| Transaction ID | Date | Type | Operation | Amount | Balance |
|---|---|---|---|---|---|
| 194432 | 8/3/2015 | Credit | Credit in Cash | SEK: 300.00 | SEK: 300.00 |
| 196368 | 8/8/2015 | Credit | Credit in Cash | SEK: 7156.00 | SEK: 7456.00 |
| 204179 | 8/31/2015 | Credit | SEK: 24.10 | SEK: 7480.10 | |
| 205091 | 9/2/2015 | Credit | Credit in Cash | SEK: 6800.00 | SEK: 14280.00 |
| 207177 | 9/8/2015 | Credit | Credit in Cash | SEK: 7156.00 | SEK: 21436.00 |
| 215180 | 9/30/2015 | Credit | SEK: 75.70 | SEK: 21511.80 | |
| 216104 | 10/2/2015 | Credit | Credit in Cash | SEK: 2300.00 | SEK: 23811.80 |
| 218278 | 10/8/2015 | Credit | Credit in Cash | SEK: 7156.00 | SEK: 30967.80 |
| 226608 | 10/31/2015 | Credit | SEK: 120.10 | SEK: 31087.80 | |
| 227441 | 11/1/2015 | Debit | Withdrawal in Cash | SEK: -5000.00 | SEK: 26087.80 |
| 229799 | 11/8/2015 | Credit | Credit in Cash | SEK: 7156.00 | SEK: 33243.80 |
| 238324 | 11/30/2015 | Credit | SEK: 136.30 | SEK: 33380.10 | |
| 239225 | 12/1/2015 | Debit | Withdrawal in Cash | SEK: -4600.00 | SEK: 28780.10 |
| 242047 | 12/8/2015 | Debit | Withdrawal in Cash | SEK: -1000.00 | SEK: 38514.10 |
| 242048 | 12/8/2015 | Credit | Credit in Cash | SEK: 10734.00 | SEK: 39514.10 |
| 245171 | 12/13/2015 | Debit | Remittance to Another Bank | SEK: -1820.00 | SEK: 36694.10 |
| 245780 | 12/14/2015 | Debit | Remittance to Another Bank | SEK: -2196.00 | SEK: 34498.10 |
| 252095 | 12/31/2015 | Credit | SEK: 145.30 | SEK: 34643.50 | |
| 252510 | 12/31/2015 | Debit | Withdrawal in Cash | SEK: -6700.00 | SEK: 27928.90 |
| 252512 | 12/31/2015 | Debit | Withdrawal in Cash | SEK: -14.60 | SEK: 34628.90 |