Yapm 690
Yapm 690
Tariff Sheet Details the Rate / Amount of brokerage and other charges payable by the client. 7
Running Account Authorization Running Account Authorization for holding funds for day to day ledger debit & margin 16
requirement.
DDPI DDPI is necessary for easy pay-in, pay-out and pledge-repledge and margin requirement 17
for exchange purpose
Option Form for DIS Booklet Option form for issue of DIS Booklet in case of Demat BO a/c in CDSL DP 19
Consent Letter Consent letter for availing BSE StAR MF/ NSE MFSS 20
For any grievance/dispute please contact VNS Finance & Capital Services Ltd. at the below address and / or email id: support@vnsfin.com and / or
Phone No. +91-22-4081-1019 attention to Mr. Vinay Jha (compliance officer) Email id: vinay.jha@vnsfin.com. In case you are not satisfied with the
response, please contact the concerned exchange(s). For NSE at [ignse@nse.co.in Ph No. 91-22-2659-8190]. For BSE at [is@bseindia.com Ph No. 91-
22-2272 1233/2272 8138].
VNS FINANCE AND CAPITAL SERVICES LIMITED
CIN No.-U67120UP1995PLC018225
NSE/BSE/Cash/Currency/F&O SEBI REGISTRATION NO : INZ000247736
NSE CODE NO. 09643/BSE CODE NO. 3279
DP ID: 30400SEBI REGISTRATION NO. IN –DP-CDSL-208-2003
Clearing Member (NSE-BSE EQ, NSE-BSE FNO, NSE-BSE CURRENCY) VNS FINANCE AND CAPITAL SERVICES LIMITED
YAPM690 INTERNET
Demat a/c opened on A/c opened by BO ID
12030400
Online(s)
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Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
SECTION F Copy of cancelled cheque leaf/ pass book/bank statement specifying name of the constituent, MICR Code or/ and IFSC
Code of the bank should be submitted.
SECTION G COPY OF DEMAT MASTER OR RECENT HOLDING STATEMENT ISSUED BY DP BEARING NAME OF CLIENT
For Individuals: For non-Individuals:
1. Stock broker has an option of doing ‘in-person’ verification through web Form needs to be initialized by all the authorized signatory.
camera at the branch office of the stock broker/ sub-broker’s office. 2. Copy of Board Resolution as declaration (on the letterhead) naming the persons
2. In case of non-resident clients, employees at the stock broker’s local office, authorized to deal in securities on behalf of company/firm/others and their
overseas can do in-person verification. Further, considering the infeasibility specimen signatures.
of carrying out ‘In-person’ verification of the non-resident clients by the
stock broker’s staff, attestation of KYC documents by Notary Public, Court,
Magistrate, Judge, Local Banker, Indian Embassy / Consulate General in the
country where the client resides may be permitted.
SECTION H KYC REGISTRATION AGENCY (KRA)
If you have already processed your identity using a KYC system with any broker, depository participant, or other registered intermediary in India, you are exempt from
the following:
• Providing us with a Proof of Identity Providing us with a Proof of Address
Ensure that your address and identity details that were registered by the intermediary are up to date. If you feel that it may be incorrect, or you have updated your
address in the last 12 months, please provide the above proofs to ensure that your account is opened on time.
You can check if you are in the KRA system by visiting http://www.cvlkra.com/kycpaninquiry.aspx and entering your PAN card
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
YAPM690
PLEASE AFFIX A
KNOW YOUR CUSTOMER (KYC) FORM FOR INDIVIDUALS RECENT PASSPORT
TRADING APPLICATION FORM PHOTOGRAPH AND
Please type or print legibly (In English and in BLOCK Letters with BLACK ink) on each field. Sign all SIGN ACROSS[1] X
areas highlighted with the yellow color. Please courier the completed forms along with the
necessary proofs to our corporate Office in Mumbai.
SECTION A IDENTITY
NAME (AS PER PAN CARD)
MAHESWAR REDDY KOTHAPETA
FATHER / SPOUSE’S NAME MOTHER'S NAME
K KRISHNA REDDY K PADMAVATHI
GENDER ✔ MALE FEMALE TRANSGENDER MARITAL STATUS SINGLE ✔ MARRIED
STATUS ✔ RESIDENT INDIVIDUAL NON RESIDENT FOREIGN NATIONAL (PASSPORT COPY MANDATORY)
NATIONALITY DATE OF BIRTH (DD/MM/YYYY) PAN CARD NUMBER
Indian 01-09-1989 BNWPM9143A
UNIQUE IDENTIFICATION NUMBER (UID)/AADHAAR (IF ANY)
PROOF OF IDENTITY SUBMITTED Aadhaar
EMAIL MOBILE
kothapatimahi@gmail.com 7013187664
ARE YOU REGISTERED ON KRA? ( IF UNSURE ,TICK NO) ✔ YES NO
IF YES MENTION KRA REFRENCE NO. ( ATTACH KRA RECEIPT) _________________________________________
SECTION B CORRESPONDENCE ADDRESS
ADDRESS (PROOF OF ADDRESS MUST BE DIFFERENT FROM PROOF OF IDENTITY)
SIGNATURE
SIGNATURE
X ✔ X ✔ ✔ X
BSE SignatureNo6 BSE SignatureNo7 BSE SignatureNo8
CASH F&O CURRENCY
X ✔ X ✔ X
(IF Partner, Corporate or other Signatory , then sign with company seal)
SECTION F PAST ACTIONS
Details of any action/proceedings initiated/pending/ taken by FMC/ SEBI / Stock exchange / Commodity exchange/any
Other authority against the client during the last 3 year(attach sheet) Yes No ✔
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Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
YAPM690
SUB BROKER NAME SEBI REGISTRATION NO. EXCHANGE(S)
NOMINEE’S ADDRESS
NOMINEE’S PHONE NUMBER NOMINEE’S PAN CARD NUMBER NOMINEE’S DATE OF BIRTH
(DD/MM/YYYY)
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Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
DECLARATION
1. I/We hereby declare that the details furnished above are true and correct to the best of my/our knowledge and
belief and I/we undertake to inform you of any changes therein, immediately. In case any of the above
information is found to be false or untrue or misleading or misrepresenting, I/We am/are aware that I/we may
be held liable for it.
2. I/We confirm having read/been explained and understood the contents of the documents relating to Policies
& procedures of the stock broker, contents of knowledge base, tariff sheet for trading & depository
operations etc as published on the website of the broker. I further confirm that I shall keep myself updated
with the changes on the website from time to time.
3. I/We further confirm having read and understood the contents of the ‘Rights and Obligations’ document(s),
‘Risk Disclosure Document’, provisions given in the rules, regulations & circulars issued by SEBI, Exchanges,
Depositories (CDSL), Reserve Bank of India and all regulators amended/ issued from time to time. I/We do
hereby agree to be bound by such provisions as outlined in these documents. I/We have also been informed
that the standard set of documents has been displayed for Information on Stock Broker’s designated website.
4. I/We declare that I/We am/are opening the trading and demat account for which I/we am/are signing the form
and the required document which are in English. I/we have understood the meaning in Hindi or applicable
vernacular language of the same. I /we accept the terms & conditions of trading form. This is to confirm that
I/We have obtained a copy of KYC document, risk disclosure document, declaration, instruction, DP agreement
etc. duly filled. I/we also confirm that all the requisite parts of the agreement, KYC form etc. were duly filled &
not applicable part has been struck off.
5. I /We confirm having noted that the broker is obliged to disclose to its clients/constituent whether the broker is
trading in his own account or not. Accordingly I/we have been informed that depending upon the market
conditions, the broker, its director or its associates do invest/ trade in capital/ derivative segments.
6. I do hereby declare that I have not been involved in any unlawful activities and I have not been declared a
defaulter under any law or my name is not appearing in defaulter database as per SEBI/ Various Exchange/
Regulatory bodies, etc. I further declare that the above mentioned declaration/ statement is true and correct.
CLIENT’S NAME
MAHESWAR REDDY KOTHAPETA
CLIENT SIGNATURE[9] PLACE DATE(DD/MM/YYYY)
X CHITTOOR 24-Jun-2023
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
YAPM690
TARIFF SHEET**
Trading Plans
EQUITY & FNO Trade @ 0.7 paisa.IntraDayTrade @ 0.007%, Futures: 0.007%, Delivery: 0.07%, Options: Rs 7 per lot
✔ Only Rs 15 per executed order
CURRENCY Trade @ 0.7 paisa.IntraDayTrade @ 0.007%, Futures: 0.007%, Delivery: 0.07%, Options: Rs 7 per lot
✔ Only Rs 15 per executed order
Account Opening Rs.400(Individual), Rs. 1000(Corporate)
DEMAT CHARGES
Annual Maintenance Charges Rs. 300 (Individual), Rs. 1000(Corporate) + GST
Transaction (Debit) through DIS - to CDSL DP & Inter Rs. 25 +GST, In case of BSDA Rs.50 + GST
depository
Inter settlement Transfer for NSDL in Pool Account NSDL Charges+Rs. 12 minimum or 0.01% & maximum Rs. 50
+GST
Pledge Creation for Margin Rs 15/- + GST (per request)
Pledge Release for Margin Rs 15/- + GST (per request)
Pledge Creation by client to outside banks/ institution Rs. 200 per scrip + GST
Remarks:
1. There will be charge of Rs. 200 for dishonor of cheque, each instance.
2. The Depository Services are liable for discontinuation, if the charges as per above tariff are not paid by the client
and remains outstanding.
3. For Physical Contract note(s), statement of holding or transactions, Rs.5 per page of such contract note or
statement (subject to Rs. 25 minimum), + courier charges will be extra.
4. Call N Trade would be charged Rs. 30+ GST per order.
**STT, Exchange transaction charges, SEBI Fee, Clearing Charges ,Stamp duty, GST etc. as applicable, will be extra
AUTHORIZATION FOR ACCOUNT MODIFICATION
If I/We were to add /modify/remove any of my detail including brokerage plans with VNS Finance & Capital Services Ltd.,
I/We authorize you to carry it out based on my request sent through an email to contactus@vnsfin.com or
support@vnsfin.com from my registered email address or intimation through an interface provided by you, whereto I
have been allowed secured access.
FIRST HOLDER
First Holder Name MAHESWAR REDDY KOTHAPETA
Unique Client Code (UCC) YAPM690
Guardian Details (If Sole First Holder is a minor)
Guardian’s Name Relationship
I/We wish to register the following clearing member IDs under my/our below mentioned BO ID registered for trust.
Stock Exchange Name/ID Clearing Member Name Clearing Member ID (Optional)
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
I/We instruct the DP to receive each and every credit automatically in my/our account Yes O
✔ NO O
I/We would like to instruct the DP to accept all the Pledge instructions in my /our account without any other further
instruction from my/our end Yes O NO O ✔
Account Statement Requirement O As per SEBI regulation O Daily O Weekly O Fortnightly O✔ Monthly
I We request you to send electronic transaction cum holding statement at the email Id Yes O
✔ NO O
We would like to receive the Annual Report O Physical O ✔ Electronic O Both Physical & Electronic
(Tick the applicable box. If not marked the default option would be in Physical)
I/We wish to receive the dividend /interest directly into my bank accounts as given above through ECS (If not marked the
default option would be "Yes") {ECS is mandatory for locations notified by SEBI from time to time} Yes O
✔ NO O
DECLARATION
• I / We declare that the particulars given by me/us above are true and to the best of my/our knowledge as on the date
of making this application. I/We agree and undertake to intimate the DP any change(s) in the details / Particulars
mentioned by me / us in this form. I/We further agree that any false / misleading information given by me / us or
suppression of any material information will render my account liable for termination and suitable action.
• I/ We confirm that First Holder is the sole signatory or authorised to operate the Trading Account. I/ We, am/ are
agreeable to open the trading account & give the Power of Attorney to facilitate you to meet pay-in & margin
obligation(s) & other dues pursuant to transactions done through Trading Account with VNS Finance & Capital
Services Ltd. I/ We have read and understood Schedule of Charges on the website and agree that my Beneficiary
Account is subject to the payment of these charges. I/ We agree that the charges as stated herein may be modified/
revised and I/ We agree to pay the charges including any modification/revision thereto from time to time. I/We
hereby agree to provide details to the Stock broker from time to time to comply with the guidelines of Prevention of
Money Laundering Act. I/ We hereby authorise VNS Finance & Capital Services Ltd., to debit all the Demat Account
related charges to my/ our ledger of Trading Account.
• I/ We confirm that I/ We have had no insolvency initiated against me/us nor have I/ we ever been adjudicated
insolvent. I/ We authorise VNS Finance & Capital Services Ltd., any other Group Company or their agents to make
reference and enquiries relating to the information in this application which may be considered necessary by them.
CLIENT’S SIGNATURE 11(FIRSTHOLDER) (SECOND HOLDER) (THIRD HOLDER)
X________________
(To be filled up by the DP)
This is to certify that
MAHESWAR REDDY KOTHAPETA
1. ………………………………………………… ………………………………… 2. ……………………………………………………………………………………………..
3. …………………………………………………………………………………….
We are maintaining BO A/c No. _____________________________with us. We have verified the signatures of the said
account holders and they match with the specimen signatures as per our records.
Date For VNS Finance& Capital Services Ltd.
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Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
Nomination Form (Not applicable for HUF and non Individuals)
O
✔ I/We do not wish to make a nomination
O I/We nominate the following persons who is/are entitled to receive security balances lying in my / our account in the event of my
/ our death.
Nominee1 Nominee2 Nominee3
First Name
Middle Name
Last Name
Address
City & PIN
State
Country
Mobile / Telephone No. of
nominee(s)
Pan No
UID
Email ID of nominee(s)
Relationship with BO
Date of birth – If minor
Guardian First Name -If minor
Guardian Middle Name -If minor
Guardian Last Name -If minor
Address of the guardian
City
State
Country
Pin
Guardian Identification details(PAN)
Mobile / Telephone no. of Guardian
Email Id of Guardian
Relationship of Guardian with
nominee
Share of each Equally
Nominee [If not equally, please
specify percentage]
Residual Securities Please tick any one nominee, if tick not marked the default will be 1st nominee
*Note : Residual securities: incase of multiple nominees, please choose any one nominee who will be credited with
residual securities remaining after distribution of securities as per percentage of allocation. If you fail to choose one such
nominee, then the first nominee will be marked as nominee entitled for residual shares, if any.
This nomination shall supersede any prior nomination made by me / us and also any testamentary document executed by
me / us. Note: One witness shall attest signature(s) / thumb impression(s)
Details of the Witness
Name of Witness
Address of Witness
Signature of Witness
I / We have received and read the Rights and Obligations document and terms & conditions and agree to abide by and be bound by the
same and by the Bye Laws as are in force from time to time. I / We declare that the particulars given by me/us above are true and to
the best of my/our knowledge as on the date of making this application. I/We agree and undertake to intimate the DP any change(s)
in the details / Particulars mentioned by me / us in this form. I/We further agree that any false / misleading information given by me
/ us or suppression of any material information will render my account liable for termination and suitable action.
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Date:
To,
VNS Finance & Capital Services Ltd.
A401-402, Mangalya , Marol Maroshi Road, Andheri East, Mumbai-400059
UCC/DP ID YAPM690
I / We hereby confirm that I / We do not wish to appoint any nominee(s) in my / our trading /
demat account and understand the issues involved in non-appointment of nominee(s) and
further are aware that in case of death of all the account holder(s), my / our legal heirs would
need to submit all the requisite documents / information for claiming of assets held in my / our
trading / demat account, which may also include documents issued by Court or other such
competent authority, based on the value of assets held in the trading / demat account.
* Signature of witness, along with name and address are required, if the account holder
affixes thumb impression, instead of signature
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
YAPM690
ADDITIONAL RIGHTS AND OBLIGATIONS AGREED BY STOCK BROKER AND CLIENT
This is further to rights and obligations of Stock brokers, sub-brokers and clients as prescribed by SEBI and stock Exchanges in
Annexure-4 of SEBI circular CIR/MIRSD/16/2011 dated 22nd August 2011, it is further agreed between the parties as under.
1.2 In the case of cover order (primary order with compulsory stop loss order as second leg) there is a risk of non-execution
of stop loss order due to wild fluctuation or due to exchange action. The broker will not be responsible in such case
1.3. The Stock Broker may, at its sole discretion, reject any order placed due to any reason, including but not restricted to
the non-availability of funds in the trading account of the client, non- availability of securities, insufficiency of margin
amount.
1.4. The Stock Broker may allow / disallow client from trading in any security or class of securities or derivatives contracts
and impose such conditions for trading as it deem fit from time to time. This includes the subscription/redemption in Mutual
Funds Schemes.
1.5. The Client is aware and agrees that the Stock Broker may need to vary or reduce the limits or impose new limits on the
basis of Stock Broker’s risk perception and other factors considered relevant by the Stock Broker, and the Stock Broker may
be unable to inform the client of such variation, reduction or imposition in advance. The Client agrees that the Stock Broker
shall not be responsible for such variation, reduction or imposition.
1.6. Cancellation or modification of an order pursuant to the client's request in that behalf is not guaranteed. The order will
be cancelled or modified only if client's request for cancellation is received on time and the order is successfully cancelled or
modified before it is executed. Market orders are subject to immediate execution wherever possible.
1.7. The Client shall not be entitled to presume an order having been executed, cancelled or modified until a confirmation
from the Stock Broker is received by the client. However due to technical and other factors the confirmation may not be
immediately transmitted to or received by the client and such a delay shall not entitle the client to presume that the order
has not been executed cancelled or modified unless and until the Stock Broker has so confirmed in writing.
1.8. The Client agrees that the Member shall not be liable or responsible for non-execution, non-modification, and non-
cancellation of the orders of the Client due to any link/system failure at the Client/ Stock Broker /Exchange end.
1.9. As per rules of the exchange, SEBI and depositories the client account is deactivated if it remains dormant for the
stipulated period. In such a case the client may reactivate the account by submission of requisite application and proof of
identity.
