Salary Account Statement 6 Months PDF
Salary Account Statement 6 Months PDF
Salary Account Statement 6 Months PDF
: 1
S DEBIT
XX4700-REMARKS
XXXX9999-190605820256001
07/06/19 ACH D- LOTUS SREE FILCO PRI-LEF152351794 0000000102690686 07/06/19 1,132.00 16,933.47
S DEBIT
XX4700-REMARKS
XXX3403-COMMENTS
XX4700-REMARKS
XX4700-REMARKS
AY
XX4700-REMARKS
13/06/19 POS 512967XXXXXX5019 F045 JOOST POS DEBI 0000000000020792 13/06/19 798.00 4,319.47
13/06/19 POS 512967XXXXXX5019 SUPER 99 POS DEBIT 0000000000038517 13/06/19 498.00 3,821.47
XX4700-REMARKS
XX4700-REMARKS
XXXX9999-190620877188001
XX4700-REMARKS
XX4700-REMARKS
23456-917224525397-NA
XXX3403-COMMENTS
ASAD MOURYA-CMS1153425267
S DEBIT
XX4700-REMARKS
XX4700-REMARKS
D PAY
LEX SAL
PVT LTD-NETBANK,
-NETBANK, MUM-N179190861483929-F
MUM-N180190862453541-SPLN60114
LEX
156 SAL
30/06/19 NWD-512967XXXXXX5019-05936049-GAUTAM BUD 0000918116009014 30/06/19 5,000.00 19,051.87
DHA
XX4700-REMARKS
XX4700-REMARKS
05/07/19
04/07/19 NEFT DR-KKBK0000631-VISHNU PRASAD MOURYA
50200028642993-TPT-QCL0100208 N212190889144092
0000000141341609 04/07/19 46,961.00
8,800.00 44,659.87
XX4700-REMARKS
DFC-XXXXXXXXXXXX0012-
07/07/19 EMI 4576075 CHQ S45760750241 0719457607 000000000000000 07/07/19 4,732.00 29,071.87
08/07/19 ACH D- LOTUS SREE FILCO PRI-LEF152351794 0000000712722345 08/07/19 1,132.00 11,439.87
DFC-XXXXXXXXXXXX0012-
NETBANK, MUM-N193190875571935-TRANSFER
CARD
XXXX9999-190718986337001
XX4700-REMARKS
SBIN0004264-920110411409-NO REMARKS
SBIN0004264-920111420983-NO REMARKS
SBIN0004264-920110395536-NO REMARKS
D MOURYA-NETBANK, MUM-N201190880879939-T
RANSFER
DFC-XXXXXXXX8320-FTTRANSFERP2A
24/07/19 POS 512967XXXXXX5019 TRIPLE NINE HEAL PO 0000000000266071 24/07/19 225.00 614.81
S DEBIT
31/07/19 POS
NEFT512967XXXXXX5019 TRIPLE PRASAD
DR-KKBK0000631-VISHNU NINE HEAL PO
MOURYA 0000000000266378
N212190889144092 31/07/19 46,0000.00
46,961.00 145,852.21
S DEBIT
-NETBANK, MUM-N212190889144092-EMI KOTAK
D PAY
NTEREST
XX4700-REMARKS
05/08/19 RKSVD-
COMMODITI-VISHNU PRASAD MOURYA 0000001201784494 05/08/19 21,00.00 23,399.05
ACH ADITY BIRLA FINANCE-LXND042171800 19,355.00 831.05
XXXX9999-190805060463001
XXXX9999-190806061819001
XX4700-REMARKS
07/08/19 ACH D- LOTUS SREE FILCO PRI-LEF152351794 0000001270120201 07/08/19 1,132.00 7,399.05
5
08/08/19 UPI-ARCHANA VISHNU PRASA-8447225630@UPI- 0000922014646261 08/08/19 20,000.00 27,105.05
10,000.00 12,473.05
SBIN0004264-922014886521-NO REMARKS
08/08/19 ATW-512967XXXXXX5019-S1ACDE47-G
ACH B NAGAR
D- IVL FINANCE LIMITED-PL01120455 0000001310410916 08/08/19 100.00
7,877.00 27,005.05
