Canara Bank
Canara Bank
JOHNSON RAJ E
NO 22 B, 3 RD STREET,
MALANGANANDAPURAM, PALLAVARAM,
TAMIL NADU - INDIA
PIN/ZIP NUMBER- 600043
Customer Id 28894193
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
02-09-2023 14:22:58 02 Sep 2023 000000945768 ATM Cash-CUB02416-KUN 2416 500.00 1,700.00
DRATURIIIKANCHEEPURAM rNIN-
02/09/23 14:22:58/8560
05-09-2023 11:06:22 05 Sep 2023 000000945773 ATM Cash-CUB02416-KUN 2416 500.00 1,200.00
DRATURIIIKANCHEEPURAM rNIN-
05/09/23 11:06:22/8560
CASH-BNA-0910 BY01- 13/09/23
13-09-2023 13:58:47 13 Sep 2023 2409 2,000.00 3,200.00
13:58:47 0910
18-09-2023 15:50:46 18 Sep 2023 000000945775 Funds Transfer Debit - Ramesh 0910 1,000.00 2,200.00
20-09-2023 12:22:07 20 Sep 2023 2409 CASH-BNA-0910 BY01- 20/09/23 0910 3,500.00 5,700.00
12:22:07
ATM Cash-48511304-SRI
23-09-2023 16:50:10 23 Sep 2023 000000945776 1304 500.00 5,200.00
PERLMBLJDURSimkalathu rTNII N-
23/09/23 16:50:10/8560
28-09-2023 15:58:07 28 Sep 2023 000000945780 ATM Cash-1283-7850-CANARABANK 7850 500.00 4,700.00
PALLAVARAMTNIN
-28/09/23 15:58:07/8550
,
Page 1 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
03-10-2023 12:59:49 03 Oct 2023 2409 CASH-BNA-0910 BY01- 03/10/23 0910 2,000,00 6,700.00
12:59:49
07-10-2023 12:10:15 07 Oct 2023 000000945784 ATM Cash-12837850-CAN ARABAN 7850 500.00 6,200.00
KPALLAVARAMTNIN -07/10/23
,
12:10:15/8550
11-10-2023 11:08:56 11 Oct 2023 000000945787 Funds Transfer Debit - BHUPESH 0910 700.00 5,500.00
19-10-2023 10:57:41 19 Oct 2023 000000945792 Funds Transfer Debit - KUMARAN 0910 2,200.00 5,300.00
24-10-2023 13:47:42 24 Oct 2023 000000945795 Funds Transfer Debit - BHUPENDRA 0910 1,000.00 5,800.00
28-10-2023 07:52:20 28 Oct 2023 000000945798 ATM Cash-12837850-CAN ARABAN 7850 2,000.00 3,800.00
KPALLAVARAMTNIN -28/10/23
,
07:52:20/8550
04-11-2023 21:31:35 04 Nov 2023 000000946133 ATM Cash-48511304-SRI 1304 300.00 3,974.00
PERLMBLJDURSimkalathu rTNII N-
04/11/23 21:31:35/8560
07-11-2023 10:45:47 07 Nov 2023 000000946135 Funds Transfer Debit - RAVIKUMAR 0910 2,000.00 1,974.00
15-11-2023 10:45:47 15 Nov 2023 2409 CASH-BNA-0910 BY01- 15/11/23 0910 2,000.00 3,974.00
10:45:47
17-11-2023 15:49:46 17 Nov 2023 CASH-BNA-0910 BY01- 17/11/23 0910 2,000.00 5,474.00
2409
15:19:46
18-11-2023 12:42:26 18 Nov 2023 000000946138 ATM Cash-12837850-CAN ARABAN 7850 500.00 4,974.00
KPALLAVARAMTNIN -18/11/23
,
12:42:26/8550
20-11-2023 12:25:33 20 Nov 2023 000000946140 MB-UPI DEBIT 700450- 20/11/23 1910 300.00 4,674.00
12:25:24
Page 2 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
22-11-2023 11:37:04 22 Nov 2023 000000946143 Funds Transfer Debit - BHUPENDRA 0910 700.00 3,974.00
24-11-2023 11:55:49 24 Nov 2023 2409 CASH-BNA-0910 BY01- 24/11/23 0910 3,500.00 7,474.00
