Statement
Statement
Statement
NEFT CMS3106146045
06/02/2023 NEFT VIKVINS CONSUL CMS3106146045 15,594.00 15,746.95
MAHB230376200152
652155XXXXXX7442 ATM
06/02/2023 ATM 303721005069 303721005069 10,000.00 5,746.95 Withdrawal
00454530
652155XXXXXX7442 ATM
06/02/2023 ATM 303721002980 303721002980 4,500.00 1,246.95 Withdrawal
17345621
06/02/2023 Charges MC COMM. 21.00 1,225.95
06/02/2023 Charges GST 3.78 1,222.17
06/02/2023 Charges MC COMM. 10.00 1,212.17
06/02/2023 Charges GST 1.80 1,210.37
652155XXXXXX7442 ATM
06/02/2023 ATM 303721031351 303721031351 500.00 710.37 Withdrawal
00454530
WITHDRAWL
10/02/2023 CHARGES 24.78 685.59 9999-CENTRAL
OFF
TO
AMC ATM CHARGES
OF 01/2023 FOR
10/02/2023 236.00 449.59 9999-CENTRAL
652155******7442 OFF
TO
RETURN CHARGES
10/02/2023 354.00 95.59 9999-CENTRAL
TO OFF
Page 1 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
13/02/2023 UPI 304435597911UPI 304435597911 1.00 96.59 11111-Central
Data Center
11111-Central
13/02/2023 UPI 304413003862UPI 304413003862 5.00 101.59 Data Center
UPI 304845433907Pay
17/02/2023 304845433907 80.00 126.75 11111-Central
to BharatPe Merchant Data Center
11111-Central
18/02/2023 UPI 304850488423UPI 304850488423 20.00 106.75 Data Center
UPI
18/02/2023 304914122251Payment 304914122251 500.00 603.75 11111-Central
Data Center
from PhonePe
UPI
19/02/2023 304998573871Payment 304998573871 200.00 803.75 11111-Central
Data Center
from PhonePe
UPI 304987280480Pay
19/02/2023 304987280480 300.00 503.75 11111-Central
to BharatPe Merchant Data Center
UPI 305019852496Pay 11111-Central
19/02/2023 305019852496 40.00 463.75 Data Center
to BharatPe Merchant
Page 2 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
24/02/2023 UPI 305564010635UPI 305564010635 2.00 109.75 11111-Central
Data Center
11111-Central
25/02/2023 UPI 305693367356UPI 305693367356 246.00 355.75 Data Center
Page 3 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
02/03/2023 UPI 342745078569UPI 342745078569 1,000.00 3,464.25 11111-Central
Data Center
11111-Central
02/03/2023 UPI 306160254954UPI 306160254954 3,000.00 464.25 Data Center
UPI
04/03/2023 306387843569Payment 306387843569 3,500.00 6,068.25 11111-Central
Data Center
from PhonePe
Page 4 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
04/03/2023 UPI 306339455847UPI 306339455847 25.00 4,980.25 11111-Central
Data Center
11111-Central
04/03/2023 UPI 306310955538UPI 306310955538 500.00 4,480.25 Data Center
UPI
06/03/2023 343183770860Oid20511 343183770860 468.00 553.25 11111-Central
Data Center
415192@Paytm Fina
UPI
06/03/2023 343183823829Oid20510 343183823829 1.00 552.25 11111-Central
Data Center
516661@Paytm Fina
UPI
07/03/2023 306680044943Oid20535 306680044943 10.00 502.25 11111-Central
Data Center
483428@Paytm Fina
UPI
07/03/2023 306639246966Payment 306639246966 150.00 1,467.25 11111-Central
Data Center
from PhonePe
Page 5 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
08/03/2023 UPI 306674069515UPI 306674069515 20.00 12,198.25 11111-Central
Data Center
11111-Central
08/03/2023 UPI 306692966535UPI 306692966535 590.00 11,608.25 Data Center
652155XXXXXX7442 ATM
08/03/2023 ATM 306700012416 306700012416 10,000.00 1,623.25 Withdrawal
00575351
UPI 306801203181Pay
09/03/2023 306801203181 40.00 4,177.25 11111-Central
