Transaction ID | Date | Type | Operation | Amount | Balance |
---|---|---|---|---|---|
11906 | 9/12/2013 | Credit | Credit in Cash | SEK: 1100.00 | SEK: 1100.00 |
14704 | 10/7/2013 | Credit | Credit in Cash | SEK: 21725.00 | SEK: 22825.00 |
15533 | 10/12/2013 | Credit | Credit in Cash | SEK: 1000.00 | SEK: 23825.00 |
17655 | 10/31/2013 | Credit | SEK: 64.00 | SEK: 23889.00 | |
18766 | 11/7/2013 | Credit | Credit in Cash | SEK: 21725.00 | SEK: 45614.00 |
19488 | 11/11/2013 | Debit | Withdrawal in Cash | SEK: -11900.00 | SEK: 33714.00 |
22019 | 11/30/2013 | Credit | SEK: 126.70 | SEK: 33840.80 | |
23346 | 12/7/2013 | Credit | Credit in Cash | SEK: 32588.00 | SEK: 66428.80 |
24278 | 12/11/2013 | Debit | Withdrawal in Cash | SEK: -21800.00 | SEK: 44628.80 |
27604 | 12/31/2013 | Credit | SEK: 171.30 | SEK: 44800.10 | |
29667 | 1/7/2014 | Credit | Credit in Cash | SEK: 21725.00 | SEK: 66525.10 |
30752 | 1/10/2014 | Debit | Withdrawal in Cash | SEK: -21700.00 | SEK: 44825.10 |
36673 | 1/31/2014 | Credit | SEK: 186.50 | SEK: 45011.60 | |
38139 | 2/7/2014 | Credit | Credit in Cash | SEK: 21725.00 | SEK: 66736.60 |
38621 | 2/9/2014 | Debit | Withdrawal in Cash | SEK: -22100.00 | SEK: 44636.60 |
38867 | 2/10/2014 | Debit | Withdrawal in Cash | SEK: -2760.00 | SEK: 41876.60 |
39336 | 2/12/2014 | Debit | Remittance to Another Bank | SEK: -1384.00 | SEK: 40492.60 |
39631 | 2/13/2014 | Debit | Remittance to Another Bank | SEK: -3437.00 | SEK: 37055.60 |
41172 | 2/28/2014 | Debit | Withdrawal in Cash | SEK: -14.60 | SEK: 37207.70 |
42238 | 2/28/2014 | Credit | SEK: 166.70 | SEK: 37222.30 |