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Tata Motors Finance Limited (Formerly Known As Sheba Properties LTD) Cardex I (Contract Details)

This document provides details of a loan contract between Tata Motors Finance Limited and a customer. Key details include: - The loan is for a pickup vehicle, with a principal amount of Rs. 362,363 and maturity date of January 11, 2021. - The customer is Vivek from Sirsa, Haryana who took the loan to purchase a Tata Ace vehicle. - Additional details provided include insurance coverage, installment amounts and dates, disbursal of funds to parties like the dealership, and other collections.

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Vivek Mohan
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© © All Rights Reserved
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0% found this document useful (0 votes)
129 views16 pages

Tata Motors Finance Limited (Formerly Known As Sheba Properties LTD) Cardex I (Contract Details)

This document provides details of a loan contract between Tata Motors Finance Limited and a customer. Key details include: - The loan is for a pickup vehicle, with a principal amount of Rs. 362,363 and maturity date of January 11, 2021. - The customer is Vivek from Sirsa, Haryana who took the loan to purchase a Tata Ace vehicle. - Additional details provided include insurance coverage, installment amounts and dates, disbursal of funds to parties like the dealership, and other collections.

Uploaded by

Vivek Mohan
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as PDF, TXT or read online on Scribd
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Tata Motors Finance Limited (Formerly known as Sheba Properties Ltd)

Cardex I (Contract Details) Date 06.08.2020 16:41:34

As on date 06.08.2020
Contract No & Date 5002217594 10.02.2017 Type/Asset Loan / PICKUPS
Status: Live Body/Chasis Contract
Company Tata Motors Finance Limited Distr. Channel Dealer - New
Branch TMFL HISSAR BRANCH Region NORTH 2
Supplier VIPIN MOTORS PVT LTD Sales Office VIPIN MOTORS PVT LTD
Collection Branch
DSA IBC VIPIN MOTORS PVT LTD
Act.Mgr PRAMOD VERMA Area SIRSA(HR)
Client [2002875864] Group Guarantor [] Group
MR: VIVEK .
C/o SATYA NARAYAN SHARMA
HO.NO 584 GALI SAND SHALA SCHOOL WALI
NOHARIA BAZAR WO.NO 20 SIRSA TEH. SIRSA
.
SIRSA(HR)
SIRSA - 125055
HARYANA, IN
Phone: Mobile No:9468359259
Email Id:
Co-Borrower :-
Code :- .
Name :- .
Phone : Mobile No :