to BharatPe Merchant Data Center
1001-MUMBAI
ACH BAJAJ FINANCE L
09/03/2023 3,021.00 1,156.25 SERVICE
402DPFJC229234 BRANCH
11111-Central
09/03/2023 UPI 306823918775UPI 306823918775 20.00 1,136.25 Data Center
Page 6 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
11/03/2023 UPI 343689065899UPI 343689065899 1.00 100.25 11111-Central
Data Center
11111-Central
12/03/2023 UPI 307124405981UPI 307124405981 100.00 200.25 Data Center
UPI
14/03/2023 343961084100Payment 343961084100 500.00 454.25 11111-Central
Data Center
from PhonePe
UPI 344161789843Pay
16/03/2023 344161789843 30.00 474.25 11111-Central
To BharatPe Merchant Data Center
11111-Central
18/03/2023 UPI 307795974898UPI 307795974898 200.00 674.25 Data Center
UPI 307756044230Pay
18/03/2023 307756044230 20.00 654.25 11111-Central
to BharatPe Merchant Data Center
11111-Central
18/03/2023 UPI 307700351369UPI 307700351369 100.00 554.25 Data Center
Page 7 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
21/03/2023 UPI 307986629590UPI 307986629590 200.00 867.25 11111-Central
Data Center
11111-Central
21/03/2023 UPI 344505311407UPI 344505311407 20.00 847.25 Data Center
Page 8 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
24/03/2023 UPI 344972002145UPI 344972002145 100.00 4,961.25 11111-Central
Data Center
UPI 344952711370Pay
24/03/2023 To SUSHILKUMAR 344952711370 990.00 3,971.25 11111-Central
Data Center
PANDEY
RETURN CHARGES
25/03/2023 354.00 3,227.25 9999-CENTRAL
TO OFF
11111-Central
25/03/2023 UPI 308440330927UPI 308440330927 200.00 3,427.25 Data Center
Page 9 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
UPI
27/03/2023 308559652179Payment 308559652179 400.00 1,555.25 11111-Central
Data Center
from PhonePe
UPI 308546161989Pay
27/03/2023 308546161989 270.00 1,285.25 11111-Central
to BharatPe Merchant Data Center
11111-Central
27/03/2023 UPI 308638764553UPI 308638764553 10.00 1,275.25 Data Center
UPI 345669778054Pay
To
31/03/2023 345669778054 12.00 137.25 11111-Central
SHREEJAGANNATHEN Data Center
TE
Page 10 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
02/04/2023 UPI 345822324152UPI 345822324152 1,000.00 100.41 11111-Central
Data Center
11111-Central
02/04/2023 UPI 309273705957UPI 309273705957 7,000.00 7,100.41 Data Center
652155XXXXXX7442 ATM
02/04/2023 ATM 309214029258 309214029258 7,000.00 100.41 Withdrawal
00454530
ATM
02/04/2023 ATM COR CSH WDL 7,000.00 7,100.41 Withdrawal
Reversal
652155XXXXXX7442 ATM
02/04/2023 ATM 309214010203 309214010203 7,000.00 100.41 Withdrawal
P3ENPN37
M S WINES
06/04/2023 POS 200.00 12,971.31 POS/Online
33517868 Purchase
REDDY S FAMILY POS/Online
06/04/2023 POS RESTAUR 1,200.00 11,771.31 Purchase
63057861
Page 11 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
07/04/2023 UPI 346221387306UPI 346221387306 2,000.00 1,568.31 11111-Central
Data Center
11111-Central
07/04/2023 UPI 309626189489UPI 309626189489 10.00 1,558.31 Data Center
UPI 346411437531Pay
09/04/2023 346411437531 30.00 389.41 11111-Central
to BharatPe Merchant Data Center
11111-Central
09/04/2023 UPI 309919654847UPI 309919654847 30.00 359.41 Data Center
UPI
10/04/2023 346630989721my11circl 346630989721 100.00 714.41 11111-Central
Data Center
e
M S WINES