11:55:49
28-11-2023 13:35:16 28 Nov 2023 Service Charges for mobile no./email id/ 0910 59.00 7,415.00
30-11-2023 13:36:04 30 Nov 2023 000000946145 Funds Transfer Debit - SANTHOSH 0910 800.00 6,615.00
04-12-2023 13:44:01 04 Dec 2023 2409 CASH-BNA-0910 BY01- 04/12/23 0910 2,200.00 8,815.00
13:44:01
07-12-2023 11:34:58 07 Dec 2023 2409 CASH-BNA-0910 BY01- 07/12/23 0910 1,600.00 10,415.00
11:34:58
11-12-2023 08:17:27 11 Dec 2023 000000946166 MB-UPI DEBIT 700450- 11/12/23 0910 600.00 9,815.00
20:16:36
14-12-2023 18:45:38 14 Dec 2023 000000946172 ATM Cash-48511304-SRI 1304 2,000.00 7,815.00
PERLMBLJDURSimkalathu rTNII N-
14/12/23 18:45:38/8560
18-12-2023 12:11:05 18 Dec 2023 000000946173 ATM Cash-48511304-SRI 1304 3,000.00 4,815.00
PERLMBLJDURSimkalathu rTNII N-
18/12/23 12:11:05/8560
19-12-2023 14:02:23 19 Dec 2023 2409 CASH-BNA-0910 BY01- 19/12/23 0910 3,700.00 8,515.00
14:02:23
22-12-2023 16:22:35 22 Dec 2023 000000946176 ATM Cash-48511304-SRI 1304 4,000.00 4,515.00
PERLMBLJDURSimkalathu rTNII N-
04/12/23 16:022:35/8560
22-12-2023 18:09:43 22 Dec 2023 000000946180 ATM Cash-48511304-SRI 1304 500.00 4,015.00
PERLMBLJDURSimkalathu rTNII N-
22/12/23 18:09:43/8560
28-12-2023 12:59:59 28 Dec 2023 2409 CASH-BNA-0910 BY01- 28/12/23 0910 2,000.00 6,015.00
12:59:59
02-01-2024 21:25:12 02 Jan 2024 000000946184 ATM Cash-48511304-SRI 1304 1,000.00 5,015.00
PERLMBLJDURSimkalathu rTNII N-
02/01/24 21:25:12/8560
05-01-2024 21:25:12 05 Jan 2024 000000946187 ATM Cash-48511304-SRI 1304 500.00 4,515.00
PERLMBLJDURSimkalathu rTNII N-
05/01/24 21:25:12/8560
09-01-2024 12:02:23 09 Jan 2024 2409 CASH-BNA-0910 BY01- 09/01/24 0910 1,500.00 6,015.00
12:02:23
13-01-2024 21:25:12 13 Jan 2024 000000946192 ATM Cash-48511304-SRI 1304 2,000.00 4,015.00
PERLMBLJDURSimkalathu rTNII N-
13/01/24 21:25:12/8560
15-01-2024 10:22:32 15 Jan 2024 000000946197 ATM Cash-48511304-SRI 1304 2,000.00 2,015.00
PERLMBLJDURSimkalathu rTNII N-
15/01/24 10:22:32/8560
16-01-2024 13:42:45 16 Jan 2024 000000946198 MB-UPI DEBIT 700450- 16/01/24 1910 200.00 1,815.00
13:42:45
Page 3 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
17-01-2024 12:59:49 17 Jan 2024 000000946202 ATM Cash-48511304-SRI 1304 300.00 1,515.00
PERLMBLJDURSimkalathu rTNII N-
17/01/24 12:59:49/8560
22-01-2024 10:21:15 22 Jan 2024 000000946205 ATM Cash-48511304-SRI 1304 200.00 1,315.00
PERLMBLJDURSimkalathu rTNII N-
22/01/24 10:21:15/8560
24-01-2024 11:08:56 24 Jan 2024 000000946211 MB-UPI DEBIT 700450- 24/01/24 0910 100.00 1,215.00
11:08:56
27-01-2024 18:05:51 27 Jan 2024 000000946213 ATM Cash-48511304-SRI 1304 500.00 715.00
PERLMBLJDURSimkalathu rTNII N-
27/01/24 18:05:51/8560