TDS Flag TAN


Inv.Date 31.01.2017 MSP
TA Adj Date FIA I BRANCH MANAGERS
Disbursal Date 23.02.2017 FIA II
First Instl Date 11.03.2017 Collection Agency
Maturity Date 11.01.2021 Lodging
Scheme Code CAPTIVE_0816 Invoice Amt 403,235.00
FAN No TMFI1080777 Initial Hire 40,872.00
PPR 0.00 % p.a. Finance Amt 362,363.00
Tenure 4 YEAR Finance Charges 99,392.00
No.of Instls 47 Inst Insurance Prov 63,000.00
Lead Period 29 DAYS Option Money 0.00
Instl.in Advance nos. Contract Value 524,755.00
Instl Frequency Monthly Installments Due till Date 457,765.00
Security Deposit Recvd till Date 387,375.00
SD Int Type Overdue Installment 70,390.00
Service Charges 0.00 Net Overdue Interest 18,341.24
Invoice Number VIPINM-1617-00424
Vehicle Model ACE HT Waiver
Engine Number 275IDI07GTYS77050 Secu/PoolNo/Date // 0.00
Chasis Number MAT445553GVG33958 Woff Flag
Registration No HR57A5607 Legal Status:
Ins.Policy No 3379/02574756/000/00 30.01.2020 Repay Flag.:
Policy Exp on 29.01.2021
Total Loss Status: Norm No.: RTC1 Usage of Vehicle: Commercial
LPO Status : No Faulty RC :
Average Delay 48 Peak Delay 206
Principal 47,595.80 Track Record Status PTR
Sr No Installment Pattern Inst. Amount Sr.No. Policy Year Provision Amount
001 001 to 047 11,165.00 001 0002 21,000.00
002 0003 21,000.00
003 0004 21,000.00
Disbursal to Other Parties
Sr No. Type Of Funding Code Name Amount
1 Vehicle 1003030 VIPIN MOTORS PVT LTD 360,000.00
2 Life Insurance 0HDFCLI001 HDFC STANDARD LIFE INSURANCE CO LTD 2,363.00
Total Finance Amount 362,363.00
Additional Recoveries
SrNo Description Debit Amount Credit Amount Balance Amount
001 Document Charges 3,000.00 3,000.00 0.00
002 Bank Charges 2,075.00 2,075.00 0.00
003 Insurance Provision 6,531.00 6,531.00 0.00
004 Retainer Charges 10,695.00 10,695.00 0.00
Total 22,301.00 22,301.00 0.00
Other Collections
Account Head Amount Type Instrument Dran on Bank Ins Date Receipt # Date Remark
Entry Dt
Document Charges 3,000.00 C 22.02.2017 3200099788 10.02.2017 Adjustm
22.02.2017 ent
Against
RO:
00069432
59
Bank Charges 415.00 H 659228 11.10.2017 3903033188 10.10.2017 03035928
13.10.2017 44/MJM
J-00-
NULL
Bank Charges 415.00 H 723478 11.11.2017 3903526057 10.11.2017 03041838
15.11.2017 73/MJM
J-00-
NULL
Bank Charges 415.00 H 723520 12.12.2017 3903969887 11.12.2017 03047855
14.12.2017 65/MJM
J-00-
NULL
Insurance Provision 1.00 C 04.01.2018 3904346185 04.01.2018 22000598
05.01.2018 32/Postin
g
Insuranc
e from
CRM
Insurance Provision 3,034.00 H 785342 11.01.2018 3904447611 10.01.2018 03053770
13.01.2018 78/MJM
J-00-
NULL
Bank Charges 415.00 H 785342 11.01.2018 3904447611 10.01.2018 03053770
13.01.2018 78/MJM
J-00-
NULL
Bank Charges 415.00 H 785382 07.02.2018 3904871846 06.02.2018 03059427
10.02.2018 57/MJM
J-00-
NULL
Other Collections
Account Head Amount Type Instrument Dran on Bank Ins Date Receipt # Date Remark
Entry Dt
Retainer Charges 465.00 H 231601 13.03.2018 3905450344 12.03.2018 03066499
15.03.2018 46/D030-
00-
NULL
Retainer Charges 465.00 H 231672 12.04.2018 3900250155 11.04.2018 03003579
14.04.2018 86/D030-
00-
NULL
Retainer Charges 465.00 H 231740 12.05.2018 3900796728 11.05.2018 03011206
16.05.2018 55/D030-
00-
NULL
Retainer Charges 465.00 H 231799 12.06.2018 3901269724 11.06.2018 03017591
14.06.2018 14/D030-
00-
VIVEK
Retainer Charges 465.00 H 231873 12.07.2018 3901793893 11.07.2018 03024871
14.07.2018 05/D030-
00-
VIVEK
Retainer Charges 465.00 H 231949 15.08.2018 3902410390 13.08.2018 03034798
19.08.2018 03/D030-
00-
VIVEK
Retainer Charges 465.00 H 454404 25.09.2018 3903002969 24.09.2018 03044485
27.09.2018 87/D030-
00-
VIVEK
Retainer Charges 465.00 H 454472 31.10.2018 3903574029 30.10.2018 03052736
31.10.2018 06/D030-
00-
VIVEK
Retainer Charges 465.00 H 454540 28.11.2018 3904107240 27.11.2018 03060765
29.11.2018 03/D030-
00-
VIVEK
Insurance Provision 1,911.00 H 705900 01.07.2019 3901829488 30.06.2019 03027163
01.07.2019 77/D030-
00-
VIVEK
Retainer Charges 3,255.00 H 705900 01.07.2019 3901829488 30.06.2019 03027163
01.07.2019 77/D030-
00-
VIVEK
Retainer Charges 465.00 H 705952 14.07.2019 3902330398 13.07.2019 03035047
18.07.2019 24/D030-
00-
VIVEK
Retainer Charges 465.00 H 706053 22.08.2019 3903022958 21.08.2019 03045581
28.08.2019 11/D030-
00-
VIVEK
Retainer Charges 465.00 H 706162 24.09.2019 3903646912 23.09.2019 03055257
25.09.2019 31/D030-
00-
VIVEK
Retainer Charges 930.00 H 706327 16.11.2019 3904867985 15.11.2019 03073825
Other Collections
Account Head Amount Type Instrument Dran on Bank Ins Date Receipt # Date Remark
Entry Dt
19.11.2019 88/D030-
00-
VIVEK
Insurance Provision 1,585.00 H 706467 12.01.2020 3906005081 11.01.2020 03090369
14.01.2020 94/D030-
00-
VIVEK
Retainer Charges 465.00 H 706467 12.01.2020 3906005081 11.01.2020 03090369
14.01.2020 94/D030-
00-
VIVEK
Retainer Charges 465.00 H 706560 15.02.2020 3906768024 14.02.2020 03101476
16.02.2020 33/D030-
00-
VIVEK
Total 22,301.00
Tata Motors Finance Limited (Formerly known as Sheba Properties Ltd)
Cardex II (Repayments) Date 06.08.2020 16:41:34
As on date 06.08.2020
Contract No: 5002217594 Asset PICKUPS
Status: Live Type Loan
Company Tata Motors Finance Limited
Registration No. HR57A5607
Hirer No 2002875864 Hirer Name VIVEK . c/o SATYA NARAYAN SHARMA
Descp Total Received Balance
Contract Value 524,755.00 387,375.00 137,380.00
Instal.(Nos) 047 034 013
Date No Document TmRecptNo Inst No Inst Date Billings / Collections Balance Days Overdue Remark
Ent Date No Due interest
11.03.2017 001 1005886825 11165.00 11165.00 ANPY514399
10.03.2017 650-100
11.03.2017 3905870243 738612 17.03.2017 11165.00 0.00 0305821506/20
18.03.2017 170314
11.04.2017 002 1000291983 11165.00 11165.00 ANPY514399
11.04.2017 650-100
11.04.2017 3900268888 738613 15.04.2017 11165.00 0.00 0300309865/20
16.04.2017 170411
11.05.2017 003 1000720477 11165.00 11165.00 ANPY514399
11.05.2017 650-100
11.05.2017 3900791624 17.05.2017 11165.00 0.00 0300894519/
18.05.2017 00000000
00293
11.06.2017 004 1001145122 11165.00 11165.00 ANPY514399
10.06.2017 650-100
11.06.2017 3901179612 13.06.2017 11165.00 0.00 0301348467/
14.06.2017 00000000
00463
11.07.2017 005 1001560236 11165.00 11165.00 ANPY514399
10.07.2017 650-100
11.07.2017 3901652209 12.07.2017 11165.00 0.00 0301948207/
13.07.2017 00000000
00695
11.08.2017 006 1001934406 11165.00 11165.00 ANPY514399
10.08.2017 650-100
11.08.2017 3902143962 14.08.2017 11165.00 0.00 0302502227/
15.08.2017 00000000
00868
09.09.2017 3902584160 82 659186 12.09.2017 11165.00 11165.00- 2- 0303044750/M
14.09.2017 6229091793 JMJ-00-
5 NULL

