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STATEMENT OF ACCOUNT from 01/08/2015 to 15/09/2015 for Account Number 478553665.

Page No: 1

INDIAN BANK
KANIPAKKAM
Sri Varasidhi Vinayaka Temple Complex , Kanipakkam, Irala Mandal , Chittoor
Branch Code :01728
Account Number : 478553665
Product type : SBCHQ-GEN-PUB-METRO-INR
ANNADANA SCHEME ACCOUNT
SIDDI VINAYAKA SWAMY
DEVASTANAM.KANIPAKAM
IRALA MANDAL CHITTOOR DT
Email : kanipakam_eo@yahoo.com
Statement Date :Tue Sep 15 10:26:23 IST 2015
Cleared Balance :1073328.60
Uncleared Amount :0.00
Drawing Power :0.00
Interest Rate : 4.000
Value
Date

Post
Date

Remitter
Branch

Description

Chequ
e No

DR

BALANCE B/F

01/08/ 01/08/ KANIPAKKAM


2015 2015
03/08/ 03/08/ KANIPAKKAM
2015 2015
03/08/
2015
03/08/
2015
04/08/
2015
04/08/
2015

03/08/
2015
03/08/
2015
04/08/
2015
04/08/
2015

KANIPAKKAM

CASH DEPOSIT
Deposit by L
MOHAN
CASH CHEQUE 009019
Paid to K
97
KARUNA
KUMAR
BY CHQ/TT TFR
EO SVVS

KANIPAKKAM

BY CHQ/TT TFR
EO SVVS

KANIPAKKAM

CHQ TRANSFE

KANIPAKKAM

BY TRANSFER
CQSC:01728CC1
50000531ChNo:
863530
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000542ChNo:
39999
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000543ChNo:
704763
TRANSFER
FROM
97955017281
CASH CHEQUE 009019
Paid to B L N
99
PRASAD
BY TRANSFER
CQSC:01728CC1
50000522ChNo:
406496
TRANSFER
FROM
97955017281

06/08/ 06/08/ KANIPAKKAM


2015 2015

06/08/ 06/08/ KANIPAKKAM


2015 2015

06/08/ 06/08/ KANIPAKKAM


2015 2015
07/08/ 07/08/ KANIPAKKAM
2015 2015

009019
96

CR

Balance

1509128.60C
R
77162.00 1586290.60C
R
37669.00

20310.00

1548621.60C
R
3001.00 1551622.60C
R
1116.00 1552738.60C
R
1532428.60C
R
1116.00 1533544.60C
R

12500.00 1546044.60C
R

5100.00 1551144.60C
R

112985.00

1438159.60C
R
16666.00 1454825.60C
R

STATEMENT OF ACCOUNT from 01/08/2015 to 15/09/2015 for Account Number 478553665.

Value
Date

Post
Date

Remitter
Branch

07/08/ 07/08/ KANIPAKKAM


2015 2015

07/08/ 07/08/ KANIPAKKAM


2015 2015

07/08/ 07/08/ KANIPAKKAM


2015 2015

07/08/ 07/08/ KANIPAKKAM


2015 2015

07/08/ 07/08/ KANIPAKKAM


2015 2015

10/08/ 10/08/ KANIPAKKAM


2015 2015

10/08/ 10/08/ KANIPAKKAM


2015 2015

10/08/ 10/08/ KANIPAKKAM


2015 2015

10/08/ 10/08/ MUMBAI FORT


2015 2015

10/08/ 10/08/ MUMBAI FORT


2015 2015

10/08/ 10/08/ CHITTOOR


2015 2015 MAIN

Description

Chequ
e No

BY TRANSFER
CQSC:01728CC1
50000523ChNo:
983824
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000524ChNo:
755430
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000525ChNo:
755429
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000526ChNo:
755428
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000528ChNo:
34 TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000556ChNo:
314872
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000555ChNo:
1687 TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000527ChNo:
6790 TRANSFER
FROM
97955017281
C/AC FEES MR
R
VENKATARAMA
NB2050150810A
391 TRANSFER
FROM
99634000120
C/AC FEES MR
R
VENKATARAMA
NB2050150810A
433 TRANSFER
FROM
99634000120
CAS SINGLE
009019
TRIPLEX
98
AGENCIES
CHITTOOR

DR

Page No: 2

CR

Balance

16666.00 1471491.60C
R

16666.00 1488157.60C
R

16666.00 1504823.60C
R

16666.00 1521489.60C
R

50000.00 1571489.60C
R

1116.00 1572605.60C
R

1116.00 1573721.60C
R

36000.00 1609721.60C
R

1116.00 1610837.60C
R

1116.00 1611953.60C
R

25784.00

1586169.60C
R

STATEMENT OF ACCOUNT from 01/08/2015 to 15/09/2015 for Account Number 478553665.

