BUILDING BRIDGES SDN BHD
Mr. Alvin
NO. 2-1 (1ST FLOOR)
Jalan 8/23E, Taman Danau Kota
53300, Kuala Lumpur

 

Bill Date : 18/08/2022
Account Number : 1839333738
Bill Number : B1-20220818738
Billing Period : 01/07/2022-31/07/2022
Deposit : RM 500.00
  1. All cheques must be crossed and made payable to "Jinercel Solutions Sdn. Bhd."  
  2. Bank transfer: CIMB Bank Account # 8601990125  
 
    Amount (RM)  
Previous Balance : 1696.80 Over Due
Current Bill : 763.95 Due On
( 31/08/2022 )
Total Balance : 2460.75
BILL SUMMARY
Your Previous
Balance (RM)
Previous Bill Payment Received Adjustment Balance Brought
Forward (Overdue)
1696.80 0.00 0.00 1696.80
Your Current Bill
Charges (RM)
One Time
Charges
Monthly
Charges
Voice Charges Other
Charges
Rebates/
Discount
Adjustment

Total Current
Charges
Account Number
1839333738
0.00 0.00 763.95 0.00 0.00 0.00 763.95
Current Bill Subtotal (RM) 763.95
Total Bill Amount (RM) 2460.75
FOR ENQUIRIES

All enquiries relating to the charges indicated on the bill should be made within 30 days of the statement.
If you need further assistance, please contact us at info@jinercel.com.
Alternatively, you can find all our other contacts via http://www.jinercel.com/contact-us-3/.

 

Please make prompt payment to avoid service interruption. Suspension of account will be carry out for more than 2 months outstanding.

Once account has been suspended, a one time penalty fees of RM300 will be apply for reactivation of suspended account.

Reactivation will take 24 to 48 hours after all outstanding payment and the RM300 penalty fees have been made. 

 
Account Name : Mr. Alvin
Bill Date : 18/08/2022
Account Number : 1839333738
Bill Number : B1-20220818738
Billing Period : 01/07/2022 - 31/07/2022 
ADJUSTMENT ON PREVIOUS BILL
  
Total Adjustment-




BREAKDOWN OF CURRENT CHARGES ( Account Number : 1839333738 )
Item One Time
Charges
Monthly
Charges
Voice
Charges
Other
Charges
Rebates/
Discount
Adjustment Total
Account : 1839333738

2301

  0.00 0.00
2302   323.50 323.50
2303   440.46 440.46
2310   0.00 0.00
2311   0.00 0.00
8501   0.00 0.00

8502

  0.00 0.00
Subtotal 0.00 0.00 763.96 0.00 0.00 0.00 763.96
Others
Subtotal 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Total Current Bill Charges 0.00 0.00 763.95 0.00 0.00 0.00 763.95