11.09.2017 007 1002376519 11165.00 0.00 ANPY514399


10.09.2017 650-100
10.10.2017 3903033188 82 659228 11.10.2017 10750.00 10750.00- 1- 0303592844/M
13.10.2017 6221010177 JMJ-00-
00 NULL

11.10.2017 008 1002783128 11165.00 415.00 30 12.28 ANPY514399


10.10.2017 650-100
10.11.2017 3903526057 82 723478 11.11.2017 10745.00 10330.00- 1- 0304183873/M
15.11.2017 6221011174 JMJ-00-
52 NULL
Date No Document TmRecptNo Inst No Inst Date Billings / Collections Balance Days Overdue Remark
Ent Date No Due interest
11.11.2017 009 1003249341 11165.00 835.00 30 24.71 ANPY514399
10.11.2017 650-100
11.12.2017 010 1003666933 11165.00 12000.00 ANPY514399
10.12.2017 650-100
11.12.2017 3903969887 82 723520 12.12.2017 10745.00 1255.00 30 37.13 0304785565/M
14.12.2017 6221112171 JMJ-00-
87 NULL

10.01.2018 3904447611 82 785342 11.01.2018 2721.00 1466.00- 1- 0305377078/M


13.01.2018 6221001189 JMJ-00-
62 NULL

11.01.2018 011 1004109000 11165.00 9699.00 26 248.72 ANPY514399


10.01.2018 650-100
06.02.2018 3904871846 82 785382 07.02.2018 4585.00 5114.00 4 20.18 0305942757/M
10.02.2018 6226021852 JMJ-00-
5 NULL

10.02.2018 3904948360 71 231530 11.02.2018 11200.00 6086.00- 1- 0305995911/D


15.02.2018 5051002185 030-00-NULL
91

11.02.2018 012 1004543657 11165.00 5079.00 28 140.26 ANPY514399


10.02.2018 650-100
11.03.2018 013 1004981197 11165.00 16244.00 1 16.02 ANPY514399
10.03.2018 650-100
12.03.2018 3905450344 71 231601 13.03.2018 10735.00 5509.00 30 163.01 0306649946/D
15.03.2018 5051203187 030-00-NULL
44

11.04.2018 014 1000300042 11165.00 16674.00 ANPY514399


10.04.2018 650-100
11.04.2018 3900250155 71 231672 12.04.2018 10735.00 5939.00 30 175.73 0300357986/D
14.04.2018 5051104188 030-00-NULL
90

11.05.2018 015 1000720769 11165.00 17104.00 ANPY514399


10.05.2018 650-100
11.05.2018 3900796728 71 231740 12.05.2018 10735.00 6369.00 31 194.73 0301120655/D
16.05.2018 5051105180 030-00-NULL
30

