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HDFC Bank LTD

This document is a loan statement for a company called RAPIDTECH MOULDING PRIVATE LIMITED. It provides details of the loan such as the principal amount, interest rates applied over time, schedule of repayments made and outstanding amounts. The statement spans multiple years from 2018 to 2023 and shows the full repayment history and current status of the loan account.

Uploaded by

utkarshlegal96
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© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as PDF, TXT or read online on Scribd
0% found this document useful (0 votes)
88 views6 pages

HDFC Bank LTD

This document is a loan statement for a company called RAPIDTECH MOULDING PRIVATE LIMITED. It provides details of the loan such as the principal amount, interest rates applied over time, schedule of repayments made and outstanding amounts. The statement spans multiple years from 2018 to 2023 and shows the full repayment history and current status of the loan account.

Uploaded by

utkarshlegal96
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
You are on page 1/ 6

Page No: 1 of 6

Name: RAPIDTECH MOULDING PRIVATE LIMITED


Address: G1-562, RIICO IND AREA,
KHUSHKHERA
ALWAR
0
DISTT ALWAR
City : ALWAR
State : RAJASTHAN
Phone : 9057807641, 0, Mobile:9057807641 Statement Issue Dt: 24/04/2023

Statement Period: 15/10/2018 to 24/04/2023 Loan Account No.: 83453460


Name of Financier: HDFC BANK LTD UCIC: 126281967

Branch: REWARI Amount Financed: 5,746,836.00


Product: EEG-WC TERM LOANS Amount Disbursed: 5,746,836.00
Model : PERSONAL EMI Amount(Rs): 20,431.00
Chassis No. SME Total Tenure: 56
Engine No. NA Frequency of EMI: Monthly EMIs
Regn. No. : 1292300 Balance Prin O/s at start of Statement Period (Rs.): 0.00
Disbursal Date: 03/11/2018 Principal paid during statement period (Rs.): 5,740,624.50
Installment Start Date: 07/12/2018 Interest paid during statement period (Rs.): 803,921.50
Installment End Date: 07/07/2023 Total Prin & interest paid during stmt period (Rs.): 6,544,546.00
Interest Rate Type: Floating Bal Prin O/S at the end of statement period (Rs): 178,187.57

Rate Of interest applied from DEC-2018 To DEC-2019 : 9.50 %

Rate Of interest applied from JAN-2020 To FEB-2020 : 9.05 %

Rate Of interest applied from MAR-2020 To MAY-2020 : 8.30 %

Rate Of interest applied from JUN-2020 To MAY-2022 : 7.90 %

Rate Of interest applied from JUN-2022 To SEP-2022 : 8.30 %

Rate Of interest applied from OCT-2022 To DEC-2022 : 9.30 %

Rate Of interest applied from JAN-2023 To MAR-2023 : 10.15 %

Rate Of interest applied from APR-2023 To APR-2023 : 10.40 %

Total O/S dues as on 24/04/2023


Total EMI O/S (Rs): 142,948.00 Loan Status: Active
Total OEI O/S (Rs): 0.00 FD Collateral: N
Total CBC O/S (Rs): 13,806.00 Linked Agreement No(s).: No Records
Total Pymts Overdue (Rs): 156,754.00