31-01-2024 10:55:41 31 Jan 2024 2409 CASH-BNA-0910 BY01- 31/01/24 0910 2,500.00 3,215.00
10:55:41
HDFC0009038-AVANTE-EDU
07-02-2024 13:47:42 07 Feb 2024 000000946217 MB-UPI DEBIT 700450- 07/02/24 0910 500.00 4,715.00
13:47:42
10-02-2024 07:52:20 10 Feb 2024 000000946219 ATM Cash-48511304-SRI 1304 500.00 4,215.00
PERLMBLJDURSimkalathu rTNII N-
15/02/24 07:52:20/8560
15-02-2024 07:52:20 15 Feb 2024 000000946222 ATM Cash-48511304-SRI 1304 500.00 3,715.00
PERLMBLJDURSimkalathu rTNII N-
15/02/24 07:52:20/8560
18-02-2024 17:49:57 18 Feb 2024 000000946225 ATM Cash-48511304-SRI 1304 500.00 3,215.00
PERLMBLJDURSimkalathu rTNII N-
18/02/24 17:49:57/8560
21-02-2024 21:31:35 21 Feb 2024 000000946231 ATM Cash-48511304-SRI 1304 300.00 2,915.00
PERLMBLJDURSimkalathu rTNII N-
21/02/24 21:31:35/8560
24-02-2024 16:19:44 24 Feb 2024 000000946235 Funds Transfer Debit - RANJITH 0910 300.00 2,615.00
27-02-2024 15:49:46 27 Feb 2024 000000946238 ATM Cash-48511304-SRI 1304 500.00 2,115.00
PERLMBLJDURSimkalathu rTNII N-
27/02/24 15:49:46/8560
02-03-2024 11:25:43 02 Mar 2024 000000946241 Funds Transfer Debit - PRAKASH 0910 250.00 1,865.00
03-03-2024 10:45:47 03 Mar 2024 000000946248 ATM Cash-48511304-SRI 1304 300.00 1,565.00
PERLMBLJDURSimkalathu rTNII N-
03/03/24 10:45:47/8560
06-03-2024 10:22:31 06 Mar 2024 000000946249 MB-UPI DEBIT 700450- 06/03/24 0910 400.00 1,165.00
10:22:31
10-03-2024 11:49:46 10 Mar 2024 000000946254 ATM Cash-48511304-SRI 1304 500.00 665.00
PERLMBLJDURSimkalathu rTNII N-
10/03/24 11:49:46/8560
11-03-2024 14:22:36 11 Mar 2024 000000946255 MB-UPI DEBIT 700450- 11/03/24 1910 100.00 565.00
14:22:36
Page 4 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
13-03-2024 11:37:04 13 Mar 2024 000000946259 CASH-BNA-0910 BY01- 13/03/24 0910 4,000.00 4,565.00
11:03:04
15-03-2024 08:55:49 15 Mar 2024 000000946261 ATM Cash-48511304-SRI 1304 500.00 4,065.00
PERLMBLJDURSimkalathu rTNII N-
15/03/24 08:55:49/8560
15-03-2024 13:35:16 15 Mar 2024 000000946265 Funds Transfer Debit - SHANKAR 0910 100.00 3,965.00
19-03-2024 13:36:04 19 Mar 2024 000000946271 ATM Cash-48511304-SRI 1304 500.00 3,465.00
PERLMBLJDURSimkalathu rTNII N-
19/03/24 13:36:04/8560
22-03-2024 13:44:01 22 Mar 2024 000000946273 ATM Cash-48511304-SRI 1304 500.00 2,965.00
PERLMBLJDURSimkalathu rTNII N-
22/03/24 13:44:01/8560
26-03-2024 11:34:58 26 Mar 2024 000000946278 MB-UPI DEBIT 700450- 26/03/24 0910 185.00 2,780.00
11:34:58
28-03-2024 08:17:27 28 Mar 2024 000000946285 ATM Cash-48511304-SRI 1304 1,500.00 1,280.00
PERLMBLJDURSimkalathu rTNII N-
28/03/24 08:17:27/8560
07-04-2024 12:11:05 07 Apr 2024 IB 211472700 5120101005955 Online 5120 2,000.00 3,080.00
Transaction OTH-site
10-04-2024 18:02:23 10 Apr 2024 2409 CASH-BNA-0910 BY01- 10/04/24 0910 3,500.00 6,580.00