11.06.2018 016 1001118440 11165.00 17534.00 ANPY514399


10.06.2018 650-100
11.06.2018 3901269724 11 6118081 231799 12.06.2018 10735.00 6799.00 30 201.18 0301759114/D
14.06.2018 030-00-
VIVEK
11.07.2018 017 1001621854 11165.00 17964.00 ANPY514399
10.07.2018 650-100
11.07.2018 3901793893 11 7116496 231873 12.07.2018 10735.00 7229.00 31 221.03 0302487105/D
14.07.2018 030-00-
VIVEK
11.08.2018 018 1002074096 11165.00 18394.00 2 36.28 ANPY514399
10.08.2018 650-100
13.08.2018 3902410390 13 8140863 231949 15.08.2018 10735.00 7659.00 29 219.07 0303479803/D
Date No Document TmRecptNo Inst No Inst Date Billings / Collections Balance Days Overdue Remark
Ent Date No Due interest
19.08.2018 030-00-
VIVEK
11.09.2018 019 1002550641 11165.00 18824.00 13 241.36 ANPY514399
10.09.2018 650-100
24.09.2018 3903002969 24 917135 454404 25.09.2018 8735.00 10089.00 17 169.16 0304448587/D
27.09.2018 030-00-
VIVEK
11.10.2018 020 1003041164 11165.00 21254.00 19 398.29 ANPY514399
10.10.2018 650-100
30.10.2018 3903574029 30 454472 31.10.2018 11535.00 9719.00 12 115.03 0305273606/D
31.10.2018 10116750 030-00-
VIVEK
11.11.2018 021 1003520476 11165.00 20884.00 16 329.57 ANPY514399
10.11.2018 650-100
27.11.2018 3904107240 27 454540 28.11.2018 9535.00 11349.00 3 33.58 0306076503/D
29.11.2018 11114780 030-00-
VIVEK
30.11.2018 3904152369 30 1118900 454548 01.12.2018 1700.00 9649.00 11 104.69 0306114736/D
01.12.2018 030-00-
VIVEK
11.12.2018 022 1004025074 11165.00 20814.00 6 123.17 ANPY514399
10.12.2018 650-100
17.12.2018 3904613884 17 1213419 454581 18.12.2018 11200.00 9614.00 25 237.06 0306873706/D
20.12.2018 030-00-
VIVEK
11.01.2019 023 1004533777 11165.00 20779.00 ANPY514399
10.01.2019 650-100
11.01.2019 3905173025 11 1111722 454655 12.01.2019 11200.00 9579.00 31 292.88 0307632680/D
17.01.2019 030-00-
VIVEK
11.02.2019 024 1005109508 11165.00 20744.00 ANPY514399
10.02.2019 650-100
11.02.2019 3905699761 11 217878 454727 12.02.2019 11200.00 9544.00 28 263.57 0308442563/D
15.02.2019 030-00-
VIVEK
11.03.2019 025 1005633305 11165.00 20709.00 1 20.43 ANPY514399
10.03.2019 650-100
12.03.2019 3906314697 12 319583 454788 13.03.2019 11200.00 9509.00 30 281.36 0309344202/D
15.03.2019 030-00-
VIVEK
11.04.2019 026 1000302236 11165.00 20674.00 1 20.39 ANPY514399
11.04.2019 650-100
12.04.2019 3900395662 12 417780 454865 13.04.2019 11200.00 9474.00 29 270.98 0300600762/D
16.04.2019 030-00-
VIVEK
11.05.2019 027 1000822617 11165.00 20639.00 4 81.43 ANPY514399
10.05.2019 650-100
15.05.2019 3901091936 15 5117833 705805 16.05.2019 11200.00 9439.00 27 251.36 0301627921/D
18.05.2019 030-00-
VIVEK
11.06.2019 028 1001398248 11165.00 20604.00 19 386.11 ANPY514399
11.06.2019 650-100
30.06.2019 3901829488 30 619724 705900 01.07.2019 6034.00 14570.00 11 158.07 0302716377/D
01.07.2019 030-00-
VIVEK
Date No Document TmRecptNo Inst No Inst Date Billings / Collections Balance Days Overdue Remark
Ent Date No Due interest
11.07.2019 029 1001934732 11165.00 25735.00 2 50.76 ANPY514399
10.07.2019 650-100
13.07.2019 3902330398 13 716555 705952 14.07.2019 6335.00 19400.00 29 554.89 0303504724/D
18.07.2019 030-00-
VIVEK
11.08.2019 030 1002470514 11165.00 30565.00 10 301.46 ANPY514399
11.08.2019 650-100
21.08.2019 3903022958 21 8116113 706053 22.08.2019 6535.00 24030.00 10 237.01 0304558111/D
28.08.2019 030-00-
VIVEK
31.08.2019 3903085743 31 8121305 706067 01.09.2019 2200.00 21830.00 11 236.84 0304607652/D
01.09.2019 030-00-
VIVEK
11.09.2019 031 1002958687 11165.00 32995.00 12 390.52 ANPY514399
10.09.2019 650-100
23.09.2019 3903646912 23 913293 706162 24.09.2019 7535.00 25460.00 7 175.78 0305525731/D
25.09.2019 030-00-
VIVEK
30.09.2019 3903697738 RC 649854 30.09.2019 11165.00 14295.00 11 155.09 0305581124/S
30.09.2019 50022175 C01
94 :NACH_5002
217594
11.10.2019 032 1003542012 11165.00 25460.00 31 778.45 ANPY514399
11.10.2019 650-100
11.11.2019 033 1004075170 11165.00 36625.00 3 108.37 ANPY514399
10.11.2019 650-100
14.11.2019 3904867996 14 706324 15.11.2019 9200.00 27425.00 1 27.05 0307379388/D
19.11.2019 11111843 030-00-
VIVEK
15.11.2019 3904867985 15 706327 16.11.2019 4070.00 23355.00 26 598.91 0307382588/D
19.11.2019 11111935 030-00-
VIVEK
11.12.2019 034 1004658299 11165.00 34520.00 6 204.28 ANPY514399
10.12.2019 650-100
17.12.2019 3905530485 17 1215091 706393 18.12.2019 11200.00 23320.00 25 574.39 0308342086/D
19.12.2019 030-00-
VIVEK
11.01.2020 035 1005177200 11165.00 34485.00 ANPY514399
11.01.2020 650-100
11.01.2020 3906005081 11 1211184 706467 12.01.2020 9150.00 25335.00 31 772.51 0309036994/D
14.01.2020 030-00-
VIVEK
11.02.2020 036 1005732214 11165.00 36500.00 3 107.70 ANPY514399
11.02.2020 650-100
14.02.2020 3906768024 14 2214347 706560 15.02.2020 10735.00 25765.00 26 658.91 0310147633/D
16.02.2020 030-00-
VIVEK
11.03.2020 037 1006215003 11165.00 36930.00 3 108.97 ANPY514399
10.03.2020 650-100
14.03.2020 3907455335 14 322376 706608 15.03.2020 11200.00 25730.00 28 708.63 0311076802/D
17.03.2020 030-00-
VIVEK
11.04.2020 038 1000148650 11165.00 36895.00 30 1088.70 ANPY514399
24.04.2020 650-100
11.05.2020 039 1000844414 11165.00 48060.00 31 1465.44 ANPY514399
Date No Document TmRecptNo Inst No Inst Date Billings / Collections Balance Days Overdue Remark
Ent Date No Due interest
10.05.2020 650-100
11.06.2020 040 1001351406 11165.00 59225.00 30 1747.62 ANPY514399
10.06.2020 650-100
11.07.2020 041 1001988224 11165.00 70390.00 26 1800.14 ANPY514399
10.07.2020 650-100
Total 457765.00 387375.00 70390.00 1021 18341.24
Due till date 457,765.00 Received till date 387,375.00 Overdue amount 70,390.00
Excess Exp Received 0.00 Accrued ODC 18,341.24 Outstanding Expenses 0.00
Current overdue 70,390.00
Tata Motors Finance Limited (Formerly known as Sheba Properties Ltd)
Expense Details Date 06.08.2020 16:41:34

