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MR Velaphi M Mahlalela Mandla P, O, BOX 66 Lomahasha Simunye L301 Swaziland

This document is a bank statement for Mr. Velaphi M Mahlelela for the period from May 6, 2025, to June 6, 2025, showing an opening balance of 103.75 Cr and a closing balance of 104.07 Cr. The statement includes one credit transaction of 0.32 Cr as interest on the credit balance and no debit transactions. It also provides contact information for account inquiries and states that any queries should be made within 30 days of the statement date.

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meandlo24
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0% found this document useful (0 votes)
34 views1 page

MR Velaphi M Mahlalela Mandla P, O, BOX 66 Lomahasha Simunye L301 Swaziland

This document is a bank statement for Mr. Velaphi M Mahlelela for the period from May 6, 2025, to June 6, 2025, showing an opening balance of 103.75 Cr and a closing balance of 104.07 Cr. The statement includes one credit transaction of 0.32 Cr as interest on the credit balance and no debit transactions. It also provides contact information for account inquiries and states that any queries should be made within 30 days of the statement date.

Uploaded by

meandlo24
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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6 P O Box 308

Matsapha Swaziland
Street Address Matsapha
BBST41 000096 Shop 44,Matsamo Shopping Complex
MR VELAPHI M MAHLALELA Universal Branch Code 287364
1 gethelp@fnb.co.sz
MANDLA
9 www.fnbswaziland.co.sz
P,O,BOX 66 Lost Cards +268 2518 6000
LOMAHASHA Account Enquiries +268 2518 6000
SIMUNYE Fraud +268 2518 6000
L301
SWAZILAND
MEANDLO24@GMAIL.COM
Savings Pocket : 62858213590
Statement Number : 41
Statement Period : 6 May 2025 to 6 June 2025
Statement Date : 6 June 2025
Statement Balances Bank Charges Interest Rate
Opening Balance 103.75 Cr Service Fees 0.00 Credit Rate Tiered
Closing Balance 104.07 Cr Cash Deposit Fees 0.00 Debit Rate 0.00%
Cash Handling Fees 0.00
Other Fees 0.00

Transactions in SWAZI LILANGENI (SZL)


Accrued
Date Description Amount Balance Bank
Charges
06 Jun Int On Credit Balance 0.32 Cr 104.07 Cr

Closing Balance 104.07Cr

Turnover for Statement Period


No. Credit Transactions 1 0.32 Cr
No. Debit Transactions 0 0.00

Please contact us within 30 days from your statement date, should you wish to query an entry on this statement (incl. card transactions done
during this statement period, but not yet reflecting). Should we not hear from you, we will assume that you have received the statement and that it
is correct.

First National Bank - a division of FirstRand Bank Limited. Registration Number 24/1988.
An Authorised Financial Services and Credit Provider.

XSTSFN0:62858213590

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Delivery Method E1 R01
EN/06/WV/DDA 92
772

167

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