4,596.05
08/08/19 ATW-512967XXXXXX5019-S1ACDE47-G
INDIA BULLS 609097087-2216 B NAGAR 000000000000000 08/08/19 200.00
2,038.00 2,558.05
26,805.05
09/08/19 ATW-512967XXXXXX5019-S1ACDE47-G
ACH B NAGAR
D- ADITY BIRLA FINANCE-LXND042171800 0000001333720974 09/08/19 700.00
19,355.00 26,105.05
-16,796.95
09/08/19 RKSVD-SECURITIE-VISHNU
ACH PRASAD MOURYA
ADITY BIRLA FINANCE-LXND042171800 0000001333720974 09/08/19 1,000.00
19,355.00 27,005.05
2,558.05
NVESTMENTSLIMITED-NETBANK, MUM-N22119089
9537403-EMI CASH E
10/08/19 POS 512967XXXXXX5019 MADAAN SUPER MAR PO 0000000000079664 10/08/19 2,257.00 13,115.05
S DEBIT
14/08/19 .ACH DEBIT RETURN CHARGES 050819 050819- MIR1922298046189 14/08/19 590.00 1,883.05
MIR1922298046189
14/08/19 .ACH DEBIT RETURN CHARGES 050819 050819- MIR1922298068572 14/08/19 590.00 1,293.05
MIR1922298068572
14/08/19 .ACH DEBIT RETURN CHARGES 090819 090819- MIR1922399857177 14/08/19 590.00 703.05
MIR1922399857177
XX4700-REMARKS
DFC-XXXXXXXX0591-
N319239410188
IN-XXXXXXX4877-TRANSFER
D PAY
XX4700-REMARKS
M-N242190913556410-CASHBEAN PAY
-MIR1924236013125
-MIR1924236013929
-MIR1924236013935
S DEBIT
-04992990009335
DFC-XXXXXXXXXXX0070-EARLYSALARY FUND
TRA
07/09/19 ACH D- LOTUS SREE FILCO PRI-LOANTP44PIAD 0000001924292514 07/09/19 1,132.00 6,551.00
07/09/19 POS 512967XXXXXX5019 TRIPLE NINE HEAL PO 0000000000816078 07/09/19 632.00 5,919.00
S DEBIT
07/09/19 EMI 4576075 CHQ S45760750261 0919457607 000000000000000 07/09/19 4,732.00 1,187.00
XXXX9999-190912235188001
XXXX9999-190912235268001
13/09/19 POS 512967XXXXXX5019 VIJAYA MEDICALS POS 0000000000030504 13/09/19 1,078.00 3,539.01
DEBIT
S DEBIT
S DEBIT
XX4700-REMARKS
19
M-N273190939735428-CASHBEAN VISHNU
D PAY
XX4700-REMARKS
XX4700-REMARKS
03/10/19 CHQ DEP - - MICR 1 CLG - GHOD DOD ROAD-W 0000000000357208 04/10/19 15,000.00 17,201.96
XX4700-REMARKS
ASAD MOURYA-CMS1261483055
07/10/19 RKSVD-SECURITIE-VISHNU
ACH LOTUS SREE FILCOPRASAD MOURYA
PRI-LOANTP33PIAD 0000002520202560 07/10/19 1,132.00 8,000.00 8,081.96
-1,050.04
07/10/19 ACH D- LOTUS SREE FILCO PRI-LOANTP33PIAD 0000002520202560 07/10/19 1,132.00 6,949.96
81.96
07/10/19 EMI 4576075 CHQ S45760750271 1019457607 0000000004576075 07/10/19 4,732.00 2,217.96
-4,650.04
5
07/10/19 RKSV
EMI SECURITIE-VISHNU
4576075 PRASAD
CHQ S45760750271 MOURYA
1019457607 0000018055707965
0000000004576075 07/10/19 100.00
4,732.00 2,117.96
81.96
29,870.05
5
08/10/19 NEFT
EMI DR-KKBK0000552-VIVIFI
4576075 INDIA FINANCE
CHQ S45760750271 1019457607 000000000000000 08/10/19 1,500.00
81.96 617.96
0.00
PVT LTD-NETBANK, MUM
5-4576075
