Transaction ID | Date | Type | Operation | Amount | Balance |
---|---|---|---|---|---|
11687 | 9/10/2013 | Credit | Credit in Cash | SEK: 1000.00 | SEK: 1000.00 |
14398 | 10/5/2013 | Credit | Credit in Cash | SEK: 10838.00 | SEK: 11838.00 |
15266 | 10/10/2013 | Credit | Credit in Cash | SEK: 7200.00 | SEK: 19038.00 |
17301 | 10/31/2013 | Credit | SEK: 56.30 | SEK: 19094.30 | |
18431 | 11/5/2013 | Credit | Credit in Cash | SEK: 10838.00 | SEK: 29932.30 |
19197 | 11/9/2013 | Debit | Withdrawal in Cash | SEK: -2900.00 | SEK: 27032.30 |
21613 | 11/30/2013 | Credit | SEK: 103.80 | SEK: 27136.00 | |
22952 | 12/5/2013 | Credit | Credit in Cash | SEK: 16257.00 | SEK: 43393.00 |
23901 | 12/9/2013 | Debit | Withdrawal in Cash | SEK: -11700.00 | SEK: 31693.00 |
27139 | 12/31/2013 | Credit | SEK: 127.00 | SEK: 31820.10 | |
29092 | 1/5/2014 | Credit | Credit in Cash | SEK: 10838.00 | SEK: 42658.10 |
30179 | 1/8/2014 | Debit | Withdrawal in Cash | SEK: -10800.00 | SEK: 31858.10 |
36151 | 1/31/2014 | Credit | SEK: 132.60 | SEK: 31990.70 | |
37717 | 2/5/2014 | Credit | Credit in Cash | SEK: 10838.00 | SEK: 42828.70 |
38253 | 2/7/2014 | Debit | Withdrawal in Cash | SEK: -9600.00 | SEK: 33228.70 |
38254 | 2/7/2014 | Debit | Remittance to Another Bank | SEK: -3509.00 | SEK: 29719.70 |
38476 | 2/8/2014 | Debit | Remittance to Another Bank | SEK: -3716.00 | SEK: 26003.70 |
40004 | 2/14/2014 | Debit | Withdrawal in Cash | SEK: -4800.00 | SEK: 21203.70 |
40227 | 2/16/2014 | Debit | Withdrawal in Cash | SEK: -2400.00 | SEK: 18803.70 |
41698 | 2/28/2014 | Credit | SEK: 98.80 | SEK: 18902.40 |