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MR KAM YIU CHUNG

FLAT F ,11/F,BLK 2,WEST KOWNOON DSQ


22 FUKLEE STREET
TAI KOK TSUI KLN

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M Date: 10 March 2018

Savings account number : 183-8-006284

Consolidated statement for savings account

The transactions below have been consolidated and displayed in your passbook as one single entry.

Date Withdrawal Deposit Terminal Bank's reference


number

27 Jan 18 HKD8,047.80 0000A NBD CONSOL


30 Jan 18 HKD500.00 5981J NTW PPS
31 Jan 18 HKD14,663.33 9995A NTD AUTO CR
1 Feb 18 HKD2,195.00 5982J NTW PPS
31 Jan 18 HKD399.48 9995J NTW AUTOPAY
5 Feb 18 HKD4,336.67 9998J NTW CR CARD
6 Feb 18 HKD506.45 9995J NTW AUTOPAY
6 Feb 18 HKD649.74 9995J NTW AUTOPAY
6 Feb 18 HKD780.47 9995J NTW AUTOPAY
6 Feb 18 HKD1,178.35 9995J NTW AUTOPAY
6 Feb 18 HKD1,833.86 9995J NTW AUTOPAY
8 Feb 18 HKD2,168.40 9993J NTW LOAN REP
9 Feb 18 HKD529.73 5981J NTW PPS
9 Feb 18 HKD246.00 5991J NTW PPS
9 Feb 18 HKD2,238.40 9993J NTW LOAN REP
9 Feb 18 HKD40,000.00 6B26A NBD
10 Feb 18 HKD10,000.00 5922J NTW ONLINE
14 Feb 18 HKD20,000.00 F31EA NTW ONLINE
22 Feb 18 HKD2,000.00 5923J NTW ONLINE
28 Feb 18 HKD14,663.33 9995A NTD AUTO CR
1 Mar 18 HKD2,195.00 5997J NTW PPS
2 Mar 18 HKD500.00 5983J NTW HKJC
2 Mar 18 HKD3,300.00 F346A NTW ONLINE
6 Mar 18 HKD4,336.67 9998J NTW CR CARD
6 Mar 18 HKD506.45 9995J NTW AUTOPAY
6 Mar 18 HKD649.74 9995J NTW AUTOPAY
6 Mar 18 HKD780.47 9995J NTW AUTOPAY
6 Mar 18 HKD1,178.81 9995J NTW AUTOPAY
6 Mar 18 HKD1,833.86 9995J NTW AUTOPAY
7 Mar 18 HKD411.03 9995J NTW AUTOPAY
8 Mar 18 HKD102.00 9995J NTW CLP
8 Mar 18 HKD1,192.00 9995J NTW C GAS
8 Mar 18 HKD2,168.40 9993J NTW LOAN REP
9 Mar 18 HKD2,238.40 9993J NTW LOAN REP
Net amount Back item count
HKD6,419.08 34
Passbook balance Unposted interest on the passbook
HKD865.12
Ledger balance Prior to Jul 17 HKD258.70
HKD7,543.69 Jul 17 to Dec 17 HKD0.79

ATM Cash withdrawal or transfer transaction through automatic teller machines


CONSOL Net amount of the last consolidated statement
EC Correction NBW Cash withdrawal NTD Transfer or salary deposit
IDM Instant deposit NCQ Cheque deposit NTW Transfer withdrawal
NBD Cash deposit NRC Returned cheque withdrawal S INST Standing instruction
08 SAVSTM0003
Change of correspondence address / telephone number instruction
Date:
With effect from , please change my/our records as follows: ______________
______________________________________________________

New correspondence address (Address type Residence Office Other

_________________________________________________________________________________________________________________________________________

_________________________________________________________________________________________________________________________________________

New telephone number Residence (1) _______________ Office (1) _________________ Mobile phone/pager (1) ____________________

(2) _______________ (2) _________________ (2) ____________________

Please update the above change(s) to the records of the following account(s)/services in Hong Kong
All personal sole/joint accounts maintained in your Bank with identification document number(s) stated below:
_____________________________________________________________________________________________

Account(s) shown overleaf and my/our other account(s) with number(s):


_____________________________________________________________________________________________________________

________________________________________________________________________________________________ ______________________________________________
Signature(s) Identification document number(s)

________________________________

___________________________________________________________________________
Please detach the completed instruction form and return by mail to GPO Box 64, Hong Kong.

Information about statement


Abbreviations:
AUD - Australian dollar CAD - Canadian dollar AUD - CAD -
CHF - Swiss franc CNY - Renminbi CHF - CNY -
EUR - Euro GBP - Pound sterling EUR - GBP -
HKD - Hong Kong dollar JPY - Japanese yen HKD - JPY -
MYR - Malaysian ringgit PHP - Philippine peso MYR - PHP -
THB - Thai baht NZD - New Zealand dollar THB - NZD -
SGD - Singapore dollar USD - US dollar SGD - USD -

Important note:
1. Any errors or discrepancies on the statement should be reported to the Bank within 90 1. 90
days of the date of statement. For details, please refer to our General Terms and
Conditions which may vary from time to time. 2.
2. All cheques and other monetary instruments accepted for deposit into an account are
credited subject to final payment and proceeds will not be available until they have 3. 28
been cleared. The Bank reserves the right to charge the account with items which are
subsequently returned unpaid.
4.
3. In the event that the account is overdrawn, charges in the form of interest will be
debited from the account on 28th of every month. Should the debit date fall on a bank
holiday, such charges will be levied on the working day before the holiday. 5.
4. Information included is for reference only. In particular, transactions performed or 6. 64
instructions received on or about the statement date may not have been taken into
account.
5. The financial information shown on the front is for the period from the previous
statement date up to the date of this statement.
6. Please address correspondence to GPO Box 64, Hong Kong.
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183-8-006284
If you have any queries, please call (852) 2233 3322 for HSBC Premier customers, (852) 2748 8333 for HSBC
Advance customers, (852) 2233 3000 for Other Personal Banking customers or (852) 2748 8288 for
Commercial customers.
(852) 2233 3322 (852) 2748 8333
(852) 2233 3000 (852) 2748 8288

ATM Cash withdrawal or transfer transaction through automatic teller machines


CONSOL Net amount of the last consolidated statement
EC Correction NBW Cash withdrawal NTD Transfer or salary deposit
IDM Instant deposit NCQ Cheque deposit NTW Transfer withdrawal
NBD Cash deposit NRC Returned cheque withdrawal S INST Standing instruction
08 SAVSTM0003

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