Transactions for Account 304

Current Balance: 23342.30

Transaction ID Date Type Operation Amount Balance
578023 6/18/2017 Debit Withdrawal in Cash SEK: -34700.00 SEK: 61214.40
600890 7/18/2017 Debit Withdrawal in Cash SEK: -34500.00 SEK: 60109.50
889729 6/13/2018 Debit Withdrawal in Cash SEK: -34000.00 SEK: 50954.20
623378 8/17/2017 Debit Withdrawal in Cash SEK: -30500.00 SEK: 44471.50
916548 7/13/2018 Debit Withdrawal in Cash SEK: -24500.00 SEK: 45400.30
719929 12/15/2017 Debit Withdrawal in Cash SEK: -23200.00 SEK: 46486.00
646243 9/16/2017 Debit Withdrawal in Cash SEK: -23100.00 SEK: 35292.00
940921 8/12/2018 Debit Withdrawal in Cash SEK: -19300.00 SEK: 45034.70
1041710 12/10/2018 Debit Withdrawal in Cash SEK: -18400.00 SEK: 37609.60
693757 11/15/2017 Debit Withdrawal in Cash SEK: -16600.00 SEK: 34163.00
555074 5/19/2017 Debit Withdrawal in Cash SEK: -16100.00 SEK: 46000.10
990433 10/11/2018 Debit Withdrawal in Cash SEK: -15900.00 SEK: 42732.50
964993 9/11/2018 Debit Withdrawal in Cash SEK: -15800.00 SEK: 39716.00
1015038 11/10/2018 Debit Withdrawal in Cash SEK: -15200.00 SEK: 29540.70
838791 4/14/2018 Debit Withdrawal in Cash SEK: -14800.00 SEK: 34916.90
719532 12/14/2017 Debit Remittance to Another Bank SEK: -14367.00 SEK: 69686.00
755149 1/14/2018 Debit Remittance to Another Bank SEK: -14367.00 SEK: 40545.20
813465 3/14/2018 Debit Remittance to Another Bank SEK: -14367.00 SEK: 45695.00
838788 4/14/2018 Debit Remittance to Another Bank SEK: -14367.00 SEK: 49716.90
864248 5/14/2018 Debit Remittance to Another Bank SEK: -14367.00 SEK: 35041.90
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