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JBM 266

The document provides account details for Pradeep Chandrakant Shinde including the account number, type, opening date, registered address, loan details including amount disbursed, number of installments, interest rate and an account statement from 2016 to 2024 showing transaction details like credits, debits, principal, interest and balances.

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Sameer Deshmukh
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0% found this document useful (0 votes)
45 views17 pages

JBM 266

The document provides account details for Pradeep Chandrakant Shinde including the account number, type, opening date, registered address, loan details including amount disbursed, number of installments, interest rate and an account statement from 2016 to 2024 showing transaction details like credits, debits, principal, interest and balances.

Uploaded by

Sameer Deshmukh
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
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VIDYA SAHAKARI BANK LTD

URBAN CO-OP BANK


BHOSARI ( 10 )
SAI-DHAM,SHOP NO.1, SURVEY NO.681,HISSA NO,1/6 BHOSARI,PUNE,Pune City
-411026
GST -27AAAAV0260E1ZV IFSC -SVCB0003010 MICR -411171010 Phone -27111749
EmailId -BMBHOSARI@VIDYABANK.COM

PRADEEP CHANDRAKANT SHINDE

Ckyc No: 60094720858631


Name Types : Customer Id: 100341251
Account No : 201030260000266
Account Open Date : 28/06/2018
Mode Of Opration : SELF
Account Type : Normal
Scheme Code : Jbm Loan
Account Status : Operative [SMA 0]
Registered Address : Aadhaar No: 753637634157
AT INDORI
TALEGAON CHAKAN ROAD PAN No : FZIPS2184H
POST MALWADI
TAL Base Branch: BHOSARI ( 10 )
MAVAL DIST
KHED Customer GST: 0
410501
+91 - 9890490698 Purpose : Housing
9890490698
No Of Installments: 90
Rate Of Interest: 9

