Transaction Date,Value Date,Transaction Amount,Debit / Credit,Transaction Description,Reference No./UTR No,Remitter Name,Customer Code,Remitter IFSC,Virtual Account Number,client code,Profit Centre,product code 10-03-2022 13:03,10-03-2022,124293,C,,PUNBH22069637911,NEW AUTO POINT,13706,PUNB0045520,ETLD1061013706,ETLD,10610,NEFT 10-03-2022 13:03,10-03-2022,73621,C,bill,N069221868382951,SPARE HOUSE,15441,HDFC0000001,ETLD1062515441,ETLD,10625,NEFT 10-03-2022 14:03,10-03-2022,669000,C,/ATTN/Deposit/Reinvestment,SBIN122069261386,MGM AUTOS,13661,SBIN0002255,ETLD1061013661,ETLD,10610,NEFT 10-03-2022 14:30:57,10-03-2022,996274,C,,CITIR52022031000880615,M/S RAJGURU ENTERPRISES,12379,CITI0100000,ETLD1061012379,ETLD,10610,RTGS 10-03-2022 14:03,10-03-2022,14546,C,3027-1003,26674868571DC,ORISSA ENTERPRISES,10112,ICIC0SF0002,ETLD1061010112,ETLD,10610,NEFT