Date Particulars Value date Cheque Sno Debit / Credit Balance

04/11/2018 Amt Financed- Payable 04/11/2018 5,746,836.00 CR 5,746,836.00 CR


04/11/2018 Due for Pre Emi Interest Paid To 5,984.00 DR 5,740,852.00 CR
Bank
04/11/2018 Amount Paid 04/11/2018 83453460 5,746,836.00 DR 5,984.00 DR
04/11/2018 Payment Received 04/11/2018 1 5,984.00 CR 0.00 DR
07/12/2018 Due for Instalment Amount 1 144,379.00 DR 144,379.00 DR
07/12/2018 Payment Received 07/12/2018 S83453460001-1 144,379.00 CR 0.00 DR
07/01/2019 Due for Instalment Amount 2 144,379.00 DR 144,379.00 DR
07/01/2019 Payment Received 07/01/2019 S83453460002-1 144,379.00 CR 0.00 DR
07/01/2019 Installment Bounced S83453460002-1 144,379.00 DR 144,379.00 DR
07/01/2019 Due for Cheque Bouncing Charges 649.00 DR 145,028.00 DR
08/01/2019 Payment Received 08/01/2019 HOLD_DEBIT 144,379.00 CR 649.00 DR
07/02/2019 Due for Instalment Amount 3 144,379.00 DR 145,028.00 DR
07/02/2019 Payment Received 07/02/2019 S83453460003-1 144,379.00 CR 649.00 DR
07/02/2019 Installment Bounced S83453460003-1 144,379.00 DR 145,028.00 DR
07/02/2019 Due for Cheque Bouncing Charges 649.00 DR 145,677.00 DR
08/02/2019 Payment Received 08/02/2019 HOLD_DEBIT 144,379.00 CR 1,298.00 DR
07/03/2019 Due for Instalment Amount 4 144,379.00 DR 145,677.00 DR
07/03/2019 Payment Received 07/03/2019 S83453460004-1 144,379.00 CR 1,298.00 DR
07/03/2019 Installment Bounced S83453460004-1 144,379.00 DR 145,677.00 DR
07/03/2019 Due for Cheque Bouncing Charges 649.00 DR 146,326.00 DR
08/03/2019 Payment Received 08/03/2019 HOLD_DEBIT 144,379.00 CR 1,947.00 DR
07/04/2019 Due for Instalment Amount 5 144,379.00 DR 146,326.00 DR
08/04/2019 Payment Received 07/04/2019 S83453460005-1 144,379.00 CR 1,947.00 DR
07/05/2019 Due for Instalment Amount 6 144,379.00 DR 146,326.00 DR
07/05/2019 Payment Received 07/05/2019 S83453460006-1 144,379.00 CR 1,947.00 DR
Page No: 2 of 6

