05DEC2023

Download as pdf or txt
Download as pdf or txt
You are on page 1of 4

PERSONAL FINANCIAL UPDATE/PENYATA KEWANGAN PERIBADI

006781
Branch Number: 202
Page 1
001582 - (PETALING JAYA)
PUAN SHARIFAH NORHAYATI BINTI SAYID Statement Details
A-1******************************** Statement Date 05DEC2023
JAL******************************** Customer Number 202-31XXXX
404********************************
Sequence Number 15
SEL********************************
M - MAIL N R
R - REGULAR
q

Your Portfolio at a Glance MYR Equivalent


Total Deposits and Investments 127.38
Total Borrowings/Financing 0.00
Net Position 127.38
Mortgages 0.00
a

Summary of Your Portfolio


DEPOSITS AND INVESTMENTS CCY/Unit Account Number Credit Limit Balance (DR=Debit) MYR Equivalent
(DR=Debit)
DEMAND DEPOSITS MYR 202-31XXXX-025 127.38 127.38
TOTAL DEPOSITS AND INVESTMENTS 127.38
.

Details of Your Accounts


BASIC SAVINGS A/C 202-31XXXX-025 Protected by PIDM up to RM250K for each depositor
Date Transaction Details Deposits Withdrawals Balance (DR=Debit)

MYR
05Nov2023 BALANCE BROUGHT FORWARD 138.92
07Nov2023 03NOV23 22:46:55
MY418139MYR 50.98
VISA POS
Shopback FS Malaysia Sdn
REF A895-17996 50.98 87.94
09Nov2023 09NOV23 19:56:57
MY575595MYR 150.00
QJ SERVICES
INSTANT TRANSFER
REF A895-63918 150.00 237.94
13Nov2023 10NOV23 23:11:21
MY600662MYR 50.00
QJ SERVICES
INSTANT TRANSFER
REF A895-02192 50.00 287.94
14Nov2023 09NOV23 20:01:16
MY229328MYR 156.53
VISA POS
Shopback FS Malaysia Sdn
BALANCE CARRIED FORWARD 287.94
.
006782

Page 2

Statement Details
Statement Date 05DEC2023
Customer Number 202-31XXXX
Sequence Number 15
a

BASIC SAVINGS A/C 202-31XXXX-025 Protected by PIDM up to RM250K for each depositor
Date Transaction Details Deposits Withdrawals Balance (DR=Debit)

BALANCE BROUGHT FORWARD 287.94


REF A895-12713 156.53 131.41
Direct Debit
SELLER DD00000081
1787718
JCL CREDIT LEASING SDN B
REF Z@FP-00572 125.00 6.41
15Nov2023 MEPS-15NOV2023 15:26:33
SHOPBACK CASHBACK SDN. B
MEPS PAYMENT FROM SBGB
65536a0ed1bc09000754
SHOPBACK CASHBACK SDN. BHD.
Shopback Cashback
REF Z@MP-11536 56.58 62.99
ATM 008888
15NOV23 20:45:32
MY029375MYR 5.85
MYDEBIT POS
99 SPEED MART - 274
REF A897-20760 5.85 57.14
19Nov2023 ATM 008888
18NOV23 16:31:24
MY003676MYR 17.00
MYDEBIT POS
NINSO W2GK
REF A897-18185 17.00 40.14
ATM 008888
19NOV23 03:39:59
MY019196MYR 3.60
MYDEBIT POS
7-ELEVEN MALAYSIA
REF A897-32797 3.60 36.54
20Nov2023 19NOV23 22:19:56
MY767837MYR 60.00
QJ SERVICES
INSTANT TRANSFER
REF A895-00128 60.00 96.54
ATM 008888
BALANCE CARRIED FORWARD 96.54
.
006783

Page 3

Statement Details
Statement Date 05DEC2023
Customer Number 202-31XXXX
Sequence Number 15
a