1.10. The Client agrees that orders, instructions and other communications given or made over the telephone may be routed
through Stock Broker interactive voice response or other telephone system and may be recorded by the Stock Broker. The
Client also agrees that such recording is permissible and the Stock Broker’S records of any orders, instructions and
communications given or made by the client or the Stock Broker by electronic mail, or other electronic means shall be
admissible as evidence and shall be final binding evidence of the same.
1.11. Stock Broker has a system of confirming the trades, ledger balances, Margin and open position in derivatives to the
client on his mobile number & email id given by the client. In case of any discrepancy noticed client is expected to inform
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forthwith to the Stock Broker notice in writing by an electronic mail or fax preferably within 24 hours of receipt. This is
specifically agreed that merely sending mail will not amount to acceptance of mistake by the Member after investigation
3.2 Non- receipt of bounced mail notification by the Stock Broker shall amount to delivery of electronic documents (Digital
Contract notes, Bills, Ledger and Transaction Statements etc. ) at Clients email id.
3.3 In case of any failure in system or errors in digital contract notes, Bills, Ledger and Transaction Statements etc. will be
issued in the physical form, which shall be binding on the client.
3.4 The Stock Broker shall not be responsible for the non-receipt of the trade confirmation due to any change in the
correspondence address of the client not intimated to the Stock Broker in writing. The client is aware that it is his
responsibility to review the trade confirmations, the contract notes, the bills or statements of accounts immediately upon
their receipt. All information contained herein shall be binding upon the client, if the client does not object in writing to any
of the contents of such trade confirmation/intimation to the Stock Broker.
4.2 It is hereby specially agreed and understood between the parties hereto that in case the client deals in physical
shares, he shall be solely responsible in respect of the patawat, bad deliveries and company objections and its auction and
valuation price by the exchange.
4.3 In case of delivery from outside DP the client shall insure the delivery of shares one day earlier to pay-in day of
Exchange. In the case of late pay-in the additional service charges by the DP and /or auction/penalty etc. by the exchange
will be to the account of client. The client shall ensure the pay-in of funds in such a way so that the funds are credited to the
Exchange Clearing account of the broker, one day earlier to the pay-in day of Exchange.
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Stamp Sr. No.: IN-UP95082949361280V
4.4 The Client shall ensure the pay-in of funds in such a way so that the funds are credited to the Exchange Clearing account
of the Member, one day earlier to the pay-in day of Exchange. In case the early pay-in is required by the exchange, the client
shall arrange the money and shares pay-in forthwith as per directions of the exchange
4.5 The client herby unconditionally & willfully agrees for withholding shares/debentures and other corporate securities
received in pay-out in its/his account towards subsequent pay-in/ the margin /mark to market margin for cash as well as
derivative segment.
4.6 The Stock Broker can retain the shares in his Beneficiary Account in case of debit balance in the client's ledger account of
Cash/Derivative Segment.
4.7 The client hereby agrees and acknowledges that the DP charges for operation of his DP account will be debited to his broking
ledger of any segment.
5.2. In the case of short margin the stock broker has right to square up the full or part position / open interest of the
client, whether carry forward trade or intraday trade without giving any notice to client. Besides, the penalty for such
short margin in any segment will be borne by the client and the same will be debited to the Client's ledger account.
5.3 Information about default in payment/delivery and related aspects by a client shall be brought to the notice of the
relevant Stock Exchange(s). In case, where defaulting client is a corporate entity/partnership/proprietor firm or any other
artificial legal entity, then the name(s) of Director(s)/Promoter(s)/Partner(s)/Proprietor as the case may be, shall also be
communicated to the relevant Stock Exchange(s).
6.6 The holding in the beneficiary account (B/O) of the client with the broker DP will be under lien of the Stock Broker till
such debit along with penalty/interest, if any, is paid by the client to the stock Broker. The Stock Broker is also authorized to
sell such shares kept in client BO A/c or with Stock Brokers client beneficiary account if the debit balance is not cleared by
the client within the stipulated period as per the rules.
6.7 In case the client opts for NSE Mutual Fund Service System (MFSS) facility/BSE Star Mutual Fund facility, it is specifically
agreed that stock Broker is authorized to transfer the funds required for subscription alongwith charges thereon, from
client’s ledger account(s) in all/any segment of all/any stock exchange. Further it is to be specifically noted that such service
is not protected by investor Protection Fund or from any fund of NSE or NSCCL or BSE.
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7.2. The Client undertakes to make the payment from his declared bank account only and also in the name of trading
Member only. It is specifically provided that payment given to / in the name of Sub Broker or any employee will not amount
the payment to trading Stock Broker.
7.3. The Client undertakes to not make any payment in cash to any person connected with the company whether Sub Broker
or employee of the company. The broker shall not be responsible and shall not account for any such cash payment deposited
in the banking account of the company directly by the client.
General
7.4. The client agrees to indemnify and keep safe, harmless and indemnified the Stock Broker, Depository Participant and its
officials from any damages, claims, demands, proceedings, loss, cost, charges, penalties and expenses whatsoever which
Stock Broker may at anytime incur, sustain, suffer or be put to as a consequence of or arising out of interference with or
misuse, improper or fraudulent use of the trading system or execution of transactions in commodity market by the Client.
IN WITNESS THEREOF the parties have caused these presents to be executed as of the day and year first above written.
I/We have read and understood the Rights & Obligation of Beneficial Owner and Depository Participant as prescribed by SEBI
& Depositories. I/We hereby acknowledge the receipt of the above mentioned document.
FATCA DECLARATION
1
2
3
# to include all countries other than India, where investor is Citizen / Resident / Green Card Holder / Tax Resident in those respective
countries especially of USA
For VNS Finance& Capital Services Ltd.
X _______________________
Authorised Signatory
CLIENT SIGNATURE [14] Seal/Stamp of Stock Broker
MAHESWAR REDDY KOTHAPETA
Client Name _____________________
24-Jun-2023
Date____________________________
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Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
YAPM690
MAHESWAR REDDY KOTHAPETA having client code________ with VNS Finance & Capital Services Ltd. for trading
I/We_____________________________
on NSE_Cash/NSE_FNO/NSE_Currency/BSE_Cash/BSE_FNO, would like to give instructions for maintaining account on
running basis in terms of SEBI circular number CIR/MRD/DMS/13/2010 dated 23rd April2010. These instructions are being
given voluntarily on ____day of ___month___year. I am aware that these instructions can be revoked at any time by
giving written intimation duly acknowledged by VNS Finance & Capital Services Ltd. at A-401, Mangalya Marol Maroshi
Road, Marol, Mumbai-400059. I am aware that this said revocation will take effect after the completion of pending
obligations in respect of margin and inter-exchange/segment account transfer etc.
1. I/We hereby request you to maintain my account, both securities and funds, in respect of all stock exchanges and all
segments with you on running basis. This will facilitate smoothness in transactions through you.
2. The actual Settlement of funds shall be done at least once in the preference period as selected below :
I request you to settle it on
O Monthly Basis ✔O Quarterly Basis
While settling the account having outstanding obligations on the settlement date, you may retain the requisite funds
towards such obligations and may also retain the funds expected to be required to meet margin obligations for next
5 trading days, calculated in the manner specified by the exchanges.
3. I/We also request you to consider the balances in my/our running funds and securities account with you for the
purpose of margin/any other obligations in relation to trades due to you. In view of the above it would be proper for
you to release the funds and securities due to me/us on my/our specific request, either written or oral. You may
charge the cost of holding securities to my/our account with you.
4. I/We hereby willfully & unconditionally issue standing instruction for transfer of credit/debit balance as appearing in
my ledger account(s) from/to one segment to/from another segment of same stock exchange and/or any segment
of another stock exchange.
5. I/We do hereby request you to release my funds payout based on email request made by me/us.
I/We do hereby give my consent to receive my funds payout in my registered bank account with you through
electronic mode of fund transfer.
6. I/We have the Beneficiary Account with VNS Finance & Capital Services Ltd. (DP Operations). Since the bills for
Depository service are required to be paid every month which is very inconvenient, I/We hereby request you to
debit my ledger account maintained with VNS Finance & Capital Services Ltd. in cash and /or Derivative segment,
with depository charges including pledge charges.
7. I/We may also ask you from time to time to furnish the shares as collateral security to NSE/BSE and/or clearing
member for trading on derivative segment. The transfer and/ or pledge charges in that respect may also be debited
to our NSE/BSE cash and/or Derivatives ledger account.
8. I shall bring any dispute arising from the statement of account or settlement so made to your notice within 30
working days from the date of receipt of funds or statement, as the case may be. In case of non-receipt of any such
communication the statement/settlement of running account shall be considered as final as agreed and accepted by
me.
CLIENT’S NAME
MAHESWAR REDDY KOTHAPETA
CLIENT’S SIGNATURE [15] DATE(DD/MM/YYYY)
X______________ 24-Jun-2023
16
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
YAPM690
Demat Debit and Pledge Instruction
Whereas I/we have a beneficiary account bearing no 12030400 (hereinafter referred to as the said
'BO account')with VNS Finance & Capital Services Ltd. (Hereinafter called as VNS" & also as "DP") DP ID 12030400 with CDSL &
registered as trading member with SEBI as INZ000247736.
And whereas VNS Finance & Capital Services Ltd. (Hereinafter called as VNS), a company registered under the companies act
2013, is a trading member of National Stock Exchange Ltd.(NSE) AND Bombay Stock Exchange Ltd (BSE), hereinafter collectively
referred as Exchange/s) and also registered with SEBI having registration number INZ000247736.
Annexure-A
Sr. Purpose Signature of First/ Signature of Signature of
No. Sole Holder * Second Holder * Third Holder *
1 Transfer of securities held in the
beneficial owner accounts of the client
towards Stock Exchange related
deliveries / settlement obligations arising
out of trades executed by clients on the
Stock Exchange through the same stock
broker.
2 Pledging / re-pledging of securities in
favour of trading member (TM) / clearing
member (CM) for the purpose of meeting
margin requirements of the clients in
connection with the trades executed by
the clients on the
Stock Exchange.
3 Mutual Fund transactions being executed
on Stock Exchange order entry platforms
I understand that I have the option to receive the contract notes in physical form or electronic form. In pursuance of the
same, I hereby opt to receive contract notes in electronic form. I understand that for the above purpose you are required
to take from the client “an appropriate email account” for you to send the electronic contract notes.
I also agree that non -receipt of bounced mail notification by you shall amount to delivery at my email account / email id.
I agree not to hold you responsible for late/non receipt of contract notes sent in electronic form any other
communication for any reason including but not limited to failure of email services, loss of connectivity, email in transit
etc.
I agree that the log report of your dispatching software shall be a conclusive proof of dispatch of contract note to me and
such dispatch shall be deemed to mean receipt by me and shall not be disputed by me on account of any non receipt /
delayed receipt for any reason whatsoever.
I understand that I am required to intimate any change in the email id / email account mentioned herein above needs to
be communicated by me through the physical letter to you, provided however that if I am an internet client than in that
event the request for change in the email id/email account can be made by me through the secured access using client
specific user ID and password. Please treat this authorization as written ratification of my verbal direction/authorization
given any carried out by you earlier. I shall be liable for all losses, damages and actions which may arise as a consequence
of your adhering to and carrying out my directions given above.
Please take the following email account/ email id on the record for sending the contract notes to me. I understand that
you shall send physical copy of contract note within 24 hrs if you receive a bounce email.
ACKNOWLEDGEMENT
I/We hereby acknowledge receipt of the following documents VNS Finance & Capital Services Ltd.,
1. Rights and Obligations of Stock Brokers, Sub-brokers and Clients (including additional rights & Obligations in case of
internet /wireless technology based trading)
2. Risk Disclosure Document for Capital Market and Derivatives Segments.
3. Guidance Note- Do’s and Don’ts for Trading on the Exchange(s) for Investors.
4. The VNS Finance & capital Services Ltd. Tariff Sheet.
5. Instruction Checklist for filling KYC Form
6. Rights & Obligations of Beneficial Owner and Depository Participants as prescribed by SEBI & Depositories
7. Policies and Procedures describing significant policies and Procedure of Stock Broker.
I/we have been informed that the above documents are also available on the company website (http://tradesmartonline.in/)
As well as on (https://www.nseindia.com/) & (http://www.sebi.gov.in/sebiweb/)
I/We understand that the voluntary documents executed by me/us are out of my/our own free will.
I state that I have read and understood all above documents and these documents are binding upon me.
YAPM690
OPTION FORM FOR ISSUE OF DIS BOOKLET
Date____________________________
DP ID 12030400 CLIENT ID
First Holder Name MAHESWAR REDDY KOTHAPETA
Second Holder Name
Third Holder Name
To,
VNS Finance & Capital Services Ltd. ( Depository Participant)
A401-402, Mangalya , Marol Maroshi Road, Andheri East, Mumbai-400059
I /We hereby state that : (Select one of the option given below)
OPTION 1
I/We require you to issue Delivery Instruction Slip (DIS) booklet to me/us immediately on opening my /our CDSL account
through I/we have issued a Power of Attorney (POA) in favour of /with VNS Finance & Capital Services Ltd. (Stock
Exchange trades (Settlement related transactions) effected through such clearing member.
Yours faithfully
First Sole Holder Second Joint Holder Third Joint Holder
Name
Signatures
(OR)
✔ OPTION 2
I/We do not require the Delivery Instruction Slip (DIS) for the time being, Since I/We have issued a POA in favour of /with
VNS Finance & Capital Services Ltd(Stock Exchange Clearing Member) for executing delivery instructions for setting stock
Exchange trades( settlement related transactions) effected through such Clearing Member. However, the Delivery
Instruction Slip (DIS) booklet should be issued to me/us immediately on my/our request at any later date.
Yours faithfully
First Sole Holder Second Joint Holder Third Joint Holder
Name MAHESWAR REDDY KOTHAPETA
CLIENT’S SIGNATURE 21
To 24-Jun-2023
Date: ________________
VNS Finance & Capital Services Limited.
A-401, Mangalya, Marol,
Andheri East, Mumbai,
Maharashtra 400059
Sir,
I/We am/are interested in availing the trading facility of the Exchange for the purpose of dealing in the units of Mutual Funds
Schemes permitted to be dealt with on the BSE StAR MF/ MFSS.
For the purpose of availing this facility, I/we state that Know Your Client details as submitted by me/us for the stock broking
may be considered for the purpose of BSE StAR MF/ MFSS and I/we further confirm that the details contained in same
remain unchanged as on date.
I/We are willing to abide by the terms and conditions as mentioned in the Circular dated December 2, 2009 and as may be
specified by the Exchange from time to time in this regard.
I/We shall ensure also compliance with the requirements as may be specified from time to time by Securities and Exchange
Board of India and Association of Mutual Funds of India (AMFI).
I/We shall read and understand the contents of the of the Scheme Information Document and Key Information
Memorandum, addenda issued regarding each Mutual Fund Schemes with respect to which I/we choose to
subscribe/redeem. I/We further agree to abide by the terms and conditions, rules and regulations of the Mutual Fund
Schemes.
Quarterly/Monthly Settlement
I/We also authorize VNS Finance & Capital Services Limited to invest in Liquid funds of Mutual Fund through BSE StAR MF/
MFSS at the time of/for the purpose of Quarterly/ Monthly Settlement. I/We understand that the investment is only
overnight and redemption/ square up order is placed at the same time/day and the funds payout will be received on on the
next day, thereby not affecting my exposure/ trading limits.
I/we therefore request you to register me/us as your client for participating in BSE STAR MF/ MFSS.
Thanking you,
X______________________
Yours faithfully,
CLIENT’S SIGNATURE 22
20
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Important Instructions - Please fill form in BLOCK letters, tick ( ) wherever applicable and fill the date in DD-MM-YYYY
format
Name
Date of Birth
Pan No.
Proof of Identity
Passport Number
Voter ID card
Driving License
Address
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
YAPM690
www.TradeSmartOnline.in
TRADING ACCOUNT OPENING FORM
TABLE OF CONTENTS
DOCUMENT DETAILS PAGE NO.
MANDATORY DOCUMENTS
Account Opening Form KYC form - Document captures the basic information about the client 3-6
/constituent with instruction / check list.
Document captures the additional information about the client / constituent
relevant to trading account.
Trading Preferences / Tariff Rate / Amount of brokerage and other charges levied on the client / 7
Sheet constituent for trading on the commodity exchange(s)
NON-MANDATORY DOCUMENTS
Authorization of running Letter of authority / request to VNS Broking Private Limited Formerly 9
account / request letter Known As VNS Commodities Private Limited
Electronic Contract Notes Electronic Contract Notes (ECN) – Declaration 10
Additional Terms and Details of Additional Terms and Conditions taken from Client. This is 11-14
Conditions from Client over and above documents signed for SEBI R&O, RDD, DO’s and Don’ts .
For any grievance/dispute please contact VNS Broking Private Limited Formerly Known As VNS
Commodities Private Limited at the below address and / or email id: support@vnsfin.com and / or Phone
No. +91-22-4081-1019 attention to Mr. Vinay Jha (compliance officer) Email id: vinay.jha@vnsfin.com. In
case you are not satisfied with the response, please contact the concerned exchange(s). For MCX at
[grievance@mcxindia.com Ph No. 91-22-6731-8888].
YAPM690
ACCOUNT OPENING CHARGES
AMOUNT TRANSACTION ID
RECEIVED BY
Online(s)
2
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V YAPM690
INSTRUCTIONS FOR FILLING OUT THIS KYC FORM
SECTION A IMPORTANT POINTS
1. Self attested copy of PAN card is mandatory for all clients, including Promoters/ Partners/ Karta/ Trustees and whole
time directors and persons authorized to deal in commodity futures and Options on behalf of company/ firm/ others.
2. Copies of all the documents submitted by the applicant should be self-attested and accompanied by originals for
verification. In case the original of any document is not produced for verification, then the copies should be properly
attested by entities authorized for attesting the documents, as per the below mentioned list.
3. If any proof of identity or address is in a foreign language, then translation into English is required.
4. Name & address of the applicant mentioned on the KYC form, should match with the documentary proof submitted.
5. If correspondence & permanent address are different, then proofs for both have to be submitted.
6. Sole proprietor must make the application in his individual name & capacity.
7. For non-residents and foreign nationals, (allowed to trade subject to RBI and FIBP/FEMA guidelines), copy of
passport/ PIO Card/ OC I Card and overseas address proof is mandatory.