Account Statement from 01-Jan-2016 to 05-Mar-2024 Statement Print Date: 05-Mar-2024 10:46:11 AM
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
01/01/2016 Opening Balance 0.00 CR 0.00 CR 0.00 CR
28/06/2018 TO DISBURSAL 2,35,200.00 2,35,200.00 0.00 CR 2,35,200.00
28/06/2018 DR DR
30/06/2018 TO INT. DR. 01/06/2018 -30/06/2018 2,35,200.00 213.00 213.00 DR 2,35,413.00
30/06/2018 DR DR
02/07/2018 BY AMT TR SB/5875 SHINDE PRADEEP 6,600.00 2,28,600.00 213.00 DR 2,28,813.00
02/07/2018 DR DR
02/07/2018 TO AIR 213.00 2,28,813.00 213.00 DR 2,29,026.00
02/07/2018 DR DR
02/07/2018 BY JBM LON/266 2,28,813.00 213.00 0.00 CR 2,28,813.00
02/07/2018 DR DR
04/07/2018 BY SI SB/GEN/5875 9,200.00 2,19,613.00 0.00 CR 2,19,613.00
04/07/2018 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
09/07/2018 TO DISBURSAL 2,64,800.00 4,84,413.00 0.00 CR 4,84,413.00
09/07/2018 DR DR
09/07/2018 TO WRONG CREDIT 04/JUL/2018 2063512 9,200.00 4,93,613.00 0.00 CR 4,93,613.00
REVERSED 09/07/2018 DR DR
31/07/2018 TO INT. DR. 01/07/2018 -31/07/2018 4,93,613.00 3,961.00 3,961.00 DR 4,97,574.00
31/07/2018 DR DR
04/08/2018 BY SI SB/GEN/5875 9,750.00 4,83,863.00 3,961.00 DR 4,87,824.00
04/08/2018 DR DR
04/08/2018 TO AIR 3,961.00 4,87,824.00 3,961.00 DR 4,91,785.00
04/08/2018 DR DR
04/08/2018 BY JBM LON/266 4,87,824.00 3,961.00 0.00 CR 4,87,824.00
04/08/2018 DR DR
07/08/2018 TO WRONG CREDIT 04/AUG/2018 2109353 9,750.00 4,97,574.00 0.00 CR 4,97,574.00
REVERSED 07/08/2018 DR DR
07/08/2018 BY AMT FR SB/5875 FOR EMI OF JULLY 6,600.00 4,90,974.00 0.00 CR 4,90,974.00
07/08/2018 DR DR
07/08/2018 BY AMT FR SB/5875 FOR EMI OF AUG 6,600.00 4,84,374.00 0.00 CR 4,84,374.00
07/08/2018 DR DR
31/08/2018 TO INT. DR. 01/08/2018 -31/08/2018 4,84,374.00 4,540.00 4,540.00 DR 4,88,914.00
31/08/2018 DR DR
06/09/2018 BY CASH 10,100.00 4,74,274.00 4,540.00 DR 4,78,814.00
06/09/2018 DR DR
06/09/2018 TO AIR 4,540.00 4,78,814.00 4,540.00 DR 4,83,354.00
06/09/2018 DR DR
06/09/2018 BY JBM LON/266 4,78,814.00 4,540.00 0.00 CR 4,78,814.00
06/09/2018 DR DR
30/09/2018 TO INT. DR. 01/09/2018 -30/09/2018 4,78,814.00 4,344.00 4,344.00 DR 4,83,158.00
30/09/2018 DR DR
08/10/2018 BY SI SB/GEN/5875 6,600.00 4,72,214.00 4,344.00 DR 4,76,558.00
08/10/2018 DR DR
08/10/2018 TO AIR 4,344.00 4,76,558.00 4,344.00 DR 4,80,902.00
08/10/2018 DR DR
08/10/2018 BY JBM LON/266 4,76,558.00 4,344.00 0.00 CR 4,76,558.00
08/10/2018 DR DR
08/10/2018 BY SI SB/GEN/5875 6,600.00 4,69,958.00 0.00 CR 4,69,958.00
08/10/2018 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
08/10/2018 TO WRONG CREDIT 08/OCT/2018 2206124 6,600.00 4,76,558.00 0.00 CR 4,76,558.00
REVERSED 08/10/2018 DR DR
31/10/2018 TO INT. DR. 01/10/2018 -31/10/2018 4,76,558.00 4,466.00 4,466.00 DR 4,81,024.00
31/10/2018 DR DR
03/11/2018 BY SI SB/GEN/5875 7,500.00 4,69,058.00 4,466.00 DR 4,73,524.00
03/11/2018 DR DR
03/11/2018 TO AIR 4,466.00 4,73,524.00 4,466.00 DR 4,77,990.00
03/11/2018 DR DR
03/11/2018 BY JBM LON/266 4,73,524.00 4,466.00 0.00 CR 4,73,524.00
03/11/2018 DR DR
30/11/2018 TO INT. DR. 01/11/2018 -30/11/2018 4,73,524.00 4,286.00 4,286.00 DR 4,77,810.00
30/11/2018 DR DR
10/12/2018 BY SI SB/GEN/5875 7,500.00 4,66,024.00 4,286.00 DR 4,70,310.00
10/12/2018 DR DR
10/12/2018 TO AIR 4,286.00 4,70,310.00 4,286.00 DR 4,74,596.00
10/12/2018 DR DR
10/12/2018 BY JBM LON/266 4,70,310.00 4,286.00 0.00 CR 4,70,310.00
10/12/2018 DR DR
31/12/2018 TO INT. DR. 01/12/2018 -31/12/2018 4,70,310.00 4,414.00 4,414.00 DR 4,74,724.00
31/12/2018 DR DR
08/01/2019 BY SI SB/GEN/5875 7,500.00 4,62,810.00 4,414.00 DR 4,67,224.00
08/01/2019 DR DR
08/01/2019 TO AIR 4,414.00 4,67,224.00 4,414.00 DR 4,71,638.00
08/01/2019 DR DR
08/01/2019 BY JBM LON/266 4,67,224.00 4,414.00 0.00 CR 4,67,224.00
08/01/2019 DR DR
31/01/2019 TO INT. DR. 01/01/2019 -31/01/2019 4,67,224.00 4,381.00 4,381.00 DR 4,71,605.00
