Holidays Pvt. Ltd.
Yatra Pandit Holidays Pvt. Ltd accepts both the modes of payment – Online and Offline, according to the convenience of its clients. The following is the payment procedure for tours booked with us:
BY CASH / CHEQUE / DEMAND DRAFT / BANK TRANSFER (RTGS / NEFT)
BANK DETAIL FOR REMITTANCE BY CASH / CHEQUE / BANK TRANSFER (RTGS / NEFT)
Accounts Name :- YATRA PANDIT HOLIDAYS PVT. LTD.
Payment Procedure for International and Domestic Clients.
BANK NAME | ACCOUNT NO. | IFSC CODE | ADDRESS |
---|---|---|---|
STATE BANK OF INDIA | 35711443210 | SBIN0006598 | KUMS JHANSI |
CONTACT NO.
Note:
All payments should be free and clear of any bank charges and deduction of any nature.
Bank charges, if any, for remittance are to be strictly borne by person making the payment.
HEAD OFFICE :- 699 NAGARIYA COLONY JHANSI (U.P) 284001. +91-7376838389 , 7007881659
NEW DELHI BRANCH :- MS KAJAL RATHOUR, DWARKA SECTOR 1 (NEW DELHI)
SHIMLA BRANCH :- MR. RANDEEP SINGH. SANJAULI SHIMLA (H.P)
RISHIKESH BRANCH :- MR. GAURAV GUPTA, SWARGASHRAM RAM JHULA RISHIKESH (U.K)
MANALI BRANCH :- MR TEKCHAND , ALEO NAGGAR KULLU ROAD MANALI (H.P)