As on date 06.08.2020
Contract No: 5002217594

Exp Exp No Date Description Incurred On Amount Narration


ID
ZDC 1005615645 10.02.2017 Document Charges 10.02.2017 3,000.00 ZRVD514399650-100
ZBC 3800968085 15.09.2017 Bank Charges 11.09.2017 415.00
ZBC 3801193344 16.10.2017 Bank Charges 11.10.2017 415.00
ZBC 3801373152 15.11.2017 Bank Charges 11.11.2017 415.00
ZBC 3801569784 15.12.2017 Bank Charges 11.12.2017 415.00
ZIP 2400108423 13.12.2017 Insurance Provision 13.12.2017 3,035.00 Posting Insurance from CRM
ZBC 3801752256 16.01.2018 Bank Charges 11.01.2018 415.00
ZRE 3801858189 09.02.2018 Retainer Charges 09.02.2018 465.00
ZRE 3802024857 09.03.2018 Retainer Charges 09.03.2018 465.00
ZRE 3800021062 09.04.2018 Retainer Charges 09.04.2018 465.00
ZRE 3800193813 08.05.2018 Retainer Charges 08.05.2018 465.00
ZRE 3800387933 11.06.2018 Retainer Charges 11.06.2018 465.00
ZRE 3800556498 14.07.2018 Retainer Charges 14.07.2018 465.00
ZRE 3800733764 13.08.2018 Retainer Charges 13.08.2018 465.00
ZRE 3800913406 10.09.2018 Retainer Charges 10.09.2018 465.00
ZRE 3801096173 10.10.2018 Retainer Charges 10.10.2018 465.00
ZRE 3801291609 13.11.2018 Retainer Charges 13.11.2018 465.00
ZRE 3801501329 14.12.2018 Retainer Charges 14.12.2018 465.00
ZIP 2400134459 18.12.2018 Insurance Provision 18.12.2018 1,911.00 Posting Insurance from CRM
ZRE 3801740131 15.01.2019 Retainer Charges 15.01.2019 465.00
ZRE 3801920312 13.02.2019 Retainer Charges 13.02.2019 465.00
ZRE 3802084435 12.03.2019 Retainer Charges 12.03.2019 465.00
ZRE 3800058262 18.04.2019 Retainer Charges 18.04.2019 465.00
ZRE 3800233324 15.05.2019 Retainer Charges 15.05.2019 465.00
ZRE 3800417005 10.06.2019 Retainer Charges 10.06.2019 465.00
ZRE 3800634075 09.07.2019 Retainer Charges 09.07.2019 465.00
ZRE 3800874320 09.08.2019 Retainer Charges 09.08.2019 465.00
ZRE 3801070888 13.09.2019 Retainer Charges 13.09.2019 465.00
ZRE 3801292854 17.10.2019 Retainer Charges 17.10.2019 465.00
ZRE 3801709498 07.12.2019 Retainer Charges 07.12.2019 465.00
ZIP 2400095680 18.12.2019 Insurance Provision 18.12.2019 1,585.00 Posting Insurance from CRM
ZRE 3801926864 09.01.2020 Retainer Charges 09.01.2020 465.00
Total 22,301.00
Tata Motors Finance Limited (Formerly known as Sheba Properties Ltd)
Rejected Receipts Date 06.08.2020 16:41:34