Date Particulars Value date Cheque Sno Debit / Credit Balance

07/06/2019 Due for Instalment Amount 7 144,379.00 DR 146,326.00 DR


07/06/2019 Payment Received 07/06/2019 S83453460007-1 144,379.00 CR 1,947.00 DR
07/07/2019 Due for Instalment Amount 8 144,379.00 DR 146,326.00 DR
07/07/2019 Payment Received 07/07/2019 S83453460008-1 144,379.00 CR 1,947.00 DR
07/07/2019 Installment Bounced S83453460008-1 144,379.00 DR 146,326.00 DR
07/07/2019 Due for Cheque Bouncing Charges 649.00 DR 146,975.00 DR
09/07/2019 Payment Received 08/07/2019 HOLD_DEBIT 121,780.76 CR 25,194.24 DR
09/07/2019 Payment Received 09/07/2019 HOLD_DEBIT 22,598.24 CR 2,596.00 DR
07/08/2019 Due for Instalment Amount 9 144,379.00 DR 146,975.00 DR
07/08/2019 Payment Received 07/08/2019 S83453460009-1 144,379.00 CR 2,596.00 DR
07/08/2019 Installment Bounced S83453460009-1 144,379.00 DR 146,975.00 DR
07/08/2019 Due for Cheque Bouncing Charges 649.00 DR 147,624.00 DR
08/08/2019 Payment Received 08/08/2019 HOLD_DEBIT 13,449.34 CR 134,174.66 DR
09/08/2019 Payment Received 09/08/2019 HOLD_DEBIT 130,929.66 CR 3,245.00 DR
07/09/2019 Due for Instalment Amount 10 144,379.00 DR 147,624.00 DR
07/09/2019 Payment Received 07/09/2019 S83453460010-1 144,379.00 CR 3,245.00 DR
07/10/2019 Due for Instalment Amount 11 144,379.00 DR 147,624.00 DR
07/10/2019 Payment Received 07/10/2019 S83453460011-1 144,379.00 CR 3,245.00 DR
07/10/2019 Installment Bounced S83453460011-1 144,379.00 DR 147,624.00 DR
07/10/2019 Due for Cheque Bouncing Charges 531.00 DR 148,155.00 DR
09/10/2019 Payment Received 08/10/2019 HOLD_DEBIT 144,379.00 CR 3,776.00 DR
07/11/2019 Due for Instalment Amount 12 144,379.00 DR 148,155.00 DR
07/11/2019 Payment Received 07/11/2019 S83453460012-1 144,379.00 CR 3,776.00 DR
07/12/2019 Due for Instalment Amount 13 144,379.00 DR 148,155.00 DR
07/12/2019 Payment Received 07/12/2019 S83453460013-1 144,379.00 CR 3,776.00 DR
07/12/2019 Installment Bounced S83453460013-1 144,379.00 DR 148,155.00 DR
07/12/2019 Due for Cheque Bouncing Charges 531.00 DR 148,686.00 DR
09/12/2019 Payment Received 08/12/2019 HOLD_DEBIT 26,936.97 CR 121,749.03 DR
17/12/2019 Payment Received 17/12/2019 HOLD_DEBIT 117,442.03 CR 4,307.00 DR
