This bank statement summarizes Amanda Delos' account activity from January 2021 through August 2021. It shows an opening balance of $3,000, total payments in of $1,995 and total payments out of $1,895, leaving a closing balance of $3,100. Key transactions included payments to a mortgage, UK provident fund, and various companies, as well as deposits from employers.
This bank statement summarizes Amanda Delos' account activity from January 2021 through August 2021. It shows an opening balance of $3,000, total payments in of $1,995 and total payments out of $1,895, leaving a closing balance of $3,100. Key transactions included payments to a mortgage, UK provident fund, and various companies, as well as deposits from employers.
This bank statement summarizes Amanda Delos' account activity from January 2021 through August 2021. It shows an opening balance of $3,000, total payments in of $1,995 and total payments out of $1,895, leaving a closing balance of $3,100. Key transactions included payments to a mortgage, UK provident fund, and various companies, as well as deposits from employers.
Current Account Statement See reverse for call time Account Name AMANDA DELOS www.us.hsbc.com Account number 009923435 Sort Code 40-05-15 502 2// 3 4562 004562 00434 00564 203456
Opening Balance $ 3,000,.00
Payments In $ 1,995.00 Payments Out $ 1,895.00 Closing Balance $ 3,100.00 Account Type CURRENT
07th Aug 2021 International Bank Account Number
IDLGB225278/00783233 AMANDA DELOS Apt 11, 60 E Main Street, FONDA, NY 12068 HSBCUS2LCDX United States
Transactions Description Date Continued Details Money out Money in Balance
11 Jan 21 Balance B/F 3,0000.00
Received from IBM UK 18 Jan 21 Jan. 2010 Credit 1,0000.00 4,0000.00 Payment to Natwest Mtge Payt 14 Feb 21 Ref: 001587905 Debit 300,0.00 3,7000.00 Payment to UK provident Fund by 28 Feb 21 Draft Debit 200,0.00 3,5000.00 05 Mar 21 Direct Debit HSBC UK Debit 1,000.00 2,5000.00 Received from Microsoft UK 21 Mar 21 Account 504X0649 Credit 300,00.00 2,8000.00 29 Mar 21 Transfer from Sort Code 20-10-53 Credit 500,00.00 3,3000.00 08 May21 Payment to Exxon Mobil Unlimited Debit 100,00.00 3,2000.00 15 May 21 Received from British Petroleum Credit 55,0.00 3,2500.00 29 May 21 Payment to Board of Internal Debit 5,000,0.00 3,2500.00 02 July 21 Direct Debit HSBC China Debit 10,000.00 3.2400.00 07 Aug 21 Closing Balance 3,1000.00
Correspondence: HSBC Bank USA Sort Code 40-05-15 Statement page 1