8. For foreign entities, CIN is optional; and in the absence of DIN no. for the directors, their passport copy should be
given.
9. In case of Merchant Navy NRI’s, Mariner’s declaration or certified copy of CDC (Continuous Discharge Certificate) is to
be submitted along with other statutory approval required for investment in commodities.
10. Politically Exposed Persons (PEP) are defined as individuals who are or have been entrusted with prominent public
functions in a foreign country, e.g., Heads of States or of Governments, senior politicians, senior Government/
judicial/ military officers, senior executives of state owned corporations, important political party officials, etc.
SECTION B PROOF OF IDENTITY (POI) - LIST OF DOCUMENTS ADMISSABLE AS PROOF OF IDENTITY
1. Unique Identification Number (UID) (Aadhaar)/ Passport/ Voter ID card/ Driving license.
2. PAN card with photograph.
3. Identity card issued by any of the following: Central/ State Government and its Departments, Statutory/ Regulatory
Authorities, Public Sector Undertakings, Scheduled Commercial Banks, Public Financial Institutions, Colleges affiliated
to Universities, Professional Bodies such as ICAI, ICWAI, ICSI, Bar Council etc., to their Members; and Credit cards/
Debit cards issued by Banks.
SECTION C PROOF OF ADDRESS (POA) - LIST OF DOCUMENTS ADMISSABLE AS PROOF OF ADDRESS
Documents having an expiry date should be valid on the date of submission
1. Passport/ Voters Identity Card / Ration Card / Registered Lease or Sale Agreement of Residence / Driving License /
Flat Maintenance bill / Insurance Copy.
2. Utility bills like Telephone Bill (only land line), Electricity bill or Gas bill - Not more than 3 months old.
3. Bank Account Statement / Passbook - Cannot be older than 3 months.
4. Proof of address issued by any of the following: Bank Managers of Scheduled Commercial Banks / Scheduled Co-
Operative Bank/ Multinational Foreign Banks / Gazetted Officer / Notary public / Elected representatives to the
Legislative Assembly / Parliament / Documents issued by any Govt. or Statutory Authority.
5. Identity card / document with address, issued by any of the following: Central / State Government and its Departments,
Statutory / Regulatory Authorities, Public Sector Undertakings, Scheduled Commercial Banks, Public Financial Institutions,
Colleges affiliated to Universities and Professional Bodies such as ICAI, ICWAI, ICSI, Bar Council etc., to their Members.
6. The proof of address in the name of the spouse may be accepted.
3
Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
KNOW YOUR CUSTOMER (KYC) FORM FOR INDIVIDUALS PLEASE AFFIX A RECENT
PASSPORT PHOTOGRAPH
TRADING APPLICATION FORM
AND SIGN ACROSS[1] X
Please type or print legibly on each field. Sign all areas highlighted with the yellow color. Please courier the
completed form along with the necessary proofs to our corporate Office in Mumbai.
SECTION A IDENTITY
NAME (AS PER PAN CARD)
MAHESWAR REDDY KOTHAPETA
FATHER / SPOUSE’S NAME K KRISHNA REDDY MOTHER'S NAME K PADMAVATHI
GENDER ✔ MALE FEMALE TRANSGENDER MARITAL STATUS SINGLE ✔ MARRIED
STATUS ✔ RESIDENT INDIVIDUAL NON RESIDENT FOREIGN NATIONAL (PASSPORT COPY MANDATORY)
NATIONALITY DATE OF BIRTH (DD/MM/YYYY) PAN CARD NUMBER
Indian 01-09-1989 BNWPM9143A
UNIQUE IDENTIFICATION NUMBER (UID)/AADHAAR (IF ANY)
PROOF OF IDENTITY SUBMITTED Aadhaar
SECTION B CORRESPONDENCE ADDRESS
ADDRESS (PROOF OF ADDRESS MUST BE DIFFERENT FROM PROOF OF IDENTITY)
S O K KRISHNA REDDY 11 95 BAZAR STREET
CITY/TOWN/VILLAGE PIN CODE STATE COUNTRY
CHITTOOR 517101 Andhra Pradesh India
TEL (OFF) TEL (RES) 7013187664 FAX
SPECIFY PROOF OF ADDRESS FOR CORRESPONDENCE ADDRESS Aadhaar
SECTION C PERMANENT ADDRESS
ADDRESS(IF DIFFERENT FROM ABOVE OR OVERSEAS ADDRESS, MANDATORY FOR NON-RESIDENT APPLICANTS)
S O K KRISHNA REDDY 11 95 BAZAR STREET
CITY/TOWN/VILLAGE PIN CODE STATE COUNTRY
CHITTOOR 517101 Andhra Pradesh India
TEL (OFF) TEL (RES) 7013187664 FAX
EMAIL kothapatimahi@gmail.com MOBILE 7013187664
SPECIFY PROOF OF ADDRESS FOR PERMANENT ADDRESS Aadhaar
SECTION D OTHER DETAILS
GROSS ANNUAL INCOME RANGE NET WORTH ON DATE (NOT OLDER THAN 1 YEAR)
BELOW 1 LAC ✔ 1 - 5 LAC 5 - 10 LAC VALUE DATE(DD/MM/YYYY)
OR
10 - 25 LAC OVER 25 LAC
AFFILIATIONS POLITICALLY EXPOSED PERSON (PEP) RELATED TO A POLITICALLY EXPOSED PERSON (PEP)
NOT A POLITICALLY EXPOSED PERSON NOT RELATED TO A POLITICALLY EXPOSED PERSON
OCCUPATION
PRIVATE SECTOR SERVICE PUBLIC SECTOR GOVERNMENT SERVICE ✔ BUSINESS PROFESSIONAL
AGRICULTURIST RETIRED HOUSEWIFE STUDENT OTHER-------------------------------
4
Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
Canara BankD NO 9 23 BAR 3 VIJAYA NAGAR COLONY KOTHAPETA CHITTOOR DIST CHANDRAGIRI ANDHRA PRADESH 517101
5
YAPM690
SECTION
Document H
ID: PS201AO018 SALES TAX REGISTRATION DETAILS
Stamp Sr. No.: IN-UP95082949361280V
LOCAL SALES TAX STATE REGISTRATION NO. VALIDITY DATE (DD/MM/YYYY)
NAME OF THE STATE
CENTRAL SALES TAX STATE REGISTRATION NO. VALIDITY DATE (DD/MM/YYYY)
OTHER SALES TAX STATE REGISTRATION NO. VALIDITY DATE (DD/MM/YYYY)
NAME OF THE STATE
SECTION I INVESTMENT/TRADING EXPERIENCE AND ADDITIONAL DETAILS
INTRODUCER’S STATUS O
✔ EXISTING CLIENT O AUTHORIZED PERSON O SUB-BROKER O REMISIER
O
✔ OTHERS, PLEASE SPECIFY
INTRODUCER’S ADDRESS
INTRODUCER’S PHONE NUMBER INTRODUCER’S CLIENT ID INTRODUCER’S SIGNATURE
NOMINEE’S ADDRESS
NOMINEE’S PHONE NUMBER NOMINEE’S PAN CARD NUMBER NOMINEE’S DATE OF BIRTH
(DD/MM/YYYY)
X CHITTOOR 24-Jun-2023
6
Document ID: PS201AO018 YAPM690
Stamp Sr. No.: IN-UP95082949361280V
DECLARATION
1. I/We hereby declare that the details furnished above are true and correct to the best of my/our knowledge and
belief and I/we undertake to inform you of any changes therein, immediately. In case any of the above information
is found to be false or untrue or misleading or misrepresenting, I/We am/are aware that I/we may be held liable for
it.
2. I/We confirm having read/been explained and understood the contents of the documents relating to policies &
procedures of the stock broker, contents of knowledge base, tariff sheet for trading & depository operations
etc as published on the website of the broker and all voluntary/non mandatory documents. I further confirm
that I shall keep myself updated with the changes on the website from time to time.
3. I/We further confirm having read and understood the contents of the ‘Rights and Obligations’ document(s), ‘Dos
& Donts’ , Risk Disclosure Document, provisions given in the rules, regulations & circulars issued by SEBI,
Exchanges, Depositories (CDSL), Reserve Bank of India and all regulators amended/ issued from time to
time. I/We do hereby agree to be bound by such provisions as outlined in these documents. I/We have also been
informed that the standard set of documents has been displayed for Information on member’s designated
website: www.tradesmartonline.in.
CLIENT’S NAME PLACE
MAHESWAR REDDY KOTHAPETA CHITTOOR
CLIENT’S SIGNATURE [5] DATE(DD/MM/YYYY)
X 24-Jun-2023
FOR OFFICE USE ONLY
CLIENT’S UCC CODE
YAPM690
VERIFICATION OF DOCUMENTS
DOCUMENTS VERIFIED BY EMPLOYEE CODE EMPLOYEE DESIGNATION
Vinaya S Sr.Executive
EMPLOYEE SIGNATURE ON DATE (DD/MM/YYYY)
I/ We undertake that any change in the tariff sheet and all the
non-mandatory documents would be duly intimated to the
clients
7
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
YAPM690
TRADING PREFERENCE (Please sign in the relevant boxes where you wish to trade. The segment not chosen should be
struck off by the client.)
MCX Futures & Options CLIENT’S SIGNATURE [6]
X ____
✔
TARIFF STRUCTURE
To VNS Broking Private Limited Formerly Known As VNS Commodities Private Limited
A-401-402, Mangalya, Marol Maroshi Road, Andheri (East), Mumbai – 400 059
o
✔ PAY PER ORDER TRADED PLAN
➢ For no monthly fees, you can trade on MCX at Rs.15 per order traded.
STATUTORY CHARGES
In addition to the above monthly subscription charges, the following statutory charges will also be levied:
I understand that:
Electronic Contract Notes are free. For Physical Contract Note Rs.50 would be minimum charges for printing &
delivery.
Physical delivery of commodities will not be allowed. Hence the client is requested to shift the position to next
period before the start of tender period. Penalty for refusal of delivery will be to client account.
Selected Agri-Commodities based on their liquidity are available for trading.
DECLARATION
I hereby declare that I have read and understood the terms and conditions governing VNS Broking Private Limited
Formerly Known As VNS Commodities Private Limited as per brokerage plan mentioned herewith. I do hereby wish
to avail the brokerage plan as selected by me.
CLIENT’S NAME MAHESWAR REDDY KOTHAPETA
CLIENT’S SIGNATURE [7] DATE(DD/MM/YYYY)
8
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280VYAPM690
ACKNOWLEDGEMENT
To
VNS Broking Private Limited
Formerly Known As VNS Commodities Private Limited
A-401/402, Mangalya, Marol Maroshi Road,
Near Marol Fire Station,
Andheri(E) Mumbai, MH, 400 059
I/We understand that the Voluntary documents executed by me/us are out of my/our own free will.
I/We hereby confirm that I/We have clearly understood and agree to abide by the Terms and Conditions described by
VNS Broking Private Limited Formerly Known As VNS Commodities Private Limited. (VNS) I/We also understand
and that these Terms and Conditions can be changed by VNS from time to time with prior notice of 7 days and
subject to posting of the amendments and modifications therein on it’s website and their applicability with
prospective effect.
I/We hereby state that I have read and understood all above documents including the Terms and Conditions governing
commodities trading and broking services of VNS Broking Private Limited Formerly Known As VNS Commodities
Private Limited and agree to abide by the same.
Yours faithfully,
X 24-Jun-2023
DISCLOSURE INFORMATION
Dear Sir/Madam,
1. In terms of circular issued by MCX, the member is obliged to disclose to its clients whether the member is trading
in his own account or not. Accordingly we hereby inform you that depending upon market conditions the
member, its directors or its associates do invest / trade in MCX. The same may please be noted.
2. We are not indulged in portfolio management services.
3. The client acknowledges that the member does not give any legal, investment or tax advice.
4. Receipt / payment of cash from / to clients is prohibited and no employee is authorized to receive or pay cash on
behalf of the company.
Regards,
VNS Broking Private Limited
Formerly Known As VNS Commodities Private Limited
I/We acknowledge receipt of information given above by VNS Broking Private Limited Formerly Known As VNS
Commodities Pvt. Ltd. I/We hereby agree that member shall not be liable or responsible for non execution of orders
due to any link or system failure at client / member / exchange end.
CLIENT’S NAME MAHESWAR REDDY KOTHAPETA
CLIENT’S SIGNATURE [9] DATE(DD/MM/YYYY)
X 24-Jun-2023
9
Document ID: PS201AO018
NON MANDATORY Stamp Sr. No.: IN-UP95082949361280V
AUTHORIZATION FOR RUNNING ACCOUNT YAPM690
To
VNS Broking Private Limited
Formerly Known As VNS Commodities Private Limited
A-401/402, Mangalya, Marol Maroshi Road,
Near Marol Fire Station, Andheri(E)
Mumbai, MH, 400 059
I/we MAHESWAR REDDY KOTHAPETA having client code YAPM690 am/are a registered client with
you, and am/are dealing in Commodity exchanges. I hereby give following instructions to you:-
I am aware that payout / credited from the exchange(s) against settlement of transaction as per settlement cycle is
available within the prescribed time of the payout from the Exchange. It is difficult for me to make available the
required funds on every pay-in of funds obligation / margin obligation, hence I request you to maintain my account
on a running basis and retain the payout received / credit balance in my account for my future obligation / margin
obligation or other liabilities unless I instruct otherwise.
If payment of funds is required, I shall request you in writing or through the web option for funds withdrawal on the
web login. Further it may be noted that if required I may revoke this authorization at any time after giving request in
writing.
The actual Settlement of funds shall be done at least once in the preference period as selected below:
I request you to settle it on
O Monthly Basis O Quarterly Basis
✔
✔
This running account authorization would continue until it is revoked by me. As per the conditions laid down by the
Exchange, I/We authorize VNS Broking Private Limited Formerly Known As VNS Commodities Private Limited to settle
my account accordingly subject to retention of amount below Rs. 10,000/- for the purpose of settlement.
While settling the account having outstanding obligations on the settlement date, you may retain the requisite funds
towards such obligations and may also retain the funds expected to be required to meet margin obligations for next
5 trading days, calculated in the manner specified by the exchanges. I hereby give you standing instructions to
transfer debit/ credit balance in one segment to another segment.
I shall bring any dispute arising from the statement of account or settlement so made to your notice within 7 working days
from the date of receipt of funds or statement, as the case may be in writing. In case of non-receipt of any such
communication the statement / settlement of running account shall be considered as final as agreed and accepted by me.
Yours faithfully,
NON MANDATORY
I, as a client of VNS Broking Private Limited Formerly Known As VNS Commodities Private
Limited., member of MCX, as my broker undertake as follows:
1. I am aware that the Member has to provide physical contract note in respect to all the trades
placed by me unless I myself want the same in the electronic form.
2. I am aware that the Member has to provide electronic contract note for my convenience on
my request only.
3. Though the Member is required to deliver physical contract note, I find that it is inconvenient
for me to receive physical contract notes. Therefore, I am voluntarily requesting for delivery of
electronic contract note pertaining to all the trades carried out / ordered by me.
4. I have access to a computer and am a regular internet user, having sufficient knowledge of
handling the email operations.
5. My email id is kothapatimahi@gmail.com . (The Email ID must be
written in own handwriting of the client). This has been created by me and not by someone
else.
6. I am aware that this declaration form should be in English or in any other Indian language known to
me.
7. This declaration is valid till it is revoked by the client.
8. I am aware that non-receipt of bounced mail notification by the member shall amount to
delivery of the contract note at the below Email ID.
The above declaration has been read and understood by me. I am aware of the risk involved in
dispensing with the physical contract note, and do hereby take full responsibility for the same
X_ 24-Jun-2023
11
Document NON
ID: PS201AO018
MANDATORY YAPM690
Stamp Sr. No.: IN-UP95082949361280V
ADDITIONAL TERMS AND CONDITIONS AGREED BY MEMBERS, AUTHORISED PERSONS AND CLIENTS
This is further to rights and obligations of Members, Authorised Persons and Clients as prescribed by SEBI and
Commodity Exchanges, the following terms and conditions are agreed between M/s VNS Broking Private Limited
Formerly Known As VNS Commodities Private Limited being the member of Multi Commodity Exchange
Ltd (MCX), of the one part; And Mr./Ms/M/s_______________
MAHESWAR REDDY KOTHAPETAan individual/ HUF/ a sole proprietary
concern / a partnership firm/a body corporate, registered/ incorporated, (hereinafter called "the client") of the Other
Part;
The parties thereto have agreed to the following terms and conditions:
1.1 In case of market order, the Client agrees that he will receive the price at which his order is executed by
exchange's computer system; and such price may be different from the price at which the security's price
is showing on the screen when his order is entered into the Member's trading system / website.
However all the transactions executed can be verified by the client through the interface provided by both
the exchanges through there website for a limited period.
1.2 The Member may, at its sole discretion, reject any order placed due to any reason, including but not
restricted to the non-availability of funds in the trading account of the client, non- availability of securities,
insufficiency of margin amount, suspension of or limiting scrip- specific trading activities by or on an
Exchange and the applicability of circuit breaker to a scrip in which orders are placed.
1.3 The Member may allow / disallow client from trading in any commodity or any commodity derivatives
contracts and impose such conditions for trading as it deem fit from time to time. This may be seen as
precaution taken by Member as part of its risk management policy.
1.4 The Client is aware and agrees that the Member may need to vary or reduce the limits or impose new
limits urgently on the basis of Member's risk perception and other factors considered relevant by the
Member, and the Member may be unable to inform the client of such variation, reduction or imposition in
advance. The Client agrees that the Member shall not be responsible for such variation, reduction or
imposition.
1.5 Cancellation or modification of an order pursuant to the client's request in that behalf is not guaranteed.
The order will be cancelled or modified only if client's request for cancellation is received on time and the
order is successfully cancelled or modified before it is executed. Market orders are subject to immediate
execution wherever possible.
