This document is a bank statement for an account belonging to SRI VINAYAKA BIO MEDICALS from April 1, 2020 to March 31, 2021. It shows transactions including deposits, withdrawals, transfers and charges that were made to the account over this period. There are more than 299 transactions listed, with details on transaction date, value date, description, reference number, branch code, debits and credits that resulted in the ending balance.
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CC Account Statement
This document is a bank statement for an account belonging to SRI VINAYAKA BIO MEDICALS from April 1, 2020 to March 31, 2021. It shows transactions including deposits, withdrawals, transfers and charges that were made to the account over this period. There are more than 299 transactions listed, with details on transaction date, value date, description, reference number, branch code, debits and credits that resulted in the ending balance.
We take content rights seriously. If you suspect this is your content, claim it here.
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Account Name :SRI VINAYAKA BIO MEDICALS
Address KARMAD VILLAGE VIRAJPET ROAD AMMATHI VIRAJPET TQ S
KODAGU MADIKERI KARNATAKA-571211 India Date :27 Jul 2021 Account Number :00000032529520932 Account Description :EB-MSME-CC-USUAL CREDIT DISPEN Branch :VIRAJPET Drawing Power :13,50,000.00 Interest Rate(% p.a.) :14.75 CIF No. :86060976639 IFS Code :SBIN0000950 MICR Code :571002202 Balance as on 1 Apr 2020 :-13,43,531.33
Account Statement from 1 Apr 2020 to 31 Mar 2021
The number of transactions in this statement exceeds 299 entries. You can view the remaining transactions in the Pending Statement link using this Request ID:1727H3421092605.
Txn Value Description Ref Branch Debit Credit Balance
Date Date No./Cheque Code No. 4 Apr 4 Apr BY TRANSFER 10521 9,739.00 -13,33,792.33 2020 2020 TRANSFER- FROM C032071264 31999671052 706 Credit 13 / Through PFMS 21BCSSB- 6 Apr 6 Apr BY MAC0004741 99922 50,000.00 -12,83,792.33 2020 2020 TRANSFER- 74687 INB MAC0004741 IMPS009715 74687 400427/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 45979321620 91 / 6 Apr 6 Apr TO IMPS000145 99922 50,000.00 -13,33,792.33 2020 2020 TRANSFER- 34976MOAC INB PVJRL9 IMPS/P2A/00 TRANSFER 9715631588/ TO XXXXXXX48 45978531620 1VIJB- 99 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 8 Apr 8 Apr TO IMPS000145 99922 2,000.00 -13,35,792.33 2020 2020 TRANSFER- 62349MOAC INB QAGKR1 IMPS/P2A/00 TRANSFER 9920967302/ TO XXXXXXX50 45978611620 1KARB- 90 / 9 Apr 9 Apr TO IMPS000145 99922 3,000.00 -13,38,792.33 2020 2020 TRANSFER- 63287MOAC INB QANBJ8 IMPS/P2A/01 TRANSFER 0008510906/ TO XXXXXXX50 45978671620 1KARB- 94 / 13 Apr 13 Apr TO IMPS000146 99922 11,000.00 -13,49,792.33 2020 2020 TRANSFER- 02764MOAC INB QHMUN4 IMPS/P2A/01 TRANSFER 0411708541/ TO XXXXXXX50 45978511620 1KARB- 91 / 14 Apr 14 Apr BY MAB0004666 99922 40,000.00 -13,09,792.33 2020 2020 TRANSFER- 74063 INB MAB0004666 IMPS010513 74063 187978/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 45979381620 95 / 14 Apr 14 Apr TO CTJ1818472 99922 40,000.00 -13,49,792.33 2020 2020 TRANSFER- TRANSFER INB- TO 37280296208 ARJUN ENTERPRIS ES / 16 Apr 16 Apr TO IMPS000146 99922 200.00 -13,49,992.33 2020 2020 TRANSFER- 45687MOAC INB QNYSO5 IMPS/P2A/01 TRANSFER 0719815413/ TO XXXXXXX50 45978681620 1KARB- 93 / 18 Apr 18 Apr CASH / 40545 2,500.00 -13,47,492.33 2020 2020 DEPOSIT- CASH DEPOSIT SELF- 18 Apr 18 Apr INTER CITY / 38976288 40545 59.00 -13,47,551.33 2020 2020 CHARGES-- 38976288 Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 18 Apr 18 Apr CHEQUE TRANSFER 40545 30,535.00 -13,17,016.33 2020 2020 DEPOSIT-- TO 417064 54013361279 TSO JHE JHANGSAR CHARI / 417064 18 Apr 18 Apr TO IMPS000146 99922 32,000.00 -13,49,016.33 2020 2020 TRANSFER- 63809MOAC INB QQVPK9 IMPS/P2A/01 TRANSFER 0914796590/ TO XXXXXXX50 45978771620 1KARB- 92 / 27 Apr 27 Apr TO IMPS000147 99922 900.00 -13,49,916.33 2020 2020 TRANSFER- 47487MOAC INB RDPJU5 IMPS/P2A/01 TRANSFER 1811986866/ TO XXXXXXX50 45978541620 1KARB- 98 / 28 Apr 28 Apr BY / 708 40743 2,968.00 -13,46,948.33 2020 2020 CLEARING / CHEQUE- HDF BY CLEARING CHQ 000708 MICR 571240501- 708 29 Apr 29 Apr TO IMPS000147 99922 3,000.00 -13,49,948.33 2020 2020 TRANSFER- 72544MOAC INB RHGPK4 IMPS/P2A/01 TRANSFER 2012606554/ TO XXXXXXX50 45978621620 1KARB- 99 / 5 May 5 May CHEQUE TRANSFER 40545 49,295.00 -13,00,653.33 2020 2020 DEPOSIT-- TO 4492 64052181749 Mrs. TSERING DOLMA / 4492 5 May 5 May TO IMPS000148 99922 45,100.00 -13,45,753.33 2020 2020 TRANSFER- 51983MOAC INB RXCDR2 IMPS/P2A/01 TRANSFER 2615802087/ TO XXXXXXX10 45978601620 3CNRB- 90 / 6 May 6 May TO IMPS000148 99922 3,000.00 -13,48,753.33 2020 2020 TRANSFER- 67890MOAC INB RZNUD0 IMPS/P2A/01 TRANSFER 2715718426/ TO XXXXXXX50 45978641620 1KARB- 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 9 May 9 May TO IMPS000149 99922 1,200.00 -13,49,953.33 2020 2020 TRANSFER- 07309MOAC INB SFNDC2 IMPS/P2A/01 TRANSFER 3009729277/ TO XXXXXXX50 45978791620 1KARB- 90 / 11 May 11 May BY TRANSFER 950 11,600.00 -13,38,353.33 2020 2020 TRANSFER- FROM UPI/CR/0132 50982301620 22693356/TA 96 / SHI B/SBIN/9845 895380/NA- 11 May 11 May CHEQUE TRANSFER 40545 49,295.00 -12,89,058.33 2020 2020 DEPOSIT-- TO 871698 64042475185 HIS HOLINESS THE DALAI / 871698 11 May 11 May TO IMPS000149 99922 35,000.00 -13,24,058.33 2020 2020 TRANSFER- 42203MOAC INB SKVIP8 IMPS/P2A/01 TRANSFER 3217614764/ TO XXXXXXX50 45978521620 1KARB- 90 / 12 May 12 May TO IMPS000149 99922 12,000.00 -13,36,058.33 2020 2020 TRANSFER- 49880MOAC INB SMCER7 IMPS/P2A/01 TRANSFER 3310824927/ TO XXXXXXX00 45978581620 1VIJB- 94 / 13 May 13 May BY MAC0004870 99922 60,000.00 -12,76,058.33 2020 2020 TRANSFER- 08210 INB MAC0004870 IMPS013415 08210 149958/9611 TRANSFER 647575/XX16 FROM 06/IMPS P2A 45979411620 H- 90 / 13 May 13 May TO CTJ4125916 99922 30,000.00 -13,06,058.33 2020 2020 TRANSFER- TRANSFER INB- TO 37280296208 ARJUN ENTERPRIS ES / 13 May 13 May TO IMPS000149 99922 20,000.00 -13,26,058.33 2020 2020 TRANSFER- 75338MOAC INB SPKPV7 IMPS/P2A/01 TRANSFER 