09/10/19 UPI-ARCHANA VISHNU PRASA-8447225630@UPI- 0000928211143054 09/10/19 14,600.00
1,500.00
15,000.00 15,217.96
15,000.00
SBIN0004264-928211712918-NO REMARKS
10/10/19 NEFT
EMI DR-KKBK0000552-VIVIFI
4576075 INDIA FINANCE
CHQ S45760750271 1019457607 000000000000000 10/10/19 4,651.00
4,650.04 10,249.96
PVT LTD-NETBANK, MUM
5-4576075
10/10/19 UPI-ARCHANA VISHNU PRASA-8447225630@UPI- 0000092839872776 10/10/19 3,000.00 13,249.96
SBIN0004264-928309323055-NO REMARKS
XXXX9999-191011362063001
11/10/19 POS 512967XXXXXX5019 BISHAMBER SAHAI POS 0000000000001075 11/10/19 200.00 9,800.96
DEBIT
M-N284190951930660-CASHBEAN
11/10/19 .ACH DEBIT RETURN CHARGES 071019 071019- MIR1928419957553 11/10/19 590.00 671.96
MIR1928419957553
SBIN0004264-928912486151-NO REMARKS
DFC-XXXXXXXX0981-190604010096186607A1910
16020242374905A157122 CF
3-LEF15235179414061
SBIN0004264-929013244194-NO REMARKS
20/10/19 POS 512967XXXXXX5019 MCDONALDS POS DEBIT 0000000000001107 20/10/19 219.84 8,746.62
SBIN0004264-929318330039-NO REMARKS
AY
DFC-XXXXXXXXXXXX0012-
SBIN0004264-929910091828-NO REMARKS
DFC-XXXXXXXX7992-NA
DFC-XXXXXXXXXXXX0012-
DFC-XXXXXXXX7992-MAHI
K, MUM-N301190965421240-INDUSIND CARD PA
D PAY
SBIN0004264-930117490990-NO REMARKS
S DEBIT
S DEBIT
DFC-XXXXXXXXXXXX2507-
DFC-XXXXXXXXXXXX2507-
S DEBIT
XX4700-REMARKS
M-N303190966896273-CASHBEAN PAY
156
31/10/19 IB BILLPAY DR-HDFCSI-485498XXXXXX1801 IB31132144226048 31/10/19 25,351.00
25,390.00 150,285.72
D PAY
-NETBANK, MUM-N304190968320856-INTEREST
AMOUNT
LEX SAL
DFC-XXXXXXXXXXXX2507-
DFC-XXXXXXXXXXXX2507-
DFC-XXXXXXXXXXXX2507-
CARD
02/11/19 0211 OVERDUE LOAN -4576075 RECOVERED 000000000000000 02/11/19 9.00 186,264.54
BULLET PAYMENT
D PAY
-NETBANK, MUM-N309190973615888-KOTAK PL
EMI
XXXXXXXXX5005-INDUSIND CARD
4-LEF15235179414061
07/11/19 ACH D- LOTUS SREE FILCO PRI-LOANTP36PXTX 0000003264283292 07/11/19 1,132.00 44,894.27
07/11/19 EMI 4576075 CHQ S45760750281 1119457607 000000000000000 07/11/19 4,732.00 40,162.27
08/11/19 CHQ PAID-TRANSFER IN-BAL BHARTI PUBLIC S 0000000000000085 08/11/19 24,180.00 15,982.27
21/11/19 POS 512967XXXXXX5019 BIG BAZAAR . POS DE 0000000000022414 21/11/19 444.05 1,467.22
BIT
DFC-XXXXXXXXXXXX2507-
LEXSALARY
D PAY
CARD PAY
ANK, MUM-N332190992478999-KOTAK
DFC-XXXXXXXXXXXX0012-
5 DEC
07/12/19 ACH D- LOTUS SREE FILCO PRI-LOANTP24UPAQ 0000003867667142 07/12/19 569.00 26,457.62
07/12/19 EMI 4576075 CHQ S45760750291 1219457607 000000000000000 07/12/19 4,732.00 21,725.62
IN-XXXXXXX4877-TRANSFER
STATEMENT SUMMARY :-
Opening Balance Dr Count Cr Count Debits Credits Closing Bal
94,526.47 350 128 2,682,190.78 2,594,407.43 6,743.12