E Statement
E Statement
E Statement
ACCOUNT STATEMENT
BRANCH Pune :
STATEMENT DATE :
30 Sep 2022
MR VARUN KUMAR BAWA
CURRENCY INR :
KUMAR PHOTO STUDIO
TIBRA ROAD ACCOUNT TYPE :
SMART BANKING SAVINGS
MODI NAGAR ACCOUNT
GHAZIABAD 201204 ACCOUNT NO. : 22911087652
UTTAR PRADESH NOMINEE REGISTERED : No
INDIA
BRANCH ADDRESS:
Standard Chartered Bank, Shop no. 5 ICC Tech Park, Next to Pantaloons, Senapati Bapat Road, Pune 411016
MICR: 411036002 , IFSC: SCBL0036050 , PHONE NO.: 9028006252
Value
Date Description Cheque Deposit Withdrawal Balance
Date
01 Sep 22 01 Sep 22 BALANCE FORWARD 0.69
IMPS 224414924330 9536657419 25,000.00 25,000.69
ASHA DEVI W/ORAJENDR PNB BANK LIMITED
F73917D1-D528-4B50-9143-9DEEA3A8DD65
BILL PAYMENT
PURCHASE GLOBALPAYMENTSEPAYGATE 24,907.50 93.19
MUMBAI IN 14:17:14/002760
00000002490750/INR
4987590002727633/1/224408959667
02 Sep 22 02 Sep 22 NEFT N245222101190941 166,311.00 166,404.19
SCADEA SOFTWARE SOLUTIONS PVT LTD HDFC
BANK
IN5IN220902003DX
REMITINFORMATION 1REMITINFORMATION
NACH DR OW BAJA1600000000050722 16,354.00 150,050.19
402SPF81156974 SCBL00022205392217
22205392217 BAJAJ FINSERVE
2209-020904366900 150,000.00 50.19
RAJENDRA PUNJAB NATIONAL BANK
224509919563 IMPS P2A
06 Sep 22 06 Sep 22 NACH DR OW BAJA1600000000050722 12,708.00 12,657.81-
402SPF81156974 SCBL00022205392217
22205392217 BAJAJ FINSERVE
NACH DR OW BAJA1600000000050722 12,708.00 50.19
402SPF81156974 SCBL00022205392217
22205392217 BAJAJ FINSERVE
07 Sep 22 07 Sep 22 06092022AIL202010240934 4,010.00 3,959.81-
NACH DR IW:SCBL0000000001040865
CLIX CAPITAL SERVICE NACH00000000006089
SCBL0036050
06092022AIL202010240934 4,010.00 50.19
NACH DR IW:SCBL0000000001040865
CLIX CAPITAL SERVICE NACH00000000006089
SCBL0036050
12 Sep 22 12 Sep 22 944698859 4,010.00 3,959.81-
NACH DR IW:SCBL0000000001040865
TP ACH CLIXCAPITAL NACH00000000006089
SCBL0036050
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