18/05/2022
S. SRINIVASAN
NO 91 F4 BLOCK 15 JAIN GREEN ACRES ZAMIN
PALLAVARAM CHENNAI- 600043
TO WHOMSOEVER IT MAY CONCERN
PROVISIONAL CERTIFICATE FOR INTEREST AND PRINCIPAL REPAYABLE FOR THE
PERIOD 05-MAY-2022 TO 04-APR-2025
This is to certify that S. SRINIVASAN has / have been granted an AUTO LOAN by HDFC Bank Ltd.as
per details provided hereunder:
Loan Account No 82209901
Amount Sanctioned Rs.385,000.00
Date of Disbursal 22-MAY-2022
End Date 21-APR-2025
Type of Vehicle OLA S1
Chassis No P53AFDCB6BKA10685
Type of Vehicle OLA S1 PRO
Chassis No S20GHTRG9DCC09986
The above loan is REPAYABLE in Equated Monthly Installments (EMIs) comprising of principal and
Interest. The total amount of EMIs payable from 05-MAY-2022 to 04-APR-2025 is Rs. 385,000.00.
The break-up of the amount into Principal and Interest is given below:
Payable from 01-MAY-2022 To 31-APR-2025
Interest Component Rs.98,500.00
Principal Component Rs.286,500.00
Total Rs.385,000.00
NOTES :
1. Interest is calculated on monthly rests. Principal repayments are credited at the end of each month.
2. Interest and Principal figures are subject to change in case of prepayment/s and/ or change in
repayment schedule.
3. This certificate is only a statement of principal and interest payable by the above-named Borrower(s).
The final certificate detailing the actual payments made by the above-named Borrower(s) shall be
provided after the end of the current financial year.
Eligibility of the above-named Borrower(s) to claim deduction under provisions of the Income Tax
Act, 1961 or any other applicable statute has not been verified by HDFC Bank Ltd.
THIS STATEMENT BEING PROVISIONAL IN NATURE REQUIRES NO AUTHORISATION FROM
HDFC BANK LIMITED
* You can write to us for any further queries at loansupport@hdfcbank.com