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DDA 20211018 42610929190

ACCOUNT STATEMENT

BRANCH : Haddows Road


STATEMENT DATE : 18 Oct 2021
MR PALASH SARKAR
CURRENCY : INR
SCOPE INTERNATIONAL PVT LTD
NO 1HADDOWS ROAD ASIA BUILDING ACCOUNT TYPE : aXcess Plus - STAFF
1ST FLOOR PAYMENT DEPARTMENT ACCOUNT NO. : 42610929190
CHENNAI 600006 NOMINEE REGISTERED : Yes
TAMIL NADU
INDIA

BRANCH ADDRESS:
Grindlays Garden No 1, Haddows Road, Nungambakkam Chennai 600006
MICR: 600036007 , IFSC: SCBL0036079 , PHONE NO.: 044-3081 8223

Value
Date Description Cheque Deposit Withdrawal Balance
Date
19 Sep 21 19 Sep 21 BALANCE FORWARD 590.44
24 Sep 21 24 Sep 21 NET PAY SEP 2021 57,344.00 57,934.44
IMPS/P2A/126711311665/4073101100035 55,000.00 2,934.44
BKID0004073
DEBARATI SARKAR
OWN FUNDS TRANSFER
UPI/126734966898/ 400.00 2,534.44
RAJKUMAR
DEBNATH/AMZN0007525059@APL/SBIN0004233/
00000037845047229/UPI/
126734966898/
27 Sep 21 26 Sep 21 PURCHASE RELIANCE TRENDS 399.00 2,135.44
KOLKATA IN 20:31:31/008267
00000000039900/INR
4585460014446265/1/126915279452
30 Sep 21 30 Sep 21 UPI/127362050183/ 7,000.00 9,135.44
407310110003555/DEBARATI131@OKHDFCBANK/
DEBARATI SARKAR/BKID0004073/UPI/
127362050183/
UPI/127362055879/ 6,000.00 15,135.44
407310110003555/DEBARATI131@OKHDFCBANK/
DEBARATI SARKAR/BKID0004073/UPI/
127362055879/
IMPS/P2A/127321099020/2954060000468 13,080.00 2,055.44
BARB0TEGHAR
PALASH SARKAR
HOME LOAN
SAVING A/C CREDIT INTEREST 464.00 2,519.44
06 Oct 21 06 Oct 21 UPI/127960476323/ 395.00 2,124.44
VINOTH V/Q696499438@YBL/SBIN0007597/
00000033447888606/UPI/
127960476323/
07 Oct 21 07 Oct 21 UPI/128067499856/ 232.00 1,892.44
ECOMEXPRESS/PAYPHI.ECOMEXPRESS@ICICI/I
CIC0000004/
000405115584/UPI/
128067499856/

Bank deposits are covered under the insurance scheme offered by DICGC upto an aggregate value of Rs 5 lakh per depositor
Please register the Nomination details for your Savings/Deposit accounts if not done, by contacting our branch.
Report irregularities in your statement within 30 days from statement date or 21 days from date of transaction for domestic debit card transactions

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Date Value Description Cheque Deposit Withdrawal Balance
Date
07 Oct 21 07 Oct 21 BALANCE FORWARD 1,892.44
UPI/128078332329/ 270.00 1,622.44
PRASANTA
SAMANTA/Q27832868@YBL/SBIN0012384/
00000020212368758/UPI/
128078332329/
11 Oct 21 10 Oct 21 UPI/128330096502/ 330.00 1,292.44
SK AFSAR ALI/Q186354107@YBL/KARB0000662/
6622500100843101/UPI/
128330096502/
16 Oct 21 16 Oct 21 UPI/128951192953/ 70.00 1,222.44
GUPTA MOMO
CORNER/PAYTMQR28100505010111W2CAFMIH7C
@
MC100000429909/UPI/
128951192953/
UPI/128951222613/ 140.00 1,082.44
SK MOSARAF
ALI/Q264563201@YBL/UTIB0000669/
921020016805923/UPI/
128951222613/
18 Oct 21 17 Oct 21 UPI/129065678333/ 83.00 999.44
SURAJ
CHAKRABORTY/JOYC443@OKSBI/BARB0BIRATI/
29678100015343/UPI/
129065678333/
TOTAL 70,808.00 70,399.00 999.44

REWARD POINTS STATEMENT FOR 42610929190


(Till 2021-10-18)
Scheme Opening Points Points Adjustment Closing Balance
Balance Accrued Redeemed Bonus

Reward Plus 2021 300 4 0 0 304

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