31/01/2019 DR DR
08/02/2019 BY SI SB/GEN/5875 7,500.00 4,59,724.00 4,381.00 DR 4,64,105.00
08/02/2019 DR DR
08/02/2019 TO AIR 4,381.00 4,64,105.00 4,381.00 DR 4,68,486.00
08/02/2019 DR DR
08/02/2019 BY JBM LON/266 4,64,105.00 4,381.00 0.00 CR 4,64,105.00
08/02/2019 DR DR
28/02/2019 TO INT. DR. 01/02/2019 -28/02/2019 4,64,105.00 3,932.00 3,932.00 DR 4,68,037.00
28/02/2019 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
07/03/2019 BY SI SB/GEN/5875 7,500.00 4,56,605.00 3,932.00 DR 4,60,537.00
07/03/2019 DR DR
07/03/2019 TO AIR 3,932.00 4,60,537.00 3,932.00 DR 4,64,469.00
07/03/2019 DR DR
07/03/2019 BY JBM LON/266 4,60,537.00 3,932.00 0.00 CR 4,60,537.00
07/03/2019 DR DR
22/03/2019 TO LIC OF INDIA 4,602.00 4,65,139.00 0.00 CR 4,65,139.00
22/03/2019 DR DR
31/03/2019 TO INT. DR. 01/03/2019 -31/03/2019 4,65,139.00 4,330.00 4,330.00 DR 4,69,469.00
31/03/2019 DR DR
08/04/2019 BY SI SB/GEN/5875 7,500.00 4,57,639.00 4,330.00 DR 4,61,969.00
08/04/2019 DR DR
08/04/2019 TO OTHER EXPENSES RECOVERED 4,602.00 4,62,241.00 4,330.00 DR 4,66,571.00
08/04/2019 DR DR
08/04/2019 BY JBM LON/266 4,602.00 4,57,639.00 4,330.00 DR 4,61,969.00
08/04/2019 DR DR
08/04/2019 TO AIR 2,898.00 4,60,537.00 4,330.00 DR 4,64,867.00
08/04/2019 DR DR
08/04/2019 BY JBM LON/266 4,60,537.00 2,898.00 1,432.00 DR 4,61,969.00
08/04/2019 DR DR
30/04/2019 TO INT. DR. 01/04/2019 -30/04/2019 4,60,537.00 4,193.00 5,625.00 DR 4,66,162.00
30/04/2019 DR DR
07/05/2019 BY SI SB/GEN/5875 7,500.00 4,53,037.00 5,625.00 DR 4,58,662.00
07/05/2019 DR DR
07/05/2019 TO AIR 5,625.00 4,58,662.00 5,625.00 DR 4,64,287.00
07/05/2019 DR DR
07/05/2019 BY JBM LON/266 4,58,662.00 5,625.00 0.00 CR 4,58,662.00
07/05/2019 DR DR
31/05/2019 TO INT. DR. 01/05/2019 -31/05/2019 4,58,662.00 4,299.00 4,299.00 DR 4,62,961.00
31/05/2019 DR DR
07/06/2019 BY SI SB/GEN/5875 7,500.00 4,51,162.00 4,299.00 DR 4,55,461.00
07/06/2019 DR DR
07/06/2019 TO AIR 4,299.00 4,55,461.00 4,299.00 DR 4,59,760.00
07/06/2019 DR DR
07/06/2019 BY JBM LON/266 4,55,461.00 4,299.00 0.00 CR 4,55,461.00
07/06/2019 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
30/06/2019 TO INT. DR. 01/06/2019 -30/06/2019 4,55,461.00 4,131.00 4,131.00 DR 4,59,592.00
30/06/2019 DR DR
05/07/2019 BY SI SB/GEN/5875 7,500.00 4,47,961.00 4,131.00 DR 4,52,092.00
05/07/2019 DR DR
05/07/2019 TO AIR 4,131.00 4,52,092.00 4,131.00 DR 4,56,223.00
05/07/2019 DR DR
05/07/2019 BY JBM LON/266 4,52,092.00 4,131.00 0.00 CR 4,52,092.00
05/07/2019 DR DR
31/07/2019 TO INT. DR. 01/07/2019 -31/07/2019 4,52,092.00 4,233.00 4,233.00 DR 4,56,325.00
31/07/2019 DR DR
08/08/2019 BY SI SB/GEN/5875 7,500.00 4,44,592.00 4,233.00 DR 4,48,825.00
08/08/2019 DR DR
08/08/2019 TO AIR 4,233.00 4,48,825.00 4,233.00 DR 4,53,058.00
08/08/2019 DR DR
08/08/2019 BY JBM LON/266 4,48,825.00 4,233.00 0.00 CR 4,48,825.00
08/08/2019 DR DR
31/08/2019 TO INT. DR. 01/08/2019 -31/08/2019 4,48,825.00 4,209.00 4,209.00 DR 4,53,034.00
31/08/2019 DR DR
07/09/2019 BY SI SB/GEN/5875 7,500.00 4,41,325.00 4,209.00 DR 4,45,534.00
07/09/2019 DR DR
07/09/2019 TO AIR 4,209.00 4,45,534.00 4,209.00 DR 4,49,743.00
07/09/2019 DR DR
07/09/2019 BY JBM LON/266 4,45,534.00 4,209.00 0.00 CR 4,45,534.00
07/09/2019 DR DR
30/09/2019 TO INT. DR. 01/09/2019 -30/09/2019 4,45,534.00 4,042.00 4,042.00 DR 4,49,576.00
30/09/2019 DR DR
03/10/2019 BY SI SB/GEN/5875 7,500.00 4,38,034.00 4,042.00 DR 4,42,076.00
03/10/2019 DR DR
03/10/2019 TO AIR 4,042.00 4,42,076.00 4,042.00 DR 4,46,118.00
03/10/2019 DR DR
03/10/2019 BY JBM LON/266 4,42,076.00 4,042.00 0.00 CR 4,42,076.00
03/10/2019 DR DR
31/10/2019 TO INT. DR. 01/10/2019 -31/10/2019 4,42,076.00 4,135.00 4,135.00 DR 4,46,211.00
31/10/2019 DR DR
04/11/2019 BY SI SB/GEN/5875 8,500.00 4,33,576.00 4,135.00 DR 4,37,711.00
04/11/2019 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
