Transaction ID | Date | Type | Operation | Amount | Balance |
---|---|---|---|---|---|
11330 | 9/8/2013 | Credit | Credit in Cash | SEK: 700.00 | SEK: 700.00 |
11746 | 9/11/2013 | Credit | Credit in Cash | SEK: 7605.00 | SEK: 8305.00 |
13752 | 9/30/2013 | Credit | SEK: 23.10 | SEK: 8328.10 | |
14841 | 10/8/2013 | Credit | Credit in Cash | SEK: 5800.00 | SEK: 14128.10 |
15339 | 10/11/2013 | Credit | Credit in Cash | SEK: 7605.00 | SEK: 21733.10 |
17688 | 10/31/2013 | Credit | SEK: 72.50 | SEK: 21805.60 | |
18737 | 11/7/2013 | Credit | Credit in Cash | SEK: 2200.00 | SEK: 24005.60 |
19460 | 11/11/2013 | Credit | Credit in Cash | SEK: 7605.00 | SEK: 31610.60 |
22053 | 11/30/2013 | Credit | SEK: 118.00 | SEK: 31728.50 | |
23317 | 12/7/2013 | Debit | Withdrawal in Cash | SEK: -2800.00 | SEK: 28928.50 |
24247 | 12/11/2013 | Credit | Credit in Cash | SEK: 11408.00 | SEK: 40336.60 |
27630 | 12/31/2013 | Credit | SEK: 156.30 | SEK: 40492.90 | |
29252 | 1/6/2014 | Debit | Withdrawal in Cash | SEK: -6700.00 | SEK: 33792.90 |
31034 | 1/11/2014 | Credit | Credit in Cash | SEK: 7605.00 | SEK: 41397.90 |
31373 | 1/12/2014 | Debit | Withdrawal in Cash | SEK: -700.00 | SEK: 40697.90 |
32210 | 1/14/2014 | Debit | Remittance to Another Bank | SEK: -5070.00 | SEK: 35627.90 |
33503 | 1/20/2014 | Debit | Withdrawal in Cash | SEK: -700.00 | SEK: 34927.90 |
33679 | 1/21/2014 | Debit | Withdrawal in Cash | SEK: -1900.00 | SEK: 33027.90 |
34029 | 1/23/2014 | Debit | Withdrawal in Cash | SEK: -2100.00 | SEK: 30927.90 |
35393 | 1/31/2014 | Debit | Withdrawal in Cash | SEK: -14.60 | SEK: 31063.70 |