1.6 The Client shall not be entitled to presume an order having been executed, cancelled or modified until a
confirmation from the Member is received by the client. However due to technical and other factors the
confirmation may not be immediately transmitted to or received by the client and such a delay shall not
entitle the client to presume that the order has not been executed cancelled or modified unless and until the
Member has so confirmed in writing.
1.7 The Client agrees that the Member shall not be liable or responsible for non-execution, non modification,
and non-cancellation of the orders of the Client due to any link/system failure at the
Client/Member/Exchange end.
1.8 As per rules of the exchange, SEBI and depositories the client account is deactivated if it remains dormant
for the stipulated period. In such a case the client may reactivate the account by submission of requisite
application and proof of identity.
12
Document NON MANDATORY
ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V YAPM690
1.9 The Client agrees that orders, instructions and other communications given or made over the telephone
may be routed through Member's interactive voice response or other telephone system and may be recorded
by the Member. The Client also agrees that such recording is permissible and the Member's records of any
orders, instructions and communications given or made by the client or the Member by electronic mail, or
other electronic means shall be admissible as evidence and shall be final binding evidence of the same.
1.10 Commodity Member has a system of confirming the trades, ledger balances, Margin and open position in
derivatives to the client on his mobile number & email id. In case of any discrepancy noticed client is expected
to bring forthwith to the Member's notice in writing by an electronic mail within 24 hours of receipt. This is
specifically agreed that merely sending mail will not amount to acceptance of mistake by the Member after
investigation.
2.1 In case of failure of link Member also offers / intends to offer Dial and Trade services to the client. The client is
requested to contact corporate office on contact number 022 40811044 extn for trading as 111, 112, 113 & 114.
2.2 The client hereby undertakes not to allow any unauthorized or dabba trading and not to allow any
subletting the trading terminal to any person who so ever. The client understands that doing so is a serious
offence and may lead to criminal action.
2.3 The Client shall ensure that he is the only authorised user of user name, Tele identification number and
password. The Member shall be entitled to presume that any orders or instructions entered or communicated using
the Client's user name, customer user identification number, T-Pin number and password over phone or any other
mode of communication is the client's own order or instruction or that of the Client's duly authorised
representative
2.4 The Client shall log off from the website at any time the Client is not accessing or using the Service and
any liability incurred to the Client as a consequence of the Client not logging off the Service shall be borne
solely by the Client.
2.5. The Client understands and agrees that the Member may change the platform or discontinue his E
Broking service in part or entirely and change the terms of the service (including the terms on the Member's E
Broking website) at any time and from time to time, without prior notice.
2.6 If the client uses cover order or Bracket order mode of trading then the client understands and
acknowledge that it is possible that the second leg or both the other legs of cover/ bracket order may not work
and the stop loss order and/second leg or order may not be executed for any reason.
3. Contract Notes, Digital Contract Notes, Other Reports
3.1 Discrepancies, if any, should be sent by e-mail on support@vnsfin.com within 24 hours of issuance of
contract note or digital contract note. This is specifically agreed that merely sending mail will not amount to
acceptance of mistake by the Member. The discrepancy if any shall be communicated by the Member after
investigation.
3.2 Non- receipt of bounced mail notification by the Member shall amount to delivery of electronic documents
(Digital Contract notes, Bills, Ledger and Transaction Statements etc. ) at Clients email id.
3.3 In case of any failure in system or errors in digital contract notes, Bills, Ledger and Transaction Statements
etc. will be issued in the physical form, which shall be binding on the client.
3.4 The Member shall not be responsible for the non-receipt of the trade confirmation due to any change in the
correspondence address of the client not intimated to the Member in writing. The client is aware that it is his
responsibility to review the trade confirmations, the contract notes, the bills or statements of accounts
immediately upon their receipt. All information contained therein shall be binding upon the client, if the client
does not object in writing to any of the contents within twenty four hours to the Member. The client is supposed
to view their account details by logging in the back office from time to time.
4.1 The Client shall ensure the pay-in of funds in such a way so that the funds are credited to the Exchange
Clearing account of the Member, one day earlier to the pay-in day of Exchange. In case the early pay-in is
required by the exchange, the client shall arrange the money and shares pay-in forthwith as per directions of
the exchange
4.2 The Member can retain the commodities received in exchange payout in his Beneficiary Account in case
of debit balance in the client's ledger account of MCX.
5.1 The client agrees that any securities/commodities placed by him/her/it as Margin may in turn be placed/
pledged as margin by the Member with the Exchange. While selling such securities/commodities client will
first inform Member one day before selling and only after getting acceptance the same will be sold by him.
The charges for such pledge/ unpledge will be born by the client and the same can be debited to the clients
ledger account.
5.2. In the case of short margin the stock broker has right to square up the full or part position / open interest
of the client, whether carry forward trade or intraday trade without giving any notice to client. Besides, the
penalty for such short margin in any segment will be borne by the client and the same will be debited to the
Client's ledger account.
5.3 Information about default in payment/delivery and related aspects by a client shall be brought to the notice
of the relevant Commodity Exchange(s). In case, where defaulting client is a corporate
entity/partnership/proprietor firm or any other artificial legal entity, then the name(s) of
Director(s)/Promoter(s)/Partner(s)/Proprietor as the case may be, shall also be communicated to the relevant
Commodity Exchange(s).
6.1 The Member and client agree that any mistake / error / omission on either side in crediting / debiting investor's
account will be rectified forthwith on coming to notice.
6.2 The Client authorises the Member to debit charges payable to depository participant for depository services to
the trading account of the Client maintained with the Member.
6.3 To facilitate smoothness in transactions, the client hereby request Member to maintain his account, both
securities and funds, in respect of all Commodity exchanges and all segments with Member on running basis.
6.4 The client also request Member to consider the balances in running funds and securities account with Member
for the purpose of margin/any other obligations due to Member. The client also instructs Member to release the
funds and securities due to him on his specific request, either written or oral. It is further agreed that the
Member may charge the cost of holding securities.
6.5 The client hereby willfully & unconditionally issue standing instruction for transfer of credit / debit balance as
appearing in his ledger account(s) from/to one segment to/from another segment of same Commodity
exchange and/or any segment of another Commodity exchange.
6.6 The Member is authorized to sell commodities / shares kept or held in Member's margin beneficiary account if
the debit balance is not cleared by the client within the stipulated period as per the rules.
7.1 The Client shall deal in his account only and shall ensure that the transfer of commodities / shares for margin
purpose is given by him from his declared DP account only and not from his relatives friends and associates' DP
account.
7.2 The Client undertakes to make the payment from his declared bank account only and also in the name of
trading Member only. It is specifically provided that payment given to / in the name of Authorised Person or any
employee will not amount the payment to trading Member.
7.3 The Client undertakes to not make any payment in cash to any person connected with the company whether
Authorised Person or employee of the company. The Member shall not be responsible and shall not account for any
such cash payment deposited in the banking account of the company directly by the client.
7.4 The client agrees to indemnify and keep safe, harmless and indemnified the Member, Depository Participant
and its officials from any damages, claims, demands, proceedings, loss, cost, charges, penalties and expenses
whatsoever which Member may at anytime incur, sustain, suffer or be put to as a consequence of or arising out of
interference with or misuse, improper or fraudulent use of the trading system or execution of transactions in
commodity market by the Client.
IN WITNESS THEREOF the parties have caused these presents to be executed as of the day and year first above
written.
For VNS Broking Private Limited
Formerly Known As VNS Commodities Pvt Ltd.
FATCA Declaration
# to include all countries other than India, where investor is Citizen / Resident / Green Card Holder / Tax Resident in
those respective countries especially of USA
For VNS Broking Private Limited
Formerly Known As VNS Commodities Private Limited
X _
Authorised Signatory
CLIENT SIGNATURE [17] Seal/Stamp of Stock Broker
Client Name
Date
15
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Important Instructions - Please fill form in BLOCK letters, tick ( ) wherever applicable and fill the date in DD-MM-YYYY
format
Name
Date of Birth
Pan No.
Proof of Identity
Passport Number
Voter ID card
Driving License
Address
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Customer Id 98480799
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
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Page 4 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
01-01-2023 02:02:37 31 Dec 2022 Folio amt Fixed FOR CA 5088 148.00 29,240.33
01-01-2023 02:02:38 31 Dec 2022 AVG QUARTERLY BALANCE FOR PROD 5088 1,180.00 28,060.33
214
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
ICIC/**orpay@icici/03571067//
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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K/SBIN/**53205@axl/Payment //
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
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08:57:40
HDFC/**oking@hdfcbank/86790983//
YBLd769111eb2cf4d4b8c6bb579e33a8d5c/26/01/2023
10:34:30
26-01-2023 17:12:58 26 Jan 2023 339223060784 UPI/DR/339223060784/V SAI SRI/ 33 1,000.00 24,025.58
CNRB/**resai@ybl/Payment //
YBL1de64a02655e4c409453e9e600bdfbe9/26/01/2023
17:12:58
Page 15 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**66198@axl/waires//
AXL6615273325c54dbc9f385f367131faf9/27/01/2023
15:33:27
AIRP/**38166@ybl/Payment //
YBLc58289d51feb4af589f038bdc4d2fae0/27/01/2023
21:01:48
SBIN/**07312@ybl/Payment //
YBL140a41e744a948ccba9b479715442343/27/01/2023
21:36:00
KA/PUNB/**nakar@ybl/Payment //
YBLe95ab85cccf8423189f57ef5ef3e0f61/28/01/2023
17:03:29
ICIC/**09762@icici/Payment //
IBL641ed9adbba64d49a989c1e6190bd48c/28/01/2023
19:59:16
ICIC/**09762@icici/Payment //
YBLc0d7d89d1448463895ebe06e0fb6e90f/28/01/2023
20:02:55
BARB/**98257@ybl/Payment //
YBLd287ed268b764e54b4d601637df20458/28/01/2023
20:05:32
Page 16 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
KU/CNRB/**05811@ibl/Payment //
IBLdca23f9e2daf493ba56f20f72274c7ea/29/01/2023
07:22:27
G/SBIN/**80153@axl/Payment //
AXL31446b1f0f3943f083e07ec9e3965257/29/01/2023
08:16:30
PYTM/**pxten@paytm/Payment //
YBLe22fd948405b4c36b91f00fee34ef20a/29/01/2023
15:43:45
HDFC/**oking@hdfcbank/75862182//
YBLf41cf351261c4c30abcf81291ebcb01d/30/01/2023
10:11:30
R/ANDB/**15356@ybl/Payment //
YBLfb4fc32bfa0c4187a2b9fe7700a6bdb6/30/01/2023
12:15:19
IDIB/**67779@ybl/Payment //
YBL59921bb0f8204713a5d7529575ea62b5/30/01/2023
13:40:29
HDFC/**oking@hdfcbank/30180349//
AXLa5df0991e7664a62a0c28668c43139fc/31/01/2023
10:24:44
Page 17 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
MO/BARB/**reddy@ybl/Payment //
YBL0d2ad939768b4cf2a19c03a071f4bc30/31/01/2023
13:07:55
C/YESB/**67178@ybl/Payment //
YBL39a6ccdc71f94036964f3706fbb517cb/31/01/2023
13:47:53
BKID/**47167@ybl/Payment //
YBL10109ffa8733483da83af5b410cddbc1/01/02/2023
09:09:00
HDFC/**oking@hdfcbank/10883295//
YBL0bffa78a9c154f54ae6e5a7ec91d699d/01/02/2023
11:10:35
MA/SBIN/**36237@axl/Payment //
AXLad7b874d440d478cb7a4c7f0ee4e5573/01/02/2023
11:28:59
PYTM/**dpcar@paytm/Payment //
