE
Nomination : Registered
XXXXXXXXXXX0584-PAYMENT TRANSFER
20/02/18 INST-ALERT CHG INC GST OCT-DEC2017-MIR18 MIR1804871710995 20/02/18 17.70 828.24
04871710995
26/02/18 CHQ DEP - MICR CLG - HOLY GATE 0000000000991554 27/02/18 1,500.00 2,328.24
05/03/18 EMI 48795679 CHQ S4879567918 03184879567 0000000048795679 05/03/18 10,880.00 -10,551.76
05/03/18 EMI 48795679 CHQ S4879567918 03184879567 0000000048795679 05/03/18 10,880.00 328.24
06/03/18 EMI 48795679 CHQ S4879567918 03184879567 000000000000000 06/03/18 328.24 0.00
9-48795679
NE
XXXXXXXXXXX0584-ASHU
XXXXXXX6400-DHRUVI TRANSFER
XXXXXXXXXX0126-PAYMENT TO PRATAPGARH
27/03/18 EMI 48795679 CHQ S4879567918 03184879567 000000000000000 27/03/18 10,551.76 17,236.44
9-48795679
27/03/18 2703 OVERDUE LOAN - 48795679 RECOVERED 000000000000000 27/03/18 1,363.00 15,873.44
S DEBIT
Nomination : Registered
28/03/18 AMB CHRG INCL GST FOR FEB2018-MIR1808729 MIR1808729045504 28/03/18 708.00 8,715.35
045504
-MIR1808729514938
UR
YMENT
XXXXXXXXXX0126-PRATAPGARH
L-XXXXXXXXXXX3223-SHAHJAHANPUR
9833559-INTERNET BILL
DFC-XXXXXXXXXX3971-NEETUHATRAS
NE
Nomination : Registered
TE
ENT
04/04/18 POS 405988XXXXXX7518 WWW PAYTM COM POS D 0000809470374076 04/04/18 300.00 29.96
EBIT
05/04/18 EMI 48795679 CHQ S4879567919 04184879567 0000000048795679 05/04/18 10,880.00 -10,850.04
05/04/18 EMI 48795679 CHQ S4879567919 04184879567 0000000048795679 05/04/18 10,880.00 29.96
06/04/18 EMI 48795679 CHQ S4879567919 04184879567 000000000000000 06/04/18 29.96 0.00
9-48795679
06897083
XXXX6496-BHARAT SALARY
L-XXXXXXXXXXX3223-LALIT SALARY
XXXXXXX1617-SURESH SALARY
XXX1534-RAHUL SALARY
16/04/18 POS 405988XXXXXX7518 PAYTM POS DEBIT 0000810600332100 16/04/18 2,000.00 23,000.00
Nomination : Registered
17/04/18 EMI 48795679 CHQ S4879567919 04184879567 000000000000000 17/04/18 10,850.04 5,149.96
9-48795679
17/04/18 1704 OVERDUE LOAN - 48795679 RECOVERED 000000000000000 17/04/18 804.00 4,345.96
18/04/18 AMB CHRG INCL GST FOR MAR2018-MIR1810452 MIR1810452857121 18/04/18 708.00 3,637.96
857121
-MIR1810656683757
XXXXXXX6400-
B-XXXXXXXXXXXX4057-PAYMENT
NE
043-BANDWIDTH PAYMENT
XXXXXXX1617-PAYMENT TO SURESH
24/04/18 INST-ALERT CHG INC GST JAN-MAR2018-MIR18 MIR1810965759140 24/04/18 17.70 4,184.26
10965759140
30/04/18 POS 405988XXXXXX7518 MCDONALD S POS DEBI 0000000000016958 30/04/18 425.26 3,759.00
03/05/18 POS 405988XXXXXX7518 RATAN CHAND POS DEB 0000000000000114 03/05/18 200.00 9.00
IT
XXXXXXXXXXX0584-ADVANCE PAYMENT
KANNAUJ
Nomination : Registered
FC-XXXXXXXX1926-HAND LOAN
