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UBI FullStatement

This bank statement summarizes transactions for the account of JEMS MULTI-TECH CONSULTANCY from March 1-28, 2015. Major credits include a ₹300,000 deposit on March 2nd and ₹500,000 and ₹1,000,000 deposits on March 14th and 24th respectively. Major debits include payments to Reliance Infotech, Rajubhai Desai, C R P Associates, and Modi Mehul Chandrakant, with amounts ranging from ₹156,800 to ₹25,000. The ending balance on March 28th was ₹455,336.82.

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0% found this document useful (0 votes)
68 views2 pages

UBI FullStatement

This bank statement summarizes transactions for the account of JEMS MULTI-TECH CONSULTANCY from March 1-28, 2015. Major credits include a ₹300,000 deposit on March 2nd and ₹500,000 and ₹1,000,000 deposits on March 14th and 24th respectively. Major debits include payments to Reliance Infotech, Rajubhai Desai, C R P Associates, and Modi Mehul Chandrakant, with amounts ranging from ₹156,800 to ₹25,000. The ending balance on March 28th was ₹455,336.82.

Uploaded by

dhwani
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

Account statement through Internet Banking

Date ranging from 01/03/2015 to 28/03/2015

Personal Details

Account Details

Account Name: JEMS MULTI-TECH CONSULTANCY


AddressLine1: 21,NALKUNJ SOCIETY,CAMP ROAD
AddressLine2: SHAHIBAUG..........
City: AHMEDABAD
State: GUJARAT
Country: IN
PinCode: 380004
Mobile: 919374894049
Phone:
eMail: [email protected]

Tran Id

Txn Date

Cheque No

Account Id:353501010036088
Bank Id: 026
Branch Id: 35350
Branch Name: ASARWA
Statement Date: Sat Mar 28 13:22:24 IST 2015

Description

Currency

Cr/Dr

Amount

Balance

BY INST 561817 : CTS MICR O/W


CLG
ePAY/To:RELIANCE
INFOTECH/32638150/papa m bill

INR

CR

300,000.00

434,674.32

INR

DR

260.00

434,414.32

S17349686 03/03/2015

ePAY/To:RELIANCE
INFOTECH/32638370/m bill jimmy

INR

DR

850.00

433,564.32

S17358506 03/03/2015

ePAY/To:RELIANCE
INFOTECH/32638659/m bill chaku

INR

DR

400.00

433,164.32

S16015063 02/03/2015
S17343262 03/03/2015

S17594212 03/03/2015

12011067

RAJUBHAI HIRABHAI DESAI

INR

DR

156,800.00

276,364.32

S17594212 03/03/2015

12011070

C R P ASSOCIATES

INR

DR

118,656.00

157,708.32

S17594212 03/03/2015

12011065

INR

DR

2,809.00

154,899.32

S17594212 03/03/2015

MONEY COLLECTED
PROCESSIN
12011068 SIDDHRAJ ZORI COMM COOP

INR

DR

113,704.00

41,195.32

S17594212 03/03/2015

12011069 SIDDHRAJ ZORI COMM COOP

INR

DR

40,933.00

262.32

S19210949 04/03/2015

BY INST 3 : CTS MICR O/W CLG

INR

CR

20,000.00

20,262.32

INR
INR

DR
DR

6,000.00
10,000.00

14,262.32
4,262.32

INR

DR

2,000.00

2,262.32

S25949556 10/03/2015

4213683535052474/50682041674
4/353501010036088
Other Bank ATM Usage Charges

INR

DR

22.50

2,239.82

AA321047 14/03/2015

QCC0000615 INST NO:079224

INR

CR

749,648.00

751,887.82

AA321047 14/03/2015

QCC0000615 INST NO:079224

INR

DR

168.00

751,719.82

S36918315 17/03/2015

POS:PUNJAB
./AHMEDABAD/507613861632

INR

DR

9,963.00

741,756.82

AA303159 07/03/2015
S24812983 09/03/2015

12011073
511247
12011074 MODI MEHUL CHANDRAKANT

S25757542 09/03/2015

S38185017 18/03/2015

12011075

JAIMIN G. PATEL

INR

DR

55,000.00

686,756.82

S39484431 19/03/2015

12011082

MEET MISTRY

INR

DR

40,000.00

646,756.82

Full statement
Tran Id

Txn Date

Cheque No

Currency

Cr/Dr

Amount

Balance

INR

DR

745.00

646,011.82

12011080

ePAY/To:IBIBO WEB PVT


LTD/33178411/3g recharge
KRUNAL KAKADIYA

INR

DR

20,000.00

626,011.82

INR

DR

15.00

625,996.82

S42525993 21/03/2015

12011079

SMS Charges for March,2015


Quarter
MEHULKUMAR PATEL

INR

DR

25,000.00

600,996.82

S42525993 21/03/2015

12011076 MODI MEHUL CHANDRAKANT

INR

DR

25,000.00

575,996.82

S43216351 22/03/2015

INR

DR

5,000.00

570,996.82

S44432861 23/03/2015

4213683535052474/8466/3535010
10036088
12011077 MODI MEHUL CHANDRAKANT

INR

DR

15,000.00

555,996.82

AA78925 24/03/2015
S46134299 24/03/2015

12011085

INR
INR

CR
DR

RTGS:ANISH INFRACON INDIA


PRIVATE LIMITED
4213683535052474/4323/3535010
10036088
12011078CCPC SC COLLECTION ACCOUN

INR

CR

450,000.00

505,996.82

INR

DR

6,000.00

499,996.82

INR

DR

29,000.00

470,996.82

4213683535052474/4470/3535010
10036088
4213683535052474/50861592504
9/353501010036088
LEDGER FOLIO CHARGES

INR

DR

10,000.00

460,996.82

INR

DR

5,000.00

455,996.82

INR

DR

660.00

455,336.82

S40209727 19/03/2015
S41076911 20/03/2015
S42169535 21/03/2015

S48023566 25/03/2015
S48482421 25/03/2015
S49345856 26/03/2015
S51363080 27/03/2015
S51788622 27/03/2015
S51974764 28/03/2015

Description

BY TRF
C R P ASSOCIATES

500,000.00 1,055,996.82
1,000,000.00
55,996.82

End of Statement

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