3415887592/ TO XXXXXXX50 45978651620 1KARB- 96 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 13 May 13 May TO IMPS000149 99922 14,100.00 -13,40,158.33 2020 2020 TRANSFER- 79295MOAC INB SPXCK6 IMPS/P2A/01 TRANSFER 3419968552/ TO XXXXXXX10 45978611620 3CNRB- 90 / 15 May 15 May BY / 749190 40743 5,152.00 -13,35,006.33 2020 2020 CLEARING / CHEQUE- CAB BY CLEARING CHQ 749190 MICR 571015202- 749190 16 May 16 May TO IMPS000150 99922 13,580.00 -13,48,586.33 2020 2020 TRANSFER- 15239MOAC INB SUWLZ9 IMPS/P2A/01 TRANSFER 3709818012/ TO XXXXXXX10 45978781620 3CNRB- 91 / 18 May 18 May TO IMPS000150 99922 1,200.00 -13,49,786.33 2020 2020 TRANSFER- 39266MOAC INB SYIJR2 IMPS/P2A/01 TRANSFER 3908900659/ TO XXXXXXX50 45978511620 1KARB- 91 / 21 May 21 May BY MAC0004902 99922 10.00 -13,49,776.33 2020 2020 TRANSFER- 77870 INB MAC0004902 IMPS014213 77870 618808/9686 TRANSFER 410845/XX29 FROM 01/Transfer t- 48979941620 91 / 21 May 21 May BY MAC0004902 99922 50,000.00 -12,99,776.33 2020 2020 TRANSFER- 94128 INB MAC0004902 IMPS014214 94128 625177/9686 TRANSFER 410845/XX29 FROM 01/Transfer t- 45979471620 94 / 21 May 21 May BY TRANSFER 4430 10.00 -12,99,766.33 2020 2020 TRANSFER- FROM NEFT*KARB 31999640443 0000474*KA 08 / RBN2014239 3703*ISHAY A DISTRIBUT - Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 21 May 21 May TO IMPS000150 99922 35,000.00 -13,34,766.33 2020 2020 TRANSFER- 99855MOAC INB TFWQF2 IMPS/P2A/01 TRANSFER 4214686236/ TO XXXXXXX50 45978661620 1KARB- 95 / 21 May 21 May BY MAA0004925 99922 50,000.00 -12,84,766.33 2020 2020 TRANSFER- 26141 INB MAA0004925 IMPS014214 26141 627119/9686 TRANSFER 410845/XX29 FROM 01/Transfer t- 48980011620 94 / 21 May 21 May BY MAC0004902 99922 99,980.00 -11,84,786.33 2020 2020 TRANSFER- 99550 INB MAC0004902 IMPS014214 99550 627349/9686 TRANSFER 410845/XX29 FROM 01/Transfer t- 48979951620 90 / 21 May 21 May TO CTJ4853662 99922 1,23,900.0 -13,08,686.33 2020 2020 TRANSFER- TRANSFER 0 INB- TO 37280296208 ARJUN ENTERPRIS ES / 21 May 21 May TO IMPS000151 99922 9,340.00 -13,18,026.33 2020 2020 TRANSFER- 05777MOAC INB TGMNQ5 IMPS/P2A/01 TRANSFER 4219791874/ TO XXXXXXX50 45978671620 1KARB- 94 / 22 May 22 May TO IMPS000151 99922 15,000.00 -13,33,026.33 2020 2020 TRANSFER- 07726MOAC INB TGVVK7 IMPS/P2A/01 TRANSFER 4306853189/ TO XXXXXXX50 45978731620 1KARB- 96 / 22 May 22 May TO IMPS000151 99922 11,000.00 -13,44,026.33 2020 2020 TRANSFER- 11801MOAC INB THLTD3 IMPS/P2A/01 TRANSFER 4311958062/ TO XXXXXXX50 45978731620 1KARB- 96 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 22 May 22 May BY MAC0004906 99922 24,000.00 -13,20,026.33 2020 2020 TRANSFER- 99327 INB MAC0004906 IMPS014313 99327 764024/9686 TRANSFER 410845/XX29 FROM 01/Transfer t- 48980071620 98 / 22 May 22 May BY MAA0004930 99922 350.00 -13,19,676.33 2020 2020 TRANSFER- 37592 INB MAA0004930 IMPS014317 37592 803083/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 48980051620 90 / 22 May 22 May TO IMPS000151 99922 30,000.00 -13,49,676.33 2020 2020 TRANSFER- 21098MOAC INB TIKFP0 IMPS/P2A/01 TRANSFER 4317617739/ TO XXXXXXX50 45978721620 1KARB- 97 / 30 May 30 May BY / 758 40743 11,412.00 -13,38,264.33 2020 2020 CLEARING / CHEQUE- HDF BY CLEARING CHQ 000758 MICR 571240501- 758 1 Jun 1 Jun TO CTJ5774471 99922 10,000.00 -13,48,264.33 2020 2020 TRANSFER- TRANSFER INB- TO 64014550533 SUNIL TRADERS / 2 Jun 2 Jun BY MAC0004954 99922 10,000.00 -13,38,264.33 2020 2020 TRANSFER- 18415 INB MAC0004954 IMPS015414 18415 333615/8197 TRANSFER 719531/XX36 FROM 36/- 45979351620 98 / 2 Jun 2 Jun TO IMPS000152 99922 11,450.00 -13,49,714.33 2020 2020 TRANSFER- 95854MOAC INB UFSPU7 IMPS/P2A/01 TRANSFER 5414609593/ TO XXXXXXX50 45978581620 1KARB- 94 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 2 Jun 2 Jun CHEQUE TRANSFER 950 2,935.00 -13,46,779.33 2020 2020 DEPOSIT-- TO 624077 54012451369 M/s. DIST HEALTH FAMIL / 624077 4 Jun 4 Jun BY MAC0004963 99922 13,000.00 -13,33,779.33 2020 2020 TRANSFER- 22745 INB MAC0004963 IMPS015610 22745 555448/8197 TRANSFER 719531/XX36 FROM 36/- 48979921620 93 / 4 Jun 4 Jun TO IMPS000153 99922 12,000.00 -13,45,779.33 2020 2020 TRANSFER- 31524MOAC INB UKZEK6 IMPS/P2A/01 TRANSFER 5610504932/ TO XXXXXXX67 45978671620 9VIJB- 94 / 4 Jun 4 Jun BY / 616491 40743 6,963.00 -13,38,816.33 2020 2020 CLEARING / CHEQUE- CAB BY CLEARING CHQ 616491 MICR 571015531- 616491 6 Jun 6 Jun TO IMPS000153 99922 3,500.00 -13,42,316.33 2020 2020 TRANSFER- 72658MOAC INB UQHWU1 IMPS/P2A/01 TRANSFER 5807917767/ TO XXXXXXX50 45978781620 1KARB- 91 / 6 Jun 6 Jun BY MAB0004875 99922 4,000.00 -13,38,316.33 2020 2020 TRANSFER- 57324 INB MAB0004875 IMPS015813 57324 063317/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 48980301620 99 / 6 Jun 6 Jun TO IMPS000153 99922 11,368.00 -13,49,684.33 2020 2020 TRANSFER- 81663MOAC INB UROUS4 IMPS/P2A/01 TRANSFER 5814632339/ TO XXXXXXX68 45978791620 2ICIC- 90 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 6 Jun 6 Jun BY TRANSFER 10521 22,021.00 -13,27,663.33 2020 2020 TRANSFER- FROM C062001117 31999771052 757 CHC 11 / NAPOKLU 21BCSSB- 6 Jun 6 Jun BY TRANSFER 10521 47,046.00 -12,80,617.33 2020 2020 TRANSFER- FROM C062001108 31999501052 671 CHC 10 / NAPOKLU 21BCSSB- 8 Jun 8 Jun TO IMPS000154 99922 22,848.00 -13,03,465.33 2020 2020 TRANSFER- 10209MOAC INB UVXZE2 IMPS/P2A/01 TRANSFER 6012872268/ TO XXXXXXX50 45978511620 1KARB- 91 / 8 Jun 8 Jun TO IMPS000154 99922 22,500.00 -13,25,965.33 2020 2020 TRANSFER- 11021MOAC INB UWAFM5 IMPS/P2A/01 TRANSFER 6012887528/ TO XXXXXXX50 45978551620 1KARB- 97 / 8 Jun 8 Jun TO IMPS000154 99922 13,000.00 -13,38,965.33 2020 2020 TRANSFER- 18742MOAC INB UWTVO9 IMPS/P2A/01 TRANSFER 6016514929/ TO XXXXXXX50 45978551620 1KARB- 97 / 8 Jun 8 Jun BY MAC0004986 99922 5,750.00 -13,33,215.33 2020 2020 TRANSFER- 14519 INB MAC0004986 IMPS016017 14519 643089/9847 TRANSFER 663672/XX72 FROM 25/business- 45979301620 92 / 9 Jun 9 Jun TO IMPS000154 99922 3,243.00 -13,36,458.33 2020 2020 TRANSFER- 28723MOAC INB UYCGG1 IMPS/P2A/01 TRANSFER 6109744001/ TO XXXXXXX40 45978591620 1KARB- 93 / 9 Jun 9 Jun TO CTJ6721835 99922 9,045.00 -13,45,503.