As on 06.08.2020

Contract No 5002217594

ID Receipt # Rec.Date / Account Head Amount Instrument Inst.Date Remarks /


Rej.Date Rejection Reason
D030 303001071 11.09.2017 / ZXY 11,165.00 11.09.2017 Balance
15.09.2017 Insufficient
D030 303572510 11.10.2017 / ZXY 11,165.00 11.10.2017 Balance
16.10.2017 Insufficient
D030 304154487 11.11.2017 / ZXY 11,165.00 11.11.2017 Balance
15.11.2017 Insufficient
D030 304731249 11.12.2017 / ZXY 11,165.00 11.12.2017 Balance
15.12.2017 Insufficient
D030 305348819 11.01.2018 / ZXY 11,165.00 11.01.2018 Balance
16.01.2018 Insufficient
Tata Motors Finance Limited (Formerly known as Sheba Properties Ltd)
Cardex VIII (Insurance Details) Date 06.08.2020 16:41:34

Contract # 5002217594 Status Live Region NORTH 2


Contract Date 10.02.2017 Branch TMFL HISSAR
Maturity Date 11.01.2021 Contract Value 524,755.00 IBC VIPIN MOTORS
Tenure 4 Insurance 63,000.00 Area SIRSA(HR)
Cover Note 0000000000 Cover Note Date 30.01.2017
Client Dealer
VIVEK . SATYA NARAYAN SHARMA
C/o SATYA NARAYAN SHARMA
HO.NO 584 GALI SAND SHALA SCHOOL WALI
NOHARIA BAZAR WO.NO 20 SIRSA TEH. SIRSA
SIRSA(HR)
SIRSA Haryana - 125055 India
Phone: 9468359259

Policy Details
Yea Insurance Company Policy No Rec Date Issue Date Ext Date Premium Paid Policy Premium Blocking
r Amt Reason
01 0CHOTN0002 22.02.2017 30.01.2017 29.01.2018 0.00 22,641.00
CHOLAMANDALAM 3379/01623
GENERAL INSURANCE 139/000/00
CHENNAI
02 0ECHOTM001 30.01.2018 29.01.2019 24,035.00 24,034.00
CHOLAMANDALAM 3379/01623
MS GENERAL INS COM 139/000/01
CHENNAI
03 0EAIGTM001 TATA AIG 31.12.2018 30.01.2019 29.01.2020 22,911.00 22,911.00
GENERAL INSURANCE 015918953
CO. LTD. MUMBAI 6
04 0ECHOTM001 28.12.2019 30.01.2020 29.01.2021 22,585.00 22,585.00
CHOLAMANDALAM 3379/02574
MS GENERAL INS COM 756/000/00
CHENNAI
Total 69,531.00
Tata Motors Finance Limited (Formerly known as Sheba Properties Ltd)
Receipt Information Date 06.08.2020 16:41:34
As on date 06.08.2020

