Transaction ID
|
Date
|
Type
|
Operation
|
Amount
|
Balance
|
1054700
|
12/31/2018 |
Credit |
|
SEK: 385.50 |
SEK: 101148.60 |
1041695
|
12/10/2018 |
Credit |
Credit in Cash |
SEK: 29620.50 |
SEK: 100763.10 |
1033452
|
12/2/2018 |
Debit |
Withdrawal in Cash |
SEK: -4480.00 |
SEK: 71142.60 |
1029499
|
11/30/2018 |
Credit |
|
SEK: 323.90 |
SEK: 75637.20 |
1032625
|
11/30/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 75622.60 |
1021114
|
11/18/2018 |
Debit |
Withdrawal in Cash |
SEK: -15800.00 |
SEK: 75313.30 |
1015028
|
11/10/2018 |
Credit |
Credit in Cash |
SEK: 19747.00 |
SEK: 91113.30 |
1009480
|
11/5/2018 |
Debit |
Withdrawal in Cash |
SEK: -960.00 |
SEK: 71366.30 |
1004069
|
10/31/2018 |
Credit |
|
SEK: 302.80 |
SEK: 72340.90 |
1007288
|
10/31/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 72326.30 |
995700
|
10/19/2018 |
Debit |
Withdrawal in Cash |
SEK: -22300.00 |
SEK: 72038.10 |
989385
|
10/10/2018 |
Credit |
Credit in Cash |
SEK: 19747.00 |
SEK: 94338.10 |
978420
|
9/30/2018 |
Credit |
|
SEK: 304.40 |
SEK: 74605.70 |
981592
|
9/30/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 74591.10 |
970248
|
9/19/2018 |
Debit |
Withdrawal in Cash |
SEK: -19000.00 |
SEK: 74301.40 |
963953
|
9/10/2018 |
Credit |
Credit in Cash |
SEK: 19747.00 |
SEK: 93301.40 |
952993
|
8/31/2018 |
Credit |
|
SEK: 311.40 |
SEK: 73569.00 |
956138
|
8/31/2018 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 73554.40 |
944843
|
8/20/2018 |
Debit |
Withdrawal in Cash |
SEK: -23400.00 |
SEK: 73257.60 |
938311
|
8/10/2018 |
Credit |
Credit in Cash |
SEK: 19747.00 |
SEK: 96657.60 |