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 11 Jun 11 Jun TO CTJ6956287 99922 2,074.00 -13,47,577.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / 11 Jun 11 Jun TO CTJ6989370 99922 650.00 -13,48,227.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / 12 Jun 12 Jun TO IMPS000155 99922 1,700.00 -13,49,927.33 2020 2020 TRANSFER- 13769MOAC INB VHSWW8 IMPS/P2A/01 TRANSFER 6419887746/ TO XXXXXXX50 45978741620 1KARB- 95 / 18 Jun 18 Jun BY / 97654 40743 230.00 -13,49,697.33 2020 2020 CLEARING / CHEQUE- CAB BY CLEARING CHQ 097654 MICR 571015531- 97654 18 Jun 18 Jun BY / 97653 40743 6,000.00 -13,43,697.33 2020 2020 CLEARING / CHEQUE- CAB BY CLEARING CHQ 097653 MICR 571015531- 97653 19 Jun 19 Jun TO CTJ7828056 99922 1,971.00 -13,45,668.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / 19 Jun 19 Jun BY TRANSFER 4430 1,494.00 -13,44,174.33 2020 2020 TRANSFER- FROM NEFT*CORP 31996810443 0000055*000 08 / 184721652*S RI LAKSHMI RAMAN HE- Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 19 Jun 19 Jun TO IMPS000156 99922 2,500.00 -13,46,674.33 2020 2020 TRANSFER- 51475MOAC INB VWDTH3 IMPS/P2A/01 TRANSFER 7114852551/ TO XXXXXXX50 45978741620 1KARB- 95 / 20 Jun 20 Jun TO IMPS000156 99922 1,500.00 -13,48,174.33 2020 2020 TRANSFER- 61816MOAC INB VXHVO3 IMPS/P2A/01 TRANSFER 7207552688/ TO XXXXXXX50 45978801620 1KARB- 96 / 22 Jun 22 Jun TO IMPS000157 99922 1,800.00 -13,49,974.33 2020 2020 TRANSFER- 09589MOAC INB WDEAA6 IMPS/P2A/01 TRANSFER 7419514655/ TO XXXXXXX50 45978551620 1KARB- 97 / 23 Jun 23 Jun BY UT72065784 99922 60,000.00 -12,89,974.33 2020 2020 TRANSFER- TRANSFER INB MBS FROM Prashant 20186829650 transfer- Mr. CHETHAN V SHETTY / 23 Jun 23 Jun TO IMPS000157 99922 60,000.00 -13,49,974.33 2020 2020 TRANSFER- 23173MOAC INB WEVGC7 IMPS/P2A/01 TRANSFER 7514792949/ TO XXXXXXX50 45978561620 1KARB- 96 / 26 Jun 26 Jun BY / 137158 40743 17,116.00 -13,32,858.33 2020 2020 CLEARING / CHEQUE- COB BY CLEARING CHQ 137158 MICR 571017202- 137158 27 Jun 27 Jun BY MAA0005099 99922 2,780.00 -13,30,078.33 2020 2020 TRANSFER- 49969 INB MAA0005099 IMPS017910 49969 675904/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 48980251620 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 27 Jun 27 Jun TO IMPS000157 99922 19,677.00 -13,49,755.33 2020 2020 TRANSFER- 99541MOAC INB WNLZF5 IMPS/P2A/01 TRANSFER 7910745402/ TO XXXXXXX10 45978801620 3CNRB- 96 / 2 Jul 2 Jul CASH / 7910 50,000.00 -12,99,755.33 2020 2020 DEPOSIT- CASH DEPOSIT SELF- 2 Jul 2 Jul INTER CITY / 38976288 7910 59.00 -12,99,814.33 2020 2020 CHARGES-- 38976288 2 Jul 2 Jul TO IMPS000159 99922 50,000.00 -13,49,814.33 2020 2020 TRANSFER- 08259MOAC INB XDKQS9 IMPS/P2A/01 TRANSFER 8415941407/ TO XXXXXXX10 45978661620 3CNRB- 95 / 3 Jul 3 Jul BY MAC0005112 99922 3,000.00 -13,46,814.33 2020 2020 TRANSFER- 42084 INB MAC0005112 IMPS018511 42084 830481/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 48980131620 91 / 3 Jul 3 Jul CSH DEP / 4292 49,000.00 -12,97,814.33 2020 2020 (CDM)- 9557153667- 3 Jul 3 Jul CDM / 38976288 4292 25.00 -12,97,839.33 2020 2020 SERVICE CHARGES-- 38976288 3 Jul 3 Jul TO IMPS000159 99922 52,000.00 -13,49,839.33 2020 2020 TRANSFER- 24782MOAC INB XGCMK9 IMPS/P2A/01 TRANSFER 8512896769/ TO XXXXXXX10 45978741620 3CNRB- 95 / 3 Jul 3 Jul BY MAB0005013 99922 3,500.00 -13,46,339.33 2020 2020 TRANSFER- 26384 INB MAB0005013 IMPS018512 26384 835995/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 45979541620 95 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 3 Jul 3 Jul TO IMPS000159 99922 3,600.00 -13,49,939.33 2020 2020 TRANSFER- 25307MOAC INB XGEEX5 IMPS/P2A/01 TRANSFER 8512908859/ TO XXXXXXX10 45978741620 3CNRB- 95 / 4 Jul 4 Jul CSH DEP / 4292 43,500.00 -13,06,439.33 2020 2020 (CDM)- 8197719531- 4 Jul 4 Jul CDM / 38976288 4292 25.00 -13,06,464.33 2020 2020 SERVICE CHARGES-- 38976288 4 Jul 4 Jul TO IMPS000159 99922 30,000.00 -13,36,464.33 2020 2020 TRANSFER- 56390MOAC INB XKJHD2 IMPS/P2A/01 TRANSFER 8617618091/ TO XXXXXXX21 45978771620 9VIJB- 92 / 4 Jul 4 Jul TO CTJ9507019 99922 10,000.00 -13,46,464.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / 6 Jul 6 Jul TO IMPS000159 99922 3,500.00 -13,49,964.33 2020 2020 TRANSFER- 73294MOAC INB XNOPH5 IMPS/P2A/01 TRANSFER 8808667007/ TO XXXXXXX50 45978541620 1KARB- 98 / 7 Jul 7 Jul BY / 2451 40743 82,854.00 -12,67,110.33 2020 2020 CLEARING / CHEQUE- COB BY CLEARING CHQ 002451 MICR 571017202- 2451 7 Jul 7 Jul TO IMPS000160 99922 50,000.00 -13,17,110.33 2020 2020 TRANSFER- 18302MOAC INB XSYDY5 IMPS/P2A/01 TRANSFER 8918588119/ TO XXXXXXX50 45978571620 1KARB- 95 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 7 Jul 7 Jul TO IMPS000160 99922 8,000.00 -13,25,110.33 2020 2020 TRANSFER- 20548MOAC INB XTFFG4 IMPS/P2A/01 TRANSFER 8919630706/ TO XXXXXXX50 45978591620 1KARB- 93 / 8 Jul 8 Jul TO IMPS000160 99922 3,500.00 -13,28,610.33 2020 2020 TRANSFER- 35973MOAC INB XVKFK5 IMPS/P2A/01 TRANSFER 9015998556/ TO XXXXXXX50 45978641620 1KARB- 97 / 8 Jul 8 Jul BY MAC0005142 99922 7,500.00 -13,21,110.33 2020 2020 TRANSFER- 15088 INB MAC0005142 IMPS019015 15088 419357/9480 TRANSFER 788300/XX94 FROM 43/THERMO 45979441620 METE- 97 / 8 Jul 8 Jul TO IMPS000160 99922 3,835.00 -13,24,945.33 2020 2020 TRANSFER- 37316MOAC INB XVOBC4 IMPS/P2A/01 TRANSFER 9015523274/ TO XXXXXXX10 45978621620 3CNRB- 99 / 9 Jul 9 Jul BY / 749229 40743 7,952.00 -13,16,993.33 2020 2020 CLEARING / CHEQUE- CAB BY CLEARING CHQ 749229 MICR 571015202- 749229 9 Jul 9 Jul TO IMPS000160 99922 3,000.00 -13,19,993.33 2020 2020 TRANSFER- 60262MOAC INB XYLJT4 IMPS/P2A/01 TRANSFER 9115517990/ TO XXXXXXX50 45978681620 1KARB- 93 / 10 Jul 10 Jul TO IMPS000160 99922 4,000.00 -13,23,993.33 2020 2020 TRANSFER- 72114MOAC INB XZZVA2 IMPS/P2A/01 TRANSFER 9210781844/ TO XXXXXXX67 45978741620 9VIJB- 95 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 10 Jul 10 Jul TO IMPS000160 99922 26,000.00 -13,49,993.33 2020 2020 TRANSFER- 74774MOAC INB YAHPG7 IMPS/P2A/01 TRANSFER 9211834044/ TO XXXXXXX50 45978731620 1KARB- 96 / 14 Jul 14 Jul BY MAB0005073 99922 5,000.00 -13,44,993.33 2020 2020 TRANSFER- 73167 INB MAB0005073 IMPS019611 73167 657255/9611 