11/04/2023 POS 170.00 164.41 POS/Online
33688255 Purchase
11111-Central
11/04/2023 UPI 310073188275UPI 310073188275 29.00 193.41 Data Center
Page 12 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
13/04/2023 UPI 346930488767UPI 346930488767 320.00 2,208.41 11111-Central
Data Center
11111-Central
14/04/2023 UPI 310361391834UPI 310361391834 200.00 2,008.41 Data Center
UPI
18/04/2023 3108713597451250757 310871359745 50.00 615.41 11111-Central
Data Center
119
Page 13 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
18/04/2023 UPI 310865182362UPI 310865182362 560.00 1,175.41 11111-Central
Data Center
11111-Central
19/04/2023 UPI 310995693687UPI 310995693687 831.00 2,006.41 Data Center
UPI
20/04/2023 310971754555Payment 310971754555 70.00 1,380.41 11111-Central
Data Center
from PhonePe
UPI 311149401414Pay
22/04/2023 To SUSHILKUMAR 311149401414 1,600.00 119.41 11111-Central
Data Center
PANDEY
Page 14 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
01/05/2023 Charges MIN BAL CHGS 38.00 4,062.41
01/05/2023 Charges GST 6.84 4,055.57
02/05/2023 Charges ECS DR RTD CHAR 300.00 3,755.57
02/05/2023 Charges GST 54.00 3,701.57
UPI 312611422033Pay
06/05/2023 To AMAR SANTOSH 312611422033 1,000.00 16,662.57 11111-Central
Data Center
GAIKW
UPI
06/05/2023 349246145101Payment 349246145101 1,000.00 12,642.57 11111-Central
Data Center
from PhonePe
UPI 312655428090UPI
06/05/2023 312655428090 4,436.16 8,206.41 11111-Central
Transaction for PPPL1 Data Center
11111-Central
07/05/2023 UPI 312667940673NA 312667940673 1,365.00 6,841.41 Data Center
UPI
07/05/2023 349302627667Payment 349302627667 19.00 4,112.41 11111-Central
Data Center
from PhonePe
Page 15 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
28/05/2023 UPI 314776247219UPI 314776247219 600.00 110.41 11111-Central
Data Center
11111-Central
28/05/2023 UPI 314793642911UPI 314793642911 300.00 410.41 Data Center
UPI
29/05/2023 3149164996021344323 314916499602 50.00 1,061.41 11111-Central
Data Center
807
Page 16 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
01/06/2023 UPI 315249070892UPI 315249070892 500.00 4,916.57 11111-Central
Data Center
11111-Central
02/06/2023 UPI 315266187348UPI 315266187348 2,500.00 7,416.57 Data Center
1001-MUMBAI
ACH BAJAJ FINANCE L
02/06/2023 3,965.00 3,451.57 SERVICE
402DPFJC229234 BRANCH
11111-Central
02/06/2023 UPI 315319865107UPI 315319865107 300.00 3,151.57 Data Center
UPI 315570722903Pay
04/06/2023 315570722903 30.00 135.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
05/06/2023 UPI 315579129179UPI 315579129179 30.00 105.57 Data Center
NEFT CMS3330713638
05/06/2023 NEFT VIKVINS CONSUL CMS3330713638 20,082.00 20,190.57
MAHB231562106066
Page 17 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
05/06/2023 UPI 315601830943UPI 315601830943 30.00 18,860.57 11111-Central
Data Center
11111-Central
05/06/2023 UPI 315606114526UPI 315606114526 490.00 18,370.57 Data Center
UPI 315606553593Pay
05/06/2023 315606553593 60.00 18,310.57 11111-Central
To KARAM MOHD Data Center
11111-Central
06/06/2023 UPI 315607199880UPI 315607199880 50.00 18,260.57 Data Center
UPI
06/06/2023 352316512719Payment 352316512719 300.00 25,848.57 11111-Central
Data Center
from PhonePe
Page 18 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
