Transaction ID
|
Date
|
Type
|
Operation
|
Amount
|
Balance
|
1052774
|
12/31/2018 |
Credit |
|
SEK: 127.90 |
SEK: 30317.10 |
1047708
|
12/16/2018 |
Debit |
Withdrawal in Cash |
SEK: -2100.00 |
SEK: 30189.20 |
1040046
|
12/9/2018 |
Credit |
Credit in Cash |
SEK: 3200.00 |
SEK: 32289.20 |
1036294
|
12/6/2018 |
Debit |
Withdrawal in Cash |
SEK: -2000.00 |
SEK: 29089.20 |
1025478
|
11/30/2018 |
Credit |
|
SEK: 132.30 |
SEK: 31103.80 |
1029324
|
11/30/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 31089.20 |
1013594
|
11/9/2018 |
Debit |
Withdrawal in Cash |
SEK: -1000.00 |
SEK: 30971.50 |
1000115
|
10/31/2018 |
Credit |
|
SEK: 138.40 |
SEK: 31986.10 |
1003980
|
10/31/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 31971.50 |
995102
|
10/17/2018 |
Debit |
Withdrawal in Cash |
SEK: -1150.00 |
SEK: 31847.70 |
988998
|
10/10/2018 |
Debit |
Withdrawal in Cash |
SEK: -1800.00 |
SEK: 32997.70 |
974378
|
9/30/2018 |
Credit |
|
SEK: 159.80 |
SEK: 34812.30 |
978274
|
9/30/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 34797.70 |
970165
|
9/19/2018 |
Debit |
Withdrawal in Cash |
SEK: -650.00 |
SEK: 34652.40 |
969902
|
9/18/2018 |
Debit |
Withdrawal in Cash |
SEK: -2100.00 |
SEK: 35302.40 |
963574
|
9/10/2018 |
Debit |
Withdrawal in Cash |
SEK: -4100.00 |
SEK: 37402.40 |
948964
|
8/31/2018 |
Credit |
|
SEK: 131.50 |
SEK: 41517.00 |
952833
|
8/31/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 41502.40 |
952844
|
8/31/2018 |
Credit |
Credit in Cash |
SEK: 11934.00 |
SEK: 41385.50 |
946747
|
8/29/2018 |
Debit |
Withdrawal in Cash |
SEK: -1650.00 |
SEK: 29451.50 |