TRANSFER 647575/XX16 FROM 06/harshendr 48979621620 a- 99 / 14 Jul 14 Jul TO IMPS000161 99922 4,250.00 -13,49,243.33 2020 2020 TRANSFER- 47173MOAC INB YJZIS1 IMPS/P2A/01 TRANSFER 9611961259/ TO XXXXXXX10 45978561620 3CNRB- 96 / 14 Jul 14 Jul TO IMPS000161 99922 750.00 -13,49,993.33 2020 2020 TRANSFER- 56889MOAC INB YKZGU7 IMPS/P2A/01 TRANSFER 9616628495/ TO XXXXXXX50 45978591620 1KARB- 93 / 21 Jul 21 Jul BY TRANSFER 4430 5,961.00 -13,44,032.33 2020 2020 TRANSFER- FROM NEFT*BARB 31994100443 0VJNAGR*B 08 / ARBA202030 70594*SAVIT HRIKK*/URG E- 21 Jul 21 Jul TO IMPS000162 99922 2,000.00 -13,46,032.33 2020 2020 TRANSFER- 89822MOAC INB ZCEOY4 IMPS/P2A/02 TRANSFER 0319533923/ TO XXXXXXX10 45978581620 3CNRB- 94 / 21 Jul 21 Jul TO IMPS000162 99922 500.00 -13,46,532.33 2020 2020 TRANSFER- 90062MOAC INB ZCFJW1 IMPS/P2A/02 TRANSFER 0319539205/ TO XXXXXXX10 45978571620 3CNRB- 95 / 21 Jul 21 Jul TO IMPS000162 99922 1,000.00 -13,47,532.33 2020 2020 TRANSFER- 90717MOAC INB ZCHKV2 IMPS/P2A/02 TRANSFER 0319553012/ TO XXXXXXX50 45978561620 1KARB- 96 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 24 Jul 24 Jul TO IMPS000163 99922 2,000.00 -13,49,532.33 2020 2020 TRANSFER- 47447MOAC INB ZJDCH0 IMPS/P2A/02 TRANSFER 0616696277/ TO XXXXXXX50 45978711620 1KARB- 98 / 24 Jul 24 Jul TO IMPS000163 99922 400.00 -13,49,932.33 2020 2020 TRANSFER- 54323MOAC INB ZJVUA2 IMPS/P2A/02 TRANSFER 0621817691/ TO XXXXXXX50 45978741620 1KARB- 95 / 27 Jul 27 Jul BY TRANSFER 10521 46,700.00 -13,03,232.33 2020 2020 TRANSFER- FROM C072016142 45994521052 330 CHC 13 / NAPOKLU 21BCSSB- 27 Jul 27 Jul BY TRANSFER 10521 10,717.00 -12,92,515.33 2020 2020 TRANSFER- FROM C072016141 31999821052 084 CHC 14 / NAPOKLU 21BCSSB- 27 Jul 27 Jul BY TRANSFER 10521 1,748.00 -12,90,767.33 2020 2020 TRANSFER- FROM C072016135 45994351052 186 CHC 14 / NAPOKLU 21BCSSB- 27 Jul 27 Jul TO IMPS000163 99922 20,000.00 -13,10,767.33 2020 2020 TRANSFER- 85471MOAC INB ZONLY9 IMPS/P2A/02 TRANSFER 0913608826/ TO XXXXXXX50 45978541620 1KARB- 98 / 27 Jul 27 Jul TO IMPS000163 99922 9,850.00 -13,20,617.33 2020 2020 TRANSFER- 85550MOAC INB ZONTG3 IMPS/P2A/02 TRANSFER 0913610269/ TO XXXXXXX10 45978521620 3CNRB- 90 / 27 Jul 27 Jul TO CTK1827632 99922 16,774.00 -13,37,391.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 27 Jul 27 Jul TO CTK1836171 99922 11,706.00 -13,49,097.33 2020 2020 TRANSFER- TRANSFER INB- TO 62461719961 ANJANADRI ENTERPRIS ES / 27 Jul 27 Jul BY MAA0005263 99922 10,000.00 -13,39,097.33 2020 2020 TRANSFER- 86468 INB MAA0005263 IMPS020914 86468 030956/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 45979311620 92 / 27 Jul 27 Jul BY / 61399 40743 4,720.00 -13,34,377.33 2020 2020 CLEARING / CHEQUE- IOB BY CLEARING CHQ 061399 MICR 571020521- 61399 27 Jul 27 Jul TO IMPS000163 99922 5,000.00 -13,39,377.33 2020 2020 TRANSFER- 90375MOAC INB ZPBKC6 IMPS/P2A/02 TRANSFER 0915698969/ TO XXXXXXX50 45978521620 1KARB- 90 / 27 Jul 27 Jul TO IMPS000163 99922 10,500.00 -13,49,877.33 2020 2020 TRANSFER- 97230MOAC INB ZPTGS8 IMPS/P2A/02 TRANSFER 0919812175/ TO XXXXXXX50 45978511620 1KARB- 91 / 28 Jul 28 Jul BY TRANSFER 10521 1,062.00 -13,48,815.33 2020 2020 TRANSFER- FROM C072017260 45994391052 530 THO 10 / OFFICE 21BCSSB- 28 Jul 28 Jul BY TRANSFER 10521 4,750.00 -13,44,065.33 2020 2020 TRANSFER- FROM C072017277 45994511052 736 PHC 14 / KUTTANDI 21BCSSB- 28 Jul 28 Jul TO IMPS000164 99922 5,900.00 -13,49,965.33 2020 2020 TRANSFER- 08346MOAC INB ZRGQE1 IMPS/P2A/02 TRANSFER 1013570149/ TO XXXXXXX50 45978601620 1KARB- 90 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 28 Jul 28 Jul BY TRANSFER 10521 2,027.00 -13,47,938.33 2020 2020 TRANSFER- FROM C072018318 31999711052 349 Credit 17 / Through PFMS 21BCSSB- 29 Jul 29 Jul BY TRANSFER 950 4,13,000.0 -9,34,938.33 2020 2020 TRANSFER- FROM 0 TRANSFER 39533327080 FROM- SRI VINAYAKA BIO MEDIC / 29 Jul 29 Jul TO IMPS000164 99922 2,000.00 -9,36,938.33 2020 2020 TRANSFER- 39779MOAC INB ZUVZM8 IMPS/P2A/02 TRANSFER 1120681940/ TO XXXXXXX50 45978611620 1KARB- 90 / 4 Aug 4 Aug BY MAA0005313 99922 20,000.00 -9,16,938.33 2020 2020 TRANSFER- 27486 INB MAA0005313 IMPS021718 27486 604955/9611 TRANSFER 647575/XX16 FROM 06/pending bi 48979661620 - 95 / 5 Aug 5 Aug TO IMPS000165 99922 10,000.00 -9,26,938.33 2020 2020 TRANSFER- 58837MOAD INB APEFU7 IMPS/P2A/02 TRANSFER 1809659198/ TO XXXXXXX50 45978621620 1KARB- 99 / 5 Aug 5 Aug CHEQUE TRANSFER 950 18,247.00 -9,08,691.33 2020 2020 DEPOSIT-- TO 336777 54030591290 EO ZP PONNAMPE T EMD CO / 336777 5 Aug 5 Aug TO IMPS000165 99922 22,000.00 -9,30,691.33 2020 2020 TRANSFER- 70562MOAD INB AQZEJ5 IMPS/P2A/02 TRANSFER 1815968276/ TO XXXXXXX50 45978621620 1KARB- 99 / 6 Aug 6 Aug BY / 586889 40743 2,655.00 -9,28,036.33 2020 2020 CLEARING / CHEQUE-BY CLEARING CHQ 586889 MICR 571697259- 586889 Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 6 Aug 6 Aug TO IMPS000166 99922 8,000.00 -9,36,036.33 2020 2020 TRANSFER- 14347MOAD INB AWTZB2 IMPS/P2A/02 TRANSFER 1917749649/ TO XXXXXXX50 45978661620 1KARB- 95 / 7 Aug 7 Aug TO IMPS000166 99922 900.00 -9,36,936.33 2020 2020 TRANSFER- 36919MOAD INB BAVCO6 IMPS/P2A/02 TRANSFER 2015927592/ TO XXXXXXX50 45978731620 1KARB- 96 / 7 Aug 7 Aug CREDIT- / 950 7,567.00 -9,29,369.33 2020 2020 SBI BILL- 8 Aug 8 Aug TO IMPS000166 99922 7,000.00 -9,36,369.33 2020 2020 TRANSFER- 49363MOAD INB BCVTV8 IMPS/P2A/02 TRANSFER 2108776834/ TO XXXXXXX50 45978791620 1KARB- 90 / 10 Aug 10 Aug TO IMPS000166 99922 600.00 -9,36,969.33 2020 2020 TRANSFER- 90513MOAD INB BKHHF5 IMPS/P2A/02 TRANSFER 2314552957/ TO XXXXXXX50 45978531620 1KARB- 99 / 14 Aug 14 Aug BY TRANSFER 10521 7,350.00 -9,29,619.33 2020 2020 TRANSFER- FROM C082004167 48997611052 379 tho office 15 / 21BCSSB- 14 Aug 14 Aug TO IMPS000167 99922 7,000.00 -9,36,619.33 2020 2020 TRANSFER- 88711MOAD INB BXAPR8 IMPS/P2A/02 TRANSFER 2716746693/ TO XXXXXXX50 45978721620 1KARB- 97 / 16 Aug 16 Aug TO IMPS000168 99922 380.00 -9,36,999.33 2020 2020 TRANSFER- 10893MOAD INB CANPZ7 IMPS/P2A/02 TRANSFER 2908846326/ TO XXXXXXX50 45978851620 1KARB- 92 / 17 Aug 17 Aug CSH DEP / 4292 49,500.00 -8,87,499.33 2020 2020 (CDM)- 