BASIC SAVINGS A/C 202-31XXXX-025 Protected by PIDM up to RM250K for each depositor
Date Transaction Details Deposits Withdrawals Balance (DR=Debit)

BALANCE BROUGHT FORWARD 96.54


20NOV23 01:15:42
MY015822MYR 3.90
MYDEBIT POS
7-ELEVEN MALAYSIA
REF A897-00790 3.90 92.64
21Nov2023 18NOV23 16:34:48
MY265597MYR 24.00
VISA POS
MB TELOK PANGLIMA GARA
REF A895-33337 24.00 68.64
23Nov2023 23NOV23 21:08:37
MY832776MYR 508.00
QJ SERVICES
INSTANT TRANSFER
REF A895-62631 508.00 576.64
24Nov2023 19NOV23 22:33:48
MY178776MYR 65.26
VISA POS
ATOME
REF A895-16121 65.26 511.38
27Nov2023 23NOV23 21:13:23
MY967831MYR 508.00
VISA POS
Shopback FS Malaysia Sdn
REF A895-14986 508.00 3.38
05Dec2023 05DEC23 18:14:57
MY175763MYR 124.00
QJ SERVICES
INSTANT TRANSFER
REF A895-02826 124.00 127.38
CLOSING BALANCE 127.38
Transaction Turnover 948.58 960.12
Transaction Count 6 10
.F

END OF STATEMENT
006784

Important notes: Nota Penting:


• Where a product or service is not provided by the Bank, related information • Apabila sesuatu produk atau khidmat tidak disediakan oleh Bank, maklumat
provided to customers is for reference only without any warranty regarding mengenainya yang diberi kepada pelanggan adalah hanya untuk rujukan sahaja
its accuracy or correctness and the Bank accepts no responsibility tanpa sebarang jaminan mengenai ketepatannya dan Bank tidak
whatsoever to customers or any other persons in connection with the bertanggungjawab sama sekali terhadap pelanggan atau sesiapa sahaja yang
inclusion of such information in this composite statement or any reliance on lain berkaitan dengan kemasukan maklumat seumpama itu dalam penyata
or use of such information. Customers should check with the komposit ini atau pergantungan kepada atau penggunaan maklumat seumpama
product/service provider before relying on any information supplied. In itu. Pelanggan perlu menyemak dengan pembekal produk/khidmat itu sebelum
addition, information provided to you in “Your upcoming action/payment bergantung kepada sebarang maklumat yang dibekalkan. Tambahan lagi,
dates” section in the composite statement may be withdrawn from the maklumat yang diberikan kepada anda dalam bahagian “Tarikh
composite statement at any time without notifying you and you shall not tindakan/pembayaran akan datang anda” didalam penyata komposit mungkin
hold the Bank liable for any damages, losses, costs or expenses that you akan dikeluarkan daripada penyata komposit pada bila-bila masa sahaja tanpa
may incur as a result of the Bank withdrawing or otherwise omitting to diberitahu dan anda tidak boleh mempertanggungkan Bank untuk sebarang ganti
provide the information to you at any time. rugi, kehilangan, kos atau perbelanjaan yang anda mungkin akan mengalami
akibat daripada Bank mengeluarkan atau mengabaikan maklumat untuk anda
• Information relating to unit trust and insurance / Takaful shown is not pada bila-bila masa sahaja.
reported up to the statement date of your account. A detailed statement
may be mailed to you separately by the service provider. • Maklumat berhubung dengan amanah saham dan insurans / Takaful yang
ditunjukkan tidak dilaporkan sehingga tarikh penyata akaun anda. Satu penyata
• Any errors or discrepancies should be reported to the Bank within 60 days terperinci mungkin akan diposkan kepada anda secara berasingan oleh
failing which, the composite statement will be deemed conclusive and the pembekal khidmat.
Bank shall be discharged from all liability and in this respect, your attention
is drawn to the relevant product’s Specific Terms and Conditions and • Sebarang kesilapan atau ketidaksamaan hendaklah dilaporkan kepada Bank
Generic Terms and Conditions (applicable to all accounts) from time to time dalam masa 60 hari. Jika tidak, penyata komposit itu akan dianggap sebagai
in force. muktamad dan Bank adalah bebas daripada sebarang liabiliti berkenaan perkara
ini, anda dinasihati memberi perhatian kepada Peraturan dan Syarat-syarat
• Where market prices are quoted, these are indicative only and must be Khusus produk berkaitan dan Peraturan dan Syarat-syarat Generik (terpakai
verified before any reliance upon them is carried out. untuk semua akaun) yang dikuatkuasakan dari masa ke semasa.