YBLfd58cce70f7947819815b12a9f3c2083/01/02/2023
16:50:58
YESB/**oking@yesbank/38996653//
YBLb07bb4fa651e4bc6a67000db4d48f3af/02/02/2023
10:37:06
Page 18 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**35005@axl/Payment //
AXL70206c2fd5d64c33a3579c1e9a7c40da/02/02/2023
12:17:21
SBIN/**07312@ybl/Payment //
YBLcbd75f608d2c42e88a747e8a86e44eec/02/02/2023
19:18:21
HDFC/**oking@hdfcbank/48465097//
YBLc7936c5123e94de1bbdad36699f46c5c/03/02/2023
08:46:47
M/SBIN/**iraja@ybl/Payment //
YBL3d003629402945b88aba9aeea78e5cdf/05/02/2023
10:07:09
AIRP/**38166@ybl/Payment //
YBL78027c2a84db4912ad6ea20edff760dd/05/02/2023
10:47:42
HDFC/**66198@axl/Payment //
AXLe3b509209c6040ef88025cc7a10b61d9/05/02/2023
11:41:33
UTIB/**17317@ybl/Payment //
YBL188aa14f0f5646e9b5f396b07d0c99fc/05/02/2023
12:04:27
Page 19 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
UBIN/**42698@ybl/Payment //
YBLd530437a86244eea85816bfc2d2ba2d1/05/02/2023
12:10:48
PYTM/**81945@paytm/Payment //
YBLa0d314d2f3d84a2ab2f3055a5fff0b6c/05/02/2023
22:04:50
UTIB/**79660@okbizaxis/Payment //
YBLeb892f0897fb4ca19f25f9872185b643/05/02/2023
23:34:59
UTIB/**luri1@ybl/Payment //
YBL1ea7a7653165484aa749c522e44380f3/06/02/2023
08:10:25
MAHB/**09254@ybl/Payment //
YBL1b2a636e94a74b17a8e1430bd9e46bce/06/02/2023
08:28:54
AIRP/**08590@ybl/Payment //
YBL7f2a28fa23a74391aafa586b89e5458f/06/02/2023
13:08:33
MO/BARB/**reddy@ybl/Payment //
YBL2a00d8eaeb71406ea5d3c055211a8567/06/02/2023
13:57:07
Page 20 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
ICIC/**orpay@icici/50054534//
YBL6396a60cacc646d58a1ceb9796687ab0/06/02/2023
13:59:40
KARB/**ajuli@ybl/Payment //
YBL4f959e3b2a1c49f7800285285fe1f835/06/02/2023
14:12:36
YESB/**68179@yesbankltd/Pay To A//
YBL31554c2c8c4749e4abbac646d2df9f0a/06/02/2023
15:17:10
CNRB/**44015@ybl/Payment //
YBL0d8818f7f5d6462fbcdead813d4ab715/06/02/2023
18:27:24
SBIN/**99619@ibl/Payment //
IBLe51270ecc1e14720b1d4f9fb4912cbd3/06/02/2023
18:28:13
ICIC/**orpay@icici/23038200//
YBLcd27f77001074fd1822fda59e790a6dc/07/02/2023
10:40:15
AIRP/**38166@ybl/Payment //
YBL2f785e51a49a4c8c8a4b14be293c06e4/07/02/2023
11:52:59
Page 21 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
JA/SBIN/**bobbu@ybl/Payment //
YBLe16c61169c4b43aeb6f7608dcb75d704/07/02/2023
12:54:29
Interest-null
HDFC/**oking@hdfcbank/40719120//
IBLe1a86660cd174f6aa3b2e0259e9d3a52/08/02/2023
13:09:52
VE/UBIN/**akala@ybl/Payment //
YBLb6bb0d5519cc4a57828636f60944f439/08/02/2023
15:50:26
ICIC/**orpay@icici/25857419//
AXL660b3dd2c8e34fac88639cfcec5b8a9b/09/02/2023
10:07:10
RA/KKBK/**aram1@ibl/Payment //
IBL92a127e0d439409cbc406445e9240687/09/02/2023
13:56:47
YESB/**96380@yesbankltd/Pay To M//
YBL3a1c4c20fa5a443081ed8596193ebc15/09/02/2023
21:17:33
Page 22 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**oking@yesbank/90951198//
YBLc3da84b3ca364bb1bcf0d0441bc0ed6b/10/02/2023
09:41:56
PYTM/**m2tl2@paytm/Payment //
IBLab99292c4c9e4a44a2fe0775cb3e94ad/10/02/2023
11:48:20
PYTM/**6ynm1@paytm/Payment //
IBL5af2c59b75d540eda22c122b561933c1/10/02/2023
16:05:56
SBIN/**17424@axl/Payment //
AXL5046ce748ab4442c93cd2032d5af0b6f/13/02/2023
12:06:14
YESB/**oking@yesbank/60927659//
IBL1648a1ed2ad140a2895c6ea9ccbc9d4c/13/02/2023
12:15:28
SBIN/**15778@ybl/Payment //
YBL28b86a21349b4a528a5cb18297f12181/13/02/2023
13:47:43
UTIB/**58470@okbizaxis/Payment //
AXLefc2bd42224d4cae899da1ea3355440f/13/02/2023
13:48:24
Page 23 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**oking@yesbank/01695355//
AXLa8506ae1764743d0adcb31790c84a191/14/02/2023
10:24:58
PYTM/**6aw1w@paytm/Payment //
YBLcdd5349b9c7240ffbec169061b7a0961/14/02/2023
10:46:09
IDIB/**31290@ybl/Payment //
YBL40557b4277b24829bbf0515955c9c3c1/14/02/2023
16:22:22
SBIN/**93733@ybl/Payment //
YBLcae41e6c299b4e818eadc5ed111c15c1/14/02/2023
16:59:26
BARB/**21824@ybl/Payment //
YBL1134b27812144747abc12931ef391a74/14/02/2023
19:49:44
UBIN/**10372@ybl/Payment //
YBL2cac93df9d5646cab50eefc626a98ce6/14/02/2023
20:51:00
HDFC/**oking@hdfcbank/60044453//
YBL8b442d3268e94799a775be20aaebe06e/15/02/2023
12:17:23
Page 24 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PUNB/**nand2@ybl/Payment //
YBL4811f13b17eb480abf5118146a279a50/15/02/2023
18:07:58
YESB/**oking@yesbank/91429905//
AXL54142969a2fa44cc9d03c4c5efaf2c69/16/02/2023
12:22:43
UBIN/**84649@ibl/Payment //
IBL0098fa108f92479b87f080833afa3b20/16/02/2023
16:28:55
SBIN/**93165@ybl/Payment //
YBL3bc5eedb104d40b09628efcead68f92b/16/02/2023
16:39:42
MO/BARB/**reddy@ybl/Payment //
AXL980beb8d8458458cbd93d0d8ef2bd1a3/16/02/2023
18:55:10
YESB/**oking@yesbank/38338261//
AXL5a48ec7350ed409b8fbe9e95941d5e9a/17/02/2023
09:21:24
C/YESB/**67178@ybl/Payment //
YBL1bb440e29b774a26963de8b52b22c6d5/17/02/2023
13:49:09
Page 25 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**jio@yesbank/JIO20BR0//
IBLe0c43da05c4b42418189fc33677e8a5d/18/02/2023
16:31:20
IBKL/**89329@ybl/Payment //
YBL89c9d734c9784e1bb50e85db5272c7e0/19/02/2023
19:59:49
FDRL/**00807@fbpe/Pay to B//
AXLd6c6c371511141998a724a0ae3eed524/19/02/2023
22:28:09
SBIN/**79796@ybl/Payment //
YBLc257d7dcf45b47d2ace6f0089291e630/20/02/2023
08:40:38
ICIC/**orpay@icici/29897262//
IBLa0056388050a4d4981ed0a78902dbba9/20/02/2023
09:08:59
SBIN/**89266@ybl/Payment //
YBL85a315de05384c399dbf9636e6fead31/20/02/2023
11:25:29
MO/BARB/**reddy@ybl/Payment //
YBLbbe8f6adab2249ac989eab8c13348333/20/02/2023
18:01:19
Page 26 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
FDRL/**22749@ybl/Payment //
YBL80c16ca7f5b046ec91e0640170b208a1/20/02/2023
18:06:10
YESB/**oking@yesbank/17518790//
YBL8a6a808f296948d5a82c3dcf61ce21c3/21/02/2023
13:39:59
YESB/**98462@ybl/Payment //
YBL58611205de584ae29ee09d5f210843df/21/02/2023
19:35:47
SBIN/**79796@ybl/Payment //
YBLbbf059d529d8445f87eaa67a2ad83703/22/02/2023
10:20:50
YESB/**67015@ybl/Payment //
YBL8e30d2b4b0394be9885d3e1d73715da3/22/02/2023
10:51:15
YESB/**oking@yesbank/76874217//
IBL80958afa295a4a7a9ad5cfefbc79d958/22/02/2023
13:33:17
HDFC/**oking@hdfcbank/27224936//
AXL5cac8752c3d142fd8c5da36214c7d67f/23/02/2023
10:17:46
Page 27 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**33143@ybl/Payment //
YBL3da54488f1d34d0c94c24c3a408f741d/23/02/2023
12:20:33
UTIB/**64841@okbizaxis/Payment //
IBL566acca563124536a49c5f9ddeb17536/23/02/2023
12:23:52
G/IOBA/**29768@ybl/Payment //
YBL75ec92050c714d7684703b3c0d77c8d3/25/02/2023
12:41:24
KVBL/**imuni@ybl/Payment //
YBL11ac98b1a2de4bee97bec3b78474b966/25/02/2023
17:43:29
YESB/**11677@ybl/Payment //
YBL592d8b199547401e98516763973c233c/25/02/2023
19:49:08
YESB/**oking@yesbank/56411140//
YBL1d0190dbd0484cfdbd1d1d8c8f6dfe30/27/02/2023
12:21:19
RA/SBIN/**ajulu@axl/Payment //
AXLaceeae5e5c7443c0b592bf1873e861a7/27/02/2023
12:24:15
Page 28 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**99619@ybl/Payment //
YBLf992d58f1ead48ab98db0e282b806210/27/02/2023
13:53:32
BKID/**47457@ybl/Payment //
YBLd3fbad54fd2c462f8ec4ebcc436ef588/28/02/2023
07:33:54
HDFC/**oking@hdfcbank/70122234//
YBLbf01e866d76e4d9393c892eab22577a5/28/02/2023
09:34:12
HDFC/**48564@ybl/Payment //
YBL1faebddcb65c4373b5a8ff1acd8733ec/28/02/2023
11:35:39
SBIN/**07280@axl/Payment //
AXLd5e3324e5ee14623852e48c047be6441/28/02/2023
12:44:00
UTIB/**17317@ybl/Payment //
YBL24d141213d954ea1ab2249e72b7e035f/28/02/2023
16:05:57
BARB/**48462@ybl/Payment //
YBLc7eddee594c04da5ba0d6c4437febda8/01/03/2023
10:29:29
Page 29 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
KVBL/**61810@ybl/Payment //
YBLd264a8ad31f8462c9c616e166a227483/01/03/2023
10:59:52
YESB/**61509@ybl/Payment //
YBL40fa85c2354f4ad6a3a408a8700d214b/01/03/2023
18:31:48
UTIB/**17317@axl/Payment //
AXL1199f6a2d2ba4771b7022fa64cdc6e69/02/03/2023
06:53:51
SBIN/**keyb2@ybl/Payment //
YBL5b99fd3128f84b70af67959f1d94b747/02/03/2023
09:10:33
SBIN/**reddy@ibl/Payment //
IBL398850a1787c45b68b95cf117927fa7a/02/03/2023
18:52:22
SBIN/**07280@axl/Payment //
AXL5546721edd1347eda7f249aa1444f917/02/03/2023
19:57:17
ANDB/**26376@ybl/Payment //
YBLd4c981fff36f430eac29521a08092a8c/03/03/2023
08:16:41
Page 30 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
DH/HDFC/**26939@ybl/Payment //
YBL936e522c0f094b63a11f812f3fac41a7/03/03/2023
08:44:10
CNRB/**28880@ybl/Payment //
YBL8885625b75bb45709b9894244ea6dbfc/03/03/2023
10:55:46
SBIN/**39506@ybl/Payment //
YBL61afe358fc4c4207bc19650715fe185c/03/03/2023
11:06:19
SBIN/**32211@ybl/Payment //
YBL173cc600c5334643bd7f967e2c52cf0a/03/03/2023
11:31:27
BARB/**ers26@axl/Payment //
AXL6dc91520eefa47e3b6535a879f30997e/03/03/2023
12:11:55
RA/SBIN/**ajulu@ybl/Payment //
YBL7f2d2342949540b9b2a9f574b446efd9/03/03/2023
12:24:30
AIRP/**38166@ybl/Payment //
YBL9d59b8b59db04d3e9f5d2f245b953f6c/04/03/2023
07:48:58
Page 31 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**jio@yesbank/JIO20BR0//
YBLbc3e5099375e47589fb667f47fb499a7/04/03/2023
09:32:29
KARB/**99952@ybl/Payment //
YBL238e781eb9e243559008e9fa577d073a/04/03/2023
10:03:24
MO/BARB/**reddy@ybl/Payment //
YBL0c1cecb2c6fd43cab0c0b26bf796dfa6/05/03/2023
14:51:39
MO/BARB/**reddy@ybl/Payment //
YBL1e14612c916540d882b1df0bfd303697/05/03/2023
17:55:09
KU/PUNB/**40252@ybl/Payment //
YBL686a7506ae594b14b57bfa0901765a13/05/03/2023
18:29:15
HDFC/**oking@hdfcbank/05325129//
IBL27b5f9023cb74bc5b3e2e795366400ff/06/03/2023
12:19:45
PYTM/**9we85@paytm/Payment //
YBL44b7d8d00d08483fad09bc864cdce54f/06/03/2023
14:00:39
Page 32 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
C/YESB/**67178@ybl/Payment //
YBLe0ff303e8aec4833adf63365efb03505/06/03/2023
14:04:51
SBIN/**08315@ybl/Payment //
YBL84d9d8565ad74de9aaa1ec5c741c019d/06/03/2023
19:00:19
SBIN/**88541@ybl/Payment //
YBL36b8db4e1bf14d8d832781fd32ac6abd/06/03/2023
19:07:39
UTIB/**27660@ybl/Payment //
YBL983a3693b6d74c358e7d43535f47274d/07/03/2023
12:53:27
CNRB/**98942@ybl/Payment //
YBL094eb46cfdb746269efd16d61f232c48/07/03/2023
14:53:03
KU/AIRP/**93048@axl/Payment //
AXLf442f112538241ef8305acdd76352471/07/03/2023
14:59:28
SBIN/**48187@axl/Payment //
AXLdb826feb73ba48e99014d023febc635c/07/03/2023
18:43:47
Page 33 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
MO/BARB/**reddy@ybl/Payment //
YBLa8a6747cbed345f7861c3c90e9c9733b/07/03/2023
20:38:37
KU/SBIN/**64227@axl/Payment //
AXL17b94dc32f024884ad21ab4e3dada5a0/07/03/2023
22:30:13
BARB/**iplr4@axl/Payment //
AXL6678f70ad00e408790d4e0060e93ce5b/08/03/2023
09:26:56
YESB/**93970@ybl/Payment //
YBL4558f1585ba64e12824d7532583188c7/08/03/2023
09:32:09
SBIN/**17424@ybl/Payment //
YBL0b5114f604614e439e101cbf7770984b/08/03/2023
10:48:18
ICIC/**orpay@icici/89629695//
YBL574567132b67408e8e4b8d7a298d9aed/09/03/2023
08:00:34
ANDB/**44939@ybl/Payment //
YBL94a13896d7b648718cdc987581d95f25/09/03/2023
08:31:08
Page 34 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**EXALL@ybl/Payment //
YBL00b729ad9ec04d84bccd95070f104d8a/10/03/2023
07:41:15
HDFC/**oking@hdfcbank/34885441//
AXLa29b4183138c475f83d00579116b7f97/10/03/2023
07:42:31
SBIN/**71393@ibl/Payment //
IBL768c644e40884aefaaae8325c55d2aa1/10/03/2023
08:02:25
BARB/**41463@ybl/Payment //
YBL6f9ff24dc1334458b07d9d827295eac3/10/03/2023
10:12:30
KI/HDFC/**kumar@ybl/Payment //
YBLda1c65232fcf433cb1f5938367bc4df3/10/03/2023
11:31:05
SBIN/**71112@axl/school b//
AXL202f1c1ea0b045419600a9fec9a29296/10/03/2023
11:37:26
ANDB/**44939@ybl/Payment //
YBL700c629cca3e40f9a2555f70240fe7fc/10/03/2023
14:47:48
Page 35 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
BARB/**26376@ybl/Payment //
YBLa75b8c5dfca84de6846206ca5dea9c79/10/03/2023
18:03:22
YESB/**jio@yesbank/JIO20BR0//
IBLaa205173cccf4e24aeab273b8c029d42/10/03/2023
23:19:18
UBIN/**10372@ybl/Payment //
YBL7641813c705348adb4b43b105ad84fce/11/03/2023
10:54:16
BARB/**41463@ybl/Payment //
YBL3939adf5c0844ce798ffa10e93881253/11/03/2023
11:25:07
M/SBIN/**76290@ybl/Payment //
YBL04cbc99c08564bc2beb3bcc4f0152319/11/03/2023
18:24:34
KU/AIRP/**93048@axl/Payment //
AXL4376c1e546e3474e93ce28ce68962cfc/11/03/2023
20:08:41
RED/UBIN/**03192@ybl/Payment //
YBL702e8e71085248eebb0054b8e2915a85/12/03/2023
16:16:10
Page 36 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
Ho/YESB/**NLINE@ybl/Collect //
YBL04c09b39087e41b39919ba33b284cfd3/12/03/2023
17:34:46
SE/SBIN/**va526@axl/Payment //
AXL824674998f3a42499839004e5751eadb/13/03/2023
06:15:36
HDFC/**oking@hdfcbank/01241301//
YBL2f074d3a7a634afc8e3b79159a4da172/13/03/2023
09:10:10
YESB/**oking@yesbank/03573106//
AXL960d12e9db7947898c70d99b21981f78/13/03/2023
14:47:06
BARB/**26376@ybl/Payment //
YBL6a32ca0612104400b2552d5015a20eba/13/03/2023
16:06:40
NA/ANDB/**94231@ybl/Payment //
YBLca01120e9ef840289213e0ee4a0d5928/13/03/2023
20:09:39
PYTM/**5c1kk@paytm/Payment //
IBLac562c05a1744fc892abc80a872e4eb7/13/03/2023
20:38:47
Page 37 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**oking@hdfcbank/05333515//
IBL4906dc02a67a4155a71a585f566dbd8a/14/03/2023
09:06:50
S/CNRB/**a1991@axl/Payment //
AXL285d0c39f8f44eb5a70a910493a2acaa/14/03/2023
18:23:57
BARB/**averp@ibl/Payment //
IBLcdce0fc3dc764e028c2ad36598b7b756/14/03/2023
19:24:21
R/SBIN/**43699@ybl/Payment //
YBL10fa512c97c0427c94ac956331e45b26/15/03/2023
08:08:37
YESB/**oking@yesbank/44371390//
YBLd88e1f79d20b4e0c918b2f79da72291b/15/03/2023
09:16:58
UTIB/**193-1@okbizaxis/Payment //
AXL0b981c7a86c041ddb3ff3e989976ade9/15/03/2023
10:03:39
SBIN/**71393@ibl/Payment //
IBL81fa099ab4c6412d88e1c4ebe57999f9/15/03/2023
16:30:43
Page 38 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**uhari@ybl/Payment //