04/11/2019 TO AIR 4,135.00 4,37,711.00 4,135.00 DR 4,41,846.00
04/11/2019 DR DR
04/11/2019 BY JBM LON/266 4,37,711.00 4,135.00 0.00 CR 4,37,711.00
04/11/2019 DR DR
30/11/2019 TO INT. DR. 01/11/2019 -30/11/2019 4,37,711.00 3,965.00 3,965.00 DR 4,41,676.00
30/11/2019 DR DR
04/12/2019 BY SI SB/GEN/5875 8,500.00 4,29,211.00 3,965.00 DR 4,33,176.00
04/12/2019 DR DR
04/12/2019 TO AIR 3,965.00 4,33,176.00 3,965.00 DR 4,37,141.00
04/12/2019 DR DR
04/12/2019 BY JBM LON/266 4,33,176.00 3,965.00 0.00 CR 4,33,176.00
04/12/2019 DR DR
31/12/2019 TO INT. DR. 01/12/2019 -31/12/2019 4,33,176.00 4,055.00 4,055.00 DR 4,37,231.00
31/12/2019 DR DR
02/01/2020 BY SI SB/GEN/5875 8,500.00 4,24,676.00 4,055.00 DR 4,28,731.00
02/01/2020 DR DR
02/01/2020 TO AIR 4,055.00 4,28,731.00 4,055.00 DR 4,32,786.00
02/01/2020 DR DR
02/01/2020 BY JBM LON/266 4,28,731.00 4,055.00 0.00 CR 4,28,731.00
02/01/2020 DR DR
31/01/2020 TO INT. DR. 01/01/2020 -31/01/2020 4,28,731.00 4,008.00 4,008.00 DR 4,32,739.00
31/01/2020 DR DR
03/02/2020 BY SI SB/GEN/5875 8,500.00 4,20,231.00 4,008.00 DR 4,24,239.00
03/02/2020 DR DR
03/02/2020 TO AIR 4,008.00 4,24,239.00 4,008.00 DR 4,28,247.00
03/02/2020 DR DR
03/02/2020 BY JBM LON/266 4,24,239.00 4,008.00 0.00 CR 4,24,239.00
03/02/2020 DR DR
29/02/2020 TO INT. DR. 01/02/2020 -29/02/2020 4,24,239.00 3,713.00 3,713.00 DR 4,27,952.00
29/02/2020 DR DR
04/03/2020 BY SI SB/GEN/5875 8,500.00 4,15,739.00 3,713.00 DR 4,19,452.00
04/03/2020 DR DR
04/03/2020 TO AIR 3,713.00 4,19,452.00 3,713.00 DR 4,23,165.00
04/03/2020 DR DR
04/03/2020 BY JBM LON/266 4,19,452.00 3,713.00 0.00 CR 4,19,452.00
04/03/2020 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
31/03/2020 TO INT. DR. 01/03/2020 -31/03/2020 4,19,452.00 3,926.00 3,926.00 DR 4,23,378.00
31/03/2020 DR DR
30/04/2020 TO INT. DR. 01/04/2020 -30/04/2020 4,19,452.00 3,828.00 7,754.00 DR 4,27,206.00
30/04/2020 DR DR
12/05/2020 BY SI SB/GEN/5875 8,500.00 4,10,952.00 7,754.00 DR 4,18,706.00
12/05/2020 DR DR
12/05/2020 TO AIR 7,754.00 4,18,706.00 7,754.00 DR 4,26,460.00
12/05/2020 DR DR
12/05/2020 BY JBM LON/266 4,18,706.00 7,754.00 0.00 CR 4,18,706.00
12/05/2020 DR DR
30/05/2020 TO INT. DR. 01/05/2020 -31/05/2020 4,18,706.00 3,940.00 3,940.00 DR 4,22,646.00
30/05/2020 DR DR
30/06/2020 TO INT. DR. 01/06/2020 -30/06/2020 4,18,706.00 3,821.00 7,761.00 DR 4,26,467.00
30/06/2020 DR DR
31/07/2020 TO INT. DR. 01/07/2020 -31/07/2020 4,18,706.00 3,984.00 11,745.00 4,30,451.00
31/07/2020 DR DR DR
31/08/2020 TO INT. DR. 01/08/2020 -31/08/2020 4,18,706.00 4,021.00 15,766.00 4,34,472.00
31/08/2020 DR DR DR
01/09/2020 BY SI SB/GEN/5875 8,500.00 4,10,206.00 15,766.00 4,25,972.00
01/09/2020 DR DR DR
01/09/2020 TO AIR 8,500.00 4,18,706.00 15,766.00 4,34,472.00
01/09/2020 DR DR DR
01/09/2020 BY JBM LON/266 4,18,706.00 8,500.00 7,266.00 DR 4,25,972.00
01/09/2020 DR DR
30/09/2020 TO INT. DR. 01/09/2020 -30/09/2020 4,18,706.00 3,851.00 11,117.00 4,29,823.00
30/09/2020 DR DR DR
07/10/2020 BY SI SB/GEN/5875 8,500.00 4,10,206.00 11,117.00 4,21,323.00
07/10/2020 DR DR DR
07/10/2020 TO AIR 8,500.00 4,18,706.00 11,117.00 4,29,823.00
07/10/2020 DR DR DR
07/10/2020 BY JBM LON/266 4,18,706.00 8,500.00 2,617.00 DR 4,21,323.00
07/10/2020 DR DR
31/10/2020 TO INT. DR. 01/10/2020 -31/10/2020 4,18,706.00 3,952.00 6,569.00 DR 4,25,275.00
31/10/2020 DR DR
05/11/2020 BY COMPOUND INT AND SIMPLE INTEREST 555.00 4,18,151.00 6,569.00 DR 4,24,720.00
DIFF. 05/11/2020 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
05/11/2020 TO AIR 555.00 4,18,706.00 6,569.00 DR 4,25,275.00
05/11/2020 DR DR
05/11/2020 BY JBM LON/266 4,18,706.00 555.00 6,014.00 DR 4,24,720.00
05/11/2020 DR DR
07/11/2020 BY SI SB/GEN/5875 9,200.00 4,09,506.00 6,014.00 DR 4,15,520.00
07/11/2020 DR DR
07/11/2020 TO AIR 6,014.00 4,15,520.00 6,014.00 DR 4,21,534.00