8197719531- 17 Aug 17 Aug CDM / 38976288 4292 25.00 -8,87,524.33 2020 2020 SERVICE CHARGES-- 38976288 Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 17 Aug 17 Aug TO IMPS000168 99922 49,000.00 -9,36,524.33 2020 2020 TRANSFER- 29141MOAD INB CDTPH5 IMPS/P2A/02 TRANSFER 3013897474/ TO XXXXXXX50 45978521620 1KARB- 90 / 18 Aug 18 Aug BY / 786 40743 8,478.00 -9,28,046.33 2020 2020 CLEARING / CHEQUE- HDF BY CLEARING CHQ 000786 MICR 571240501- 786 18 Aug 18 Aug TO IMPS000168 99922 8,900.00 -9,36,946.33 2020 2020 TRANSFER- 61994MOAD INB CIGSK0 IMPS/P2A/02 TRANSFER 3118670078/ TO XXXXXXX50 45978561620 1KARB- 96 / 21 Aug 21 Aug CHEQUE TRANSFER 950 531.00 -9,36,415.33 2020 2020 DEPOSIT-- TO 236945 54030591336 GRAMA PANCHAYAT H ARUVA / 236945 21 Aug 21 Aug CHEQUE / 38976288 950 177.00 -9,36,592.33 2020 2020 BOOK ISSUE CHARGE-- 38976288 24 Aug 24 Aug BY / 594368 40743 1,062.00 -9,35,530.33 2020 2020 CLEARING / CHEQUE- COB BY CLEARING CHQ 594368 MICR 571017252- 594368 24 Aug 24 Aug BY / 586906 40743 2,655.00 -9,32,875.33 2020 2020 CLEARING / CHEQUE-BY CLEARING CHQ 586906 MICR 571697259- 586906 25 Aug 25 Aug DEBIT / 950 97,949.63 -10,30,824.96 2020 2020 INTEREST-- 25 Aug 25 Aug DR INT / 950 97,949.63 -9,32,875.33 2020 2020 CREDIT-- Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 25 Aug 25 Aug TO IMPS000169 99922 4,000.00 -9,36,875.33 2020 2020 TRANSFER- 89550MOAD INB CZOXC7 IMPS/P2A/02 TRANSFER 3812648109/ TO XXXXXXX69 45978581620 1HDFC- 94 / 25 Aug 25 Aug TO IMPS000169 99922 10,000.00 -9,46,875.33 2020 2020 TRANSFER- 97972MOAD INB DAMAV5 IMPS/P2A/02 TRANSFER 3816800801/ TO XXXXXXX50 45978571620 1KARB- 95 / 25 Aug 25 Aug TO IMPS000169 99922 5,000.00 -9,51,875.33 2020 2020 TRANSFER- 98626MOAD INB DANOE5 IMPS/P2A/02 TRANSFER 3816811737/ TO XXXXXXX50 45978581620 1KARB- 94 / 26 Aug 26 Aug BY MAA0005442 99922 2,000.00 -9,49,875.33 2020 2020 TRANSFER- 31987 INB MAA0005442 IMPS023907 31987 993758/8197 TRANSFER 719531/XX36 FROM 36/- 48979891620 98 / 26 Aug 26 Aug CHQ RET / 561124 40743 590.00 -9,50,465.33 2020 2020 CHARGES-- 561124 26 Aug 26 Aug BY MAB0005326 99922 4,500.00 -9,45,965.33 2020 2020 TRANSFER- 06442 INB MAB0005326 IMPS023920 06442 156998/8197 TRANSFER 719531/XX36 FROM 36/- 48979901620 94 / 27 Aug 27 Aug BY TRANSFER 10521 5,040.00 -9,40,925.33 2020 2020 TRANSFER- FROM C082014974 45994491052 655 chc kutta 18 / 21BCSSB- 27 Aug 27 Aug BY TRANSFER 10521 2,173.00 -9,38,752.33 2020 2020 TRANSFER- FROM C082014974 45994491052 937 chc kutta 18 / 21BCSSB- 27 Aug 27 Aug BY TRANSFER 10521 8,798.00 -9,29,954.33 2020 2020 TRANSFER- FROM C082014974 45993951052 811 chc kutta 17 / 21BCSSB- Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 27 Aug 27 Aug BY MAA0005454 99922 1,500.00 -9,28,454.33 2020 2020 TRANSFER- 19591 INB MAA0005454 IMPS024022 19591 657842/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 48979931620 92 / 27 Aug 27 Aug TO IMPS000170 99922 12,700.00 -9,41,154.33 2020 2020 TRANSFER- 50916MOAD INB DGXJF2 IMPS/P2A/02 TRANSFER 4022905384/ TO XXXXXXX50 45978671620 1KARB- 94 / 28 Aug 28 Aug TO IMPS000170 99922 8,000.00 -9,49,154.33 2020 2020 TRANSFER- 52944MOAD INB DHHDR1 IMPS/P2A/02 TRANSFER 4109971377/ TO XXXXXXX50 45978731620 1KARB- 96 / 28 Aug 28 Aug TO IMPS000170 99922 800.00 -9,49,954.33 2020 2020 TRANSFER- 53726MOAD INB DHKTC2 IMPS/P2A/02 TRANSFER 4110992700/ TO XXXXXXX50 45978741620 1KARB- 95 / 29 Aug 29 Aug TO IMPS000170 99922 2,000.00 -9,51,954.33 2020 2020 TRANSFER- 87619MOAD INB DLHSD5 IMPS/P2A/02 TRANSFER 4216663402/ TO XXXXXXX50 45978771620 1KARB- 92 / 31 Aug 31 Aug CHQ RET / 561121 40743 590.00 -9,52,544.33 2020 2020 CHARGES-- 561121 31 Aug 31 Aug DEBIT / 99999 99,290.00 -10,51,834.33 2020 2020 INTEREST-- 31 Aug 31 Aug OD PNL / 99999 1,592.00 -10,53,426.33 2020 2020 INTT-- 1 Sep 1 Sep BY TRANSFER 950 1,00,882.0 -9,52,544.33 2020 2020 TRANSFER-- FROM 0 39607605193 SRI VINAYAKA BIO MEDIC / 2 Sep 2 Sep BY MAA0005492 99922 32,000.00 -9,20,544.33 2020 2020 TRANSFER- 30764 INB MAA0005492 IMPS024617 30764 984373/9611 TRANSFER 647575/XX16 FROM 06/pending bi 48979891620 - 98 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 2 Sep 2 Sep BY TRANSFER 4430 8,850.00 -9,11,694.33 2020 2020 TRANSFER- FROM NEFT*CORP 31994220443 0000360*000 05 / 197324905*G RAMA PANCHAYAT H*/OT- 2 Sep 2 Sep BY TRANSFER 4430 6,313.00 -9,05,381.33 2020 2020 TRANSFER- FROM NEFT*CORP 31999700443 0000360*000 09 / 197325146*G RAMA PANCHAYAT H*/OT- 3 Sep 3 Sep TO IMPS000171 99922 12,100.00 -9,17,481.33 2020 2020 TRANSFER- 77625MOAD INB EALBL5 IMPS/P2A/02 TRANSFER 4708749665/ TO XXXXXXX50 45978681620 1KARB- 93 / 3 Sep 3 Sep TO IMPS000171 99922 2,600.00 -9,20,081.33 2020 2020 TRANSFER- 77659MOAD INB EALLW5 IMPS/P2A/02 TRANSFER 4708751609/ TO XXXXXXX50 45978671620 1KARB- 94 / 3 Sep 3 Sep TO IMPS000171 99922 29,400.00 -9,49,481.33 2020 2020 TRANSFER- 81864MOAD INB EBFGL4 IMPS/P2A/02 TRANSFER 4711882766/ TO XXXXXXX50 45978701620 1KARB- 98 / 3 Sep 3 Sep TO IMPS000171 99922 2,500.00 -9,51,981.33 2020 2020 TRANSFER- 91641MOAD INB ECLWQ0 IMPS/P2A/02 TRANSFER 4715599512/ TO XXXXXXX50 45978691620 1KARB- 92 / 7 Sep 7 Sep CHQ RET / 561120 40743 177.00 -9,52,158.33 2020 2020 CHARGES-- 561120 7 Sep 7 Sep CHEQUE TRANSFER 40207 31,241.00 -9,20,917.33 2020 2020 DEPOSIT- TO from phende 54003513281 hospital to Mr. PHENDE SRI HOSPITAL / VINAYAKA 813066 BIO MEDICALS- 813066 Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 7 Sep 7 Sep CHEQUE TRANSFER 40207 1,68,284.0 -7,52,633.33 2020 2020 DEPOSIT- TO 0 from phende 54003513281 hospital to Mr. PHENDE SRI HOSPITAL / VINAYAKA 813067 BIO MEDICALS- 813067 7 Sep 7 Sep TO NEFT INB: 99922 35,228.00 -7,87,861.33 2020 2020 TRANSFER- CNABDBOV INB NEFT E8 UTR NO: TRANSFER SBIN3202519 TO 32229-akhil 31979420443 distributors 08 / akhil distributors 7 Sep 7 Sep TO NEFT INB: 99922 42,128.00 -8,29,989.33 2020 2020 TRANSFER- CNABDBOV INB NEFT W7 UTR NO: TRANSFER SBIN3202519 TO 32569- 31979420443 sriraghavendr 08 / adistributor sriraghavendr adistributor 7 Sep 7 Sep TO CTK6321903 99922 15,578.00 -8,45,567.33 2020 2020 TRANSFER- TRANSFER INB Payment TO towards 62461719961 