08:02:23
15-04-2024 18:06:43 15 Apr 2024 000000946292 ATM Cash-48511304-SRI 1304 2,000.00 4,580.00
PERLMBLJDURSimkalathu rTNII N-
15/04/24 18:06:43/8560
NPV-
15-04-2024 18:09:55 15 Apr 2024 000000946294 ATM Txn done in other bank ATM / IMPS 0910 5.90 4,574.10
Charges
23-04-2024 12:59:59 23 Apr 2024 2409 CASH-BNA-0910 BY01- 23/04/24 0910 2,000.00 6,574.10
12:59:59
21:25:12
28-04-2024 10:57:26 28 Apr 2024 000000946298 ATM Txn done in other bank ATM / IMPS 0910 5.90 5,568.20
Charges
01-05-2024 10:45:32 01 May 2024 000000946299 Funds Transfer Debit - SURENDER 0910 1,500.00 4,068.20
03-05-2024 11:52:26 03 May 2024 000000946301 Funds Transfer Debit - KUMARAN 0910 200.00 3,868.20
Page 5 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
04-05-2024 08:14:31 04 May 2024 000000946302 ATM Cash-48511304-SRI 1304 300.00 3,568.20
PERLMBLJDURSimkalathu rTNII N-
04/05/24 08:14:31/8560
07-05-2024 16:21:05 07 May 2024 000000946305 MB-UPI DEBIT 700450- 07/05/24 0910 1,000.00 2,568.20
16:21:05
11-05-2024 16:30:23 11 May 2024 000000946307 ATM Cash-48511304-SRI 1304 500.00 2,068.20
PERLMBLJDURSimkalathu rTNII N-
11/05/24 16:30:23/8560
14-05-2024 16:44:25 14 May 2024 000000946308 ATM Txn done in other bank ATM / IMPS 0910 5.90 2,062.30
Charges
17-05-2024 20:54:43 17 May 2024 SMS CHARGES ON ACTUAL BASIS 5120 3.30 2,059.00
HDFC0000240-
DINESHCHANDRARAGRAWALINFRACO
23-05-2024 15:18:08 23 May 2024 2409 CASH-BNA-0910 BY01- 23/05/24 0910 2,000.00 7,059.00
15:18:08
26-05-2024 08:12:54 26 May 2024 000000946310 ATM Txn done in other bank ATM / IMPS 0910 23.60 7,035.40
Charges
28-05-2024 07:22:55 28 May 2024 000000946312 ATM Cash-48511304-SRI 1304 1,000.00 6,035.40
PERLMBLJDURSimkalathu rTNII N-
28/05/24 07:22:55/8560
30-05-2024 08:17:08 30 May 2024 000000946315 ATM Cash-48511304-SRI 1304 1,000.00 5,035.40
PERLMBLJDURSimkalathu rTNII N-
30/05/24 08:17:08/8560
03-06-2024 08:21:00 03 Jun 2024 000000946318 ATM Cash-48511304-SRI 1304 500.00 4,535.40
PERLMBLJDURSimkalathu rTNII N-
03/06/24 08:21:00/8560
04-06-2024 08:35:22 04 Jun 2024 000000946319 ATM Cash-48511304-SRI 1304 2,000.00 2,535.40
PERLMBLJDURSimkalathu rTNII N-
04/06/24 08:03:25:22/8560
05-06-2024 12:42:00 05 Jun 2024 2409 CASH-BNA-0910 BY01- 05/06/24 0910 2,500.00 5,035.40
12:42:00
05-06-2024 20:35:22 05 Jun 2024 000000946320 ATM Cash-48511304-SRI 1304 500.00 4,535.40
PERLMBLJDURSimkalathu rTNII N-
05/06/24 20:35:22/8560
07-06-2024 08:35:22 07 Jun 2024 000000946322 ATM Cash-48511304-SRI 1304 700.00 3,835.40
PERLMBLJDURSimkalathu rTNII N-
07/06/24 08:35:22/8560
Page 6 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
07-06-2024 10:27:15 07 Jun 2024 000000946325 ATM Cash-12837850-CAN ARABAN 7850 500.00 3,335.40
