Transaction ID
|
Date
|
Type
|
Operation
|
Amount
|
Balance
|
15497
|
10/11/2013 |
Credit |
Credit in Cash |
SEK: 900.00 |
SEK: 900.00 |
16422
|
10/22/2013 |
Credit |
Credit in Cash |
SEK: 15416.00 |
SEK: 16316.00 |
16847
|
10/31/2013 |
Credit |
|
SEK: 21.90 |
SEK: 16337.90 |
19448
|
11/10/2013 |
Credit |
Credit in Cash |
SEK: 3400.00 |
SEK: 19737.90 |
20249
|
11/14/2013 |
Credit |
Credit in Cash |
SEK: 18210.00 |
SEK: 37947.90 |
21108
|
11/30/2013 |
Credit |
|
SEK: 119.10 |
SEK: 38067.00 |
24236
|
12/10/2013 |
Debit |
Withdrawal in Cash |
SEK: -8500.00 |
SEK: 29567.00 |
26576
|
12/31/2013 |
Credit |
|
SEK: 158.10 |
SEK: 29725.10 |
28898
|
1/4/2014 |
Credit |
Credit in Cash |
SEK: 16706.00 |
SEK: 46431.10 |
29236
|
1/5/2014 |
Credit |
Credit in Cash |
SEK: 37369.00 |
SEK: 83800.10 |
29237
|
1/5/2014 |
Credit |
Credit in Cash |
SEK: 18413.00 |
SEK: 102213.10 |
29604
|
1/6/2014 |
Debit |
Withdrawal in Cash |
SEK: -8700.00 |
SEK: 88113.10 |
29606
|
1/6/2014 |
Debit |
Withdrawal in Cash |
SEK: -5400.00 |
SEK: 96813.10 |
30691
|
1/9/2014 |
Debit |
Withdrawal in Cash |
SEK: -8400.00 |
SEK: 53913.10 |
30692
|
1/9/2014 |
Debit |
Withdrawal in Cash |
SEK: -25800.00 |
SEK: 62313.10 |
31354
|
1/11/2014 |
Debit |
Withdrawal in Cash |
SEK: -3900.00 |
SEK: 50013.10 |
33112
|
1/17/2014 |
Debit |
Withdrawal in Cash |
SEK: -3300.00 |
SEK: 46713.10 |
33670
|
1/20/2014 |
Debit |
Withdrawal in Cash |
SEK: -3600.00 |
SEK: 43113.10 |
34362
|
1/24/2014 |
Debit |
Withdrawal in Cash |
SEK: -13500.00 |
SEK: 29613.10 |
35208
|
1/29/2014 |
Debit |
Withdrawal in Cash |
SEK: -2400.00 |
SEK: 27213.10 |