Invoice/Bill- ANJANADRI ENTERPRIS ES / 7 Sep 7 Sep TO IMPS000172 99922 3,500.00 -8,49,067.33 2020 2020 TRANSFER- 75993MOAD INB EPKAG8 IMPS/P2A/02 TRANSFER 5114829710/ TO XXXXXXX50 45978541620 1KARB- 98 / 7 Sep 7 Sep TO IMPS000172 99922 36,592.00 -8,85,659.33 2020 2020 TRANSFER- 76021MOAD INB EPKAV3 IMPS/P2A/02 TRANSFER 5114830351/ TO XXXXXXX05 45978521620 8KKBK- 90 / 7 Sep 7 Sep TO IMPS000172 99922 16,000.00 -9,01,659.33 2020 2020 TRANSFER- 76452MOAD INB EPKXR0 IMPS/P2A/02 TRANSFER 5114836322/ TO XXXXXXX50 45978551620 1KARB- 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 7 Sep 7 Sep TO IMPS000172 99922 29,610.00 -9,31,269.33 2020 2020 TRANSFER- 77017MOAD INB EPMQF2 IMPS/P2A/02 TRANSFER 5115845141/ TO XXXXXXX39 45978521620 0HDFC- 90 / 7 Sep 7 Sep TO CTK6333880 99922 12,824.00 -9,44,093.33 2020 2020 TRANSFER- TRANSFER INB Payment TO towards 62461719961 Invoice/Bill- ANJANADRI ENTERPRIS ES / 7 Sep 7 Sep TO IMPS000172 99922 1,614.00 -9,45,707.33 2020 2020 TRANSFER- 77521MOAD INB EPOFD5 IMPS/P2A/02 TRANSFER 5115855273/ TO XXXXXXX05 45978531620 8KKBK- 99 / 7 Sep 7 Sep TO IMPS000172 99922 6,000.00 -9,51,707.33 2020 2020 TRANSFER- 78240MOAD INB EPPYW1 IMPS/P2A/02 TRANSFER 5115869370/ TO XXXXXXX11 45978531620 3KKBK- 99 / 8 Sep 8 Sep BY TRANSFER 10521 7,340.00 -9,44,367.33 2020 2020 TRANSFER- FROM C082035927 45993881052 025 chc 16 / napoklu 21BCSSB- 8 Sep 8 Sep BY TRANSFER 10521 27,355.00 -9,17,012.33 2020 2020 TRANSFER- FROM C082035928 45993841052 834 chc 10 / napoklu 21BCSSB- 8 Sep 8 Sep TO CTK6465434 99922 32,638.00 -9,49,650.33 2020 2020 TRANSFER- TRANSFER INB Payment TO towards 37280296208 Invoice/Bill- ARJUN ENTERPRIS ES / 8 Sep 8 Sep TO IMPS000173 99922 2,200.00 -9,51,850.33 2020 2020 TRANSFER- 09348MOAD INB ETRKP7 IMPS/P2A/02 TRANSFER 5218571328/ TO XXXXXXX50 45978561620 1KARB- 96 / 10 Sep 10 Sep CREDIT- / 950 3,136.00 -9,48,714.33 2020 2020 MASK SBI VIRAJPET- Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 10 Sep 10 Sep CREDIT- / 950 1,470.00 -9,47,244.33 2020 2020 SANITIZER SBI VIRAJPET- 11 Sep 11 Sep TO IMPS000173 99922 2,000.00 -9,49,244.33 2020 2020 TRANSFER- 69906MOAD INB FBUYF5 IMPS/P2A/02 TRANSFER 5509970869/ TO XXXXXXX50 45978741620 1KARB- 95 / 11 Sep 11 Sep TO CTK6888338 99922 4,803.00 -9,54,047.33 2020 2020 TRANSFER- TRANSFER INB Payment TO towards 62461719961 Invoice/Bill- ANJANADRI ENTERPRIS ES / 11 Sep 11 Sep TO IMPS000173 99922 6,930.00 -9,60,977.33 2020 2020 TRANSFER- 76814MOAD INB FCSET5 IMPS/P2A/02 TRANSFER 5513624672/ TO XXXXXXX65 45978711620 1BKID- 98 / 11 Sep 11 Sep TO IMPS000173 99922 1,00,000.0 -10,60,977.33 2020 2020 TRANSFER- 82033MOAD 0 INB FDGUG6 IMPS/P2A/02 TRANSFER 5515721281/ TO XXXXXXX10 45978741620 3CNRB- 95 / 12 Sep 12 Sep TO IMPS000173 99922 6,000.00 -10,66,977.33 2020 2020 TRANSFER- 93771MOAD INB FESGW0 IMPS/P2A/02 TRANSFER 5608972597/ TO XXXXXXX72 45978801620 6CORP- 96 / 12 Sep 12 Sep TO IMPS000174 99922 1,624.00 -10,68,601.33 2020 2020 TRANSFER- 06386MOAD INB FGIYL3 IMPS/P2A/02 TRANSFER 5616745961/ TO XXXXXXX50 45978781620 1KARB- 91 / 14 Sep 14 Sep TO IMPS000174 99922 33,000.00 -11,01,601.33 2020 2020 TRANSFER- 24849MOAD INB FKBQV2 IMPS/P2A/02 TRANSFER 5806885198/ TO XXXXXXX10 45978531620 3CNRB- 99 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 15 Sep 15 Sep BY TRANSFER 4430 9,450.00 -10,92,151.33 2020 2020 TRANSFER- FROM NEFT*CNRB 31999700443 0000559*P20 09 / 09154698295 7*CREDO MEDICAL CEN- 15 Sep 15 Sep TO IMPS000174 99922 5,000.00 -10,97,151.33 2020 2020 TRANSFER- 62048MOAD INB FOUMC2 IMPS/P2A/02 TRANSFER 5914688540/ TO XXXXXXX50 45978561620 1KARB- 96 / 17 Sep 17 Sep TO IMPS000175 99922 4,000.00 -11,01,151.33 2020 2020 TRANSFER- 20398MOAD INB FVURE3 IMPS/P2A/02 TRANSFER 6119889249/ TO XXXXXXX50 45978681620 1KARB- 93 / 19 Sep 19 Sep BY TRANSFER 10521 17,826.00 -10,83,325.33 2020 2020 TRANSFER- FROM C092026484 45994451052 128 free path 12 / 21BCSSB- 19 Sep 19 Sep BY TRANSFER 10521 18,165.00 -10,65,160.33 2020 2020 TRANSFER- FROM C092025798 45994401052 505 free drug 16 / 21BCSSB- 19 Sep 19 Sep BY TRANSFER 10521 7,701.00 -10,57,459.33 2020 2020 TRANSFER- FROM C092026492 45994451052 031 eqmt 12 / 21BCSSB- 19 Sep 19 Sep BY TRANSFER 10521 19,765.00 -10,37,694.33 2020 2020 TRANSFER- FROM C092025654 45994461052 542 Credit 11 / Through PFMS 21BCSSB- 19 Sep 19 Sep TO IMPS000175 99922 3,000.00 -10,40,694.33 2020 2020 TRANSFER- 64113MOAD INB GBOKM4 IMPS/P2A/02 TRANSFER 6317860675/ TO XXXXXXX50 45978801620 1KARB- 96 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 20 Sep 20 Sep TO IMPS000175 99922 10,000.00 -10,50,694.33 2020 2020 TRANSFER- 79757MOAD INB GEAHG9 IMPS/P2A/02 TRANSFER 6416779424/ TO XXXXXXX50 45978821620 1KARB- 95 / 20 Sep 20 Sep TO IMPS000175 99922 2,500.00 -10,53,194.33 2020 2020 TRANSFER- 80090MOAD INB GECRT9 IMPS/P2A/02 TRANSFER 6416794635/ TO XXXXXXX50 45978841620 1KARB- 93 / 20 Sep 20 Sep TO IMPS000175 99922 1,900.00 -10,55,094.33 2020 2020 TRANSFER- 80678MOAD INB GEGLY8 IMPS/P2A/02 TRANSFER 6417820751/ TO XXXXXXX50 45978851620 1KARB- 92 / 21 Sep 21 Sep TO IMPS000175 99922 30,000.00 -10,85,094.33 2020 2020 TRANSFER- 87535MOAD INB GFSPC9 IMPS/P2A/02 TRANSFER 6510573125/ TO XXXXXXX21 45978511620 9VIJB- 91 / 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 88966MOAD INB GFXRC5 IMPS/P2A/02 TRANSFER 6511606224/ TO XXXXXXX05 45978541620 8KKBK- 98 / 21 Sep 21 Sep BY IMPS000175 99922 14,368.00 -10,85,094.33 2020 2020 TRANSFER- 88966MXAD INB Reversal GFXRC9 of TRANSFER MOADGFXR FROM C5- 45978541620 98 / 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 89006MOAD INB GFXXA8 IMPS/P2A/02 TRANSFER 6511607061/ TO XXXXXXX05 45978551620 8KKBK- 97 / 21 Sep 21 Sep BY IMPS000175 99922 14,368.00 -10,85,094.33 2020 2020 TRANSFER- 89006MXAD INB Reversal GFXUL8 of TRANSFER MOADGFXX FROM A8- 45978551620 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 89077MOAD INB GFYCC4 IMPS/P2A/02 TRANSFER 6511608621/ TO XXXXXXX05 45978551620 8KKBK- 97 / 21 Sep 21 Sep BY IMPS000175 99922 14,368.00 -10,85,094.33 2020 2020 TRANSFER- 89077MXAD INB Reversal GFYGX9 of TRANSFER MOADGFYC FROM C4- 45978551620 97 / 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 