Contract No: 5002217594


Client Name : VIVEK . c/o SATYA NARAYAN SHARMA .
Contract Date : 10.02.2017
Maturity Date : 11.01.2021
Recpt No PAN No Recpt M Instr. Inst Date Amount Bank Type St Inst.Amt Remark
Date od No. at
e us
3200099788 10.02.2017 C 22.02.2017 3000.00 ZDC 3000.00 Adjustment
Against RO:
0006943259
3905870243 11.03.2017 H 738612 17.03.2017 11165.00 ZHP 11165.00 0305821506/2
0170314
3900268888 11.04.2017 H 738613 15.04.2017 11165.00 ZHP 11165.00 0300309865/2
0170411
3900791624 11.05.2017 H 000000000 17.05.2017 11165.00 ZHP 11165.00 0300894519/
0293
3901179612 11.06.2017 H 000000000 13.06.2017 11165.00 ZHP 11165.00 0301348467/
0463
3901652209 11.07.2017 H 000000000 12.07.2017 11165.00 ZHP 11165.00 0301948207/
0695
3902143962 11.08.2017 H 000000000 14.08.2017 11165.00 ZHP 11165.00 0302502227/
0868
3902584160 09.09.2017 H 659186 12.09.2017 11165.00 ZHP 11165.00 0303044750/M
8262290917 JMJ-00-NULL
935
3903033188 10.10.2017 H 659228 11.10.2017 415.00 ZBC 415.00 0303592844/M
8262210101 JMJ-00-NULL
7700
3903033188 10.10.2017 H 659228 11.10.2017 10750.00 ZHP 10750.00 0303592844/M
8262210101 JMJ-00-NULL
7700
3903526057 10.11.2017 H 723478 11.11.2017 415.00 ZBC 415.00 0304183873/M
8262210111 JMJ-00-NULL
7452
3903526057 10.11.2017 H 723478 11.11.2017 10745.00 ZHP 10745.00 0304183873/M
8262210111 JMJ-00-NULL
7452
3903969887 11.12.2017 H 723520 12.12.2017 415.00 ZBC 415.00 0304785565/M
8262211121 JMJ-00-NULL
7187
3903969887 11.12.2017 H 723520 12.12.2017 10745.00 ZHP 10745.00 0304785565/M
8262211121 JMJ-00-NULL
7187
3904346185 04.01.2018 C 04.01.2018 1.00 ZIP 1.00 2200059832/P
osting
Insurance
from CRM
3904447611 10.01.2018 H 785342 11.01.2018 3034.00 ZIP 3034.00 0305377078/M
8262210011 JMJ-00-NULL
8962
3904447611 10.01.2018 H 785342 11.01.2018 415.00 ZBC 415.00 0305377078/M
8262210011 JMJ-00-NULL
8962
Recpt No PAN No Recpt M Instr. Inst Date Amount Bank Type St Inst.Amt Remark
Date od No. at
e us
3904447611 10.01.2018 H 785342 11.01.2018 2721.00 ZHP 2721.00 0305377078/M
8262210011 JMJ-00-NULL
8962
3904871846 06.02.2018 H 785382 07.02.2018 415.00 ZBC 415.00 0305942757/M
8262260218 JMJ-00-NULL
525
3904871846 06.02.2018 H 785382 07.02.2018 4585.00 ZHP 4585.00 0305942757/M
8262260218 JMJ-00-NULL
525
3904948360 10.02.2018 H 231530 11.02.2018 11200.00 ZHP 11200.00 0305995911/D
7150510021 030-00-NULL
8591
3905450344 12.03.2018 H 231601 13.03.2018 465.00 ZRE 465.00 0306649946/D
7150512031 030-00-NULL
8744
3905450344 12.03.2018 H 231601 13.03.2018 10735.00 ZHP 10735.00 0306649946/D
7150512031 030-00-NULL
8744
3900250155 11.04.2018 H 231672 12.04.2018 10735.00 ZHP 10735.00 0300357986/D
7150511041 030-00-NULL
8890
3900250155 11.04.2018 H 231672 12.04.2018 465.00 ZRE 465.00 0300357986/D
7150511041 030-00-NULL
8890
3900796728 11.05.2018 H 231740 12.05.2018 465.00 ZRE 465.00 0301120655/D
7150511051 030-00-NULL
8030
3900796728 11.05.2018 H 231740 12.05.2018 10735.00 ZHP 10735.00 0301120655/D
7150511051 030-00-NULL
8030
3901269724 11.06.2018 H 231799 12.06.2018 465.00 ZRE 465.00 0301759114/D
1106118081 030-00-VIVEK
3901269724 11.06.2018 H 231799 12.06.2018 10735.00 ZHP 10735.00 0301759114/D
1106118081 030-00-VIVEK
3901793893 11.07.2018 H 231873 12.07.2018 465.00 ZRE 465.00 0302487105/D
1107116496 030-00-VIVEK
3901793893 11.07.2018 H 231873 12.07.2018 10735.00 ZHP 10735.00 0302487105/D
1107116496 030-00-VIVEK
3902410390 13.08.2018 H 231949 15.08.2018 10735.00 ZHP 10735.00 0303479803/D
1308140863 030-00-VIVEK
3902410390 13.08.2018 H 231949 15.08.2018 465.00 ZRE 465.00 0303479803/D
1308140863 030-00-VIVEK