07/06/2023 UPI 315856486408UPI 315856486408 620.00 2,715.57 11111-Central
Data Center
11111-Central
07/06/2023 UPI 315866953903UPI 315866953903 400.00 3,115.57 Data Center
UPI 315965749264Pay
08/06/2023 315965749264 65.00 5,961.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
08/06/2023 UPI 315965951720UPI 315965951720 10.00 5,951.57 Data Center
UPI
09/06/2023 352663029699Payment 352663029699 50.00 4,072.57 11111-Central
Data Center
from PhonePe
Page 19 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
10/06/2023 UPI 316129745784UPI 316129745784 300.00 4,177.57 11111-Central
Data Center
11111-Central
10/06/2023 UPI 316133149125UPI 316133149125 180.00 3,997.57 Data Center
UPI 316378992127Pay
12/06/2023 316378992127 1,600.00 177.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
13/06/2023 UPI 316346835327UPI 316346835327 200.00 377.57 Data Center
UPI 316391948594Pay
13/06/2023 316391948594 80.00 122.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
13/06/2023 UPI 316406363872UPI 316406363872 100.00 222.57 Data Center
Page 20 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
UPI
15/06/2023 353264476497Payment 353264476497 1,000.00 1,622.57 11111-Central
Data Center
from PhonePe
UPI 316670294521Pay
16/06/2023 316670294521 190.00 1,312.57 11111-Central
to BharatPe Merchant Data Center
UPI 316770821682Pay
16/06/2023 To AMAR SANTOSH 316770821682 510.00 802.57 11111-Central
Data Center
GAIKW
UPI
18/06/2023 353538164716Payment 353538164716 19.00 3,771.57 11111-Central
Data Center
from PhonePe
Page 21 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
19/06/2023 UPI 316947165626UPI 316947165626 85.00 2,936.57 11111-Central
Data Center
UPI 316947434624Pay 11111-Central
19/06/2023 316947434624 660.00 2,276.57 Data Center
to BharatPe Merchant
Page 22 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
20/06/2023 UPI 317195666678UPI 317195666678 25.00 591.57 11111-Central
Data Center
11111-Central
21/06/2023 UPI 317298911052UPI 317298911052 10.00 581.57 Data Center
UPI
24/06/2023 317467283752Payment 317467283752 55.00 405.57 11111-Central
Data Center
from PhonePe
UPI
24/06/2023 354166736467Payment 354166736467 300.00 105.57 11111-Central
Data Center
from PhonePe
Page 23 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
25/06/2023 UPI 317603643685UPI 317603643685 200.00 145.57 11111-Central
Data Center
11111-Central
26/06/2023 UPI 317732263262UPI 317732263262 25.00 120.57 Data Center
Page 24 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
30/06/2023 UPI 318124902905UPI 318124902905 175.00 415.57 11111-Central
Data Center
UPI 318128496055Pay 11111-Central
30/06/2023 318128496055 60.00 355.57 Data Center
to BharatPe Merchant
1001-MUMBAI
ACH BAJAJ FINANCE L
02/07/2023 3,961.00 787.57 SERVICE
402DPFJC229234 BRANCH
11111-Central
02/07/2023 UPI 318399754690UPI 318399754690 80.00 867.57 Data Center
UPI
03/07/2023 318400435310PayviaRa 318400435310 10.30 157.27 11111-Central
Data Center
zorpay
UPI 318428960116Sent
03/07/2023 318428960116 500.00 657.27 11111-Central
from Paytm Data Center
11111-Central
03/07/2023 UPI 318411843689UPI 318411843689 500.00 157.27 Data Center
Page 25 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
