Transaction ID
|
Date
|
Type
|
Operation
|
Amount
|
Balance
|
2675
|
5/13/2013 |
Debit |
Withdrawal in Cash |
SEK: -11800.00 |
SEK: 41508.30 |
4149
|
6/12/2013 |
Debit |
Withdrawal in Cash |
SEK: -27200.00 |
SEK: 53338.40 |
6228
|
7/12/2013 |
Debit |
Withdrawal in Cash |
SEK: -26700.00 |
SEK: 52762.50 |
8713
|
8/11/2013 |
Debit |
Withdrawal in Cash |
SEK: -13400.00 |
SEK: 39583.40 |
9421
|
8/22/2013 |
Debit |
Withdrawal in Cash |
SEK: -3000.00 |
SEK: 62503.40 |
10455
|
8/31/2013 |
Debit |
Withdrawal in Cash |
SEK: -30.00 |
SEK: 62724.10 |
11717
|
9/10/2013 |
Debit |
Withdrawal in Cash |
SEK: -19600.00 |
SEK: 43124.10 |
13863
|
9/30/2013 |
Debit |
Withdrawal in Cash |
SEK: -30.00 |
SEK: 69293.00 |
15296
|
10/10/2013 |
Debit |
Withdrawal in Cash |
SEK: -21800.00 |
SEK: 47493.00 |
17814
|
10/31/2013 |
Debit |
Withdrawal in Cash |
SEK: -30.00 |
SEK: 73683.80 |
19248
|
11/9/2013 |
Debit |
Withdrawal in Cash |
SEK: -24800.00 |
SEK: 48883.80 |
22201
|
11/30/2013 |
Debit |
Withdrawal in Cash |
SEK: -30.00 |
SEK: 75084.60 |
23736
|
12/8/2013 |
Debit |
Withdrawal in Cash |
SEK: -2700.00 |
SEK: 72384.60 |
23964
|
12/9/2013 |
Debit |
Withdrawal in Cash |
SEK: -25000.00 |
SEK: 47384.60 |
27820
|
12/31/2013 |
Debit |
Withdrawal in Cash |
SEK: -30.00 |
SEK: 86567.20 |
28328
|
1/1/2014 |
Debit |
Withdrawal in Cash |
SEK: -1500.00 |
SEK: 85067.20 |
28509
|
1/2/2014 |
Debit |
Withdrawal in Cash |
SEK: -5400.00 |
SEK: 79667.20 |
28674
|
1/3/2014 |
Debit |
Withdrawal in Cash |
SEK: -3900.00 |
SEK: 75767.20 |
29181
|
1/5/2014 |
Debit |
Withdrawal in Cash |
SEK: -8400.00 |
SEK: 63467.20 |
29182
|
1/5/2014 |
Debit |
Withdrawal in Cash |
SEK: -3900.00 |
SEK: 71867.20 |