KPALLAVARAMTNIN -07/06/24
,
10:27:15/8550
08-06-2024 11:24:15 08 Jun 2024 000000946328 ATM Cash-12837850-CAN ARABAN 7850 500.00 2,835.40
KPALLAVARAMTNIN -08/06/24
,
11:24:15/8550
11-06-2024 11:08:56 11 Jun 2024 000000946330 Funds Transfer Debit - KUMARAN 0910 700.00 2,135.40
15-06-2024 18:05:51 15 Jun 2024 000000946335 ATM Cash-12837850-CAN ARABAN 7850 500.00 1,635.40
KPALLAVARAMTNIN -15/06/24
,
18:05:51/8550
17-06-2024 10:57:41 17 Jun 2024 000000946337 Funds Transfer Debit - RAVIKUMAR 0910 200.00 1,435.40
19-06-2024 13:15:29 19 Jun 2024 000000946339 CASH-BNA-0910 BY01- 19/06/24 0910 3,500.00 4,935.40
13:15:29
22-06-2024 13:47:42 22 Jun 2024 000000946341 Funds Transfer Debit - SHANKAR 0910 500.00 4,435.40
25-06-2024 07:52:20 25 Jun 2024 000000946344 ATM Cash-12837850-CAN ARABAN 7850 2,000.00 2,435.40
KPALLAVARAMTNIN -25/06/24
,
07:52:20/8550
30-06-2024 17:49:57 30 Jun 2024 2409 CASH-BNA-0910 BY01- 30/06/24 0910 4,500.00 5,435.40
17:49:57
04-07-2024 21:31:35 04 Jul 2024 000000946347 ATM Cash-48511304-SRI 1304 300.00 5,135.40
PERLMBLJDURSimkalathu rTNII N-
04/07/24 21:31:35/8560
07-07-2024 10:45:47 07 Jul 2024 000000946349 Funds Transfer Debit - RAVIKUMAR 0910 2,000.00 3,135.40
11-07-2024 10:45:47 11 Jul 2024 2409 CASH-BNA-0910 BY01- 11/07/24 0910 2,500.00 5,135.40
10:45:47
13-07-2024 15:49:46 13 Jul 2024 CASH-BNA-0910 BY01- 13/07/24 0910 2,000.00 7,135.40
2409
15:49:46
14-07-2024 12:42:26 14 Jul 2024 000000946355 MB-UPI DEBIT 700450- 14/07/24 1910 500.00 6,635.40
12:42:26
15-07-2024 14:23:16 15 Jul 2024 000000946357 MB-UPI DEBIT 700450- 15/07/24 1910 200.00 6,435.40
14:23:16
16-07-2024 16:32:11 16 Jul 2024 000000946359 MB-UPI DEBIT 700450- 16/07/24 1910 300.00 6,135.40
16:32:11
Page 7 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
17-07-2024 12:59:49 17 Jul 2024 000000946361 ATM Cash-48511304-SRI 1304 500.00 5,635.40
PERLMBLJDURSimkalathu rTNII N-
17/07/24 12:59:49/8560
22-07-2024 10:22:15 22 Jul 2024 000000946363 ATM Cash-48511304-SRI 1304 1,000.00 4,635.40
PERLMBLJDURSimkalathu rTNII N-
22/07/24 10:22:15/8560
24-07-2024 11:08:56 24 Jul 2024 000000946369 Funds Transfer Debit - BHUPENDRA 0910 800.00 3,835.40
27-07-2024 18:05:51 27 Jul 2024 000000946373 ATM Cash-48511304-SRI 1304 1,000.00 2,835.40
PERLMBLJDURSimkalathu rTNII N-
27/07/24 18:05:51/8560
30-07-2024 10:09:41 30 Jul 2024 2409 CASH-BNA-0910 BY01- 30/07/24 0910 2,500.00 5,335.40
10:09:41
04-08-2024 13:47:42 04 Aug 2024 000000946375 MB-UPI DEBIT 700450- 04/08/24 0910 2,000.00 5,135.40
13:47:42
07-08-2024 07:52:20 07 Aug 2024 000000946377 CASH-BNA-0910 BY01- 07/08/24 0910 2,000.00 7,135.40
07:52:20
09-08-2024 07:52:20 09 Aug 2024 000000946378 ATM Cash-48511304-SRI 1304 3,000.00 4,135.40