05/05/18 POS REF 405988******7518-05/05 RATAN CHA 000000000000000 05/05/18 1.50 10.50
05/05/18 EMI 48795679 CHQ S48795679110 0518487956 0000000048795679 05/05/18 10,880.00 -10,869.50
79
05/05/18 EMI 48795679 CHQ S48795679110 0518487956 0000000048795679 05/05/18 10,880.00 10.50
79
06/05/18 EMI 48795679 CHQ S48795679110 0518487956 000000000000000 06/05/18 10.50 0.00
79-48795679
FC-XXXXXXXX1926-FRIENDS
23/05/18 EMI 48795679 CHQ S48795679110 0518487956 000000000000000 23/05/18 10,869.50 68,630.50
79-48795679
23/05/18 2305 OVERDUE LOAN - 48795679 RECOVERED 000000000000000 23/05/18 736.00 67,894.50
23/05/18 POS 405988XXXXXX7518 PAYTM POS DEBIT 0000814311109954 23/05/18 2,000.00 65,894.50
25/05/18 AMB CHRG INCL GST FOR APR2018-MIR1814415 MIR1814415539429 25/05/18 531.00 32,363.50
539429
-MIR1814415552529
4415552540
Nomination : Registered
NE
26/05/18 POS 405988XXXXXX7518 RATAN CHAND POS DEB 0000000000005688 26/05/18 2,550.49 63,211.41
IT
XXXXXXXXX2200-BANDWIDTH PAYMENT
ETAWAHA
XXXXXXX1617-SURESH
S DEBIT
XXXXXX4207-CC PAYMENT
28/05/18 POS REF 405988******7518-05/28 RATAN CHA 000000000000000 28/05/18 19.13 42,870.54
909
535
S DEBIT
01/06/18 POS 405988XXXXXX7518 BRIJWASI KESHAV POS 0000000000016026 01/06/18 700.00 22,123.34
DEBIT
Nomination : Registered
DEBIT
03/06/18 POS 405988XXXXXX7518 PAYTM POS DEBIT 0000815403568018 03/06/18 500.00 14,898.32
L-XXXXXXXXXXX3223-PAYMENT
05/06/18 EMI 48795679 CHQ S48795679111 0618487956 0000000048795679 05/06/18 10,880.00 -9,981.68
79
05/06/18 EMI 48795679 CHQ S48795679111 0618487956 0000000048795679 05/06/18 10,880.00 898.32
79
06/06/18 EMI 48795679 CHQ S48795679111 0618487956 000000000000000 06/06/18 898.32 0.00
79-48795679
16/06/18 EMI 48795679 CHQ S48795679111 0618487956 000000000000000 16/06/18 1,740.00 0.00
79-48795679
23/06/18 EMI 48795679 CHQ S48795679111 0618487956 000000000000000 23/06/18 8,241.68 25,758.32
79-48795679
XXXX2210-FOR PROJECT
XXX8390-SALARY MAYANK
XXXXX1799-COMMENTS
XXXXX1799-COMMENTS
Nomination : Registered
-MIR1817674273653
NE
27/06/18 POS 405988XXXXXX7518 WWW PAYTM COM POS D 0000817820029503 27/06/18 1,000.00 29,008.32
EBIT
S DEBIT
XXXXXXX1617-SALARY
01/07/18 POS 405988XXXXXX7518 JAGDISH SERVICE POS 0000818118052460 01/07/18 2,600.00 14,058.32
DEBIT
4261183-NO REMARKS
03/07/18 0307 OVERDUE LOAN - 48795679 RECOVERED 000000000000000 03/07/18 439.32 0.00
XXXXX1799-COMMENTS
NE
04/07/18 POS 405988XXXXXX7518 WWW PAYTM COM POS D 0000818510061123 04/07/18 200.00 3,300.00
EBIT
Nomination : Registered
05/07/18 EMI 48795679 CHQ S48795679112 0718487956 000000000000000 05/07/18 10,880.00 41,420.00