3903002969 240917135 24.09.2018 H 454404 25.09.2018 465.00 ZRE 465.00 0304448587/D
030-00-VIVEK
3903002969 240917135 24.09.2018 H 454404 25.09.2018 8735.00 ZHP 8735.00 0304448587/D
030-00-VIVEK
3903574029 30.10.2018 H 454472 31.10.2018 465.00 ZRE 465.00 0305273606/D
3010116750 030-00-VIVEK
3903574029 30.10.2018 H 454472 31.10.2018 11535.00 ZHP 11535.00 0305273606/D
3010116750 030-00-VIVEK
3904107240 27.11.2018 H 454540 28.11.2018 9535.00 ZHP 9535.00 0306076503/D
2711114780 030-00-VIVEK
3904107240 27.11.2018 H 454540 28.11.2018 465.00 ZRE 465.00 0306076503/D
2711114780 030-00-VIVEK
Recpt No PAN No Recpt M Instr. Inst Date Amount Bank Type St Inst.Amt Remark
Date od No. at
e us
3904152369 301118900 30.11.2018 H 454548 01.12.2018 1700.00 ZHP 1700.00 0306114736/D
030-00-VIVEK
3904613884 171213419 17.12.2018 H 454581 18.12.2018 11200.00 ZHP 11200.00 0306873706/D
030-00-VIVEK
3905173025 11.01.2019 H 454655 12.01.2019 11200.00 ZHP 11200.00 0307632680/D
1101111722 030-00-VIVEK
3905699761 110217878 11.02.2019 H 454727 12.02.2019 11200.00 ZHP 11200.00 0308442563/D
030-00-VIVEK
3906314697 120319583 12.03.2019 H 454788 13.03.2019 11200.00 ZHP 11200.00 0309344202/D
030-00-VIVEK
3900395662 120417780 12.04.2019 H 454865 13.04.2019 11200.00 ZHP 11200.00 0300600762/D
030-00-VIVEK
3901091936 15.05.2019 H 705805 16.05.2019 11200.00 ZHP 11200.00 0301627921/D
1505117833 030-00-VIVEK
3901829488 300619724 30.06.2019 H 705900 01.07.2019 1911.00 ZIP 1911.00 0302716377/D
030-00-VIVEK
3901829488 300619724 30.06.2019 H 705900 01.07.2019 6034.00 ZHP 6034.00 0302716377/D
030-00-VIVEK
3901829488 300619724 30.06.2019 H 705900 01.07.2019 3255.00 ZRE 3255.00 0302716377/D
030-00-VIVEK
3902330398 130716555 13.07.2019 H 705952 14.07.2019 6335.00 ZHP 6335.00 0303504724/D
030-00-VIVEK
3902330398 130716555 13.07.2019 H 705952 14.07.2019 465.00 ZRE 465.00 0303504724/D
030-00-VIVEK
3903022958 21.08.2019 H 706053 22.08.2019 465.00 ZRE 465.00 0304558111/D
2108116113 030-00-VIVEK
3903022958 21.08.2019 H 706053 22.08.2019 6535.00 ZHP 6535.00 0304558111/D
2108116113 030-00-VIVEK
3903085743 31.08.2019 H 706067 01.09.2019 2200.00 ZHP 2200.00 0304607652/D
3108121305 030-00-VIVEK
3903646912 230913293 23.09.2019 H 706162 24.09.2019 465.00 ZRE 465.00 0305525731/D
030-00-VIVEK
3903646912 230913293 23.09.2019 H 706162 24.09.2019 7535.00 ZHP 7535.00 0305525731/D
030-00-VIVEK
3903697738 RC649854 30.09.2019 H 500221759 30.09.2019 11165.00 ZHP 11165.00 0305581124/S
4 C01
:NACH_500221
7594
3904867996 14.11.2019 H 706324 15.11.2019 9200.00 ZHP 9200.00 0307379388/D
1411111843 030-00-VIVEK
3904867985 15.11.2019 H 706327 16.11.2019 930.00 ZRE 930.00 0307382588/D
1511111935 030-00-VIVEK
3904867985 15.11.2019 H 706327 16.11.2019 4070.00 ZHP 4070.00 0307382588/D
1511111935 030-00-VIVEK
3905530485 171215091 17.12.2019 H 706393 18.12.2019 11200.00 ZHP 11200.00 0308342086/D
030-00-VIVEK
3906005081 11.01.2020 H 706467 12.01.2020 1585.00 ZIP 1585.00 0309036994/D
1101211184 030-00-VIVEK
3906005081 11.01.2020 H 706467 12.01.2020 465.00 ZRE 465.00 0309036994/D
1101211184 030-00-VIVEK
3906005081 11.01.2020 H 706467 12.01.2020 9150.00 ZHP 9150.00 0309036994/D
1101211184 030-00-VIVEK
3906768024 14.02.2020 H 706560 15.02.2020 10735.00 ZHP 10735.00 0310147633/D
Recpt No PAN No Recpt M Instr. Inst Date Amount Bank Type St Inst.Amt Remark
Date od No. at
e us
030-00-VIVEK
1402214347
3906768024 14.02.2020 H 706560 15.02.2020 465.00 ZRE 465.00 0310147633/D
1402214347 030-00-VIVEK
3907455335 140322376 14.03.2020 H 706608 15.03.2020 11200.00 ZHP 11200.00 0311076802/D
030-00-VIVEK
Total 67 409676.00

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