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ABSA Cheque Account Statement Summary

This document is a bank statement for an account holder from 10 March 2024 to 9 April 2024. It lists transactions on the account including fees, deposits and withdrawals. It also provides the account balance brought forward, charges for the period, and the closing balance.

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yarec79954
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0% found this document useful (0 votes)
38 views2 pages

ABSA Cheque Account Statement Summary

This document is a bank statement for an account holder from 10 March 2024 to 9 April 2024. It lists transactions on the account including fees, deposits and withdrawals. It also provides the account balance brought forward, charges for the period, and the closing balance.

Uploaded by

yarec79954
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

eS tamp

29/04/2024
General Enquiries

Return address: 08600 08600


Private Bag X18, Johannesburg, 2000 Absa Bank Ltd

Cheque Account Number: 41-0463-352 3

008140
004653

MRM S WILLIAMS
Bedford Centre
45 O REILLY ST REET Shop U30 Upper Level
BEREA P O Box 261001
2198 Excom
2023

011 479 9460

Cheque account statement


10 Mar 2024 to 9 Apr 2024
Account Type: Silver Issued on: 9 Apr 2024
Statement no: 0021
Client VAT reg no:

Account Summary:
Balance Brought Forward 50 441,96
Charges 4,00-
Balance 50 437.96
Overdraft Limit 0,00

Your transactions
Date Transaction Description Charge Debit Amount Credit Amount Balance
10/03/2024 Bal Brought Forward 50 441.96
17/03/2024 Notific Fee Sms Notifyme 1.20 T 50 441.96
2 Sms Notifications
23/03/2024 Unsuccessful Ext Settlement 50 441.96
Isabellagaplvb144279m1 240224
25/03/2024 Unsuccessful Ext Settlement 50 441.96
Isabellagaplvb144279m1 240325
1/04/2024 Admin Charge Headoffice * 4.00 50 437.96
1/04/2024 Dc External Settlement 19.00 T 205.66 50 232.30
Isabellagaplvb144279m1 240224
1/04/2024 Dc Unpaid Headoffice 205.66 50 437.96
Isabellagaplvb144279m1 240224
3/04/2024 Dc External Settlement 19.00 T 205.66 50 232.30
Isabellagaplvb144279m1 240325
3/04/2024 Dc Unpaid Headoffice 205.66 50 437.96
Isabellagaplvb144279m1 240325
5/04/2024 Notific Fee Sms Notifyme 1.20 T 50 437.96
2 Sms Notifications
MANAGEMENT FEE: NUMBER OF DEBITS MONTHLY FEE FIXED FEE
998 0.00 0.00
CREDIT INTEREST RATE ASAT10/03/2024 STANDARD - REFER TO BRANCH
DEBIT INTEREST RATE AS AT 09/04/2024 0.00 - 999999999999999.99 0.0000%
* = VAT R0.52- INCLUDED

CHARGE: A = ADMINISTRATION C = CASH DEPOSIT M = MIXED S = SERVICE T = TRANSACTION

Our Privacy Notice has been updated. Visit [Link] for the latest version.
Page 1 of 1 ABSA Bank Limited T ax Invoice
Authorised Financial Services Provider - Registered Credit Provider, Reg. No. NCRCP7
Registration Number 1986/004794/06 Vat Registration Number 4940112230
CSP001CQ (06/2018) KLOPPER010
KLOPPER010 4104633523 0021 09/04/2024
eS tamp
29/04/2024
General Enquiries
08600 08600
Absa Bank Ltd

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