31/12/2019 Due for Overdue Emi Int 783.00 DR 5,090.00 DR
07/01/2020 Due for Instalment Amount 14 144,379.00 DR 149,469.00 DR
07/01/2020 Payment Received 07/01/2020 S83453460014-1 144,379.00 CR 5,090.00 DR
07/01/2020 Installment Bounced S83453460014-1 144,379.00 DR 149,469.00 DR
07/01/2020 Due for Cheque Bouncing Charges 531.00 DR 150,000.00 DR
10/01/2020 Payment Received 10/01/2020 HOLD_DEBIT 144,379.00 CR 5,621.00 DR
07/02/2020 Due for Instalment Amount 15 144,379.00 DR 150,000.00 DR
07/02/2020 Payment Received 07/02/2020 S83453460015-1 144,379.00 CR 5,621.00 DR
07/03/2020 Payment Received 07/03/2020 S83453460016-1 144,379.00 CR 138,758.00 CR
07/03/2020 Installment Bounced S83453460016-1 144,379.00 DR 5,621.00 DR
08/04/2020 Payment Received 07/04/2020 S83453460017-1 144,379.00 CR 138,758.00 CR
08/04/2020 Installment Bounced S83453460017-1 144,379.00 DR 5,621.00 DR
30/04/2020 Payment Received 08/03/2020 HOLD_DEBIT 4,684.33 CR 936.67 DR
30/04/2020 Payment Received 26/04/2020 HOLD_DEBIT 144,379.00 CR 143,442.33 CR
30/04/2020 Payment Received 13/03/2020 HOLD_DEBIT 139,694.67 CR 283,137.00 CR
01/05/2020 Amount Paid 01/05/2020 1177540320 288,758.00 DR 5,621.00 DR
07/06/2020 Payment Received 07/06/2020 S83453460019-2 144,379.00 CR 138,758.00 CR
07/06/2020 Installment Bounced S83453460019-2 144,379.00 DR 5,621.00 DR
11/06/2020 Payment Received 11/06/2020 HOLD_DEBIT 144,379.00 CR 138,758.00 CR
29/06/2020 Amount Paid 29/06/2020 1201972452 138,758.00 DR 0.00 DR
07/09/2020 Due for Instalment Amount 22 144,379.00 DR 144,379.00 DR
07/09/2020 Payment Received 07/09/2020 S83453460022-3 144,379.00 CR 0.00 DR
07/09/2020 Installment Bounced S83453460022-3 144,379.00 DR 144,379.00 DR
07/09/2020 Due for Cheque Bouncing Charges 531.00 DR 144,910.00 DR
30/09/2020 Due for Overdue Emi Int 2,214.00 DR 147,124.00 DR
07/10/2020 Due for Instalment Amount 23 144,379.00 DR 291,503.00 DR
07/10/2020 Payment Received 07/10/2020 S83453460023-3 144,379.00 CR 147,124.00 DR
07/10/2020 Installment Bounced S83453460023-3 144,379.00 DR 291,503.00 DR
07/10/2020 Due for Cheque Bouncing Charges 531.00 DR 292,034.00 DR
Page No: 3 of 6

