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HDB Financial Services Limited Date : 19/11/2023

BALLABGARH-SF Page : 0001


Repayment Schedule

Currency : Indian Rupee

Customer JEETRAM SO GOPIRAM


Agreement No. 28237970 Loan Type DIGITAL PRODUCT LOAN
Tenure 8 Amount Financed 26,188.00
Total Instl 8 Frequency Monthly
Currency Indian Rupee No. of Advance EMI 2

Sum of EMI
Revised
Instl No Due Date Instl Amt Principal Interest O/s Principal Rate Type Collectable
EMI
Charges

1 02/12/2022 9,996.00 9,865.00 131.00 16,323.00 Fixed 3,332.00


2 02/01/2023 3,332.00 3,222.00 110.00 13,101.00 Fixed 3,332.00
3 02/02/2023 3,332.00 3,244.00 88.00 9,857.00 Fixed 3,332.00
4 02/03/2023 3,332.00 3,266.00 66.00 6,591.00 Fixed 3,332.00
5 02/04/2023 3,332.00 3,288.00 44.00 3,303.00 Fixed 3,332.00
6 02/05/2023 3,325.00 3,303.00 22.00 0.00 Fixed 3,325.00

Total : 26,649.00 26,188.00 461.00 26649

(***End Of Report***)

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