YBL6188b4b97692428295533d0889145d84/15/03/2023
21:21:55
HDFC/**oking@hdfcbank/17251122//
YBLfedf0204afa04c6e8750b4fbfdcd345b/16/03/2023
08:37:42
SBIN/**95531@ybl/Payment //
YBL4df657d3e88348c0a5656185fc69db7e/16/03/2023
10:13:45
INDB/**an.n2@ybl/Payment //
YBLb261d4696b5645d89399faef612f51b1/16/03/2023
11:28:03
PYTM/**kre49@ibl/Payment //
IBLe8550259aa3748419b92db28e95fba85/17/03/2023
08:39:46
IDIB/**eddy1@ybl/Payment //
YBLab30ade478454d81afa2969baccdf7ae/17/03/2023
09:02:11
SBIN/**07312@axl/Payment //
AXL295185b1c63d4bd49b52fa598736df84/17/03/2023
09:42:46
Page 39 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**oking@hdfcbank/83882044//
YBL0967722d6da948f88323335a502cba82/17/03/2023
11:38:22
PUT/IDIB/**reddy@axl/Payment //
AXLa085ffeae79444a6b58718f3b4398ae8/18/03/2023
07:51:24
CNRB/**17094@axl/Payment //
AXLf9997242a311410cb87ed7d965b1da98/18/03/2023
15:17:46
BKID/**rahul@ybl/Payment //
YBLc93dfe71b8844eddb9c02aca4148d489/19/03/2023
13:52:01
IDIB/**97014@ibl/Payment //
IBL8d27f59ceb0f48ccbcfd459c9e286fce/19/03/2023
19:04:44
IDIB/**97014@ibl/Payment //
IBLc03eca61521b42e2a97ea7eb09e592f0/19/03/2023
19:05:00
IDIB/**97014@ibl/Payment //
IBLace54de2b49549a09519303933ef50b4/19/03/2023
19:05:14
Page 40 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**oking@hdfcbank/40089693//
YBL137fc447ff8f4acfbcb8e46d93775aae/20/03/2023
10:33:35
HDFC/**48564@ybl/Payment //
YBL3ea4190f4da2431c9c73e82ba49ac23b/20/03/2023
10:59:08
KARB/**ajuli@ybl/Payment //
YBLa693417c41454f98808771a3b93ad16e/20/03/2023
15:04:31
Jeev/IDIB/**akoti@ybl/Payment //
YBLd671af5d91014e66828a7cfefc4c0fb5/20/03/2023
16:05:26
SBIN/**ulu.v@ybl/Payment //
YBL62deb85a7abd48ec98b0d0c980258eb1/20/03/2023
17:08:22
S/SBIN/**harma@axl/Payment //
AXL8572ee0fba31440faeeaa8d39e117e28/21/03/2023
07:08:45
HDFC/**oking@hdfcbank/39320684//
YBLac59c0ba610f4c9fafc362fdb1ab4b66/21/03/2023
08:55:08
Page 41 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
KU/PYTM/**26125@ybl/Payment //
YBLde2912ce354a490f896ef4a02071d8e8/21/03/2023
09:50:45
PYTM/**ogp1q@paytm/Payment //
YBL86ff5b9d15c84c87b26a9830fa88fbbd/21/03/2023
20:02:09
INDB/**87706@ybl/Payment //
YBL148e99c998d743ccb06dddbaadb21cb9/22/03/2023
08:41:54
HDFC/**oking@hdfcbank/59056018//
YBLd1763847cf7944f19a593996fbfc3a1c/22/03/2023
09:33:04
A/SBIN/**57290@axl/Payment //
AXL848956c7517c4f139bdbec08bd8df317/22/03/2023
11:22:52
SBIN/**a1985@oksbi/UPI//
SBIaf51d7712ce3406c84c4cf14f91b078e/22/03/2023
11:45:31
YESB/**55146@ybl/Payment //
YBL5b6d21b745584fca99715ac7cb2ada10/22/03/2023
14:08:44
Page 42 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
INDB/**.payu@indus/Payment //
AXLc6acfcea4e804effb2a8d4e57d0c5067/22/03/2023
21:03:06
YESB/**01093@yesbankltd/Payment //
YBL988dddd725bb4a699a0e5511ea738e63/22/03/2023
22:40:54
ICIC/**orpay@icici/54649660//
YBLd5dd2f93f8a94081b0449b2c325c040c/23/03/2023
08:00:14
CH/UBIN/**66225@axl/Payment //
AXL489be364dd954df59d6bfc674a7e2dea/23/03/2023
08:01:09
SBIN/**divak@ybl/Payment //
YBL7f0d48d401f14b659af4f9afbc93d67a/23/03/2023
11:37:04
PYTM/**9we85@paytm/Payment //
YBLd256908d1636434b9a1e91e2f5a52411/23/03/2023
13:19:48
C/YESB/**19419@ybl/Payment //
YBL106a2fd8e2b243589b41e007071f3e44/23/03/2023
13:23:12
Page 43 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**07952@ybl/Payment //
YBL50d5a529163344c2b3109b1942514e12/23/03/2023
19:08:10
ICIC/**orpay@icici/18791634//
YBLc0d950cfbc4b40e8b68925ad831be494/24/03/2023
10:19:32
YESB/**ESKPP@ybl/Payment //
YBL97ff2baf7b2f4654b74f670832f0e8ab/25/03/2023
06:57:40
CNRB/**29229@ibl/Payment //
IBL192aa4d5555e41688499559e0e36c8d7/25/03/2023
14:46:15
KVBL/**imuni@ybl/Payment //
YBL4728a64c03f14ea6b7450348b190a027/25/03/2023
18:22:45
25-03-2023 21:20:11 26 Mar 2023 345033424396 UPI/DR/345033424396/M Hari Kr/ 33 7,500.00 38,175.08
SBIN/**58056@ybl/Payment //
YBL5979b6a8366a4d008283aa549b712c26/25/03/2023
21:20:11
26-03-2023 20:52:55 26 Mar 2023 SMS CHARGES ON ACTUAL BASIS 5088 56.00 38,119.08
Page 44 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**oking@hdfcbank/05321883//
AXL036d6fb8b83e470dbe1ebf6055b11022/27/03/2023
08:49:34
MO/IDIB/**91388@axl/Payment //
AXL31d98d32bb3549419ea5039334187088/27/03/2023
09:06:24
MU/UBIN/**raja1@ybl/Payment //
YBLf5e3249d50bd492f863660d983fc7dc5/27/03/2023
09:56:24
HDFC/**91903@ybl/Payment //
YBL0b7d6d511b5d4f5092d7c8b0088bbd52/28/03/2023
10:45:53
UTIB/**i2842@ibl/Payment //
IBL450308d4e912468a83d117498a48d957/28/03/2023
19:50:05
ANDB/**49779@ybl/Payment //
YBL3733c25e031e4cadba2e87ea309502b8/29/03/2023
08:26:26
BASH/SBIN/**99132@axl/Payment //
AXL866b6bb65869430392d5a31e041b7108/29/03/2023
08:40:34
Page 45 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
Y/YESB/**51463@ybl/Payment //
YBLd4a6e74d4fc04d43b6e6df18433eda64/29/03/2023
11:40:10
PYTM/**pxten@paytm/Payment //
YBL472494259fad443ba7f943697e412c36/29/03/2023
11:43:59
IDFB/**nav79@ybl/Payment //
YBL31a5b654cb7b48ed916755239b9714bd/29/03/2023
15:00:33
A/BKID/**91433@ybl/Payment //
YBL7aa122c465794fd687aa58d8ab996853/29/03/2023
21:52:39
SBIN/**71112@ybl/Payment //
YBL61c491ad0ffa4c2e994f5325103ee069/30/03/2023
07:25:24
FRE/YESB/**94210@ybl/Payment //
YBLa680a5cd5a9d4bdd94519d0100fa04bf/01/04/2023
03:31:17
01-04-2023 07:13:11 31 Mar 2023 Folio amt Fixed FOR CA 5088 148.00 3,496.08
01-04-2023 07:13:12 31 Mar 2023 AVG QUARTERLY BALANCE FOR PROD 5088 1,180.00 2,316.08
214
Page 46 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
FRE/YESB/**94210@ybl/Payment //
YBL283a7bae2fd544cc9ae5d23aaf43fb7f/01/04/2023
08:34:43
UTIB/**17317@ybl/Payment //
YBL3677b1c60cc648b099e6d53d30a654e2/01/04/2023
16:55:45
VI/ANDB/**77200@ybl/Payment //
YBL46e597683e8049c386cb7649f01ee2c4/01/04/2023
17:24:18
SE/SBIN/**va526@ybl/Payment //
YBLa60eef11c7c84c268ecf4496ec2b4fbb/01/04/2023
19:16:37
FINO/**94314@ybl/Payment //
YBL184514b76ed4462dab4eea0949b7adf4/02/04/2023
08:35:21
YESB/**28739@ybl/Payment //
YBL13cb1df7d31448f893128fc146d02ff0/02/04/2023
17:29:58
PYTM/**ility@paytm/Payment //
PYTM3040224992306483201/02/04/2023
18:10:49
Page 47 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**ran83@axl/Payment //
AXLdeb1931bf7aa4442a09ed197c9b61282/03/04/2023
14:42:50
SBIN/**reddy@axl/Payment //
AXL41f463e3eac54408a066f70f2f834db6/03/04/2023
19:47:49
FINO/**94314@ybl/Payment //
YBL82822063c5274ebfad94caad2ac290b9/03/04/2023
20:10:54
YESB0000001-ZERODHA BROKING
SE/YESB/**10690@ybl/Payment //
YBLf9718c5fe1df4734a23ffb060f4c2823/04/04/2023
11:34:19
SE/YESB/**10690@ybl/Payment //
YBLa16d4877f1d14b79a4482c2b8acd2d53/04/04/2023
11:35:14
PSIB/**29471@paytm/NA//
PTMb001ac693faf41ab8a84f93480986579/04/04/2023
13:41:33
Page 48 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
IDIB/**10447@ybl/Payment //
YBLfecb38b9de084586b42bed20b4587d3f/04/04/2023
15:17:04
PSIB/**80296@ybl/Payment //
YBLc453baeafdb44ff49a80a6c90b24226d/04/04/2023
17:22:40
IDFB/**h4498@ybl/Payment //
YBL0a98447427094ec987dfd0cb32f71a91/04/04/2023
19:33:12
HDFC/**oking@hdfcbank/68002390//
YBLae8cda0196844204881daf7ade99c319/05/04/2023
09:52:55
YESB/**98462@ybl/Payment //
YBL73a716cb4abb4ce4918c5e1d84e4a144/05/04/2023
19:55:19
YESB/**oking@yesbank/02529501//
IBL2d15af84863648c49e8591d623491fa5/06/04/2023
09:30:15
HDFC/**66198@axl/Payment //
AXL7b25241db1bd42ef8809986390a415d5/06/04/2023
19:06:07
Page 49 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
IOBA/**60473@ybl/Payment //
YBL4d21444defc746489b8a966c740f4124/06/04/2023
19:34:16
UTIB/**i2842@ibl/Payment //
IBL530a1af2c6924145bf2eb3b77d98cf70/06/04/2023
19:42:52
YESB/**98462@ybl/Payment //
YBL57a15465b16048bc838ce585b1e80f89/06/04/2023
20:25:20
CNRB/**41717@ybl/Payment //
YBLceb744031fce40ada254f61df38f63ab/07/04/2023
08:18:29
BHA/IOBA/**91885@ibl/Payment //
IBL366d5d2f6ec248ceae0751484930a71f/07/04/2023
09:23:11
CNRB/**74088@ybl/Payment //
YBL37a9d393dddb47479dde5874a11706c1/07/04/2023
10:08:25
IBKL/**kshmi@ybl/Payment //
YBL7721b9bf1d6d4d868fe6d16da1b353f9/07/04/2023
15:40:39
Page 50 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PI/HDFC/**38039@ybl/Payment //
YBL57e6712f35204dd980234d26ca97df9d/07/04/2023
16:11:34
VA/IDIB/**2vasu@ybl/Payment //
YBL83e310716b174d7e8d9c935cd0f73806/07/04/2023
17:21:06
UBIN/**90825@ybl/Payment //
YBL30acf67ac641428fa841cb89ecf454b7/08/04/2023
16:48:21
SBIN/**05689@ybl/Payment //
YBLf1d445040dcb45da8704c7e36d0af56b/09/04/2023
18:56:03
FINO/**94314@ybl/Payment //
YBL17064218bd4841e7a48bc492d4149fa5/09/04/2023
20:15:44
YESB/**70454@ybl/Payment //
YBL13e6f74050cb4c1d9c6c4aa2dedfefa2/09/04/2023
20:46:26
YESB/**36915@ybl/Payment //
YBLfe257c24ed9c4561a5fdf7f86f67ed40/09/04/2023
21:25:14
Page 51 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**oking@yesbank/25522109//
YBL37a883aaccf84326885f5116fc0251fe/10/04/2023
09:19:31
S/SBIN/**a1321@ybl/Payment //
YBL04a21861e6f3435ba7cd1af4c07c256b/10/04/2023
09:21:39
B/HDFC/**78561@ybl/Payment //
YBLeb9ca4172f434d469eb0b223d59a1d9b/10/04/2023
14:54:22
SBIN/**dary3@ybl/Payment //
YBL62caf811ee80484faa2f8be72ef5a653/10/04/2023
16:04:43
ANDB/**91520@ybl/Payment //
YBLbce2177a53474c53be3c3c4852eb16e3/10/04/2023
16:10:13
YESB/**43818@yesbankltd/Pay to B//
AXLa6dc1f5c3acd445496ac3b3acd642211/10/04/2023
21:52:39
YESB/**01093@yesbankltd/Payment //
YBL72819bc83ada4286b79c85fb665ded71/10/04/2023
22:14:27
Page 52 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
UTIB/**i2842@ybl/Payment //
YBLc5b18653c81a44fcacf296c80d5cc800/11/04/2023
11:27:32
CNRB/**00313@ybl/Payment //
YBLe1027b3d93a443a39b5107bc488d1f88/11/04/2023
14:05:33
HDFC/**oking@hdfcbank/60917114//
IBL5afac73eb2b04c53a8bb398952cc7b42/12/04/2023
11:44:19
PYTM/**y1pzv@paytm/Payment //
YBLb44d6ad800d04b6e819c99a7a8baf7ef/12/04/2023
20:25:26
SBIN/**reddy@axl/Payment //
AXL0fc47870be654a86b777ed45d6611bc1/13/04/2023
09:55:11
CBIN/**36750@ybl/Payment //
YBLf5955f05536a46688f024f25bc24aac3/13/04/2023
09:58:59
ICIC/**89048@okbizicici/Payment //
YBLe638f065ac9b4f1d94e6c9a773eb60f4/13/04/2023
13:24:29
Page 53 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**66198@axl/cup boar//
AXL8a153a95a47c427ebe9b0c2fc77db09e/13/04/2023
13:41:42
IDFB/**66144@ibl/Payment //
IBLfa5670bd9b624e00a22ce4fff86d9f1b/13/04/2023
19:13:04
BKID/**54695@ybl/Payment //
YBL674f144e33b0494a92314ebe2e6d69c4/13/04/2023
19:45:33
SBIN/**07312@ybl/Payment //
YBLf8cfe4ead29f45119b50eba5e2de3f74/14/04/2023
10:43:52
PYTM/**0uj6e@paytm/Payment //
IBLe9c54c60830147348921fb9174960093/14/04/2023
20:23:49
YESB/**47255@ybl/Payment //
YBLfd85ad2501e449bcb3477d791b231027/14/04/2023
20:30:29
FDRL/**64024@fbpe/Pay to B//
YBLe76802bbc75a49f38fec346294eed363/14/04/2023
21:28:43
Page 54 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PYTM/**kwj4e@paytm/Payment //
YBLac185294d87d4da9966b307254c8b2e3/14/04/2023
21:50:35
IDIB/**mohan@ybl/Payment //
YBLd480d9a5b3924f18975dc87bd58b493f/15/04/2023
09:28:12
UTIB/**13532@okbizaxis/Payment //
IBL39656fa7388f46b5b622b7d61902a412/15/04/2023
19:10:15
CNRB/**royal@ybl/Payment //
YBL371baad9ed42488a9043672fb662e182/15/04/2023
21:48:51
HDFC/**18408@ybl/Payment //
YBL1beb47dd98b84e4eb3c20ea5007bc5e0/16/04/2023
08:50:53
HDFC/**25112@ybl/Payment //
YBL62596a35bb23409f97cfdc089a00391f/16/04/2023
12:01:45
P/YESB/**02425@ybl/Payment //
YBLbd176cdc2ffe410a892fb634b13caed8/16/04/2023
19:13:23
Page 55 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PYTM/**y1pzv@paytm/Payment //
YBL24b5683e5b8945f0a09a37947d1e948f/16/04/2023
21:31:33
KI/YESB/**60579@ybl/Payment //
YBL65dd709f46ae420c8cf285d6cfba6dac/16/04/2023
21:50:55
CBIN/**36750@ybl/Payment //
YBL25d21af4ffb3401e815fce5e3bd7b376/17/04/2023
09:12:09
SBIN/**reddy@axl/Payment //
AXL850dae7d4d244c509855e31be55a87b3/17/04/2023
09:13:41
SBIN/**17558@ybl/Payment //
YBL14f6a1817c56442b9540150bb097579a/17/04/2023
10:14:40
SBIN/**17558@ybl/Payment //
YBLa16358ea526e469ea26f36d0f230dff6/17/04/2023
10:15:10
PYTM/**a72pr@paytm/Payment //
YBLfd05cb3eef6c4619b1534c95422cadb6/17/04/2023
14:55:40
Page 56 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
S/HDFC/**linki@ybl/Payment //
YBL896a29d280d642efa7faeff5fde174d2/17/04/2023
14:57:53
UBIN/**10372@ybl/Payment //
YBL0a883d1985814e8b99d443468a55c7fb/17/04/2023
14:58:55
CNRB/**m.mm1@ybl/Payment //
YBL5bb6171d93bb4c1b9b876a325291f009/17/04/2023
15:23:01
BO/BKID/**68635@ybl/Payment //
YBLa547291923ed444085a0799695f2cd5d/17/04/2023
18:47:18
HDFC/**48564@ybl/Payment //
YBL74d478a746f3428eb094572eabaf271c/17/04/2023
19:01:02
FDRL/**04192@fbpe/Pay to B//
YBLee446c198e2849f58e65643b7649599a/17/04/2023
19:06:38
Jeev/IDIB/**akoti@ybl/Payment //
YBL6d3267bb709046d1b1eb6ab1b63df17f/17/04/2023
19:15:40
Page 57 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
FDRL/**04192@fbpe/Pay to B//
YBLf42f0a5bb1934d04b48096547ad1d194/17/04/2023
19:17:16
YESB/**jio@yesbank/JIO20BR0//
IBLc8eb6a056ae7400781265d84e4fa79ec/17/04/2023
22:15:24
IOBA/**60473@ybl/Payment //
YBL2091a2b031d94063b50c428969b4abe2/18/04/2023
08:17:56
SBIN/**gari1@axl/Payment //
AXL651b839a0f964d7f9588b361195cd080/18/04/2023
17:10:35
KVBL/**88688@ybl/Payment //
YBL7b29e7ee937f44a69c673c421197abbb/18/04/2023
18:38:38
UBIN/**5901010035053/Payment //
YBL443339e622414c1f9d75f9c4978e8850/18/04/2023
18:59:59
UTIB/**80504@okbizaxis/Payment //
YBLbf07570b75e1407cb43df33cc9e10810/18/04/2023
19:14:32
Page 58 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PYTM/**9exwb@paytm/Payment //
IBL2ab66811db1042ebbd4eee109125637d/18/04/2023
19:21:12
PYTM/**9we85@paytm/Payment //