89153MOAD INB GFYLU1 IMPS/P2A/02 TRANSFER 6511610113/ TO XXXXXXX05 45978511620 8KKBK- 91 / 21 Sep 21 Sep BY IMPS000175 99922 14,368.00 -10,85,094.33 2020 2020 TRANSFER- 89153MXAD INB Reversal GFYIY4 of TRANSFER MOADGFYL FROM U1- 45978511620 91 / 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 89213MOAD INB GFYNP3 IMPS/P2A/02 TRANSFER 6511611406/ TO XXXXXXX10 45978511620 3CNRB- 91 / 21 Sep 21 Sep BY MAA0005621 99922 14,368.00 -10,85,094.33 2020 2020 TRANSFER- 88008 INB MAA0005621 IMPS026511 88008 353659/8197 TRANSFER 719531/XX36 FROM 36/- 45979321620 91 / 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 89660MOAD INB GGADD5 IMPS/P2A/02 TRANSFER 6511621037/ TO XXXXXXX05 45978531620 8KKBK- 99 / 21 Sep 21 Sep BY IMPS000175 99922 14,368.00 -10,85,094.33 2020 2020 TRANSFER- 89660MXAD INB Reversal GGADE3 of TRANSFER MOADGGAD FROM D5- 45978531620 99 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 21 Sep 21 Sep TO IMPS000175 99922 14,368.00 -10,99,462.33 2020 2020 TRANSFER- 90002MOAD INB GGBDL2 IMPS/P2A/02 TRANSFER 6511627617/ TO XXXXXXX50 45978541620 1KARB- 98 / 21 Sep 21 Sep BY MAC0005600 99922 3,000.00 -10,96,462.33 2020 2020 TRANSFER- 53610 INB MAC0005600 IMPS026513 53610 515195/8861 TRANSFER 125194/XX21 FROM 42/SVDIAGN 48979521620 OST- 90 / 21 Sep 21 Sep BY MAB0005500 99922 800.00 -10,95,662.33 2020 2020 TRANSFER- 03776 INB MAB0005500 IMPS026515 03776 407316/8197 TRANSFER 719531/XX36 FROM 36/- 45979321620 91 / 21 Sep 21 Sep TO IMPS000175 99922 6,000.00 -11,01,662.33 2020 2020 TRANSFER- 98331MOAD INB GHAGG6 IMPS/P2A/02 TRANSFER 6515792194/ TO XXXXXXX50 45978541620 1KARB- 98 / 22 Sep 22 Sep CHQ RET / 561119 40743 590.00 -11,02,252.33 2020 2020 CHARGES-- 561119 23 Sep 23 Sep CHQ RET / 561120 40743 590.00 -11,02,842.33 2020 2020 CHARGES-- 561120 23 Sep 23 Sep BY / 770274 40743 4,480.00 -10,98,362.33 2020 2020 CLEARING / CHEQUE- CAB BY CLEARING CHQ 770274 MICR 571015202- 770274 23 Sep 23 Sep TO IMPS000176 99922 4,000.00 -11,02,362.33 2020 2020 TRANSFER- 55227MOAD INB GNWQY5 IMPS/P2A/02 TRANSFER 6718972193/ TO XXXXXXX50 45978611620 1KARB- 90 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 25 Sep 25 Sep CHEQUE TRANSFER 40545 16,750.00 -10,85,612.33 2020 2020 DEPOSIT-- TO 831562 54013361279 TSO JHE JHANGSAR CHARI / 831562 25 Sep 25 Sep TO IMPS000176 99922 10,700.00 -10,96,312.33 2020 2020 TRANSFER- 92485MOAD INB GSLWK1 IMPS/P2A/02 TRANSFER 6913758699/ TO XXXXXXX50 45978741620 1KARB- 95 / 25 Sep 25 Sep TO IMPS000177 99922 4,000.00 -11,00,312.33 2020 2020 TRANSFER- 01825MOAD INB GTIDG8 IMPS/P2A/02 TRANSFER 6918908236/ TO XXXXXXX50 45978711620 1KARB- 98 / 26 Sep 26 Sep BY MAA0005655 99922 188.00 -11,00,124.33 2020 2020 TRANSFER- 63473 INB MAA0005655 IMPS027011 63473 702847/8197 TRANSFER 719531/XX55 FROM 01/Transfer t- 45979571620 92 / 26 Sep 26 Sep TO IMPS000177 99922 1,797.00 -11,01,921.33 2020 2020 TRANSFER- 15345MOAD INB GUSYU5 IMPS/P2A/02 TRANSFER 7011651946/ TO XXXXXXX05 45978771620 8KKBK- 92 / 28 Sep 28 Sep BY / 2496 40743 1,38,645.0 -9,63,276.33 2020 2020 CLEARING / 0 CHEQUE- COB BY CLEARING CHQ 002496 MICR 571017202- 2496 28 Sep 28 Sep TO IMPS000177 99922 70,000.00 -10,33,276.33 2020 2020 TRANSFER- 62677MOAD INB HBZCK7 IMPS/P2A/02 TRANSFER 7218890598/ TO XXXXXXX50 45978551620 1KARB- 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 28 Sep 28 Sep TO CTK8852240 99922 12,861.00 -10,46,137.33 2020 2020 TRANSFER- TRANSFER INB Payment TO towards 62461719961 Invoice/Bill- ANJANADRI ENTERPRIS ES / 28 Sep 28 Sep TO IMPS000177 99922 1,500.00 -10,47,637.33 2020 2020 TRANSFER- 65526MOAD INB HCIGZ6 IMPS/P2A/02 TRANSFER 7220951127/ TO XXXXXXX50 45978541620 1KARB- 98 / 29 Sep 29 Sep TO IMPS000177 99922 10,000.00 -10,57,637.33 2020 2020 TRANSFER- 69583MOAD INB HDBCT0 IMPS/P2A/02 TRANSFER 7309577627/ TO XXXXXXX63 45978581620 3UTIB- 94 / 29 Sep 29 Sep TO IMPS000177 99922 18,500.00 -10,76,137.33 2020 2020 TRANSFER- 69631MOAD INB HDBQE2 IMPS/P2A/02 TRANSFER 7309579253/ TO XXXXXXX50 45978571620 1KARB- 95 / 29 Sep 29 Sep TO IMPS000177 99922 25,156.00 -11,01,293.33 2020 2020 TRANSFER- 70891MOAD INB HDGPH5 IMPS/P2A/02 TRANSFER 7310613096/ TO XXXXXXX05 45978591620 8KKBK- 93 / 29 Sep 29 Sep TO IMPS000177 99922 600.00 -11,01,893.33 2020 2020 TRANSFER- 72515MOAD INB HDLMN9 IMPS/P2A/02 TRANSFER 7311645371/ TO XXXXXXX50 45978581620 1KARB- 94 / 30 Sep 30 Sep DEBIT / 99999 12,618.00 -11,14,511.33 2020 2020 INTEREST-- 1 Oct 1 Oct CHEQUE TRANSFER 40545 16,750.00 -10,97,761.33 2020 2020 DEPOSIT-- TO 831578 54013361279 TSO JHE JHANGSAR CHARI / 831578 Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 1 Oct 1 Oct TO IMPS000178 99922 4,000.00 -11,01,761.33 2020 2020 TRANSFER- 31217MOAD INB HMYLK8 IMPS/P2A/02 TRANSFER 7516766199/ TO XXXXXXX50 45978691620 1KARB- 92 / 4 Oct 4 Oct BY MAA0005713 99922 9,228.00 -10,92,533.33 2020 2020 TRANSFER- 44015 INB MAA0005713 IMPS027808 44015 995491/9611 TRANSFER 647575/XX16 FROM 06/IMPS P2A 45979631620 H- 95 / 4 Oct 4 Oct TO IMPS000178 99922 4,000.00 -10,96,533.33 2020 2020 TRANSFER- 88474MOAD INB HWWJV7 IMPS/P2A/02 TRANSFER 7808960496/ TO XXXXXXX50 45978831620 1KARB- 94 / 5 Oct 5 Oct BY MAB0005595 99922 5,888.00 -10,90,645.33 2020 2020 TRANSFER- 40321 INB MAB0005595 IMPS027822 40321 981548/9731 TRANSFER 023896/XX04 FROM 10/MB 48980371620 Transf- 93 / 5 Oct 5 Oct TO IMPS000179 99922 4,988.00 -10,95,633.33 2020 2020 TRANSFER- 08230MOADI INB AYKE0 IMPS/P2A/02 TRANSFER 7911657251/ TO XXXXXXX39 45978511620 0HDFC- 91 / 5 Oct 5 Oct BY MAB0005598 99922 2,500.00 -10,93,133.33 2020 2020 TRANSFER- 54528 INB MAB0005598 IMPS027912 54528 777425/8197 TRANSFER 719531/XX36 FROM 36/- 48979551620 97 / 5 Oct 5 Oct TO IMPS000179 99922 520.00 -10,93,653.33 2020 2020 TRANSFER- 18855MOADI INB CJGD0 IMPS/P2A/02 TRANSFER 7916903198/ TO XXXXXXX50 45978551620 1KARB- 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 5 Oct 5 Oct TO IMPS000179 99922 2,500.00 -10,96,153.33 2020 2020 TRANSFER- 25161MOADI INB DBCQ1 IMPS/P2A/02 TRANSFER 7918521240/ TO XXXXXXX72 45978511620 6CORP- 91 / 6 Oct 6 Oct TO IMPS000179 99922 5,000.00 -11,01,153.33 2020 2020 TRANSFER- 45819MOADI