Date Particulars Value date Cheque Sno Debit / Credit Balance

30/10/2020 Payment Received 30/10/2020 HOLD_DEBIT 288,758.00 CR 3,276.00 DR


31/10/2020 Due for Overdue Emi Int 5,101.00 DR 8,377.00 DR
07/11/2020 Due for Instalment Amount 24 144,379.00 DR 152,756.00 DR
07/11/2020 Payment Received 07/11/2020 S83453460024-3 144,379.00 CR 8,377.00 DR
07/11/2020 Installment Bounced S83453460024-3 144,379.00 DR 152,756.00 DR
07/11/2020 Due for Cheque Bouncing Charges 531.00 DR 153,287.00 DR
11/11/2020 Payment Received 11/11/2020 HOLD_DEBIT 106,166.62 CR 47,120.38 DR
12/11/2020 Payment Received 12/11/2020 HOLD_DEBIT 38,212.38 CR 8,908.00 DR
30/11/2020 Due for Overdue Emi Int 410.00 DR 9,318.00 DR
07/12/2020 Due for Instalment Amount 25 144,379.00 DR 153,697.00 DR
07/12/2020 Payment Received 07/12/2020 S83453460025-3 144,379.00 CR 9,318.00 DR
07/01/2021 Due for Instalment Amount 26 144,379.00 DR 153,697.00 DR
07/01/2021 Payment Received 07/01/2021 S83453460026-3 144,379.00 CR 9,318.00 DR
07/01/2021 Installment Bounced S83453460026-3 144,379.00 DR 153,697.00 DR
07/01/2021 Due for Cheque Bouncing Charges 531.00 DR 154,228.00 DR
09/01/2021 Payment Received 09/01/2021 HOLD_DEBIT 144,379.00 CR 9,849.00 DR
21/01/2021 Due for Instalment Amount 28 2,500,000.00 DR 2,509,849.00 DR
21/01/2021 Payment Received 19/01/2021 254 2,500,000.00 CR 9,849.00 DR
07/02/2021 Due for Instalment Amount 27 144,379.00 DR 154,228.00 DR
08/02/2021 Payment Received 07/02/2021 S83453460027-3 144,379.00 CR 9,849.00 DR
08/02/2021 Installment Bounced S83453460027-3 144,379.00 DR 154,228.00 DR
08/02/2021 Due for Cheque Bouncing Charges 531.00 DR 154,759.00 DR
09/02/2021 Payment Received 09/02/2021 HOLD_DEBIT 144,379.00 CR 10,380.00 DR
25/02/2021 Due for Instalment Amount 30 600,000.00 DR 610,380.00 DR
25/02/2021 Payment Received 22/02/2021 870 600,000.00 CR 10,380.00 DR
07/03/2021 Due for Instalment Amount 29 44,760.00 DR 55,140.00 DR
07/03/2021 Payment Received 07/03/2021 S83453460029-4 44,760.00 CR 10,380.00 DR
31/03/2021 Interest On Interest Refund-Int On 31/03/2021 4,010.00 CR 6,370.00 DR
Int Refund Payable
07/04/2021 Due for Instalment Amount 31 20,431.00 DR 26,801.00 DR
07/04/2021 Payment Received 07/04/2021 S83453460031-5 20,431.00 CR 6,370.00 DR
07/05/2021 Due for Instalment Amount 32 20,431.00 DR 26,801.00 DR
07/05/2021 Payment Received 07/05/2021 S83453460032-5 20,431.00 CR 6,370.00 DR
07/06/2021 Due for Instalment Amount 33 20,431.00 DR 26,801.00 DR
07/06/2021 Payment Received 07/06/2021 S83453460033-5 20,431.00 CR 6,370.00 DR
07/07/2021 Due for Instalment Amount 34 20,431.00 DR 26,801.00 DR
07/07/2021 Payment Received 07/07/2021 S83453460034-5 16,421.00 CR 10,380.00 DR
07/07/2021 Installment Bounced S83453460034-5 16,421.00 DR 26,801.00 DR
07/07/2021 Due for Cheque Bouncing Charges 531.00 DR 27,332.00 DR
18/07/2021 Payment Received 18/07/2021 HOLD_DEBIT 16,421.00 CR 10,911.00 DR
31/07/2021 Due for Overdue Emi Int 120.00 DR 11,031.00 DR
07/08/2021 Due for Instalment Amount 35 20,431.00 DR 31,462.00 DR
07/08/2021 Payment Received 07/08/2021 S83453460035-5 20,431.00 CR 11,031.00 DR
07/08/2021 Installment Bounced S83453460035-5 20,431.00 DR 31,462.00 DR
07/08/2021 Due for Cheque Bouncing Charges 531.00 DR 31,993.00 DR
21/08/2021 Payment Received 21/08/2021 HOLD_DEBIT 20,431.00 CR 11,562.00 DR
31/08/2021 Due for Overdue Emi Int 191.00 DR 11,753.00 DR
07/09/2021 Due for Instalment Amount 36 20,431.00 DR 32,184.00 DR
07/09/2021 Payment Received 07/09/2021 S83453460036-5 20,431.00 CR 11,753.00 DR
07/09/2021 Installment Bounced S83453460036-5 20,431.00 DR 32,184.00 DR
07/09/2021 Due for Cheque Bouncing Charges 531.00 DR 32,715.00 DR
08/09/2021 Payment Received 08/09/2021 HOLD_DEBIT 20,431.00 CR 12,284.00 DR
07/10/2021 Due for Instalment Amount 37 20,431.00 DR 32,715.00 DR
07/10/2021 Payment Received 07/10/2021 S83453460037-5 20,431.00 CR 12,284.00 DR
07/10/2021 Installment Bounced S83453460037-5 20,431.00 DR 32,715.00 DR
07/10/2021 Due for Cheque Bouncing Charges 531.00 DR 33,246.00 DR
31/10/2021 Due for Overdue Emi Int 327.00 DR 33,573.00 DR
07/11/2021 Due for Instalment Amount 38 20,431.00 DR 54,004.00 DR
07/11/2021 Payment Received 07/11/2021 S83453460038-5 20,431.00 CR 33,573.00 DR
Page No: 4 of 6

