Transaction ID | Date | Type | Operation | Amount | Balance |
---|---|---|---|---|---|
1055618 | 12/31/2018 | Credit | SEK: 206.00 | SEK: 38830.80 | |
1043715 | 12/12/2018 | Debit | Remittance to Another Bank | SEK: -6694.20 | SEK: 38624.80 |
1042294 | 12/11/2018 | Debit | Withdrawal in Cash | SEK: -24000.00 | SEK: 45318.90 |
1032943 | 12/1/2018 | Debit | Withdrawal in Cash | SEK: -4200.00 | SEK: 69318.90 |
1028233 | 11/30/2018 | Debit | Withdrawal in Cash | SEK: -14.60 | SEK: 73518.90 |
1031227 | 11/30/2018 | Credit | SEK: 192.60 | SEK: 73533.50 | |
1022808 | 11/26/2018 | Credit | Credit in Cash | SEK: 25250.00 | SEK: 73341.00 |
1018298 | 11/13/2018 | Credit | Credit in Cash | SEK: 18709.00 | SEK: 48091.00 |
1016885 | 11/12/2018 | Debit | Remittance to Another Bank | SEK: -6694.20 | SEK: 29382.00 |
1015565 | 11/11/2018 | Debit | Withdrawal in Cash | SEK: -9300.00 | SEK: 36076.10 |
1008882 | 11/5/2018 | Credit | Credit in Cash | SEK: 33879.00 | SEK: 45376.10 |
1007965 | 11/3/2018 | Debit | Withdrawal in Cash | SEK: -7200.00 | SEK: 11497.10 |
1002890 | 10/31/2018 | Debit | Withdrawal in Cash | SEK: -14.60 | SEK: 18697.10 |
1005948 | 10/31/2018 | Credit | SEK: 155.80 | SEK: 18711.70 | |
998070 | 10/30/2018 | Debit | Withdrawal in Cash | SEK: -18565.00 | SEK: 18555.90 |
997412 | 10/27/2018 | Debit | Withdrawal in Cash | SEK: -6300.00 | SEK: 37120.90 |
997177 | 10/26/2018 | Debit | Withdrawal in Cash | SEK: -11400.00 | SEK: 43420.90 |
995805 | 10/20/2018 | Debit | Withdrawal in Cash | SEK: -12914.00 | SEK: 54820.90 |
995609 | 10/19/2018 | Credit | Credit in Cash | SEK: 32167.00 | SEK: 67734.90 |
995332 | 10/18/2018 | Credit | Credit in Cash | SEK: 10293.00 | SEK: 35567.90 |