INB GHGA6 IMPS/P2A/02 TRANSFER 8014565652/ TO XXXXXXX50 45978581620 1KARB- 94 / 7 Oct 7 Oct TO IMPS000179 99922 500.00 -11,01,653.33 2020 2020 TRANSFER- 62579MOADI INB ISAY1 IMPS/P2A/02 TRANSFER 8109979222/ TO XXXXXXX50 45978641620 1KARB- 97 / 7 Oct 7 Oct BY TRANSFER 10521 8,647.00 -10,93,006.33 2020 2020 TRANSFER- FROM C092058817 45994501052 717 THO 14 / OFFICE 21BCSSB- 8 Oct 8 Oct TO IMPS000179 99922 500.00 -10,93,506.33 2020 2020 TRANSFER- 93809MOADI INB MZMX0 IMPS/P2A/02 TRANSFER 8211706733/ TO XXXXXXX50 45978661620 1KARB- 95 / 8 Oct 8 Oct BY TRANSFER 950 2,414.00 -10,91,092.33 2020 2020 TRANSFER- FROM mask 37608310873 sanitiser Mr. BR 29/9/2020- PARKING A/C WIT / 8 Oct 8 Oct TO IMPS000180 99922 2,000.00 -10,93,092.33 2020 2020 TRANSFER- 04404MOADI INB OFMW8 IMPS/P2A/02 TRANSFER 8215917357/ TO XXXXXXX50 45978691620 1KARB- 92 / 9 Oct 9 Oct TO IMPS000180 99922 5,894.00 -10,98,986.33 2020 2020 TRANSFER- 20976MOADI INB QSEU8 IMPS/P2A/02 TRANSFER 8311849796/ TO XXXXXXX50 45978711620 1KARB- 98 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 9 Oct 9 Oct BY / 754064 40743 2,000.00 -10,96,986.33 2020 2020 CLEARING / CHEQUE- BOB BY CLEARING CHQ 754064 MICR 571012202- 754064 9 Oct 9 Oct TO IMPS000180 99922 150.00 -10,97,136.33 2020 2020 TRANSFER- 35677MOADI INB SHZV1 IMPS/P2A/02 TRANSFER 8318625964/ TO XXXXXXX50 45978731620 1KARB- 96 / 12 Oct 12 Oct TO IMPS000180 99922 500.00 -10,97,636.33 2020 2020 TRANSFER- 78043MOADI INB ZHJF4 IMPS/P2A/02 TRANSFER 8605795035/ TO XXXXXXX50 45978531620 1KARB- 99 / 12 Oct 12 Oct TO IMPS000180 99922 350.00 -10,97,986.33 2020 2020 TRANSFER- 90940MOAD INB JAYGX4 IMPS/P2A/02 TRANSFER 8614563347/ TO XXXXXXX50 45978531620 1KARB- 99 / 12 Oct 12 Oct BY TRANSFER 1 50,000.00 -10,47,986.33 2020 2020 TRANSFER- FROM UPI/CR/0286 50988111620 60334742/AS 98 / HWATH /CORP/ashw athbl@/Paym e- 12 Oct 12 Oct BY MAC0005759 99922 50,000.00 -9,97,986.33 2020 2020 TRANSFER- 27039 INB MAC0005759 IMPS028617 27039 203111/8197 TRANSFER 719531/XX36 FROM 36/- 48979511620 91 / 12 Oct 12 Oct TO IMPS000181 99922 1,00,000.0 -10,97,986.33 2020 2020 TRANSFER- 00011MOAD 0 INB JBTQR2 IMPS/P2A/02 TRANSFER 8617705414/ TO XXXXXXX05 45978551620 8KKBK- 97 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 13 Oct 13 Oct TO CTL0757086 99922 4,000.00 -11,01,986.33 2020 2020 TRANSFER- TRANSFER INB Payment TO towards 62461719961 Invoice/Bill- ANJANADRI ENTERPRIS ES / 14 Oct 14 Oct BULK / 950 2,398.00 -10,99,588.33 2020 2020 POSTING- TD20288180 8190090mas k and disposable gloves- 14 Oct 14 Oct BULK / 950 1,298.00 -10,98,290.33 2020 2020 POSTING- TD20288180 8210120SANI TISER DISPENSER FOOT OPERATED- 14 Oct 14 Oct TO IMPS000181 99922 2,000.00 -11,00,290.33 2020 2020 TRANSFER- 60905MOAD INB JHWYK8 IMPS/P2A/02 TRANSFER 8818756558/ TO XXXXXXX50 45978651620 1KARB- 96 / 15 Oct 15 Oct TO IMPS000181 99922 1,700.00 -11,01,990.33 2020 2020 TRANSFER- 68847MOAD INB JJDHF9 IMPS/P2A/02 TRANSFER 8909968505/ TO XXXXXXX50 45978681620 1KARB- 93 / 16 Oct 16 Oct BY MAC0005788 99922 10,000.00 -10,91,990.33 2020 2020 TRANSFER- 34516 INB MAC0005788 IMPS029018 34516 859913/9611 TRANSFER 647575/XX16 FROM 06/IMPS P2A 45979521620 H- 97 / 16 Oct 16 Oct TO IMPS000182 99922 500.00 -10,92,490.33 2020 2020 TRANSFER- 11820MOAD INB JORDK2 IMPS/P2A/02 TRANSFER 9019924307/ TO XXXXXXX50 45978741620 1KARB- 95 / 17 Oct 17 Oct TO IMPS000182 99922 2,000.00 -10,94,490.33 2020 2020 TRANSFER- 16153MOAD INB JPOZE0 IMPS/P2A/02 TRANSFER 9109567359/ TO XXXXXXX50 45978771620 1KARB- 92 / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 17 Oct 17 Oct TO IMPS000182 99922 7,000.00 -11,01,490.33 2020 2020 TRANSFER- 27610MOAD INB JRAET5 IMPS/P2A/02 TRANSFER 9115814014/ TO XXXXXXX50 45978761620 1KARB- 93 / 18 Oct 18 Oct TO IMPS000182 99922 500.00 -11,01,990.33 2020 2020 TRANSFER- 39998MOAD INB JSIXG5 IMPS/P2A/02 TRANSFER 9208543636/ TO XXXXXXX50 45978811620 1KARB- 96 / 20 Oct 20 Oct BY / 587074 40743 2,205.00 -10,99,785.33 2020 2020 CLEARING / CHEQUE-BY CLEARING CHQ 587074 MICR 571697259- 587074 20 Oct 20 Oct BY / 823 40743 1,553.00 -10,98,232.33 2020 2020 CLEARING / CHEQUE- HDF BY CLEARING CHQ 000823 MICR 571240501- 823 20 Oct 20 Oct TO IMPS000182 99922 3,700.00 -11,01,932.33 2020 2020 TRANSFER- 99896MOAD INB KALVW2 IMPS/P2A/02 TRANSFER 9419937540/ TO XXXXXXX50 45978561620 1KARB- 96 / 23 Oct 23 Oct BY TRANSFER 13342 1.00 -11,01,931.33 2020 2020 TRANSFER- FROM SBILT231020 32780188304 20142501053 Mr. 104-Medical LOBSANG charge- YIGYIN . / 23 Oct 23 Oct BY TRANSFER 13342 1.00 -11,01,930.33 2020 2020 TRANSFER- FROM SBILT231020 32780188304 20143648498 Mr. 815-Medical LOBSANG fee- YIGYIN . / 23 Oct 23 Oct BY TRANSFER 13342 1.00 -11,01,929.33 2020 2020 TRANSFER- FROM SBILT231020 31742863441 20165530582 Mr. 016-COVID THUPTEN kid test- WANGCHU / Txn Value Description Ref Branch Debit Credit Balance Date Date No./Cheque Code No. 24 Oct 24 Oct CSH DEP / 4292 45,000.00 -10,56,929.33 2020 2020 (CDM)- 8197719531- 24 Oct 24 Oct CDM / 38976288 4292 25.00 -10,56,954.33 2020 2020 SERVICE CHARGES-- 38976288 24 Oct 24 Oct CSH DEP / 4292 46,000.00 -10,10,954.33 2020 2020 (CDM)- 8197719531- 24 Oct 24 Oct CDM / 38976288 4292 25.00 -10,10,979.33 2020 2020 SERVICE CHARGES-- 38976288 24 Oct 24 Oct CSH DEP / 4292 44,000.00 -9,66,979.33 2020 2020 (CDM)- 8197719531- 24 Oct 24 Oct CDM / 38976288 4292 25.00 -9,67,004.33 2020 2020 SERVICE CHARGES-- 38976288 24 Oct 24 Oct TO IMPS000183 99922 1,34,000.0 -11,01,004.33 2020 2020 TRANSFER- 79468MOAD 0 INB KKPEM4 IMPS/P2A/02 TRANSFER 9810680710/ TO XXXXXXX50 45978801620 1KARB- 96 / 24 Oct 24 Oct BY UT79156592 99922 45,000.00 -10,56,004.33 2020 2020 TRANSFER- TRANSFER INB MBS FROM sathish- 20221600962 Mr. B P SATHISH / 24 Oct 24 Oct TO IMPS000183 99922 40,000.00 -10,96,004.33 2020 2020 TRANSFER- 80238MOAD INB KKRZV1 IMPS/P2A/02 TRANSFER 9810698826/ TO XXXXXXX50 45978791620 1KARB- 90 / 27 Oct 27 Oct CSH DEP / 4292 45,500.00 -10,50,504.33 2020 2020 (CDM)- 8197719531- 27 Oct 27 Oct CDM / 38976288 4292 25.00 -10,50,529.33 2020 2020 SERVICE CHARGES-- 38976288
**This is a computer generated statement and does not require a signature.