Page 77 - Vol...1
P. 77
izkfIr;ksa dh fooj.kkuqlkj lwph
ctV 2019&20 BUDGET 2019-20
fooj.k&VIII DETAILED STATEMENT OF RECEIPTS ST-VIII
(#i;s gtkj esa ) ( ` in Thousand )
dk;Z lEiknu eq[; 'kh"kZ y?kq 'kh"kZ foLr`r vuqHkkx 2017-2018 2018-2019 2018-2019 2019-2020
dksM dksM dksM 'kh"kZ dksM dksM okLrfod ctV vuqeku la'kksf/r vuqeku ctV vuqeku
Description fooj.k
Fn. Mj. Mn. Field Budget Revised Budget
Code Head Head DH Actuals Estimates Estimates
Code Code Code Estimates
1 2 3 4 5 6 7 8 9 10
PPF TIER-I DEDUCTED AT SOURCE, lzksr ij lkoZtfud Hkfo";&fuf/
01 350 11 43 334 8 0 0 0
NDMC Vk;j&I dVkSrh(u-fn-u-ik-ifj"kn)~ ls
BENOVALENT FUND AT SOURCE lzksr ij fgrdkjh fuf/ (u-fn-u-ik-
01 350 11 45 334 4 0 0 0
(NDMC) ifj"kn~)
SUB TOTAL : EMPLOYEE
0
0
0
2045
01 350 11 mi&;ksx % deZpkjh nsunkfj;k¡
LIABILITIES
01 350 20 RECOVERIES PAYABLE ns; olwfy;k¡
01 350 20 RECOVERIES PAYABLE ns; olwfy;k¡ 334 -7 0 0 0
SUB TOTAL : RECOVERIES
01 350 20 mi&;ksx % ns; olwfy;k¡ -7 0 0 0
PAYABLE
01 350 TOTAL : OTHER LIABILITIES ;ksx % vU; nsu&nkfj;k¡ 2038 0 0 0
TOTAL REVENUE ;ksx jktLo izkfIr;k % uxj ikfydk
01 0 0 0 0
RECEIPTS:MUNICIPAL BODY fudk;
TOTAL CAPITAL ;ksx iwathxr izkfIr;k % uxj ikfydk
01 2039 0 0 0
RECEIPTS:MUNICIPAL BODY fudk;
02 ADMINISTRATION iz'kklu
02 110 TAX REVENUE dj jktLo
02 110 90 TAX REMISSIONS AND REFUNDS sdj NwV ,ao okilh
i`"B 71 Page 71
ctV 2019&20 izkfIr;ksa dh fooj.kkuqlkj lwph BUDGET 2019-20
fooj.k&VIII DETAILED STATEMENT OF RECEIPTS ST-VIII
(#i;s gtkj esa ) ( ` in Thousand )
dk;Z lEiknu eq[; 'kh"kZ y?kq 'kh"kZ foLr`r vuqHkkx 2017-2018 2018-2019 2018-2019 2019-2020
dksM dksM dksM 'kh"kZ dksM dksM okLrfod ctV vuqeku la'kksf/r vuqeku ctV vuqeku
Description fooj.k
Fn. Mj. Mn. Field Budget Revised Budget
Code Head Head DH Code Actuals Estimates Estimates Estimates
Code Code
1 2 3 4 5 6 7 8 9 10
PPF TIER-I DEDUCTED AT SOURCE, lzksr ij lkoZtfud Hkfo";&fuf/
01 350 11 43 334 8 0 0 0
NDMC Vk;j&I dVkSrh(u-fn-u-ik-ifj"kn)~ ls
BENOVALENT FUND AT SOURCE lzksr ij fgrdkjh fuf/ (u-fn-u-ik-
01 350 11 45 334 4 0 0 0
(NDMC) ifj"kn~)
SUB TOTAL : EMPLOYEE
0
0
01 350 11 mi&;ksx % deZpkjh nsunkfj;k¡
0
2045
LIABILITIES
01 350 20 RECOVERIES PAYABLE ns; olwfy;k¡
01 350 20 RECOVERIES PAYABLE ns; olwfy;k¡ 334 -7 0 0 0
SUB TOTAL : RECOVERIES
01 350 20 mi&;ksx % ns; olwfy;k¡ -7 0 0 0
PAYABLE
01 350 TOTAL : OTHER LIABILITIES ;ksx % vU; nsu&nkfj;k¡ 2038 0 0 0
TOTAL REVENUE ;ksx jktLo izkfIr;k % uxj ikfydk
01 0 0 0 0
RECEIPTS:MUNICIPAL BODY fudk;
TOTAL CAPITAL ;ksx iwathxr izkfIr;k % uxj ikfydk
01 2039 0 0 0
RECEIPTS:MUNICIPAL BODY fudk;
02 ADMINISTRATION iz'kklu
02 110 TAX REVENUE dj jktLo
02 110 90 TAX REMISSIONS AND REFUNDS sdj NwV ,ao okilh
i`"B 71 Page 71