LEDGER REPORTS:
PATHWEL CENTER
Printed @: 28-Sep-2026
TOTAL TRANSACTIONS: (5)
DEBIT AMOUNT: PKR 1,067,727/-
CREDIT AMOUNT: PKR 1,067,727/-
TRANSACTION ID DATE DESCRIPTION TRANSACTION DEBIT ACCOUNT DEBIT AMOUNT
0526-00002 2026-05-07 PBMF Cheqe Received 1215077988 PATHWEL CENTER
Bank Account
Askari Bank (Peshwar Morh) 3010-0000-0848)
PKR 500,000 /-
0626-00161 2026-02-25 0 PATHWEL CENTER
Bank Account
Askari Bank Commercial Mrkt (70103-6000-4753)
PKR 150,000 /-
0626-00163 2026-06-11 PBMF Chq no B-887971 dated 11-06-2026 Recived PATHWEL CENTER
Bank Account
Askari Bank (Peshwar Morh) 3010-0000-0848)
PKR 400,000 /-
0626-00165 0000-00-00 PBM opening balance PATHWEL CENTER
Bank Account
Askari Bank (Peshwar Morh) 3010-0000-0848)
PKR 2,427 /-
0926-00170 2026-09-08 Testing PATHWEL CENTER
Bank Account
Askari Bank Commercial Mrkt (70103-6000-4753)
PKR 15,300 /-

DESCRIPTION:

Hospital Internal

ACCOUNTANT: Kalim
SIGNATURE: _____________________