Date Particulars Value date Cheque Sno Debit / Credit Balance

07/11/2021 Installment Bounced S83453460038-5 20,431.00 DR 54,004.00 DR


07/11/2021 Due for Cheque Bouncing Charges 531.00 DR 54,535.00 DR
30/11/2021 Due for Overdue Emi Int 708.00 DR 55,243.00 DR
05/12/2021 Payment Received 05/12/2021 HOLD_DEBIT 40,862.00 CR 14,381.00 DR
07/12/2021 Due for Instalment Amount 39 20,431.00 DR 34,812.00 DR
07/12/2021 Payment Received 07/12/2021 S83453460039-5 20,431.00 CR 14,381.00 DR
07/12/2021 Installment Bounced S83453460039-5 20,431.00 DR 34,812.00 DR
07/12/2021 Due for Cheque Bouncing Charges 531.00 DR 35,343.00 DR
31/12/2021 Due for Overdue Emi Int 463.00 DR 35,806.00 DR
07/01/2022 Due for Instalment Amount 40 20,431.00 DR 56,237.00 DR
07/01/2022 Payment Received 07/01/2022 S83453460040-5 20,431.00 CR 35,806.00 DR
07/01/2022 Installment Bounced S83453460040-5 20,431.00 DR 56,237.00 DR
07/01/2022 Due for Cheque Bouncing Charges 531.00 DR 56,768.00 DR
31/01/2022 Due for Overdue Emi Int 736.00 DR 57,504.00 DR
07/02/2022 Due for Instalment Amount 41 20,431.00 DR 77,935.00 DR
07/02/2022 Payment Received 07/02/2022 S83453460041-5 20,431.00 CR 57,504.00 DR
07/02/2022 Installment Bounced S83453460041-5 20,431.00 DR 77,935.00 DR
07/02/2022 Due for Cheque Bouncing Charges 531.00 DR 78,466.00 DR
28/02/2022 Due for Overdue Emi Int 1,021.00 DR 79,487.00 DR
05/03/2022 Payment Received 05/03/2022 TL DEBIT 20,500.00 CR 58,987.00 DR
07/03/2022 Due for Instalment Amount 42 20,431.00 DR 79,418.00 DR
07/03/2022 Payment Received 07/03/2022 S83453460042-5 20,431.00 CR 58,987.00 DR
08/03/2022 Payment Received 08/03/2022 HOLD_DEBIT 20,431.00 CR 38,556.00 DR
10/03/2022 Payment Received 10/03/2022 HOLD_DEBIT 20,362.00 CR 18,194.00 DR
31/03/2022 Due for Overdue Emi Int 354.00 DR 18,548.00 DR
07/04/2022 Due for Instalment Amount 43 20,431.00 DR 38,979.00 DR
07/04/2022 Payment Received 07/04/2022 S83453460043-5 20,431.00 CR 18,548.00 DR
07/04/2022 Installment Bounced S83453460043-5 20,431.00 DR 38,979.00 DR
07/04/2022 Due for Cheque Bouncing Charges 531.00 DR 39,510.00 DR
30/04/2022 Due for Overdue Emi Int 313.00 DR 39,823.00 DR
07/05/2022 Due for Instalment Amount 44 20,431.00 DR 60,254.00 DR
07/05/2022 Payment Received 07/05/2022 S83453460044-5 20,431.00 CR 39,823.00 DR
07/05/2022 Installment Bounced S83453460044-5 20,431.00 DR 60,254.00 DR
07/05/2022 Due for Cheque Bouncing Charges 531.00 DR 60,785.00 DR
31/05/2022 Due for Overdue Emi Int 750.00 DR 61,535.00 DR
07/06/2022 Due for Instalment Amount 45 20,431.00 DR 81,966.00 DR
07/06/2022 Payment Received 07/06/2022 S83453460045-5 20,431.00 CR 61,535.00 DR
07/06/2022 Installment Bounced S83453460045-5 20,431.00 DR 81,966.00 DR
07/06/2022 Due for Cheque Bouncing Charges 531.00 DR 82,497.00 DR
30/06/2022 Due for Overdue Emi Int 1,103.00 DR 83,600.00 DR
02/07/2022 Payment Received 28/05/2022 HOLD_DEBIT 20,431.00 CR 63,169.00 DR
02/07/2022 Payment Received 02/07/2022 TL DEBIT 20,431.00 CR 42,738.00 DR
07/07/2022 Due for Instalment Amount 46 20,431.00 DR 63,169.00 DR
07/07/2022 Payment Received 07/07/2022 S83453460046-5 20,431.00 CR 42,738.00 DR
07/07/2022 Installment Bounced S83453460046-5 20,431.00 DR 63,169.00 DR
07/07/2022 Due for Cheque Bouncing Charges 531.00 DR 63,700.00 DR
31/07/2022 Due for Overdue Emi Int 777.00 DR 64,477.00 DR
07/08/2022 Due for Instalment Amount 47 20,431.00 DR 84,908.00 DR
07/08/2022 Payment Received 07/08/2022 S83453460047-5 20,431.00 CR 64,477.00 DR
07/08/2022 Installment Bounced S83453460047-5 20,431.00 DR 84,908.00 DR
07/08/2022 Due for Cheque Bouncing Charges 531.00 DR 85,439.00 DR
31/08/2022 Due for Overdue Emi Int 1,144.00 DR 86,583.00 DR
02/09/2022 Payment Received 02/09/2022 TL DEBIT 20,500.00 CR 66,083.00 DR
07/09/2022 Due for Instalment Amount 48 20,431.00 DR 86,514.00 DR
07/09/2022 Payment Received 07/09/2022 S83453460048-8 20,431.00 CR 66,083.00 DR
07/09/2022 Installment Bounced S83453460048-8 20,431.00 DR 86,514.00 DR
07/09/2022 Due for Cheque Bouncing Charges 531.00 DR 87,045.00 DR
30/09/2022 Due for Overdue Emi Int 1,115.00 DR 88,160.00 DR
Page No: 5 of 6