07/11/2020 DR DR
07/11/2020 BY JBM LON/266 4,15,520.00 6,014.00 0.00 CR 4,15,520.00
07/11/2020 DR DR
30/11/2020 TO INT. DR. 01/11/2020 -30/11/2020 4,15,520.00 3,774.00 3,774.00 DR 4,19,294.00
30/11/2020 DR DR
08/12/2020 BY SI SB/GEN/5875 9,200.00 4,06,320.00 3,774.00 DR 4,10,094.00
08/12/2020 DR DR
08/12/2020 TO AIR 3,774.00 4,10,094.00 3,774.00 DR 4,13,868.00
08/12/2020 DR DR
08/12/2020 BY JBM LON/266 4,10,094.00 3,774.00 0.00 CR 4,10,094.00
08/12/2020 DR DR
31/12/2020 TO INT. DR. 01/12/2020 -31/12/2020 4,10,094.00 3,851.00 3,851.00 DR 4,13,945.00
31/12/2020 DR DR
08/01/2021 BY SI SB/GEN/5875 9,200.00 4,00,894.00 3,851.00 DR 4,04,745.00
08/01/2021 DR DR
08/01/2021 TO AIR 3,851.00 4,04,745.00 3,851.00 DR 4,08,596.00
08/01/2021 DR DR
08/01/2021 BY JBM LON/266 4,04,745.00 3,851.00 0.00 CR 4,04,745.00
08/01/2021 DR DR
30/01/2021 TO INT. DR. 01/01/2021 -31/01/2021 4,04,745.00 3,801.00 3,801.00 DR 4,08,546.00
30/01/2021 DR DR
08/02/2021 BY SI SB/GEN/5875 9,200.00 3,95,545.00 3,801.00 DR 3,99,346.00
08/02/2021 DR DR
08/02/2021 TO AIR 3,801.00 3,99,346.00 3,801.00 DR 4,03,147.00
08/02/2021 DR DR
08/02/2021 BY JBM LON/266 3,99,346.00 3,801.00 0.00 CR 3,99,346.00
08/02/2021 DR DR
26/02/2021 TO INT. DR. 01/02/2021 -28/02/2021 3,99,346.00 3,389.00 3,389.00 DR 4,02,735.00
26/02/2021 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
06/03/2021 BY SI SB/GEN/5875 9,200.00 3,90,146.00 3,389.00 DR 3,93,535.00
06/03/2021 DR DR
06/03/2021 TO AIR 3,389.00 3,93,535.00 3,389.00 DR 3,96,924.00
06/03/2021 DR DR
06/03/2021 BY JBM LON/266 3,93,535.00 3,389.00 0.00 CR 3,93,535.00
06/03/2021 DR DR
31/03/2021 TO INT. DR. 01/03/2021 -31/03/2021 3,93,535.00 3,690.00 3,690.00 DR 3,97,225.00
31/03/2021 DR DR
07/04/2021 BY SI SB/GEN/5875 9,200.00 3,84,335.00 3,690.00 DR 3,88,025.00
07/04/2021 DR DR
07/04/2021 TO AIR 3,690.00 3,88,025.00 3,690.00 DR 3,91,715.00
07/04/2021 DR DR
07/04/2021 BY JBM LON/266 3,88,025.00 3,690.00 0.00 CR 3,88,025.00
07/04/2021 DR DR
30/04/2021 TO INT. DR. 01/04/2021 -30/04/2021 3,88,025.00 3,525.00 3,525.00 DR 3,91,550.00
30/04/2021 DR DR
07/05/2021 BY SI SB/GEN/5875 9,200.00 3,78,825.00 3,525.00 DR 3,82,350.00
07/05/2021 DR DR
07/05/2021 TO AIR 3,525.00 3,82,350.00 3,525.00 DR 3,85,875.00
07/05/2021 DR DR
07/05/2021 BY JBM LON/266 3,82,350.00 3,525.00 0.00 CR 3,82,350.00
07/05/2021 DR DR
31/05/2021 TO INT. DR. 01/05/2021 -31/05/2021 3,82,350.00 3,589.00 3,589.00 DR 3,85,939.00
31/05/2021 DR DR
08/06/2021 BY SI SB/GEN/5875 9,200.00 3,73,150.00 3,589.00 DR 3,76,739.00
08/06/2021 DR DR
08/06/2021 TO AIR 3,589.00 3,76,739.00 3,589.00 DR 3,80,328.00
08/06/2021 DR DR
08/06/2021 BY JBM LON/266 3,76,739.00 3,589.00 0.00 CR 3,76,739.00
08/06/2021 DR DR
30/06/2021 TO INT. DR. 01/06/2021 -30/06/2021 3,76,739.00 3,426.00 3,426.00 DR 3,80,165.00
30/06/2021 DR DR
06/07/2021 TO LIC POLICY PREMIUM 4,758.00 3,81,497.00 3,426.00 DR 3,84,923.00
06/07/2021 DR DR
09/07/2021 BY SI SB/GEN/5875 9,200.00 3,72,297.00 3,426.00 DR 3,75,723.00
09/07/2021 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
09/07/2021 TO OTHER EXPENSES RECOVERED 4,758.00 3,77,055.00 3,426.00 DR 3,80,481.00
09/07/2021 DR DR
09/07/2021 BY JBM LON/266 4,758.00 3,72,297.00 3,426.00 DR 3,75,723.00
09/07/2021 DR DR
09/07/2021 TO AIR 3,426.00 3,75,723.00 3,426.00 DR 3,79,149.00
09/07/2021 DR DR
09/07/2021 BY JBM LON/266 3,75,723.00 3,426.00 0.00 CR 3,75,723.00
09/07/2021 DR DR
31/07/2021 TO INT. DR. 01/07/2021 -31/07/2021 3,75,723.00 3,525.00 3,525.00 DR 3,79,248.00
31/07/2021 DR DR
06/08/2021 BY SI SB/GEN/5875 9,200.00 3,66,523.00 3,525.00 DR 3,70,048.00
06/08/2021 DR DR
06/08/2021 TO AIR 3,525.00 3,70,048.00 3,525.00 DR 3,73,573.00
06/08/2021 DR DR
06/08/2021 BY JBM LON/266 3,70,048.00 3,525.00 0.00 CR 3,70,048.00
06/08/2021 DR DR