PERLMBLJDURSimkalathu rTNII N-
09/08/24 07:52:20/8560
12-08-2024 17:49:57 12 Aug 2024 2409 CASH-BNA-0910 BY02- 12/08/24 0910 2,000.00 6,135.40
17:49:57
13-08-2024 21:31:35 13 Aug 2024 000000946381 ATM Cash-48511304-SRI 1304 500.00 5,635.40
PERLMBLJDURSimkalathu rTNII N-
13/08/24 21:31:35/8560
15-08-2024 16:19:44 15 Aug 2024 000000946385 Funds Transfer Debit - RANJITH 0910 300.00 5,335.40
17-08-2024 15:49:46 17 Aug 2024 000000946388 ATM Cash-SPCND544- 403 500.00 4,835.40
+8THBLOCKJAYANAGARB
ANGLOREKAIN-17/08/24 15:49:46
18-08-2024 11:25:43 18 Aug 2024 000000946389 Funds Transfer Debit - PRAKASH 1910 750.00 4,085.40
20-08-2024 10:45:47 20 Aug 2024 000000946390 ATM Cash-48511304-SRI 1304 800.00 3,285.40
PERLMBLJDURSimkalathu rTNII N-
20/08/24 10:45:47/8560
21-08-2024 10:22:31 21 Aug 2024 000000946391 Funds Transfer Debit - PRAKASH 0910 300.00 2,985.40
23-08-2024 11:49:46 23 Aug 2024 000000946394 ATM Cash-48511304-SRI 1304 1,000.00 1,985.40
PERLMBLJDURSimkalathu rTNII N-
23/08/24 11:49:46/8560
26-08-2024 10:32:24 26 Aug 2024 000000946396 ATM Cash-48511304-SRI 1304 500.00 1,485.40
PERLMBLJDURSimkalathu rTNII N-
26/08/24 10:32:46/8560
27-08-2024 10:52:20 27 Aug 2024 2409 CASH-BNA-0910 BY02- 27/08/24 0910 3,000.00 4,485.40
10:52:20
Page 8 of 9
Txn Date Value Date Cheque No. Description Branch Debit Credit Balance
Code
28-08-2024 12:43:16 28 Aug 2024 2409 CASH-BNA-0910 BY01- 28/08/24 0910 2,000.00 6,485.40
12:43:16
29-08-2024 09:49:46 29 Aug 2024 000000946397 ATM Cash-48511304-SRI 1304 1,000.00 5,485.40
PERLMBLJDURSimkalathu rTNII N-
29/08/24 09:49:46/8560
30-08-2024 11:20:46 30 Aug 2024 000000946399 ATM Cash-48511304-SRI 1304 1,500.00 3,985.40
PERLMBLJDURSimkalathu rTNII N-
30/08/24 11:20:46/8560
Disclaimer:
Unless the constituent brings to the notice of the bank any discrepancy/ errors/ omission/ unauthorised debits immediately, the entries in such pass sheet shall be deemed as correct and shall bind the constituent for all
purposes and intents beware of phishing attacks through emails or fake website IMB users are requested to note that Canara Bank does not seek any information through email. Do not click on any link which has come
through email from unexpected sources. It may contain malicious code or could be an attempt to "phish". Always login through www.canarabank.com. Please beware of phishing change in the address of Account holder/
PA holder, if any, may please be informed to the branch along with address proof.
If you have any Banking Grievance, lodge complaint in https://canarabank.net.in/cpgrs/login.aspx. If not satisfied with the resolution, you can contact Banking Ombudsman:
Sector-17, Chandigarh-160017
END OF STATEMENT
Page 9 of 9