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City Bank Statement

This document is a bank statement for an account held at Savings Bank from February 1, 2023 to March 31, 2023. It shows deposits totaling 55,000 GBP and withdrawals totaling 42,000 GBP, leaving a balance of 11,000 GBP as of March 31, 2023. Various transactions are listed, including cash deposits and withdrawals, cheque transfers, charges, and payments.

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100% found this document useful (1 vote)
3K views1 page

City Bank Statement

This document is a bank statement for an account held at Savings Bank from February 1, 2023 to March 31, 2023. It shows deposits totaling 55,000 GBP and withdrawals totaling 42,000 GBP, leaving a balance of 11,000 GBP as of March 31, 2023. Various transactions are listed, including cash deposits and withdrawals, cheque transfers, charges, and payments.

Uploaded by

Na Bil
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
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STATEMENT OF ACCOUNT

Savings Bank Deposits


Opening Date : 15/06/2018 Currency Code: GBP
MST KULS
M.
MdFAISSEL
Arfan
Miraz LAHOUIR
Ahmed
Res Essalam Imm B2 Interest Rate: 3.00 %
Holding
Nr 05 SidiNo
Holding 23257 Demra
Jigatala
Maarouf casa
SUNAMGA Casablanca,20720
Dhaka 1362 Dhaka 1209
Dhanmondi
United kingdom Date:
Date: 01/02/2021
01/02/2023To
to 31/03/2021
31/03/2023

Account No.0084-03100052863

DATE PARTICULAR WITHDRAWAL DEPOSIT BALANCE

01/03/2021
01/02/2023 CASH 20,000.00 20,000.00
03/02/2023 TRANSFER CHEQUE BOOK 1,000.00 00.00 19,000.00
10/02/2023 CASH WITHDRAW FROM ATM 2,000.00 00.00 17,000.00
14/02/2023 CASH RECIVED 00.00 5,000.00 22,000.00
17/02/2023 TRANSFER CHEQUE BOOK 4,000.00 00.00 18,000.00
20/02/2023 CASH WITHDRAW 5,000.00 00.00 13,000.00
05/03/2023 CASH DEPOSIT BY CASH 00.00 10,000.00 23,000.00
09/03/2023 TRANSFER CHEQUE BOOK 3,000.00 00.00 20,000.00
12/03/2023 CASH PAYMENT 4,000.00 00.00 16,000.00
13/03/2023 CASH RECIVED 00.00 20,000.00 36,000.00
14/03/2023 CASH PAY 3,000.00 00.00 33,000.00
19/03/2023 CASH RECEIVED 1,000.00 00.00 32,000.00
20/03/2023 TRANSFER CHEQUE BOOK 1,000.00 00.00 31,000.00
21/03/2023 CASH WITHDRAW FROM ATM 2,000.00 00.00 29,000.00
22/03/2023 CHARGE SMS Banking Renewal 3,000.00 00.00 26,000.00
23/03/2023 Charge incl. VAT July-Dec 2019 2,000.00 00.00 24,000.00
24/03/2023 CASH PAY TO MD RAMJAN 2,000.00 00.00 22,000.00
25/03/2023 CHARGE Maintenance Charge 3,000.00 00.00 19,000.00
27/03/2023 Including Vat 5,000.00 00.00 14,000.00
28/03/2023 EXCISE DUTY Excise Duty 3,000.00 00.00 11,000.00
Total : 42,000.00 55,000.00

Authorized

Flora Bank Printing Da


05/04/2023

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