31/08/2021 TO INT. DR. 01/08/2021 -31/08/2021 3,70,048.00 3,471.00 3,471.00 DR 3,73,519.00
31/08/2021 DR DR
07/09/2021 BY SI SB/GEN/5875 9,200.00 3,60,848.00 3,471.00 DR 3,64,319.00
07/09/2021 DR DR
07/09/2021 TO AIR 3,471.00 3,64,319.00 3,471.00 DR 3,67,790.00
07/09/2021 DR DR
07/09/2021 BY JBM LON/266 3,64,319.00 3,471.00 0.00 CR 3,64,319.00
07/09/2021 DR DR
30/09/2021 TO INT. DR. 01/09/2021 -30/09/2021 3,64,319.00 3,310.00 3,310.00 DR 3,67,629.00
30/09/2021 DR DR
07/10/2021 BY SI SB/GEN/5875 9,200.00 3,55,119.00 3,310.00 DR 3,58,429.00
07/10/2021 DR DR
07/10/2021 TO AIR 3,310.00 3,58,429.00 3,310.00 DR 3,61,739.00
07/10/2021 DR DR
07/10/2021 BY JBM LON/266 3,58,429.00 3,310.00 0.00 CR 3,58,429.00
07/10/2021 DR DR
31/10/2021 TO INT. DR. 01/10/2021 -31/10/2021 3,58,429.00 3,326.00 3,326.00 DR 3,61,755.00
31/10/2021 DR DR
03/11/2021 BY SI SB/GEN/5875 9,750.00 3,48,679.00 3,326.00 DR 3,52,005.00
03/11/2021 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
03/11/2021 TO AIR 3,326.00 3,52,005.00 3,326.00 DR 3,55,331.00
03/11/2021 DR DR
03/11/2021 BY JBM LON/266 3,52,005.00 3,326.00 0.00 CR 3,52,005.00
03/11/2021 DR DR
30/11/2021 INTEREST 2010/3026/266 - INT 3,52,005.00 3,190.00 3,190.00 DR 3,55,195.00
01/11/2021 TO 30/11/2021 01/12/2021 DR DR
2010/3026/266
07/12/2021 INTEREST SI -> 2010/313/5875 3,52,005.00 3,190.00 0.00 CR 3,52,005.00
07/12/2021 DR DR
07/12/2021 PRINCIPAL SI -> 2010/313/5875 6,560.00 3,45,445.00 0.00 CR 3,45,445.00
07/12/2021 DR DR
31/12/2021 INTEREST 2010/3026/266 - INT 3,45,445.00 2,655.00 2,655.00 DR 3,48,100.00
01/12/2021 TO 31/12/2021 31/12/2021 DR DR
2010/3026/266
07/01/2022 INTEREST SI -> 2010/313/5875 3,45,445.00 2,655.00 0.00 CR 3,45,445.00
06/01/2022 DR DR
07/01/2022 PRINCIPAL SI -> 2010/313/5875 7,095.00 3,38,350.00 0.00 CR 3,38,350.00
06/01/2022 DR DR
31/01/2022 INTEREST 2010/3026/266 - INT 3,38,350.00 2,601.00 2,601.00 DR 3,40,951.00
01/01/2022 TO 31/01/2022 31/01/2022 DR DR
2010/3026/266
07/02/2022 INTEREST SI -> 2010/313/5875 3,38,350.00 2,601.00 0.00 CR 3,38,350.00
07/02/2022 DR DR
07/02/2022 PRINCIPAL SI -> 2010/313/5875 7,149.00 3,31,201.00 0.00 CR 3,31,201.00
07/02/2022 DR DR
28/02/2022 INTEREST 2010/3026/266 - INT 3,31,201.00 2,301.00 2,301.00 DR 3,33,502.00
01/02/2022 TO 28/02/2022 28/02/2022 DR DR
2010/3026/266
07/03/2022 INTEREST SI -> 2010/313/5875 3,31,201.00 2,301.00 0.00 CR 3,31,201.00
07/03/2022 DR DR
07/03/2022 PRINCIPAL SI -> 2010/313/5875 7,449.00 3,23,752.00 0.00 CR 3,23,752.00
07/03/2022 DR DR
31/03/2022 INTEREST 2010/3026/266 - INT 3,23,752.00 2,489.00 2,489.00 DR 3,26,241.00
01/03/2022 TO 31/03/2022 01/04/2022 DR DR
2010/3026/266
07/04/2022 INTEREST SI -> 2010/313/5875 3,23,752.00 2,489.00 0.00 CR 3,23,752.00
07/04/2022 DR DR
07/04/2022 PRINCIPAL SI -> 2010/313/5875 7,261.00 3,16,491.00 0.00 CR 3,16,491.00
07/04/2022 DR DR
30/04/2022 INTEREST 2010/3026/266 - INT 3,16,491.00 2,356.00 2,356.00 DR 3,18,847.00
01/04/2022 TO 30/04/2022 30/04/2022 DR DR
2010/3026/266
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
07/05/2022 INTEREST SI -> 2010/313/5875 3,16,491.00 2,356.00 0.00 CR 3,16,491.00
07/05/2022 DR DR
07/05/2022 PRINCIPAL SI -> 2010/313/5875 7,394.00 3,09,097.00 0.00 CR 3,09,097.00
07/05/2022 DR DR
31/05/2022 INTEREST 2010/3026/266 - INT 3,09,097.00 2,377.00 2,377.00 DR 3,11,474.00
01/05/2022 TO 31/05/2022 31/05/2022 DR DR
2010/3026/266
05/06/2022 INTEREST SI -> 2010/313/5875 3,09,097.00 2,377.00 0.00 CR 3,09,097.00
05/06/2022 DR DR
05/06/2022 PRINCIPAL SI -> 2010/313/5875 7,373.00 3,01,724.00 0.00 CR 3,01,724.00
05/06/2022 DR DR
30/06/2022 INTEREST 2010/3026/266 - INT 3,01,724.00 2,242.00 2,242.00 DR 3,03,966.00
01/06/2022 TO 30/06/2022 30/06/2022 DR DR
2010/3026/266
06/07/2022 INTEREST SI -> 2010/313/5875 3,01,724.00 2,242.00 0.00 CR 3,01,724.00
06/07/2022 DR DR