Value
Date

Post
Date

Remitter
Branch

12/08/ 12/08/ KANIPAKKAM


2015 2015

13/08/ 13/08/ KANIPAKKAM


2015 2015
13/08/ 13/08/ KANIPAKKAM
2015 2015
13/08/ 13/08/ KANIPAKKAM
2015 2015
13/08/
2015
13/08/
2015

13/08/ KANIPAKKAM
2015
13/08/ KANIPAKKAM
2015

13/08/ 13/08/ KANIPAKKAM


2015 2015
13/08/
2015
18/08/
2015

13/08/ KANIPAKKAM
2015
18/08/ KANIPAKKAM
2015

19/08/ 19/08/ KANIPAKKAM


2015 2015
21/08/ 21/08/ KANIPAKKAM
2015 2015

25/08/ 25/08/ KANIPAKKAM


2015 2015

25/08/ 25/08/ KANIPAKKAM


2015 2015

25/08/ 25/08/ KANIPAKKAM


2015 2015

25/08/ 25/08/ KANIPAKKAM


2015 2015

Description

Chequ
e No

DR

CR

BY TRANSFER
CQSC:01728CC1
50000546ChNo:
478847
TRANSFER
FROM
97955017281
CREDIT
00646144
Deposit by TF
CREDIT
00039106
Deposit by TFDD
CREDIT
00818446
Deposit by TF
CREDIT
00658088 TF DD
CHQ TRANSFE
M /S SUMATHI
TRA
IDIBR520150813
11622967
CHQ TRANSFE
TARIFF
CHARGES
IDIBR520150813
11622967
CHQ TRANSFE
BY TRANSFER
fobc 511 relaised
TRANSFER
FROM
97955017281
BY TRANSFER
obc relaised
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000567ChNo:
5815 TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000576ChNo:
863271
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000578ChNo:
382232
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000577ChNo:
968138
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000579ChNo:
525588
TRANSFER
FROM
97955017281

Page No: 3

Balance

100116.00 1686285.60C
R

1160.00 1687445.60C
R
1160.00 1688605.60C
R
1160.00 1689765.60C
R

009020
00

863788.00

1160.00 1690925.60C
R
827137.60CR

009020
00

5.00

827132.60CR

009034
01

12500.00

814632.60CR
25725.00 840357.60CR

1116.00 841473.60CR

1116.00 842589.60CR

1116.00 843705.60CR

4464.00 848169.60CR

5000.00 853169.60CR

100116.00 953285.60CR

STATEMENT OF ACCOUNT from 01/08/2015 to 15/09/2015 for Account Number 478553665.

Value
Date

Post
Date

Remitter
Branch

26/08/ 26/08/ CHITTOOR


2015 2015 MAIN
01/09/ 01/09/ KANIPAKKAM
2015 2015

01/09/ 01/09/ KANIPAKKAM


2015 2015

01/09/ 01/09/ KANIPAKKAM


2015 2015
01/09/ 01/09/ KANIPAKKAM
2015 2015

02/09/
2015
03/09/
2015

02/09/ KANIPAKKAM
2015
03/09/ MUMBAI FORT
2015

03/09/ 03/09/ MUMBAI FORT


2015 2015

07/09/ 07/09/ KANIPAKKAM


2015 2015

07/09/ 07/09/ KANIPAKKAM


2015 2015

07/09/ 07/09/ KANIPAKKAM


2015 2015

08/09/ 08/09/ KANIPAKKAM


2015 2015

Description

Chequ
e No

CAS SINGLE
009034
TRIPLEX
02
AGENCIES CTR
CLG
BY TRANSFER
CQSC:01728CC1
50000593ChNo:
350150
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000594ChNo:
232244
TRANSFER
FROM
97955017281
BY TRANSFER
Transfer tf obc
563 TRANSFER
FROM
478553643
BY TRANSFER
CQSC:01728CC1
50000583ChNo:
44973
TRANSFER
FROM
97955017281
CASH DEPOSIT
Deposit by SELF
C/AC FEES MR
R
VENKATARAMA
NB20501509037
614 TRANSFER
FROM
99634000120
C/AC FEES MR
R
VENKATARAMA
NB20501509037
666 TRANSFER
FROM
99634000120
BY TRANSFER
CQSC:01728CC1
50000600ChNo:
553037
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000605ChNo:
648231
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000606ChNo:
647587
TRANSFER
FROM
97955017281
BY TRANSFER
CQSC:01728CC1
50000607ChNo:
484382
TRANSFER
FROM
97955017281

DR

48675.00

Page No: 4

CR

Balance

904610.60CR

10000.00 914610.60CR

1500.00 916110.60CR

1250.00 917360.60CR

1116.00 918476.60CR

46272.00 964748.60CR
1116.00 965864.60CR

1116.00 966980.60CR

100000.00 1066980.60C
R

3000.00 1069980.60C
R

1116.00 1071096.60C
R

1116.00 1072212.60C
R

STATEMENT OF ACCOUNT from 01/08/2015 to 15/09/2015 for Account Number 478553665.

Value
Date

Post
Date

Remitter
Branch

08/09/ 08/09/ KANIPAKKAM


2015 2015

Description

Chequ
e No

DR

BY TRANSFER
CQSC:01728CC1
50000625ChNo:
944804
TRANSFER
FROM
97955017281

Page No: 5

CR

Balance

1116.00 1073328.60C
R

* Statement Downloaded By ANNADANA SCHEME ACCOUNT on Tue Sep 15 10:26:23 IST 2015
Unless a constituent notifies the Bank immediately of any discrepancy found by him/her in this statement of a/c, it will be taken that he has found
the a/c correct.

END OF STATEMENT - from Internet Banking.

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