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Account Statement: 2016-2018 Summary

This document is a 3 page statement of account from April 4, 2016 to May 30, 2018 for account number 029001000010170 held at the Indian Overseas Bank in Alangulam, Tamil Nadu, India by CYBIO NILA MAKALIR SHG. It shows regular loan repayments of Rs. 13378 every 4-7 days that have been paid into the account along with the current cleared balance of Rs. 13378 and an interest rate of 13.5%.
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0% found this document useful (0 votes)
100 views6 pages

Account Statement: 2016-2018 Summary

This document is a 3 page statement of account from April 4, 2016 to May 30, 2018 for account number 029001000010170 held at the Indian Overseas Bank in Alangulam, Tamil Nadu, India by CYBIO NILA MAKALIR SHG. It shows regular loan repayments of Rs. 13378 every 4-7 days that have been paid into the account along with the current cleared balance of Rs. 13378 and an interest rate of 13.5%.
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd

STATEMENT OF ACCOUNT from 04/04/2016 to 30/05/2018 for Account Number 029001000010170.

Page No: 1

INDIAN OVERSEAS BANK


TNC-ALANGULAM
1 TYPE IV QUARTERES TAMILNADU CEMENTS
ALANGULAM,Virudhunagar Dist. , Tamil Nadu
Branch Code : 0290
Account Number : 029001000010170
Product type : SHGCHQ-GEN-PUB-RURAL-INR
CYBIO NILA MAKALIR SHG,MELANMARAINA
4/1692 D2 1st Street Amman Nagar
si Melanmarainadu East Near Shanmuga Agency
Virudhunagar Tamil Nadu
Email : Jeyanthiba4234@[Link]
Statement Date :Mon Oct 15 [Link] IST 2018
Cleared Balance :13378.00
Uncleared Amount :0.00
Drawing Power :0.00
Interest Rate : 13.50

Value Post Remitter Description Chequ DR CR Balance


Date Date Branch e No
BALANCE B/F 4656.00CR
04/04/ 04/04/ MANALI NEW FUND 280000.00 280000.00CR
2016 2016 TOWN TRANSFER
FROM SB132156

04/05/ 08/05/ ATM SERVICE PAYMENT 13378.00 280000.00CR


2016 2016 BRANCH RECEIVED

04/05/ 04/05/ ATM SERVICE LOAN 13378.00 269772.00CR


REPAYMENT
2016 2016 BRANCH
RECEIPT-048757

04/06/ 04/06/ CORE BANKING PAYMENT 13378.00 269772.00CR


2016 2016 DATA CENTRE RECEIVED

04/06/ 04/06/ MANALI NEW LOAN 13378..00 259430.00CR


REPAYMENT
2016 2016 TOWN
RECEIPT-048758

04/07/ 17/07/ CORE BANKING PAYMENT 13378.00 259430.00CR


2016 2016 DATA CENTRE RECEIVED

04/07/ 04/07/ CORE BANKING LOAN 13378.00 248971.00CR


2016 2016 DATA CENTRE REPAYMENT
RECEIPT-048759
STATEMENT OF ACCOUNT from 04/04/2016 to 30/05/2018 for Account Number 029001000010170.
Page No: 2

Value Post Remitter Description Chequ DR CR Balance


Date Date Branch e No
04/08/ 04/08/ ATM SERVICE PAYMENT 13378.00 248971.00CR
2016 2016 BRANCH RECEIVED

04/09/ 04/08/ ATM SERVICE LOAN 13378.00 238394.00CR


2016 2016 BRANCH REPAYMENT

RECEIPT-048760

04/09/ 04/09/ MANALI NEW PAYMENT 13378.00 238394.00CR


2016 2016 TOWN RECEIVED

04/10/ 04/09/ ATM SERVICE LOAN 13378.00 227699.00CR


2016 2016 BRANCH REPAYMENT

RECEIPT-048761

04/10/ 04/10/ MANALI NEW PAYMENT 13378.00 227699.00CR


2016 2016 TOWN RECEIVED

04/11/ 04/10/ ATM SERVICE LOAN 13378.00 216883.00CR


2016 2016 BRANCH REPAYMENT

RECEIPT-048762

04/11/ 04/11/ ATM SERVICE PAYMENT 13378.00 216883.00CR


2016 2016 BRANCH RECEIVED

LOAN LOAN 205945.00CR


REPAYMENT REPAYMENT 13378.00
28/11/ 28/11/ 37.00 205945.00CR
2016 2016 RECEIPT-048760 RECEIPT-048763
04/12/ 04/12/ ATM SERVICE PAYMENT 13378.00 205945.00CR
2016 2016 BRANCH RECEIVED

04/12/ 04/12/ ATM SERVICE LOAN 13378.00 194884.00CR


2016 2016 BRANCH REPAYMENT

RECEIPT-048764

04/01/ 04/01/ ATM SERVICE PAYMENT 13378.00 194884.00CR


2017 2017 BRANCH RECEIVED
STATEMENT OF ACCOUNT from 04/04/2016 to 30/05/2018 for Account Number 029001000010170.