06/07/2022 PRINCIPAL SI -> 2010/313/5875 7,508.00 2,94,216.00 0.00 CR 2,94,216.00
06/07/2022 DR DR
31/07/2022 INTEREST 2010/3026/266 - INT 2,94,216.00 2,261.00 2,261.00 DR 2,96,477.00
01/07/2022 TO 31/07/2022 30/07/2022 DR DR
2010/3026/266
07/08/2022 INTEREST SI -> 2010/313/5875 2,94,216.00 2,261.00 0.00 CR 2,94,216.00
07/08/2022 DR DR
07/08/2022 PRINCIPAL SI -> 2010/313/5875 7,489.00 2,86,727.00 0.00 CR 2,86,727.00
07/08/2022 DR DR
31/08/2022 INTEREST 2010/3026/266 - INT 2,86,727.00 2,206.00 2,206.00 DR 2,88,933.00
01/08/2022 TO 31/08/2022 31/08/2022 DR DR
2010/3026/266
06/09/2022 INTEREST SI -> 2010/313/5875 2,86,727.00 2,206.00 0.00 CR 2,86,727.00
06/09/2022 DR DR
06/09/2022 PRINCIPAL SI -> 2010/313/5875 7,544.00 2,79,183.00 0.00 CR 2,79,183.00
06/09/2022 DR DR
30/09/2022 INTEREST 2010/3026/266 - INT 2,79,183.00 2,077.00 2,077.00 DR 2,81,260.00
01/09/2022 TO 30/09/2022 30/09/2022 DR DR
2010/3026/266
07/10/2022 INTEREST SI -> 2010/313/5875 2,79,183.00 2,077.00 0.00 CR 2,79,183.00
07/10/2022 DR DR
07/10/2022 PRINCIPAL SI -> 2010/313/5875 7,673.00 2,71,510.00 0.00 CR 2,71,510.00
07/10/2022 DR DR
31/10/2022 INTEREST 2010/3026/266 - INT 2,71,510.00 2,090.00 2,090.00 DR 2,73,600.00
01/10/2022 TO 31/10/2022 31/10/2022 DR DR
2010/3026/266
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
30/11/2022 INTEREST 2010/3026/266 - INT 2,71,510.00 2,024.00 4,114.00 DR 2,75,624.00
01/11/2022 TO 30/11/2022 30/11/2022 DR DR
2010/3026/266
06/12/2022 INTEREST SI -> 2010/313/5875 2,71,510.00 4,114.00 0.00 CR 2,71,510.00
06/12/2022 DR DR
06/12/2022 PRINCIPAL SI -> 2010/313/5875 5,636.00 2,65,874.00 0.00 CR 2,65,874.00
06/12/2022 DR DR
31/12/2022 INTEREST 2010/3026/266 - INT 2,65,874.00 2,044.00 2,044.00 DR 2,67,918.00
01/12/2022 TO 31/12/2022 31/12/2022 DR DR
2010/3026/266
07/01/2023 INTEREST SI -> 2010/313/5875 2,65,874.00 2,044.00 0.00 CR 2,65,874.00
07/01/2023 DR DR
07/01/2023 PRINCIPAL SI -> 2010/313/5875 7,706.00 2,58,168.00 0.00 CR 2,58,168.00
07/01/2023 DR DR
07/01/2023 PRINCIPAL SI -> 2010/313/5875 9,750.00 2,48,418.00 0.00 CR 2,48,418.00
07/01/2023 DR DR
31/01/2023 INTEREST 2010/3026/266 - INT 2,48,418.00 1,928.00 1,928.00 DR 2,50,346.00
01/01/2023 TO 31/01/2023 31/01/2023 DR DR
2010/3026/266
06/02/2023 INTEREST SI -> 2010/313/5875 2,48,418.00 1,928.00 0.00 CR 2,48,418.00
05/02/2023 DR DR
06/02/2023 PRINCIPAL SI -> 2010/313/5875 7,822.00 2,40,596.00 0.00 CR 2,40,596.00
05/02/2023 DR DR
28/02/2023 INTEREST 2010/3026/266 - INT 2,40,596.00 1,673.00 1,673.00 DR 2,42,269.00
01/02/2023 TO 28/02/2023 28/02/2023 DR DR
2010/3026/266
07/03/2023 INTEREST SI -> 2010/313/5875 2,40,596.00 1,673.00 0.00 CR 2,40,596.00
06/03/2023 DR DR
07/03/2023 PRINCIPAL SI -> 2010/313/5875 8,077.00 2,32,519.00 0.00 CR 2,32,519.00
06/03/2023 DR DR
31/03/2023 INTEREST 2010/3026/266 - INT 2,32,519.00 1,792.00 1,792.00 DR 2,34,311.00
01/03/2023 TO 31/03/2023 31/03/2023 DR DR
2010/3026/266
06/04/2023 INTEREST SI -> 2010/313/5875 2,32,519.00 1,792.00 0.00 CR 2,32,519.00
06/04/2023 DR DR
06/04/2023 PRINCIPAL SI -> 2010/313/5875 7,958.00 2,24,561.00 0.00 CR 2,24,561.00
06/04/2023 DR DR
30/04/2023 INTEREST 2010/3026/266 - INT 2,24,561.00 1,673.00 1,673.00 DR 2,26,234.00
01/04/2023 TO 30/04/2023 29/04/2023 DR DR
2010/3026/266
08/05/2023 INTEREST SI -> 2010/313/5875 2,24,561.00 1,673.00 0.00 CR 2,24,561.00
07/05/2023 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
08/05/2023 PRINCIPAL SI -> 2010/313/5875 8,077.00 2,16,484.00 0.00 CR 2,16,484.00
07/05/2023 DR DR
31/05/2023 INTEREST 2010/3026/266 - INT 2,16,484.00 1,672.00 1,672.00 DR 2,18,156.00
01/05/2023 TO 31/05/2023 31/05/2023 DR DR
2010/3026/266
07/06/2023 INTEREST SI -> 2010/313/5875 2,16,484.00 1,672.00 0.00 CR 2,16,484.00
07/06/2023 DR DR
07/06/2023 PRINCIPAL SI -> 2010/313/5875 8,078.00 2,08,406.00 0.00 CR 2,08,406.00
07/06/2023 DR DR
