Transaction ID
|
Date
|
Type
|
Operation
|
Amount
|
Balance
|
10696
|
9/1/2013 |
Credit |
Credit in Cash |
SEK: 600.00 |
SEK: 600.00 |
14140
|
10/1/2013 |
Credit |
Credit in Cash |
SEK: 12800.00 |
SEK: 13400.00 |
15385
|
10/11/2013 |
Credit |
Credit in Cash |
SEK: 48615.00 |
SEK: 62015.00 |
16206
|
10/18/2013 |
Credit |
Credit in Cash |
SEK: 8160.00 |
SEK: 70175.00 |
17131
|
10/31/2013 |
Credit |
|
SEK: 187.10 |
SEK: 70362.10 |
17194
|
10/31/2013 |
Debit |
Withdrawal in Cash |
SEK: -25000.00 |
SEK: 45362.10 |
21418
|
11/30/2013 |
Credit |
|
SEK: 189.00 |
SEK: 45551.10 |
21488
|
11/30/2013 |
Debit |
Withdrawal in Cash |
SEK: -8600.00 |
SEK: 36951.10 |
26405
|
12/30/2013 |
Debit |
Withdrawal in Cash |
SEK: -5400.00 |
SEK: 31551.10 |
26896
|
12/31/2013 |
Credit |
|
SEK: 189.00 |
SEK: 31740.10 |
30080
|
1/8/2014 |
Credit |
Credit in Cash |
SEK: 33674.00 |
SEK: 65414.10 |
30442
|
1/9/2014 |
Credit |
Credit in Cash |
SEK: 5752.00 |
SEK: 71166.10 |
32805
|
1/16/2014 |
Credit |
Credit in Cash |
SEK: 40152.00 |
SEK: 111318.10 |
32806
|
1/16/2014 |
Debit |
Withdrawal in Cash |
SEK: -29100.00 |
SEK: 82218.10 |
33360
|
1/19/2014 |
Credit |
Credit in Cash |
SEK: 45827.00 |
SEK: 128045.10 |
33361
|
1/19/2014 |
Debit |
Withdrawal in Cash |
SEK: -53600.00 |
SEK: 74445.10 |
35108
|
1/29/2014 |
Debit |
Withdrawal in Cash |
SEK: -24700.00 |
SEK: 49745.10 |
35892
|
1/31/2014 |
Credit |
|
SEK: 352.80 |
SEK: 50097.90 |
35994
|
1/31/2014 |
Debit |
Withdrawal in Cash |
SEK: -14.60 |
SEK: 50083.30 |
39670
|
2/13/2014 |
Debit |
Withdrawal in Cash |
SEK: -23300.00 |
SEK: 114586.30 |