Page 128 - NDMC COVER FINAL-vol-1
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BUDGET 2017-18 ST-VIII ( ` in Thousand ) 2017-18 2016-17 ctV vuqeku la'kksf/r vuqeku Revised Budget Estimates Estimates 10 9 0 0 0 0 0 0 0 0 0 0 0 0 0 0
2016-17 ctV vuqeku Budget Estimates 8 0 0 0 0 0 0 0 0 0 0 0 0 0 0
2015-16 okLrfod Actuals 7 22 96 13 544 79 33 787 787 0 0 0 0 0 787
vuqHkkx dksM Field Code 6 102 104 105 106 107 124
DETAILED STATEMENT OF RECEIPTS
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fooj.k mi&;ksx% Bsdsnkjksa@vkiwfrZdrkZvksa ls mi&;ksx% deZpkjh nsunkfj;k¡ ;ksx jktLo izkfIr;kWa % cjlkrh ty ukys ;ksx iwathxr izkfIr;kWa % cjlkrh ty ukys tu &LokLF; 'kqYd ,oa mi;ksxdÙkkZ izHkkj
tek izkfIr Bsdsnkjksa@vkiwfrZdrkZvksa ls izfrHkwfr tek izfrHkwfr tek izfrHkwfr tek izfrHkwfr tek izfrHkwfr tek izfrHkwfr tek ;ksx% tek izkfIr vU; nsunkfj;k¡ ½.knkrk mi&;ksx% ½.knkrk deZpkjh nsunkfj;k¡ ns; olwfy;k¡ mi&;ksx% ns; olwfy;k¡ ;ksx% vU; nsunkfj;k¡
Description 5 SUB‐TOTAL FROM CONTRACTORS/ SUPPLIERS TOTAL REVENUE RECEIPTS : STORM WATER TOTAL CAPITAL RECEIPTS : STORM WATER PUBLIC HEALTH
DEPOSITS RECEIVED FROM CONTRACTORS/ SUPPLIERS SECURITY DEPOSIT SECURITY DEPOSIT SECURITY DEPOSIT SECURITY DEPOSIT SECURITY DEPOSIT SECURITY DEPOSIT TOTAL DEPOSITS RECEIVED OTHER LIABILITIES CREDITORS SUB‐TOTAL CREDITORS EMPLOYEE LIABILITIES SUB‐TOTAL EMPLOYEE LIABILITIES RECOVERIES PAYABLE SUB‐TOTAL RECOVERIES PAYABLE TOTAL OTHER LIABILITIES DRAINS DRAINS FEES & USER CHARGES
foLr`r 'kh"kZ dksM DH 4 2 2 2 2 2 2
y?kq 'kh"kZ dksM Mn. Head Code 3 10 10 10 10 10 10 10 10 10 10 11 11 20 20
ctV 2017&18 fooj.k&VIII (#i;s gtkj esa ) dk;Z eq[; 'kh"kZ lEiknu dksM dksM Mj. Fn. Head Code Code 2 1 340 25 340 25 340 25 340 25 340 25 340 25 340 25 340 25 340 25 340 25 350 25 350 25 350 25 350 25 350 25 350 25 350 25 350 25 25 25 31 140 31
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