30/06/2023 INTEREST 2010/3026/266 - INT 2,08,406.00 1,556.00 1,556.00 DR 2,09,962.00
01/06/2023 TO 30/06/2023 30/06/2023 DR DR
2010/3026/266
06/07/2023 INTEREST SI -> 2010/313/5875 2,08,406.00 1,556.00 0.00 CR 2,08,406.00
06/07/2023 DR DR
06/07/2023 PRINCIPAL SI -> 2010/313/5875 8,194.00 2,00,212.00 0.00 CR 2,00,212.00
06/07/2023 DR DR
31/07/2023 INTEREST 2010/3026/266 - INT 2,00,212.00 1,542.00 1,542.00 DR 2,01,754.00
01/07/2023 TO 31/07/2023 31/07/2023 DR DR
2010/3026/266
31/08/2023 INTEREST 2010/3026/266 - INT 2,00,212.00 1,542.00 3,084.00 DR 2,03,296.00
01/08/2023 TO 31/08/2023 31/08/2023 DR DR
2010/3026/266
11/09/2023 INTEREST SI -> 2010/313/5875 2,00,212.00 3,084.00 0.00 CR 2,00,212.00
10/09/2023 DR DR
11/09/2023 PRINCIPAL SI -> 2010/313/5875 6,666.00 1,93,546.00 0.00 CR 1,93,546.00
10/09/2023 DR DR
30/09/2023 INTEREST 2010/3026/266 - INT 1,93,546.00 1,456.00 1,456.00 DR 1,95,002.00
01/09/2023 TO 30/09/2023 30/09/2023 DR DR
2010/3026/266
06/10/2023 INTEREST SI -> 2010/313/5875 1,93,546.00 1,456.00 0.00 CR 1,93,546.00
05/10/2023 DR DR
06/10/2023 PRINCIPAL SI -> 2010/313/5875 8,294.00 1,85,252.00 0.00 CR 1,85,252.00
05/10/2023 DR DR
31/10/2023 INTEREST 2010/3026/266 - INT 1,85,252.00 1,428.00 1,428.00 DR 1,86,680.00
01/10/2023 TO 31/10/2023 31/10/2023 DR DR
2010/3026/266
07/11/2023 INTEREST 1 SI -> 2010/313/5875 1,85,252.00 1,428.00 0.00 CR 1,85,252.00
06/11/2023 DR DR
07/11/2023 PRINCIPAL 1 SI -> 2010/313/5875 8,322.00 1,76,930.00 0.00 CR 1,76,930.00
06/11/2023 DR DR
08/11/2023 PRINCIPAL 1 SI -> 2010/313/5875 9,750.00 1,67,180.00 0.00 CR 1,67,180.00
08/11/2023 DR DR
Date Particulars Cheque Principal Interest Total OS
Balance
Value Date Debit Credit Balance Debit Credit Balance
30/11/2023 INTEREST 2010/3026/266 - INT 1,67,180.00 1,268.00 1,268.00 DR 1,68,448.00
01/11/2023 TO 30/11/2023 30/11/2023 DR DR
2010/3026/266
07/12/2023 INTEREST SI -> 2010/313/5875 1,67,180.00 1,268.00 0.00 CR 1,67,180.00
07/12/2023 DR DR
07/12/2023 PRINCIPAL SI -> 2010/313/5875 8,482.00 1,58,698.00 0.00 CR 1,58,698.00
07/12/2023 DR DR
31/12/2023 INTEREST 2010/3026/266 - INT 1,58,698.00 1,227.00 1,227.00 DR 1,59,925.00
01/12/2023 TO 31/12/2023 30/12/2023 DR DR
06/01/2024 INTEREST 1 SI -> 2010/313/5875 1,58,698.00 1,227.00 0.00 CR 1,58,698.00
06/01/2024 DR DR
06/01/2024 PRINCIPAL 1 SI -> 2010/313/5875 8,523.00 1,50,175.00 0.00 CR 1,50,175.00
06/01/2024 DR DR
31/01/2024 INTEREST 2010/3026/266 - INT 1,50,175.00 1,160.00 1,160.00 DR 1,51,335.00
01/01/2024 TO 31/01/2024 31/01/2024 DR DR
06/02/2024 INTEREST 1 SI -> 2010/313/5875 1,50,175.00 1,160.00 0.00 CR 1,50,175.00
05/02/2024 DR DR
06/02/2024 PRINCIPAL 1 SI -> 2010/313/5875 8,590.00 1,41,585.00 0.00 CR 1,41,585.00
05/02/2024 DR DR
29/02/2024 INTEREST 2010/3026/266 - INT 1,41,585.00 1,024.00 1,024.00 DR 1,42,609.00
01/02/2024 TO 29/02/2024 29/02/2024 DR DR
47 | 71 | 69 | 63 | 1,42,609.00
7,02,120.00 5,60,535.00 2,11,704.00 2,10,680.00 DR
Interest Details Between 01-Jan-2016 To 05-Mar-2024
Product Scheme
Effective Date Slab Amount Offset Slab Rate
Interest Rate Offset Rate
30/10/2021 12% 0% 5,00,000.00 -3% 9%
28/06/2018 12% 0% 5,00,000.00 -1% 11%

Limit Details
Effective Date Expiry Date Sanction Amount
Sanction Limit 28/06/2018 28/12/2025 5,00,000.00

Disburement Details As On Statement Print Date


Disburement Amount Disbursement Date Installment Amount Installment Date
2,35,200.00 28/06/2018 6,600.00 31/07/2018
2,64,800.00 09/07/2018 6,600.00 31/07/2018
0.00 29/02/2020 0.00 31/08/2020
0.00 01/09/2020 6,600.00 30/09/2020
Total : 5,00,000.00

Disclaimer :

1. Contents of this statement will be considered correct if no error is reported within 10 days of receipt of this statement.
2. This is a conputer generated statement and hence does not require a signature.

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