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______________________________________lnL; iklcqd / Member Passbook______________________________________

LFkkiuk vkbZMh@uke | Establishment ID/Name TBTAM0060212000 / CLASSIC SERVICES


lnL; vkbZMh@uke | Member ID/Name TBTAM00602120000034221 / GOVINDHAN S
tUe frfFk | DOB 15-MAY-1998
;w , u | UAN 101343773249

bZih,Q iklcqd foRrh; o"kZ 2020-2021 EPF Passbook [ Financial Year - 2020-2021 ]
osru ekg / fooj.k / Particulars tek bZih,Q bZih,l tek / Deposit fudklh / isU'ku
Wage fudklh osru / osru / Withdrawal vU'knku /
Month fnukaWd / EPF EPS Pension
Date of Wages Wages deZpkjh fu;ksDrk deZpkjh fu;ksDrk Contribu
Credit / vU'knku / vU'knku / vU'knku vU'knku
/ tion
Employee Employer /Employee Employer
Withdra Share Share Share Share
wal
Opening Balance 0 0 0

MAR-2020 Cont. for Due-Month 042020 0 0 0

APR-2020 Cont. For Due-Month 052020 17-06-2020 12,224 12,224 1,467 449 1,018

MAY-2020 Cont. For Due-Month 062020 17-07-2020 12,224 12,224 1,222 204 1,018

JUN-2020 Cont. for Due-Month 072020 0 0 0

JUL-2020 Cont. For Due-Month 082020 30-09-2020 8,964 8,964 896 149 747

AUG-2020 Cont. For Due-Month 092020 31-10-2020 12,224 12,224 1,467 449 1,018

SEP-2020 Cont. For Due-Month 102020 20-11-2020 11,955 11,955 1,435 439 996

OCT-2020 Cont. For Due-Month 112020 14-12-2020 12,520 12,520 1,502 459 1043

OCT-2020 Claim Against PARA 68J 27-11-2020 0 0 23,000 0

NOV-2020 Cont. For Due-Month 122020 18-01-2021 13,414 13,414 1,610 493 1,117

DEC-2020 Cont. For Due-Month 012021 16-02-2021 13,414 13,414 1,610 493 1,117

JAN-2021 Cont. For Due-Month 022021 08-03-2021 12,981 12,981 1,558 477 1,081

FEB-2021 Cont. For Due-Month 032021 15-04-2021 13,414 13,414 1,610 493 1,117

Int. Updated upto 31/03/2021 252 309 0

Closing Balance 9,929 10,007 10,272

TRANSFER IN - SAME OFFICE(Old Member Id-:TBTAM14751190000010527 ) 9,994 3,054 0

TRANSFER IN - SAME OFFICE(Old Member Id-:TNMAS00859710000011896 ) 7,427 2,270 0

TRANSFER IN - INTEREST AMOUNT ONLY(Old Member Id-:TBTAM14751190000010527 ) 504 154 0

TRANSFER IN - INTEREST AMOUNT ONLY(Old Member Id-:TNMAS00859710000011896 ) 375 115 0

--fooj.k dh lekfIr-- eqfnzr 04-12-2021 10:49:02


--End Of Statement-- Printed On
izfr[;ku & mij nh xbZ tkudkjh dsUnzh; loZj ij nh xbZ tkudkjh ds vk/kkj ij gSA ;g tkudkjh dkuwuh iz;kstu ds fy, mi;ksx ugha dh tk ldrh gSaA
Disclaimer - Information shown above is based on available data on central server.This information may not be use for legal purpose.
--------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
* Please never respond to any call for sharing any personal details like Aadhar, PAN, Bank details, OTP or request for any payment.
* EPFO never calls members/ pensioners to deposit any amount.
* Please do not make any payment based on any such call.
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TBTAM00602120000034221 Page 1 of 2
______________________________________lnL; iklcqd / Member Passbook______________________________________
LFkkiuk vkbZMh@uke | Establishment ID/Name TBTAM0060212000 / CLASSIC SERVICES
lnL; vkbZMh@uke | Member ID/Name TBTAM00602120000034221 / GOVINDHAN S
tUe frfFk | DOB 15-MAY-1998
;w , u | UAN 101343773249

bZih,Q iklcqd foRrh; o"kZ 2021-2022 EPF Passbook [ Financial Year - 2021-2022 ]
osru ekg / fooj.k / Particulars tek bZih,Q bZih,l tek / Deposit fudklh / isU'ku
Wage fudklh osru / osru / Withdrawal vU'knku /
Month fnukaWd / EPF EPS Pension
Date of Wages Wages deZpkjh fu;ksDrk deZpkjh fu;ksDrk Contribu
Credit / vU'knku / vU'knku / vU'knku vU'knku
/ tion
Employee Employer /Employee Employer
Withdra Share Share Share Share
wal
Opening Balance 9,929 10,007 10,272

MAR-2021 Cont. For Due-Month 042021 06-05-2021 10,540 10,540 1,265 387 878

APR-2021 Cont. For Due-Month 052021 09-06-2021 13,473 13,473 1,617 495 1,122

MAY-2021 Cont. For Due-Month 062021 30-06-2021 13,458 13,458 1,615 494 1,121

JUN-2021 Cont. For Due-Month 072021 27-07-2021 12,125 12,125 1,455 445 1,010

JUL-2021 Cont. For Due-Month 082021 09-09-2021 12,530 12,530 1,504 460 1,044

AUG-2021 Cont. For Due-Month 092021 04-10-2021 12,575 12,575 1,509 462 1,047

SEP-2021 Cont. For Due-Month 102021 06-11-2021 12,575 12,575 1,509 462 1,047

OCT-2021 Cont. For Due-Month 112021 29-11-2021 11,602 11,602 1,392 426 966

NOV-2021 Cont. for Due-Month 122021 0 0 0

DEC-2021 Cont. for Due-Month 012022 0 0 0

JAN-2022 Cont. for Due-Month 022022 0 0 0

FEB-2022 Cont. for Due-Month 032022 0 0 0

Interest details N/A 0 0 0

Closing Balance 21,795 13,638 18,507

--fooj.k dh lekfIr-- eqfnzr 04-12-2021 10:49:02


--End Of Statement-- Printed On
izfr[;ku & mij nh xbZ tkudkjh dsUnzh; loZj ij nh xbZ tkudkjh ds vk/kkj ij gSA ;g tkudkjh dkuwuh iz;kstu ds fy, mi;ksx ugha dh tk ldrh gSaA
Disclaimer - Information shown above is based on available data on central server.This information may not be use for legal purpose.
--------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------
* Please never respond to any call for sharing any personal details like Aadhar, PAN, Bank details, OTP or request for any payment.
* EPFO never calls members/ pensioners to deposit any amount.
* Please do not make any payment based on any such call.
--------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------------

TBTAM00602120000034221 Page 2 of 2

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