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

NAB Choice Package Home Loan

This document is a bank statement for an NAB Choice Package Home Loan account held by Mr. Ra Jaisinghani. The statement shows transactions between November 13, 2021 and May 13, 2022, including interest charges, loan repayments, and an insurance reminder notice. The opening balance was $356,269.31 and the closing balance was $351,256.66.
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
0% found this document useful (0 votes)
756 views2 pages

NAB Choice Package Home Loan

This document is a bank statement for an NAB Choice Package Home Loan account held by Mr. Ra Jaisinghani. The statement shows transactions between November 13, 2021 and May 13, 2022, including interest charges, loan repayments, and an insurance reminder notice. The opening balance was $356,269.31 and the closing balance was $351,256.66.
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 Summary and Transactions: Contains the account balance summary, transaction details including deposits and debits with dates and descriptions.
  • Explanatory Notes: Offers clarifications and instructions regarding the statement's entries and general banking inquiries.
  • Summary of Government Charges: Summarizes specific government-related charges applied within the statement period.

NAB Choice Package

Home Loan
For further information call 13 22 65 for Personal
Accounts or 13 10 12 for Business Accounts.

Account Balance Summary


(N=_Fè1)

Opening balance $356,269.31 Dr


Total credits $9,416.70
A 3-064 Total debits $4,404.05
MR RA JAISINGHANI Closing balance $351,256.66 Dr
UNIT 3501
483 SWANSTON ST Statement starts 13 November 2021
MELBOURNE VIC 3000 Statement ends 13 May 2022

Available Redraw $0.00

Outlet Details Account Details


Broker-Assets Melbourne VIC RAJENDER ASHOK KUMAR JAISINGHANI
Level 10, 700 Bourke St RENU CHANDERLAL KUKREJA
Docklands VIC 3008 BSB number 083-064

Account number 41-229-7525

Transaction Details
Date Particulars Debits Credits Balance
13 Nov 2021 Brought forward 356,269.31 Dr
15 Nov 2021 Please Note Your Current Debit Interest Rate Is 2.49% 356,269.31 Dr
30 Nov 2021 Debit Interest This Financial Year To Date $3,740.66
Interest Charged ........................................................................................ 778.81 357,048.12 Dr
8 Dec 2021 Loan Repayment Jaisinghani
From A/C 97-984-7831 ..........................................................................................................
...............
.............. 1,569.45 355,478.67 Dr
31 Dec 2021 Debit Interest This Financial Year To Date $4,493.28
Interest Charged ........................................................................................ 752.62 356,231.29 Dr
10 Jan 2022 Loan Repayment Jaisinghani
From A/C 97-984-7831 ..........................................................................................................
...............
.............. 1,569.45 354,661.84 Dr
31 Jan 2022 Debit Interest This Financial Year To Date $5,244.39
Interest Charged ........................................................................................ 751.11 355,412.95 Dr
8 Feb 2022 Loan Repayment Jaisinghani
From A/C 97-984-7831 ..........................................................................................................
...............
.............. 1,569.45 353,843.50 Dr
28 Feb 2022 Debit Interest This Financial Year To Date $5,921.14
Interest Charged ........................................................................................ 676.75 354,520.25 Dr
8 Mar 2022 Loan Repayment Jaisinghani
From A/C 97-984-7831 ..........................................................................................................
...............
.............. 1,569.45 352,950.80 Dr
31 Mar 2022 Debit Interest This Financial Year To Date $6,668.41
Interest Charged ........................................................................................ 747.27 353,698.07 Dr
8 Apr 2022 Loan Repayment Jaisinghani
From A/C 97-984-7831 ..........................................................................................................
...............
.............. 1,569.45 352,128.62 Dr
29 Apr 2022 Debit Interest This Financial Year To Date $7,365.90
Interest Charged ........................................................................................ 697.49 352,826.11 Dr
133/34/01/M072290/S109316/I218631

2 May 2022 It's a condition of your loan that you maintain insurance
on the mortgaged property at all times for at least the full
replacement value of the property. Please confirm with your
insurer that your policy adequately protects your property.
For more information on property insurance go to
[Link] 352,826.11 Dr
9 May 2022 Loan Repayment Jaisinghani
From A/C 97-984-7831 ..........................................................................................................
...............
.............. 1,569.45 351,256.66 Dr

Statement number 10 National Australia Bank Limited ABN 12 004 044 937 AFSL and Australian Credit Licence 230686 Page 1 of 2
Summary of Government Charges Explanatory Notes
133/34/01/M072290/S109316/I218632

From 1 July Last year Please check all entries and report any apparent error or possible
to date to 30 June unauthorised transaction immediately.
Government We may subsequently adjust debits and credits, which may result
Withholding tax $0.00 $0.00 in a change to your account balance to accurately reflect the
Bank Account Debit (BAD) tax $0.00 $0.00 obligations between us.
Bank Accounts Debits (BAD) Tax or State Debits Duty has been For information on resolving problems or disputes, contact us on
abolished for all states & territories effective 1/7/2005. Any amount shown 1800 152 015, or ask at any NAB branch.
on this statement applies to debits processed on or before 30/06/2005.
Any "Available Redraw" amount is available provided that you satisfy
For further information on any applicable rebates, fees or government
the conditions for redraw in your agreement.
charges, please refer to the NAB's "A Guide to Fees & Charges" booklet.
Please retain this statement for taxation purposes

Statement number 10 Page 2 of 2

You might also like