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 30-12-2024 23:12,30-12-2024,600000,C,AGARWAL TRACTORS UNIT OF AGARWAL AU043205003588OPPOSITE KALYAN PETROL PUMP PANNA NICICI Bank Ltd,ICICN42024123051070137,AGARWAL TRACTORS UNIT OF AGARWAL AUTO AND CARE PVT,11840,ICIC0SF0002,ETLD1061011840,ETLD,10610,NEFT