YBL1b2cfac1f17243079bf57cc1fa0d5293/18/04/2023
20:02:48
SBIN/**92932@axl/Payment //
AXL42970ca5527845ada7cb2bd6a385dbbb/18/04/2023
21:03:59
PYTM/**ms7ng@paytm/Payment //
YBL479b8ab015de474f823f161f2ded710e/19/04/2023
10:41:36
SBIN/**12166@axl/Payment //
AXLa8d0fd69fa034ca894050116ac3b852f/19/04/2023
11:10:16
PYTM/**f70z1@paytm/Payment //
YBL4716cb3d737f409eb5e75b6fab225183/19/04/2023
17:12:04
PYTM/**f70z1@paytm/Payment //
YBL5d8d3d747b454e6bb1073f15e1709ac2/19/04/2023
18:31:50
Page 59 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
BARB/**98578@ibl/Payment //
IBLa0af0185b0b74c7c9d429486fc2dc773/19/04/2023
18:59:36
SBIN/**80105@ybl/Payment //
YBL999026cf907447468ee570e74cd155ca/19/04/2023
19:01:19
PYTM/**kuorx@paytm/Payment //
YBL52db58cf64304713a1f3b361e29ea2ee/19/04/2023
19:40:49
SE/SBIN/**va526@axl/Payment //
AXL7d5b890e84fb4e678117897273b3cd91/20/04/2023
08:56:50
CNRB/**29229@ibl/Payment //
IBL138c87ff0247463bb33b34a4bdd0e623/20/04/2023
12:13:01
SBIN/**07280@ybl/Payment //
YBL6a4d8fd8dd1a43268ed15f76fd709f69/21/04/2023
09:33:02
BARB/**41463@ybl/Payment //
YBL95cda0bf6b1b4020b3e9f898d5085cfc/21/04/2023
16:08:56
Page 60 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
KU/AIRP/**93048@axl/Payment //
AXLa0a7f9f725a146fe9c304fed3a3f87b8/21/04/2023
18:08:19
21-04-2023 18:48:07 21 Apr 2023 347707959429 UPI/DR/347707959429/M Hari Kr/ 33 7,500.00 24,461.48
SBIN/**58056@ybl/Payment //
YBL9275205aa188421881dd23c935e9bfcd/21/04/2023
18:48:06
CNRB/**tstpt@ybl/Payment //
YBL0888a004e8f34e9bbf7bc595a9dfa132/22/04/2023
07:39:16
FDRL/**75585@fbpe/Pay to B//
YBL26ebbf8bdcdd42cc91be42edc19dd157/22/04/2023
12:02:01
RA/SBIN/**ajulu@ybl/Payment //
YBLd5154467d48e49269e6e3d5cfead4a79/22/04/2023
13:24:32
UTIB/**41019@ibl/Payment //
IBLc223b0553630449f90dcaae5c8194872/23/04/2023
15:00:46
KVBL/**imuni@ybl/Payment //
YBLdc31211c8d83415b92481e04c84f92e9/23/04/2023
19:47:01
Page 61 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
MA/HDFC/**09571@ybl/Payment //
YBL7867c3e244bb4d7da496a70bd8b3df11/23/04/2023
21:36:16
24-04-2023 19:10:16 24 Apr 2023 311448971047 UPI/DR/311448971047/M UMA MAH/ 33 391.00 59,870.48
KARB/**swari@okicici/Payment //
IBL891df147571f47a39905075d2012ada4/24/04/2023
19:10:16
TMBL/**52909@ybl/Payment //
YBLef95c14217024cfbbdc1447d3814ab3b/25/04/2023
15:55:45
HDFC/**oking@hdfcbank/44518274//
YBL296b12c7372d4ad997abc54c9f27a38d/26/04/2023
11:38:16
UTIB/**59689@axl/Payment //
AXL10cb83b6e7dd417a86ce3a76b1ded3ec/26/04/2023
16:02:01
CNRB/**16503@ibl/Payment //
IBL3ce5a506a11f458b8dfe7e49bf02ceeb/26/04/2023
17:53:43
ANDB/**26376@ybl/Payment //
YBL323393b584e44e1dadbe6429915ba7ea/27/04/2023
09:18:35
Page 62 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
UBIN/**kumba@ibl/Payment //
IBL350504f973b949fe8b8bbbbf581dacfb/27/04/2023
12:17:38
B/KKBK/**lu055@ybl/Payment //
YBLeeae361d858143ff8401235ca8655dbc/27/04/2023
13:11:53
KH/AIRP/**113-0@ybl/Payment //
YBL926dc6713f21411d863a2681a1728cc9/27/04/2023
16:54:36
K/SBIN/**10031@ybl/Payment //
YBLbfc0f5c5f07347929f1cd2d829021f89/27/04/2023
17:59:18
UBIN/**palli@axl/Payment //
AXLe1ffe3a13a724f6e91f42a30c5f8ab96/27/04/2023
19:22:47
IBKL/**kshmi@ybl/Payment //
YBL92777052ab6b4890b6e98f3805da3306/27/04/2023
19:52:25
HDFC/**66198@axl/Payment //
AXLef3fc01a7674474b9636f59f90e66ebb/27/04/2023
20:40:24
Page 63 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
IDFB/**ddy09@ybl/Payment //
YBL249ea37352bd43b8b26dde27cc32fb2b/27/04/2023
21:34:54
IOBA/**60473@ybl/Payment //
YBLb1d596a151cb465bada3e073a17e2ad9/28/04/2023
09:08:57
UBIN/**r3399@ibl/Payment //
IBLf540a2c545be43b3a7c959d7e3e63b81/28/04/2023
16:00:09
SBIN/**54630@ybl/Payment //
YBLb23b80ab7210463fbd91298d79f160ad/28/04/2023
21:33:09
SBIN/**54630@ybl/Payment //
YBLc51c8cedbd354caab410c701825fbd0a/28/04/2023
22:36:51
Pay/UTIB/**onupi@apl/Amazon P//
APL0187c980ea165b6d8659a6b827f47f04/29/04/2023
01:44:42
YESB/**jio@yesbank/JIO20BR0//
YBL332ca8c444a04b7b94ec2bcc86fa6eff/30/04/2023
00:56:05
Page 64 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**07280@ybl/Payment //
YBL758e47305cbc42a9b711eebfefc1de1b/30/04/2023
16:39:33
SBIN/**bk115@ybl/Payment //
YBLa7e14b076eb94c52a273a2fe963ab91f/01/05/2023
07:33:22
CNRB/**19782@ybl/Payment //
YBLec331eaaa7504bcab064a23a5b0005a7/01/05/2023
09:49:05
SBIN/**44134@ybl/Payment //
YBLd7aed3f6d8804f96be19a71b51c8fc9a/01/05/2023
10:45:35
Jeev/IDIB/**akoti@ybl/Payment //
YBL14f2af80b4c94dff95f9c83ebcbf4fc9/01/05/2023
16:49:14
SBIN/**ulu.v@ybl/Payment //
YBLbeca6ce4976c4eac984bb91e743070ab/01/05/2023
16:50:01
SBIN/**97647@ybl/Labour c//
YBL4df9dfaa4d7c49d58c20f195f9c977c5/03/05/2023
09:30:06
Page 65 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
KU/AIRP/**93048@axl/Payment //
AXLe84a99fd1679465aafabbaa8ac9bf9b0/03/05/2023
09:49:55
ICIC/**89048@okbizicici/Payment //
IBL8120c42189dd4dcbb69df9ec6062157e/03/05/2023
20:21:15
SBIN/**26005@ybl/Payment //
YBLa6c7404bb4644d0db16efcace809bc21/05/05/2023
11:34:58
RED/SBIN/**09138@ybl/Payment //
YBL30e6ef76cdd74dbdb8e7b90ef3df53b0/05/05/2023
12:11:52
YESB/**oking@yesbank/19210003//
YBL0dfed866923c4e149e3b289e527f14a3/05/05/2023
12:37:23
UBIN/**ascar@ybl/Payment //
YBL62677c82693947b5b1e3f22ef51c9754/05/05/2023
12:49:32
UTIB/**i2842@ybl/Payment //
YBL7a4f20a40d80461186a2cf6bafbb86fd/05/05/2023
13:10:18
Page 66 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**y0987@ybl/Payment //
YBL0b628c29db2f4429a0b333e193fc206c/05/05/2023
15:34:15
SBIN/**07280@ybl/Payment //
YBL5ac9c495c7774c05b5c2ba81aae730ef/05/05/2023
17:44:20
CH/UBIN/**21654@ybl/Payment //
YBL76f9ea3ecb194426bf3f6f13d87792f1/05/05/2023
17:51:33
PYTM/**eth84@axl/Payment //
AXL7c8bc969851b4988ac0ef48d6b5be8a3/05/05/2023
18:03:17
IPOS/**anirr@ybl/Payment //
YBLf18233fd15a342d389924dbfb75c2b87/05/05/2023
18:34:17
YESB/**jio@yesbank/JIO20BR0//
IBLdd0f83b6d9dc44a89996529e61be5e93/07/05/2023
16:25:42
BKID0005734-K K R PAINTS
HARDWARES--KKR PAINTS
HARDWARES
Page 67 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
S/SBIN/**76412@ybl/Payment //
YBL90a1c10fae734cf98aaf05e7e3a81b13/08/05/2023
14:18:56
YESB/**98462@ybl/Payment //
YBL037ba73ed3f74c91bc8bbca9668dd853/08/05/2023
16:40:10
SBIN/**17558@axl/Payment //
AXL03a87b4ee6544b769212d0140b46fad8/08/05/2023
18:39:10
FDRL/**75585@fbpe/Pay to B//
YBLda6aca96c59b4664b572decfdc9e6517/08/05/2023
19:11:02
HDFC/**oking@hdfcbank/61626324//
AXL0bb58850437642db84d4fe95c6e5e757/09/05/2023
07:05:51
K/SBIN/**17317@ybl/Payment //
YBL4a9e0c8631bb424f8f48d2af3af74bbc/09/05/2023
07:20:21
SBIN/**88541@ybl/Payment //
YBL18f3767f42674279adb5bcc048962568/09/05/2023
13:10:20
Page 68 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
16:01:59/8405
YESB/**99345@yesbankltd/Pay To B//
AXL7c9e10c0f2714c11bc4e0d64c2d32391/09/05/2023
22:26:31
BERA/FDRL/**04659@fbpe/Pay to B//
AXLa9f71fd3600b4c6faca57092ad6080c9/10/05/2023
10:16:29
SBIN/**90060@ybl/Payment //
YBLd39d02b616d343c6a1f3abe6d2bbf0dd/11/05/2023
09:34:47
HDFC/**64486@HDFCBANK/Payment //
YBL290d07fa82804054a09bd8a6d783db48/11/05/2023
14:07:03
HDFC/**64486@HDFCBANK/Payment //
YBL6fd07a4f62064990a64e03632ca31c83/11/05/2023
21:21:32
YESB/**03589@ybl/Payment //
YBL33a24e02d0394c7890d851759ff50168/12/05/2023
13:20:57
Page 69 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PYTM/**b4we7@paytm/Payment //
YBL9bb7b54934e1460d87fc3c328ae4b084/12/05/2023
14:26:17
PYTM/**b4we7@paytm/Payment //
YBL8c71aa1e72cd45368e56bc083fcd72a9/12/05/2023
14:28:27
YESB/**24878@ybl/Payment //
YBLb97e2b38be0140648163a142bcf19682/12/05/2023
19:41:44
R /HDFC/**99558@axl/Payment //
AXLbacddcc12b404bb0a938c32e10a21211/12/05/2023
19:47:11
PYTM/**udyar@paytm/Payment //
YBLb150e63ae96242c8bdf1953bf7b4931f/13/05/2023
06:46:21
YESB/**17267@yesbankltd/Verified//
IBL9eb2c8b7bc4a4806937a2b5953e19cb2/13/05/2023
13:16:24
KKBK/**09327@kotak/Payment //
IBL48d82b8ee60c4e11826ffcc2e0cdbf2b/13/05/2023
17:27:38
Page 70 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
FDRL/**a8943@fbl/Payment //
IBL5b4d9c27112a4e1f95dae385c9a3393b/14/05/2023
10:42:07
INDB/**swiff@indus/Payment //
YBL67f665078b0b4aa7812733948b232019/14/05/2023
11:12:43
INDB/**27279@ybl/Payment //
YBL36e1d782ec894106ba63f0453acc5c90/15/05/2023
10:19:44
ST/YESB/**05429@ybl/Payment //
YBL04097a5ba66447719b7c46cd9021b377/15/05/2023
19:23:36
YESB/**75921@yesbankltd/Pay To N//
AXL74ae28efa13c472f8566dff7d20f9872/15/05/2023
23:24:57
UBIN/**c4k7q@paytm/Payment //
YBLf211e4b94f0445ffbf085029806d0081/15/05/2023
23:29:44
PYTM/**9we85@paytm/Payment //
YBL9494d432d6fd4ec784fa94ceebc3b705/16/05/2023
10:57:17
Page 71 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**uhari@ybl/Payment //
YBL5152ee770d2b48f8b99fdd3b57dc6e56/17/05/2023
11:24:29
ICIC/**orpay@icici/Paymentt//
YBLebe6a5769a304b60869d87536dd4229c/17/05/2023
12:07:01
PRIVATE LIMITE
E/CNRB/**43983@ybl/Payment //
YBLceffbb12a3c94298a2b1b55b78a2031b/17/05/2023
16:19:22
MA/KVBL/**94187@kvb/Payment //
AXLcef6667998af48dcb948d7c0ffd4d6b5/17/05/2023
17:18:40
PUT/IDIB/**reddy@axl/Payment //
AXLb7f2754c5cf7453eb55f2acf1d1934db/17/05/2023
20:01:44
SBIN/**54630@ybl/Payment //
YBLd06e5f3137db43cdb0fd5c76946b1746/17/05/2023
22:39:07
Page 72 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**jio@yesbank/JIO20BR0//
AXL581730c043de498a93b9cce06fab3863/17/05/2023
23:00:11
PYTM/**ility@paytm/Payment //
PYTM3051926351395260429/19/05/2023
23:07:31
UTIB/**17317@ybl/Payment //
YBL9483bb6c912f44818cfe531aabf40d4f/20/05/2023
12:25:04
ICIC/**61624@okbizicici/Payment //
YBL30981d57c6864c4f9cec1bf8fadb975a/20/05/2023
13:08:28
ICIC/**61624@okbizicici/Payment //
AXL2083a301b31d474e985cc71c07cd4d02/20/05/2023
13:26:20
CNRB/**li988@ibl/Payment //
IBL65c4afc2c3894d7e888b749d68fa0d48/20/05/2023
13:59:06
PYTM/**82791@ybl/Payment //
YBLdc563647ff2946628d69f78b3a6a5daf/20/05/2023
19:03:32
Page 73 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**42359@ybl/Payment //
YBLa5c5d82ddeff431aba22611394103b4a/20/05/2023
21:35:02
SBIN/**39506@ybl/Payment //
YBL2b5b432ab6b14a1cb7296ea1bdf450af/21/05/2023
09:28:55
UTIB/**77080@ybl/Payment //
YBL27b8350ef1da4c978db3f79aa9360a31/21/05/2023
12:07:57
SBIN/**rthi5@ybl/Payment //
YBL58354b870f67486f92b9e6463554b394/21/05/2023
12:23:28
R/UBIN/**71448@ybl/Payment //
YBL7db6bdf33d30490e89ae0377b477bdde/21/05/2023
12:49:16
HDFC/**endra@ibl/Payment //
IBL259e2852197b482f89cc0af9a07948b5/21/05/2023
13:09:57
PYTM/**9we85@paytm/Payment //
YBLf258a94c510c4c2eb5887533bb192285/21/05/2023
21:29:45
Page 74 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
BALA/UBIN/**konda@ibl/Payment //
IBL8fa102f101d84b96b1508450618d487b/22/05/2023
10:39:34
SBIN/**gari1@axl/Payment //
AXL236ff5003af04722b733090b5dedbd62/22/05/2023
13:25:03
SBIN/**ulu.v@ybl/Payment //
YBL9d5db1feacad4e86968da4c171759f05/22/05/2023
18:59:49
SBIN/**70526@ybl/Payment //
YBLc08b4ea09f77484b94b8a2ed8030934c/23/05/2023
10:59:16
PSIB/**80296@axl/Payment //
AXLd2f431ad81b44651bf56484a082f2488/23/05/2023
13:47:35
ICIC/**dbabu@ybl/Payment //
YBL50ce4ac089164c4ba5ffd38c0739fdcb/24/05/2023
09:34:00
SBIN/**17558@ybl/Payment //
YBL9216be8fb207405688c29bf89dc50535/24/05/2023
11:52:47
Page 75 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PR/HDFC/**90107@ibl/Payment //
IBL3a78f116bb6b4acfb3b4bd2b8fbab563/24/05/2023
15:25:54
UBIN/**76495@ybl/Payment //
YBL4dee854c1d704ee6bbc0269082b1976b/24/05/2023
17:55:09
RA/SBIN/**ajulu@ybl/Payment //
YBLa495c70ada6e4e74883fc6d68285d0e4/25/05/2023
09:25:25
UBIN/**06033@ybl/Payment //
YBLe9bbf905b1194031b5ddbf61eeae6202/25/05/2023
13:12:43
SBIN/**95249@axl/Payment //
AXLc5d654f47efb43c0806404028b7cf1a8/25/05/2023
14:32:08
UTIB/**62588@okbizaxis/Payment //
YBLb2da259d4c6d4630b3f982866a34a846/25/05/2023
21:49:38
ICIC/**61624@okbizicici/Payment //
YBLc7091537c4fd43029163d4d67c65e222/26/05/2023
12:50:11
Page 76 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**reddy@axl/Payment //
AXLc1142fa2542b4c2d9b2cda84f6d5b471/27/05/2023
09:40:01
PYTM/**ility@paytm/Payment //
PYTM3052725401403016197/27/05/2023
19:41:49
YESB/**68180@yesbankltd/Pay To A//
YBLac2a9ac89512471cb615917226a770c1/27/05/2023
22:36:01
KU/PUNB/**40252@ybl/Payment //
YBL2ae6daf0f8854809a794ebe957ff1174/28/05/2023
08:12:51
28-05-2023 12:11:20 28 May 2023 351441794963 UPI/DR/351441794963/M Hari Kr/ 33 7,500.00 49,818.48
SBIN/**58056@ybl/Payment //
YBL2ce7048a0a184e4fb698e845552d2cf0/28/05/2023
12:11:20
SBIN/**hamad@ybl/Payment //
YBLf68bcb8439864f81bcbc24aeb5384c92/28/05/2023
12:25:15
SBIN/**hamad@ybl/Payment //
YBL41e792be6b8441f69240c9a19e998a96/28/05/2023
12:27:32
Page 77 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
Pict/ICIC/**y.rzp@icici/Pay via //
ICIeb5da593e6784908aa0a8905f3d63e4d/28/05/2023
12:30:47
PYTM/**gklpc@paytm/Payment //
AXLb6312e31a0054be6b1aed33f1dc065e0/28/05/2023
19:30:31
SBIN/**405-1@okaxis/UPI//
AXI514bb2d0deb847c8abcf6c42510164b3/29/05/2023
08:06:46
HDFC/**66198@ybl/Wall chi//
YBL3a3073ff0f8d4db799373210aac10ff8/29/05/2023
09:39:54
ICIC/**orpay@icici/96182831//
YBLf69b8d0210a14ba68e65214631b54cbd/29/05/2023
10:49:54
UTIB/**50662@okbizaxis/Payment //
IBLd9cb2635a5974ba88376d144e3f9bdb1/29/05/2023
13:23:57
KH/AIRP/**113-0@ybl/Payment //
YBL47ffaf63a86447b2a15de58e0e9111e5/29/05/2023
13:57:06
Page 78 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**10037@hdfcbank/Payment //
PINELABPOSDQR4161003720185793001489/30/05/2023
11:35:44
K/CNRB/**akash@ybl/Payment //
YBL26f8ea85a58445a8b2369207ac14f45d/30/05/2023
17:52:07