Date Particulars Value date Cheque Sno Debit / Credit Balance

07/10/2022 Due for Instalment Amount 49 20,431.00 DR 108,591.00 DR


07/10/2022 Payment Received 07/10/2022 HOLD_DEBIT 20,431.00 CR 88,160.00 DR
07/10/2022 Payment Received 07/10/2022 S83453460049-4 20,431.00 CR 67,729.00 DR
07/10/2022 Installment Bounced S83453460049-4 20,431.00 DR 88,160.00 DR
07/10/2022 Due for Cheque Bouncing Charges 531.00 DR 88,691.00 DR
31/10/2022 Due for Overdue Emi Int 1,266.00 DR 89,957.00 DR
07/11/2022 Due for Instalment Amount 50 20,431.00 DR 110,388.00 DR
07/11/2022 Payment Received 07/11/2022 S83453460050-4 20,431.00 CR 89,957.00 DR
07/11/2022 Installment Bounced S83453460050-4 20,431.00 DR 110,388.00 DR
07/11/2022 Due for Cheque Bouncing Charges 531.00 DR 110,919.00 DR
30/11/2022 Due for Overdue Emi Int 1,497.00 DR 112,416.00 DR
07/12/2022 Due for Instalment Amount 51 20,431.00 DR 132,847.00 DR
07/12/2022 Payment Received 07/12/2022 S83453460051-4 20,431.00 CR 112,416.00 DR
07/12/2022 Installment Bounced S83453460051-4 20,431.00 DR 132,847.00 DR
07/12/2022 Due for Cheque Bouncing Charges 531.00 DR 133,378.00 DR
31/12/2022 Due for Overdue Emi Int 2,015.00 DR 135,393.00 DR
07/01/2023 Due for Instalment Amount 52 20,431.00 DR 155,824.00 DR
07/01/2023 Payment Received 07/01/2023 S83453460052-4 20,431.00 CR 135,393.00 DR
07/01/2023 Installment Bounced S83453460052-4 20,431.00 DR 155,824.00 DR
07/01/2023 Due for Cheque Bouncing Charges 531.00 DR 156,355.00 DR
31/01/2023 Due for Overdue Emi Int 2,368.00 DR 158,723.00 DR
07/02/2023 Due for Instalment Amount 53 20,431.00 DR 179,154.00 DR
07/02/2023 Payment Received 07/02/2023 S83453460053-3 20,431.00 CR 158,723.00 DR
07/02/2023 Installment Bounced S83453460053-3 20,431.00 DR 179,154.00 DR
07/02/2023 Due for Cheque Bouncing Charges 531.00 DR 179,685.00 DR
14/02/2023 Payment Received 14/02/2023 HOLD_DEBIT 20,431.00 CR 159,254.00 DR
28/02/2023 Due for Overdue Emi Int 2,300.00 DR 161,554.00 DR
07/03/2023 Due for Instalment Amount 54 20,431.00 DR 181,985.00 DR
07/03/2023 Payment Received 07/03/2023 S83453460054-3 20,431.00 CR 161,554.00 DR
07/03/2023 Installment Bounced S83453460054-3 20,431.00 DR 181,985.00 DR
07/03/2023 Due for Cheque Bouncing Charges 531.00 DR 182,516.00 DR
22/03/2023 Overdue Emi Int Waived Off 26,293.00 CR 156,223.00 DR
07/04/2023 Due for Instalment Amount 55 20,431.00 DR 176,654.00 DR
07/04/2023 Payment Received 07/04/2023 S83453460055-4 20,431.00 CR 156,223.00 DR
07/04/2023 Installment Bounced S83453460055-4 20,431.00 DR 176,654.00 DR
07/04/2023 Due for Cheque Bouncing Charges 531.00 DR 177,185.00 DR
20/04/2023 Payment Received 20/04/2023 HOLD_DEBIT 20,431.00 CR 156,754.00 DR

TOTAL 156,754.00DR

List Of PDC's Cleared :

S.No City Bank Id Bank Branch Cheque Cheque Date Cheque


Sno. Amount
1 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460001-1 07/12/2018 144,379.00
2 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460005-1 07/04/2019 144,379.00
3 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460006-1 07/05/2019 144,379.00
4 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460007-1 07/06/2019 144,379.00
5 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460010-1 07/09/2019 144,379.00
6 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460012-1 07/11/2019 144,379.00
7 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460015-1 07/02/2020 144,379.00
8 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460025-3 07/12/2020 144,379.00
9 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460029-4 07/03/2021 44,760.00
10 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460031-5 07/04/2021 20,431.00
11 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460032-5 07/05/2021 20,431.00
12 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460033-5 07/06/2021 20,431.00
13 MUMBAI HDFC BANK LTD SANDOZ HOUSE S83453460042-5 07/03/2022 20,431.00

List of EMI's Unpaid :

S.No City Bank Id Bank Branch Cheque Sno. Cheque Date Cheque Amount Unpaid EMI Reason

1 MUMBAI HDFC SANDOZ HOUSE S83453460002-1 07/01/2019 144,379.00 INSUFFICIENT FUNDS


BANK LTD
2 MUMBAI HDFC SANDOZ HOUSE S83453460003-1 07/02/2019 144,379.00 INSUFFICIENT FUNDS
BANK LTD
Page No: 6 of 6

List of EMI's Unpaid :

S.No City Bank Id Bank Branch Cheque Sno. Cheque Date Cheque Amount Unpaid EMI Reason