04/07/2023 UPI 318540225153UPI 318540225153 200.00 602.27 11111-Central
Data Center
11111-Central
04/07/2023 UPI 318550424999UPI 318550424999 435.00 167.27 Data Center
NEFT CMS3389512275
05/07/2023 NEFT VIKVINS CONSUL CMS3389512275 19,545.00 19,667.27
MAHB231861388640
UPI
05/07/2023 355200676035Payment 355200676035 2,000.00 22,067.27 11111-Central
Data Center
from PhonePe
UPI
05/07/2023 355212840928Payment 355212840928 1,000.00 21,067.27 11111-Central
Data Center
from PhonePe
Page 26 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
08/07/2023 UPI 318832327519UPI 318832327519 1,700.00 2,046.27 11111-Central
Data Center
11111-Central
08/07/2023 UPI 318833003353UPI 318833003353 40.00 2,006.27 Data Center
Page 27 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
12/07/2023 UPI 319387944652UPI 319387944652 6.00 104.57 11111-Central
Data Center
11111-Central
12/07/2023 UPI 319389233494UPI 319389233494 500.00 604.57 Data Center
UPI
13/07/2023 319483389681Augmont 319483389681 100.00 350.57 11111-Central
Data Center
Gold Fund Transaf
Page 28 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
14/07/2023 UPI 319513088235UPI 319513088235 10.00 148.57 11111-Central
Data Center
11111-Central
14/07/2023 UPI 319515119630UPI 319515119630 30.00 118.57 Data Center
UPI 319516897038Pay
14/07/2023 319516897038 10.00 108.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
17/07/2023 UPI 319889683934UPI 319889683934 5.00 103.57 Data Center
UPI 319908165944Pay
18/07/2023 319908165944 20.00 106.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
18/07/2023 UPI 356511706935UPI 356511706935 400.00 506.57 Data Center
IMPS/48/319920990279/
18/07/2023 **9999/NAVI FINSERV 319920990279 1.00 2,257.57 11111-Central
Data Center
LIMITED/F
IMPS/48/319921063794/
19/07/2023 **9999/NAVI FINSERV 319921063794 15,000.00 17,257.57 11111-Central
Data Center
LTD-TRA/F
Page 29 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
19/07/2023 UPI 320047674991UPI 320047674991 200.00 727.57 11111-Central
Data Center
11111-Central
19/07/2023 UPI 320047990260UPI 320047990260 20.00 707.57 Data Center
UPI 320285161549Pay
21/07/2023 320285161549 30.00 276.57 11111-Central
to BharatPe Merchant Data Center
11111-Central
21/07/2023 UPI 320201226307UPI 320201226307 140.00 136.57 Data Center
IMPS/48/320221869921/
21/07/2023 **9999/NAVI 320221869921 500.00 636.57 11111-Central
Data Center
TECHNOLOGIES LI/F
SMS CHARGE
REVERSAL for DT
23/07/2023 15.00 119.57 9000-CENTRAL
100723 Branch no OFFICE PUNE
00043
Page 30 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
GST SMS
REVERSAL for DT
23/07/2023 2.70 122.27 9000-CENTRAL
100723 Branch no OFFICE PUNE
00043
IMPS/48/320515614786/
24/07/2023 **9838/CASHFREE 320515614786 1.00 131.27 11111-Central
Data Center
PAYMENTS IN/K
IMPS/48/320515656644/
24/07/2023 **9999/POONAWALLA 320515656644 9,880.50 10,011.77 11111-Central
Data Center
FINCORP LTD
Page 31 of 32
Statement for Account No 25009597320 from 26/01/2023 to 26/07/2023.
Cheque/Referen
Date Type Particulars Debit Credit Balance Channel
ce No
26/07/2023 UPI 357382644175UPI 357382644175 1.00 217.77 11111-Central
Data Center
11111-Central
26/07/2023 UPI 320718518947UPI 320718518947 117.00 100.77 Data Center
* END OF STATEMENT
Page 32 of 32