Value Post Remitter Description Chequ DR CR Balance


Date Date Branch e No
04/01/ 04/01/ MANALI NEW LOAN 13378.00 183669.00CR
2017 2017 TOWN REPAYMENT

RECEIPT-048765

04/02/ 04/02/ MANALI NEW PAYMENT 13378.00 183669.00CR


2017 2017 TOWN RECEIVED

04/02/ 04/02/ MANALI NEW LOAN 13378.00 172388.00CR


2017 2017 TOWN REPAYMENT

RECEIPT-048766

04/03/ 04/03/ MANALI NEW PAYMENT 13378.00 172388.00CR


2017 2017 TOWN RECEIVED

04/03/ 04/03/ ATM SERVICE LOAN 13378.00 160950.00CR


2017 2017 BRANCH REPAYMENT

RECEIPT-048767

04/04/ 04/04/ ATM SERVICE PAYMENT 13378.00 160950.00CR


2017 2017 BRANCH RECEIVED

04/04/ 04/04/ MANALI NEW LOAN 13378.00 149383.00CR


TOWN REPAYMENT
2017 2017

RECEIPT-048768

04/05/ 04/05/ MANALI NEW PAYMENT 13378.00 149383.00CR


2017 2017 TOWN RECEIVED

04/05/ 04/05/ ATM SERVICE LOAN 13378.00 137686.00CR


2017 2017 BRANCH REPAYMENT

RECEIPT-048769
STATEMENT OF ACCOUNT from 04/04/2016 to 30/05/2018 for Account Number 029001000010170.
Page No: 4

Value Post Remitter Description Chequ DR CR Balance


Date Date Branch e No
04/06/ 04/01/ MANALI NEW PAYMENT 13378.00 137686.00CR
2017 2017 TOWN RECEIVED

04/06/ 04/02/ MANALI NEW LOAN 13378.00 125858.00CR


2017 2017 TOWN REPAYMENT

RECEIPT-048770

04/07/ 04/07/ MANALI NEW PAYMENT 13378.00 125858.00CR


2017 2017 TOWN RECEIVED

04/07/ 04/07/ MANALI NEW LOAN 13378.00 113896.00CR


2017 2017 TOWN REPAYMENT

RECEIPT-048771

04/08/ 04/08/ ATM SERVICE PAYMENT 13378.00 113896.00CR


2017 2017 BRANCH RECEIVED

04/08/ 04/08/ ATM SERVICE LOAN 13378.00 101800.00CR


2017 2017 BRANCH REPAYMENT

RECEIPT-048772

04/09/ 04/09/ MANALI NEW PAYMENT 13378.00 101800.00CR


TOWN RECEIVED
2017 2017

04/09/ 04/09/ MANALI NEW LOAN 13378.00 89567.00CR


2017 2017 TOWN REPAYMENT

RECEIPT-048773

04/10/ 04/10/ MANALI NEW PAYMENT 13378.0 89567.00CR


2017 2017 TOWN RECEIVED
STATEMENT OF ACCOUNT from 04/04/2016 to 30/05/2018 for Account Number 029001000010170..
Page No: 5

Value Post Remitter Description Chequ DR CR Balance


Date Date Branch e No
04/10/ 04/10/ MANALI NEW LOAN 13378.00 77197.00CR
2017 2017 TOWN REPAYMENT

RECEIPT-048774

04/11/ 04/11/ MANALI NEW PAYMENT 13378.00 77197.00CR


2017 2017 TOWN RECEIVED

04/12/ 04/12/ MANALI NEW LOAN 13378.00 64688.00CR


2017 2017 TOWN REPAYMENT

RECEIPT-048775

04/01/ 04/01/ MANALI NEW PAYMENT 13378.00 64688.00CR


2018 2018 TOWN RECEIVED

04/01/ 04/01/ ATM SERVICE LOAN 13378.00 52038.00CR


2018 2018 BRANCH REPAYMENT

RECEIPT-048776

04/02/ 04/02/ ATM SERVICE PAYMENT 13378.00 52038.00CR


2018 2018 BRANCH RECEIVED

04/02/ 04/02/ MANALI NEW LOAN 13378.00 39246.00CR


2018 2018 TOWN REPAYMENT

RECEIPT-048777

04/03/ 04/01/ ATM SERVICE PAYMENT 13378.00 39246.00CR


2018 2018 BRANCH RECEIVED

04/03/ 04/02/ MANALI NEW LOAN 13378.00 26310.00CR


2018 2018 TOWN REPAYMENT

RECEIPT-048778
STATEMENT OF ACCOUNT from 04/04/2016 to 30/05/2018 for Account Number 029001000010170.
Page No: 6

04/04/ 04/04/ MANALI NEW PAYMENT 13378.00 26310.00CR


2018 2018 TOWN RECEIVED

04/04/ 04/04/ ATM SERVICE LOAN 13378.00 13229.00CR


2018 2018 BRANCH REPAYMENT

RECEIPT-048779

04/05/ 04/05/ ATM SERVICE PAYMENT 13378.00 13229.00CR


2018 2018 BRANCH RECEIVED

04/05/ 04/05/ MANALI NEW LOAN 13378.00 00.00CR


2018 2018 TOWN REPAYMENT

RECEIPT-048780

* Statement Downloaded By Jeyanthi M on Mon Oct 15 [Link] IST 2018

Unless a constituent notifies the Bank immediately of any discrepancy found by him/her in this statement of a/c, it will be taken that he has found
the a/c correct.

END OF STATEMENT

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