3 MUMBAI HDFC SANDOZ HOUSE S83453460004-1 07/03/2019 144,379.00 INSUFFICIENT FUNDS


BANK LTD
4 MUMBAI HDFC SANDOZ HOUSE S83453460008-1 07/07/2019 144,379.00 INSUFFICIENT FUNDS
BANK LTD
5 MUMBAI HDFC SANDOZ HOUSE S83453460009-1 07/08/2019 144,379.00 INSUFFICIENT FUNDS
BANK LTD
6 MUMBAI HDFC SANDOZ HOUSE S83453460011-1 07/10/2019 144,379.00 INSUFFICIENT FUNDS
BANK LTD
7 MUMBAI HDFC SANDOZ HOUSE S83453460013-1 07/12/2019 144,379.00 INSUFFICIENT FUNDS
BANK LTD
8 MUMBAI HDFC SANDOZ HOUSE S83453460014-1 07/01/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
9 MUMBAI HDFC SANDOZ HOUSE S83453460016-1 07/03/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
10 MUMBAI HDFC SANDOZ HOUSE S83453460017-1 07/04/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
11 MUMBAI HDFC SANDOZ HOUSE S83453460019-2 07/06/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
12 MUMBAI HDFC SANDOZ HOUSE S83453460022-3 07/09/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
13 MUMBAI HDFC SANDOZ HOUSE S83453460023-3 07/10/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
14 MUMBAI HDFC SANDOZ HOUSE S83453460024-3 07/11/2020 144,379.00 INSUFFICIENT FUNDS
BANK LTD
15 MUMBAI HDFC SANDOZ HOUSE S83453460026-3 07/01/2021 144,379.00 INSUFFICIENT FUNDS
BANK LTD
16 MUMBAI HDFC SANDOZ HOUSE S83453460027-3 07/02/2021 144,379.00 INSUFFICIENT FUNDS
BANK LTD
17 MUMBAI HDFC SANDOZ HOUSE S83453460034-5 07/07/2021 16,421.00 INSUFFICIENT FUNDS
BANK LTD
18 MUMBAI HDFC SANDOZ HOUSE S83453460035-5 07/08/2021 20,431.00 INSUFFICIENT FUNDS
BANK LTD
19 MUMBAI HDFC SANDOZ HOUSE S83453460036-5 07/09/2021 20,431.00 INSUFFICIENT FUNDS
BANK LTD
20 MUMBAI HDFC SANDOZ HOUSE S83453460037-5 07/10/2021 20,431.00 INSUFFICIENT FUNDS
BANK LTD
21 MUMBAI HDFC SANDOZ HOUSE S83453460038-5 07/11/2021 20,431.00 INSUFFICIENT FUNDS
BANK LTD
22 MUMBAI HDFC SANDOZ HOUSE S83453460039-5 07/12/2021 20,431.00 INSUFFICIENT FUNDS
BANK LTD
23 MUMBAI HDFC SANDOZ HOUSE S83453460040-5 07/01/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
24 MUMBAI HDFC SANDOZ HOUSE S83453460041-5 07/02/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
25 MUMBAI HDFC SANDOZ HOUSE S83453460043-5 07/04/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
26 MUMBAI HDFC SANDOZ HOUSE S83453460044-5 07/05/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
27 MUMBAI HDFC SANDOZ HOUSE S83453460045-5 07/06/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
28 MUMBAI HDFC SANDOZ HOUSE S83453460046-5 07/07/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
29 MUMBAI HDFC SANDOZ HOUSE S83453460047-5 07/08/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
30 MUMBAI HDFC SANDOZ HOUSE S83453460048-8 07/09/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
31 MUMBAI HDFC SANDOZ HOUSE S83453460049-4 07/10/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
32 MUMBAI HDFC SANDOZ HOUSE S83453460050-4 07/11/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
33 MUMBAI HDFC SANDOZ HOUSE S83453460051-4 07/12/2022 20,431.00 INSUFFICIENT FUNDS
BANK LTD
34 MUMBAI HDFC SANDOZ HOUSE S83453460052-4 07/01/2023 20,431.00 INSUFFICIENT FUNDS
BANK LTD
35 MUMBAI HDFC SANDOZ HOUSE S83453460053-3 07/02/2023 20,431.00 INSUFFICIENT FUNDS
BANK LTD
36 MUMBAI HDFC SANDOZ HOUSE S83453460054-3 07/03/2023 20,431.00 INSUFFICIENT FUNDS
BANK LTD
37 MUMBAI HDFC SANDOZ HOUSE S83453460055-4 07/04/2023 20,431.00 INSUFFICIENT FUNDS
BANK LTD

This is computer generated statement hence signature is not required.


HDFC BANK LTD
Please quote your EEG-TERM LOANS Account Number whenever you contact us.
For any further clarification,please call on given customer service center.
At:RETAIL LOAN SERVICE CENTRE FIRST FLOOR L- 203 MODEL TOWN OLD COURT ROAD
REWARI-123401 Phone No:18002026161
Corporate Identity Number: L65920MH1994PLC080618 , PAN: AAACH2702H
Website Address: www.hdfcbank.com , Email ID: [email protected]
Registered Address: HDFC BANK LTD. HDFC BANK HOUSE,SENAPATI BAPAT MARG,LOWER PAREL(WEST),MUMBAI-400013

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