• Where several addresses have been furnished as operative addresses, the • Apabila harga pasaran diberikan, ia adalah anggaran sahaja dan mesti disahkan
Bank is at liberty to send notices and any communication to any address. sebelum bergantung kepadanya.
Any change of address or telephone number must be promptly advised to
the Bank. • Apabila beberapa alamat dikemukakan sebagai alamat operasi, Bank berhak
menghantar notis dan sebarang surat-menyurat yang lain kepada mana-mana
• References alamat.
M.I. Maturity Instructions:
0 - No instructions • Sebarang pertukaran alamat atau nombor telefon mesti dimaklumkan dengan
1 - Renew Principal and Interest/Profit segera kepada pihak Bank.
2 - Renew Principal and Withdraw Interest/Profit
3 - Withdraw both Principal and Interest/Profit • Rujukan
* - Overdue M.I. Arahan Kematangan:
# For HSBC Amanah General Investment Account - i , the profit 0 - Tiada arahan
reported is based on the profit declared for the previous month 1 - Baharui wang pokok/pelaburan dan faedah/keuntungan
and is, therefore, indicative only. 2 - Baharui wang pokok/pelaburan dan keluarkan faedah/keuntungan
3 - Keluarkan wang pokok/pelaburan dan faedah/keuntungan
* - Jatuh tempoh
# Untuk Akaun Pelaburan Am - i HSBC Amanah , keuntungan yang
dilapurkan adalah berasaskan kepada kadar keuntungan bulanan
yang lepas.Oleh kerana itu, keuntungan tersebut adalah anggaran
sahaja.

Agensi Kaunseling Dan Pengurusan Kredit (AKPK) has been Agensi Kaunseling Dan Pengurusan Kredit (AKPK) telah ditubuhkan oleh
established by Bank Negara Malaysia to provide free services on Bank Negara Malaysia untuk menyediakan perkhidmatan pengurusan
money management, credit counselling, financial education and debt kewangan, kaunseling kredit , pendidikan kewangan dan penstrukturan
restructuring for individuals. For enquiry, please call 1-800-88-2575. semula pembiayaan secara percuma kepada individu. Untuk membuat
pertanyaan, sila hubungi talian 1-800-88-2575.

• For non- Islamic accounts, this Statement is issued by HSBC Bank Malaysia Berhad (Company no: 127776-V) /
Penyata untuk akaun bukan perbankan Islam disediakan oleh HSBC Bank Malaysia Berhad ( No.Pendaftaran syarikat: 127776-V)

• For Islamic accounts, this Statement is issued by HSBC Amanah Malaysia Berhad (Company no: 807705-X) /
Penyata untuk akaun perbankan Islam disediakan oleh HSBC Amanah Malaysia Berhad ( No.Pendaftaran syarikat: 807705-X)

• Takaful products are managed by HSBC Amanah Takaful (Malaysia) Sdn Bhd (Company No: 731530-M) and are distributed by HSBC Bank Malaysia Berhad and
HSBC Amanah Malaysia Berhad / Produk Takaful diuruskan oleh HSBC Amanah Takaful (Malaysia) Sdn Bhd (No. Syarikat: 731530-M) dan diedarkan oleh HSBC
Bank Malaysia Berhad dan HSBC Amanah Malaysia Berhad

You might also like