79
XXXXXX4207-PAYMENT RETURN
X0701-MB: ASHUTOSH
S DEBIT
X0701-MB: ASHUTOSH
07/07/18 CRV POS 405988******7518 JAGDISH SERVICE 000000000000000 07/07/18 19.50 4,706.31
043-BANDWIDTH PAYMENT
09/07/18 POS 405988XXXXXX7518 WWW PAYTM COM POS D 0000819020040876 09/07/18 37.42 3,668.89
EBIT
NE
C-XXXXXXXXXX1277-BANDWIDTH PAYMENT
14/07/18 POS 405988XXXXXX7518 WWW PAYTM COM POS D 0000819560147081 14/07/18 1,000.00 6,681.51
EBIT
S DEBIT
Nomination : Registered
XXXXX1799-COMMENTS
19/07/18 POS 405988XXXXXX7518 RATAN CHAND POS DEB 0000000000003013 19/07/18 1,549.94 287,476.57
IT
XXX0039-PAYOUT-OCT-FOR-REQUESTID-TXNREF-
6166380
21/07/18 POS REF 405988******7518-07/21 RATAN CHA 000000000000000 21/07/18 11.62 263,989.19
S DEBIT
22/07/18 POS 405988XXXXXX7518 SHOE FLY POS DEBIT 0000820314153943 22/07/18 970.00 241,269.19
22/07/18 POS 405988XXXXXX7518 FUTURE VALUE RET PO 0000820322138420 23/07/18 3,758.00 237,511.19
S DEBIT
22/07/18 POS 405988XXXXXX7518 FUTURE VALUE RET PO 0000820322145982 23/07/18 2,023.00 235,488.19
S DEBIT
23/07/18 INST-ALERT CHG INC GST APR-JUN2018-MIR18 MIR1819811200471 23/07/18 17.70 235,470.49
19811200471
23/07/18 POS 405988XXXXXX7518 CONNAUGHT PLAZA POS 0000820416056754 23/07/18 709.80 234,760.69
DEBIT
23/07/18 POS 405988XXXXXX7518 VYOM PREMIUM FUE PO 0000000000001105 23/07/18 2,700.00 232,060.69
S DEBIT
Nomination : Registered
XXXXXXX1617-SALARY
581
XXXXXXX1617-SALARY-PETROL ADVANCE
25/07/18 POS 405988XXXXXX7518 WWW PAYTM COM POS D 0000820660105671 25/07/18 2,000.00 209,531.19
EBIT
26/07/18 POS REF 405988******7518-07/26 VYOM PREM 000000000000000 26/07/18 20.25 209,551.44
S DEBIT
30/07/18 NEW A/C KRISHNA NETWORK SERVICES DR - 50 0000000000000065 30/07/18 100,000.00 91,626.71
UMMY A/C
31/07/18 POS 405988XXXXXX7518 RATAN CHAND POS DEB 0000000000003660 31/07/18 2,699.94 58,926.77
IT
XXXXXXX1617-SALARY
02/08/18 POS REF 405988******7518-08/02 RATAN CHA 000000000000000 02/08/18 20.25 22,605.02
XXXXX1799-COMMENTS
Nomination : Registered
-MIR1821334559788
04/08/18 DEBIT CARD ANNUAL FEE-JUL-2018 270718-MI MIR1821334506108 04/08/18 590.00 12,779.02
R1821334506108
06/08/18 EMI 48795679 CHQ S48795679113 0818487956 000000000000000 06/08/18 10,880.00 1,899.02
79
XXXXX1799-COMMENTS
XXXXXXX1617-SALARY
RK SERVICES
XXXX6496-FINAL PAYMENT
-XXXXXXXXXX2850-BANDWIDTH PAYMENT
STATEMENT SUMMARY :-
Opening Balance Dr Count Cr Count Debits Credits Closing Bal
30,659.43 208 61 1,029,112.38 1,028,751.97 30,299.02
Generated On: 08-Aug-2018 12:21 Generated By: 69759667 Requesting Branch Code: NET