HDFC/**69201@hdfcbank/Payment //
PINELABPOSDQR4236920127021144004459/30/05/2023
18:52:15
UBIN/**23711@ybl/Payment //
YBL0bcb5c093f5a492d92c085deb7e0f4aa/31/05/2023
07:54:28
YESB/**86804@ybl/Payment //
YBL71b6c9e896a24b14b92738e0bb4a557f/31/05/2023
09:36:18
BKID/**02272@axl/Payment //
AXL7ce4d035d85f4d2aa2e7edcbf5130b93/31/05/2023
09:37:05
SBIN/**reddy@axl/Payment //
AXL7a995de5589d4316bca0c76a5ed442df/31/05/2023
11:09:16
Page 79 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
UBIN/**67235@ybl/Payment //
YBL6a3e65fccfa1453eb5dde1a4b73ec5b3/31/05/2023
11:30:25
HDFC/**oking@hdfcbank/55442890//
YBLbb762b46169d42abb9cccb1455234d18/31/05/2023
14:37:16
HDFC/**oking@hdfcbank/49544415//
YBL6f3742d0e15a4110963188b35ee1b21b/31/05/2023
14:37:43
PYTM/**eth84@ybl/Payment //
YBLeb6fc41b9cb04ca297d16657611899e4/31/05/2023
18:48:57
ICIC/**media@icici/Pay//
YBL21b5da2594b349f9ad749575721fe920/31/05/2023
19:01:50
CNRB/**16503@ibl/Payment //
IBL41796912bb2a48b6b1ef6532f94d0f9b/31/05/2023
19:23:51
PYTM/**9we85@paytm/Payment //
IBL66ac2f564f164dd392e7e01fd4823456/31/05/2023
21:22:45
Page 80 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
VA/IDIB/**2vasu@ybl/Payment //
YBL256efdc07dce4c5caea486c8bd451fb5/01/06/2023
00:54:02
S/BARB/**84409@ybl/Payment //
YBL988bcb76cbe34d9b983833b9f474fded/01/06/2023
13:08:27
SBIN/**71426@ybl/Payment //
YBLef266bb0d39245779f9b1b935d416bab/01/06/2023
20:00:18
PYTM/**ility@paytm/Payment //
PYTM3060223848836665365/02/06/2023
14:00:39
SBIN/**53136@ybl/Payment //
YBLdb3f15fe2f444cd0acdda725f6a9d9ae/02/06/2023
18:14:52
YESB/**54761@ybl/Payment //
YBL62ec0c6accf84571b7c0749e9b07c4eb/02/06/2023
22:57:13
YESB/**BPSBP@ybl/Payment //
YBL99ea0964c7b44073877db4be67628a89/02/06/2023
23:10:11
Page 81 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
RED/ICIC/**27300@ibl/Payment //
IBLdb7a260f209b4e229fb0261395f3b14f/03/06/2023
09:11:41
SBIN/**11497@ybl/Payment //
YBLd89cad00e3064f3f9e9f5aea36a29319/03/06/2023
12:37:48
UTIB/**23240@ybl/Payment //
YBLf254b9a8a8f74bd18c2c9eb813db37ce/04/06/2023
16:34:21
P/KVBL/**16994@ybl/Payment //
YBLd3d86e431dfa4d1bbe9d1b32a2af9860/04/06/2023
18:45:45
HDFC/**oking@hdfcbank/72945619//
YBL5ced6ef1e2bf42ab8684c292abd0cdd3/05/06/2023
08:07:06
SBIN/**y0987@ybl/Payment //
YBL0ad4dc72ff614e99b88cdf84c47a0f6f/05/06/2023
09:22:27
SBIN/**reddy@axl/Payment //
AXL6cbe6b2f6ac64410b5c6a238494dc030/05/06/2023
11:40:52
Page 82 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
ICIC/**la154@ybl/Payment //
YBLfa5b44d134c648e5b6b952486da0b85e/05/06/2023
23:24:13
SBIN/**ilala@oksbi/Payment //
YBLf18d36360a624f73a7552c6500851993/06/06/2023
08:31:20
UBIN/**k3282@ybl/Payment //
YBLae893144375b42b582462aa45ac9c3dd/06/06/2023
10:56:46
VA/IDIB/**2vasu@axl/Payment //
AXL2acb6d1f6c6d4fd8915ff055c3b2f1ac/06/06/2023
11:24:30
V/HDFC/**09409@axl/Payment //
AXL63b966afa38642e5a0c610cbde147d4b/06/06/2023
11:47:24
SBIN/**07280@ybl/Payment //
YBL348016b3e2914a9f827e36215bdca220/06/06/2023
12:16:35
PYTM/**euw1r@paytm/Payment //
IBL79126bc5ac1f403fbafa5211224ec000/06/06/2023
13:45:26
Page 83 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
PYTM/**j5p2t@paytm/Payment //
YBLd7abbd8176af4c9ab69d925020f6f663/06/06/2023
14:29:58
IDIB/**50964@ybl/Payment //
YBLc9595c78d4684615be1ed740b51f749a/06/06/2023
16:14:14
YESB/**19274@ybl/Payment //
YBL48213d753e6d43289cb048b1ce5bbb42/06/06/2023
17:34:12
SBIN/**49870@ybl/Payment //
YBL945a91606fa04faf8b3dca6d69c95918/06/06/2023
21:30:34
SUB/IOBA/**11440@ybl/Payment //
YBLec14661833c04de3863aff1839667db3/07/06/2023
09:53:35
N/SBIN/**04938@ybl/Payment //
YBL020779e28cda49439b9df7861e33c65d/08/06/2023
19:17:23
HDFC/**oking@hdfcbank/05278825//
YBL532ab0b7e8134ea8aa3e27971f678825/09/06/2023
06:11:57
Page 84 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
BKID/**rahul@ybl/Payment //
YBL5e15b80447b547649790765ae7518af7/09/06/2023
08:37:45
SUB/IOBA/**11440@ibl/Payment //
IBL030523c1fe21486babce67cfe31b765f/09/06/2023
12:31:16
UBIN/**ogesh@axl/Payment //
AXL137ee1a5c78c488388dad17242eed116/09/06/2023
13:05:29
SBIN/**dary3@ybl/Payment //
YBL4f17a1b2b6cc4c1ea9c8957740bf3d9e/09/06/2023
17:48:11
SBIN/**49870@ybl/Payment //
YBL2af35fdf734545e4a0ef23b11489c872/09/06/2023
20:52:26
SBIN/**07312@ybl/Payment //
YBLa46f8925389c4cb9a397bf076b916f19/10/06/2023
05:57:00
UBIN/**llto2@ybl/Payment //
YBL893847df51394dc2b378f62b06f4a3c7/10/06/2023
09:09:41
Page 85 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
YESB/**86804@ybl/Payment //
YBLa3bb36f79ac249b6b79bf87efa3f59ba/10/06/2023
12:18:42
SBIN/**97647@ybl/Payment //
YBL3770507cea4c4e838d8a1d39baa00985/10/06/2023
13:04:07
CNRB/**shna1@ybl/Payment //
YBL51b65e45c87e4dd4b9878a695fa63b88/10/06/2023
18:00:22
IDIB/**44484@axl/Payment //
AXL0fcc6b0fc0c848aba63ce1e516022517/11/06/2023
07:27:15
MU/SBIN/**62926@ybl/Payment //
YBL6c35102bd4af4d878f26e1e69d16e41c/11/06/2023
09:05:23
UTIB/**i2842@ibl/Payment //
IBLcd3a0a078a9c40309686474b3445526c/11/06/2023
12:14:25
ICIC/**media@icici/Pay//
YBLf3666b66ddba4b4c8783839a41f46986/11/06/2023
12:54:56
Page 86 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**reddy@ybl/Payment //
YBL928bced88b384d98b91a0fe7d62d1e80/12/06/2023
08:55:02
YESB/**oking@yesbank/79235181//
YBL9b84cf0d3a5143df8bfac0032fbbc873/12/06/2023
11:06:14
SBIN/**yapan@ybl/Payment //
YBL2fd351693741474283b9e3a26120594f/12/06/2023
11:18:50
SBIN/**reddy@ybl/Payment //
YBL37dcec14c5054e2eba63e1cc8cf51f05/12/06/2023
19:33:01
HDFC/**29706@ybl/Payment //
YBL906957826df64b4fba20fe5cd2d98944/12/06/2023
20:15:21
IDIB/**16944@axl/Payment //
AXLcde33b244c9240d5a3608b0a30dbf86c/12/06/2023
21:03:21
YESB/**86804@ybl/Payment //
YBL87b4130cad324cf9a95ee92054a6e444/13/06/2023
06:15:51
Page 87 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**reddy@ybl/Payment //
YBLc541afa2c9f84299b71def34d095899f/13/06/2023
13:19:10
YESB/**NLINE@ybl/Subscrip//
YBL5c82691858f54c5bbbfa92a74281495f/13/06/2023
17:40:07
C/SBIN/**92595@ybl/Payment //
YBLcf01395d213442fe808099548242990a/14/06/2023
09:44:35
C/SBIN/**92595@ybl/Payment //
YBL495d767ae57b411293cebb21de3b8bd1/14/06/2023
10:49:28
SBIN/**reddy@axl/Payment //
AXL247b422e28b44ebbbebd34816cfd13f8/14/06/2023
11:15:52
ICIC/**fresh@icici/Payment //
IBL694eca7b4ed64ef98d2b3e32e5da8295/14/06/2023
12:28:58
JA/SBIN/**bobbu@ybl/Payment //
YBL5ca3c0ec7d53498682d47a461e58679d/14/06/2023
12:31:30
Page 88 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
FI/YESB/**03394@ybl/Payment //
YBL28ac658af88845aa9909982cbc614dcb/14/06/2023
14:31:46
SBIN/**reddy@axl/Payment //
AXLd4f74d900e734fb9b462e4948801bdd1/16/06/2023
22:04:19
CNRB/**31663@cnrb/Payment //
YBL9a144faaed46416891a9ed8e9a95a7d8/16/06/2023
22:18:30
CNRB/**31663@cnrb/Payment //
YBLe2fdb702cd6348c1bdbda8d4ad3bae81/17/06/2023
00:33:11
UBIN/**469-1@oksbi/UPI//
SBI9550c572fd544b4abf04b0174c6975cf/17/06/2023
10:15:53
BA/SBIN/**30266@ybl/Payment //
YBLe9eb531b7cc645e48141de00e1a5e840/17/06/2023
12:27:22
SBIN/**16168@ybl/Payment //
YBL6e51746bca904df8b90df82a409776e1/17/06/2023
12:33:06
Page 89 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
HDFC/**18408@ybl/Payment //
YBL4f08b094fed64d18a5f29884c3784592/17/06/2023
12:46:33
SBIN/**.7317@waaxis/UPI//
AXISWC01691030BCA222A1389495AC497D4/17/06/2023
14:13:27
HDFC/**18408@ybl/Payment //
YBLcca79a9a03714d51a01ed3be20bdf49b/17/06/2023
16:04:25
HDFC/**29706@ybl/Payment //
YBLb2a6d6d2baaa4ea9ae41c0c98dc3a854/18/06/2023
14:27:31
KU/SBIN/**02922@ybl/Payment //
YBLcecfc5949e594d67894091e15907cc1c/18/06/2023
18:20:49
SBIN/**07312@ybl/Payment //
YBLf56a5cb27801490398edb00a30917f16/18/06/2023
18:44:23
UBIN/**56292@ibl/Payment //
IBL9257df4bc1164af2858a0ed7363527fc/18/06/2023
19:36:47
Page 90 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
MU/SBIN/**62926@ybl/Payment //
YBL3d5b4b243ac54d1c867f9b2593e3199a/18/06/2023
20:27:12
HDFC/**oking@hdfcbank/00469324//
YBL432e079895214e2c931831faf8ac86cd/19/06/2023
10:05:07
PYTM/**phfsi@paytm/Payment //
IBLf743bee509694cc78210dca1f4d4b03f/19/06/2023
10:09:16
SBIN/**reddy@ybl/Payment //
YBLd3e82e7ff6424c2dbc4e17d8b813183f/19/06/2023
12:05:26
SBIN/**reddy@ybl/Payment //
YBL361a7019430c4579a7e0c8fcaef6dfcf/19/06/2023
12:54:26
SBIN/**reddy@ibl/Payment //
IBL2e383ef17fb3475a8e549e5080482685/19/06/2023
13:28:05
SBIN/**reddy@ybl/Payment //
YBLa9410693cd4b48c197584bae33f92791/19/06/2023
13:48:08
Page 91 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**reddy@ybl/Payment //
YBLf0f9a1ac90814bbc86ccb3b23fb8b5be/19/06/2023
14:13:01
MAR/YESB/**31181@ybl/Payment //
YBL300309347a4647969ac58b4f20e36d22/19/06/2023
17:26:56
20-06-2023 09:45:38 20 Jun 2023 353754254064 UPI/CR/353754254064/T SAI LOH/ 33 11,000.00 11,373.91
ICIC/**56925@ybl/Payment //
YBL6d5195a8db7342afa84108630c5ca2f7/20/06/2023
09:45:38
BKID/**m9181@ybl/Payment //
YBLf4e8edfb2efe448bac51158d58a725ed/20/06/2023
10:13:56
SBIN/**reddy@axl/Payment //
AXL479cc53607cf4533b3198b467586a38e/20/06/2023
12:01:11
SBIN/**reddy@ybl/Payment //
YBLd3e144dbf34940aaa8947baac183fbae/20/06/2023
13:10:40
HDFC/**29706@ybl/Payment //
YBL4bbe08e9766e46e195f630674eb2a7a7/20/06/2023
13:29:00
Page 92 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**reddy@ibl/Payment //
IBL29ba3134d0094d5e87eb18235df47501/20/06/2023
13:29:57
SBIN/**reddy@ybl/Payment //
YBL466c8c27b21f4dbbb33c5f33a38288c1/20/06/2023
13:49:57
SBIN/**reddy@ybl/Payment //
YBL4858f4f99fad44b3b9a0eec1aa79d9c8/20/06/2023
14:43:17
SBIN/**reddy@ybl/Payment //
YBL06ca1b39dcb4429ba02f261687109a27/20/06/2023
15:05:05
SBIN/**reddy@ybl/Payment //
YBL18621a9b711544a6b40d56410e2d3e12/20/06/2023
15:28:03
SBIN/**reddy@ybl/Payment //
YBLcb450713aeb54914a72580a97985ad54/20/06/2023
15:55:11
YESB/**36915@ybl/Payment //
YBL7a332a92642a4034900bfb901da204a8/20/06/2023
18:43:01
Page 93 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
SBIN/**reddy@ibl/Payment //
IBL8f9000b2bcd8468184582641b62b2981/21/06/2023
10:18:05
BKID/**a.boi@ybl/Payment //
YBL8d92ef9b456148a0b6fa5993e350c843/21/06/2023
11:33:34
BKID/**a.boi@ybl/Payment //
YBLcadcb62472a34c01b0209b3960e33138/21/06/2023
11:34:07
BKID/**a.boi@ybl/Payment //
YBL206fbc2e4b06454c99bb206b12b2465a/21/06/2023
11:34:36
SBIN/**09537@ybl/Payment //
YBL02a2dd776f1445bd90afe689036520f3/21/06/2023
12:15:53
KH/AIRP/**113-0@ybl/Payment //
YBLa09db5eaf5b04c3e9c6c40dd561f8daa/21/06/2023
13:14:01
R/ANDB/**12589@ybl/Payment //
YBL7628fd2e70374872ba3b917630a61249/21/06/2023
13:32:17
Page 94 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
R/SBIN/**43699@ybl/Payment //
YBLf552dfc123b24d3c9fe304f1ad625c74/21/06/2023
13:58:01
21-06-2023 14:15:01 21 Jun 2023 000000000000 ECS TATAPOWERDIV210623 5088 794.00 80,243.91
21-06-2023 17:42:30 21 Jun 2023 353875216468 UPI/CR/353875216468/T SAI LOH/ 33 3,000.00 83,243.91
ICIC/**56925@ybl/Payment //
YBL4f2f1ee753874041a447dbff756b81df/21/06/2023
17:42:30
SBIN/**07312@axl/Payment //
AXLc14878fe73214a908c8ac496a8aa6642/22/06/2023
08:33:39
ICIC/**orpay@icici/81167736//
YBL7ef946df4ebe4ddd807dff5bf24d3c18/22/06/2023
08:54:33
HDFC/**oking@hdfcbank/67959945//
YBL91bcc81a0bb14c18839050a616f21de3/22/06/2023
09:12:20
IOBA/**37416@ybl/Payment //
YBL6338e4464ff349d090b45c1c79e0adeb/22/06/2023
14:22:48
Page 95 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
UTIB/**58233@okbizaxis/Payment //
YBL33f072294211475caa7c234296251854/22/06/2023
17:06:12
IDIB/**50042@ybl/Payment //
YBL634213231e8c4752b0ee11c189fd2c86/22/06/2023
17:57:56
SBIN/**97816@ybl/Payment //
YBL221708fa78884353a11ce36a9d0ac412/23/06/2023
07:36:02
MU/UBIN/**raja1@ybl/Payment //
YBLf4c81c1018034d48a09881965b36cefa/23/06/2023
08:18:59
N/SBIN/**04938@ybl/Payment //
YBL5581d89d81b74c7b9d22e4e13a237b30/23/06/2023
11:23:26
BARB/**iplr4@axl/Payment //
AXL8ef5b58db8fb42d49affef19ba4edf21/24/06/2023
09:23:36
YESB/**RONET@ybl/Payment //
YBLe8e4d1f9ea484a579e4d4f6278574211/24/06/2023
09:44:12
Page 96 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
B//P2AMOB/0000000000/24/06/2023
09:59:12
Disclaimer:
Unless the constituent brings to the notice of the bank any discrepancy/ errors/ omission/ unauthorised debits immediately, the entries in such pass sheet shall be deemed as correct and shall bind the constituent for all
purposes and intents beware of phishing attacks through emails or fake website IMB users are requested to note that Canara Bank does not seek any information through email. Do not click on any link which has come
through email from unexpected sources. It may contain malicious code or could be an attempt to "phish". Always login through www.canarabank.com. Please beware of phishing change in the address of Account holder/
PA holder, if any, may please be informed to the branch along with address proof.
If you have any Banking Grievance, lodge complaint in https://canarabank.net.in/cpgrs/login.aspx. If not satisfied with the resolution, you can contact Banking Ombudsman:
Sector-17, Chandigarh-160017
Page 97 of 97
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Document ID: PS201AO018 Stamp Sr. No.: IN-UP95082949361280V
Form Status
NSDL : Verified
Email id : Verified
Derivatives : Verified
Nominee : Verified
Geotagging :
{"address":"C9WX+M3X, Rd Number 10, Kakatiya Hills, Guttala_Begumpet, Kavuri Hills, Madhapur,
Hyderabad, Telangana 500033, India","latitude":17.4468558,"longitude":78.3978339,"accuracy":16.293}
Pennydrop :
{"id":"WJKD37RBV24TMJO","verified":true,"verified_at":"2023-06-24
09:59:12","beneficiary_name_with_bank":"K MAHESWAR REDDY"}