Particulars |
BEING THE AMOUNT DEBITED BY BANK TOWARDS EXCESS WITHDRAWAL CHARGES ON DT-18.06.18, 25.06.18, 27.06.18, 11.07.18, 12.07.18, 13007.18, 21.07.18, 25.07.18, 30.07.18 02.08.18, 10.08.18, 23.08.18, 24.08.18, 03.09.18, 19.09.18, 24.09.18, 27.09.18, 28.09.18, 08.03.19, 12.03.19, 16.03..19, 19.03.19, 26.03.19 AND 30.03.19 FY 1819 WHICH WAS NOT TAKEN NOW BOOKED |
Attached File |
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