Page 66 - Vol...2
P. 66

ctV 2019µ20                                  iw¡thxr O;;@izxfr'khy iw¡thxr dk;Z dk fooj.k                                   BUDGET 2019-20
                   fooj.k X                                                                                                                             ST-X
                                                     Details of Capital Expenditure/ Capital Work-In-Progress
                    (#i;s gtkj esa )                                                                                                            ( ` in Thousand )
                           ys[kk pkVZ  ;kstuk   mi ;kstuk                                                                     2017-18  2018-19  2018-19  2019-20
                         Chart of A/C   Øekad  Øekad  vuqHkkx dksM                                                             okLrfod   ctV vuqeku  la'kksf/r vuqeku ctV vuqeku
                    dk;Z dksM     foLr`r    Sub  Field         Section/Head/Name of Scheme          vuqHkkx@'kh"kZ@;kstuk dk uke  Actuals  Budget   Revised   Budget
                         eq[; 'kh"kZ  y?kq 'kh"kZ   Scheme
                                  'kh"kZ   Scheme   Code                                                                             Estimates  Estimates  Estimates
                     FC  MA.H  MI.H  DH  No.  No.
                      1    2   3   4   5     6    7                                      8                                      9      10      11     12
                    41   460  10  05            334   NON INTEREST BEARING - FESTIVAL ADVANCE  oguh; C;kt eqDr&R;kSgkj vfxze       -3      0      0       0
                    41   460  10  05  7    4    334   RECOVERY OF FESTIVAL ADVANCE        R;kSgkj vfxze dh olwyh                   4       0      0       0
                                                      SUB TOTAL : LOANS AND ADVANCES TO
                    41   460  10                                                          mi&;ksx % deZpkfj;ksa gsrq Í.k rFkk vfxze  4     0      0       0
                                                      EMPLOYEES
                    41   460                          TOTAL : LOANS, ADVANCES AND DEPOSITS  ;ksx % Í.k vfxze rFkk tek              4       0      0       0
                                                      TOTAL CAPITAL EXPENDITURE:SOLID WASTE
                    41                                                                    ;ksx iwathxr O;; % Bksl dwM+k izca/u   3023   7400    4400  50200
                                                      MANAGEMENT
                    42                                PUBLIC CONVENIENCE                  tu&lqfo/k,¡
                    42   412                          CAPITAL WORK IN PROGRESS            iz/ku dk;Z izxfr ij
                    42   412  40                      GENERAL                             lkekU;

                                                      PROVIDING AND FIXING TOTEM BOARDS   ifj"kn~~ {ks=k esa ihVh;w esa ,lhih ds lkFk VksVe cksM~~l
                                                      FABRICATED WITH ACP, POLYCARBONATE
                    42   412  40     30         125                                       isQfczdsM~~l] ikWyh dkcksZusV~~l VªkalisjaUVl 'khV] jsVªks fjÝysfDVo   0  0  7500  500
                                                      TRANSPARENT SHEET, RETROREFLECTIVE TAPE
                                                      AND LED ETC. AT PTUS IN NDMC AREA.  Vsi rFkk ,ybZMh bR;kfn dk izko/ku rFkk yxkukA

                    42   412  40                      SUB TOTAL : GENERAL                 mi&;ksx % lkekU;                         0       0    7500    500
                    42   412                          TOTAL : CAPITAL WORK IN PROGRESS    ;ksx % iz/ku dk;Z izxfr ij               4       0    7500    500
                                                      TOTAL CAPITAL EXPENDITURE:PUBLIC
                    42                                                                    ;ksx iwathxr O;; % tu&lqfo/k,¡           0       0    7500    500
                                                      CONVENIENCE
                    43                                VETERINARY SERVICES                 i'kq fpfdRlk lsok,¡
                    43   410                          FIXED ASSETS                        LFkkbZ ifjlEifRr;k¡
                    43   410  50                      VEHICLES                            okgu
                                                      PURCHASE OF DOG CATCHING VEHICLE AND
                    43   410  50     3     1    303                                       dqÙks idMus okys okgu rFkk ,EcwySal dk Ø;A  0    0      0     500
                                                      AMBULANCE
                    43   410  50                      SUB TOTAL : VEHICLES                mi&;ksx % okgu                           0       0      0     500
                    43   410                          TOTAL : FIXED ASSETS                ;ksx % LFkkbZ ifjlEifRr;k¡               4       0    7500   1000
                    43   412                          CAPITAL WORK IN PROGRESS            iz/ku dk;Z izxfr ij
                    43   412  40                      GENERAL                             lkekU;
                    43   412  40                      SUB TOTAL : GENERAL                 mi&;ksx % lkekU;                         0       0      0       0


                   i`"B 607                                                                                                                           Page 607













                   ctV 2019µ20                                  iw¡thxr O;;@izxfr'khy iw¡thxr dk;Z dk fooj.k                                   BUDGET 2019-20
                   fooj.k X                                                                                                                             ST-X
                                                     Details of Capital Expenditure/ Capital Work-In-Progress

                    (#i;s gtkj esa )                                                                                                            ( ` in Thousand )
                           ys[kk pkVZ  ;kstuk   mi ;kstuk                                                                     2017-18  2018-19  2018-19  2019-20
                         Chart of A/C   Øekad  Øekad  vuqHkkx dksM                                                             okLrfod   ctV vuqeku  la'kksf/r vuqeku ctV vuqeku
                    dk;Z dksM     foLr`r    Sub  Field         Section/Head/Name of Scheme          vuqHkkx@'kh"kZ@;kstuk dk uke  Actuals  Budget   Revised   Budget
                         eq[; 'kh"kZ  y?kq 'kh"kZ   Scheme
                                  'kh"kZ   Scheme   Code                                                                             Estimates  Estimates  Estimates
                     FC  MA.H  MI.H  DH  No.  No.
                      1    2   3   4   5     6    7                                      8                                      9      10      11     12
                    41   460  10  05            334   NON INTEREST BEARING - FESTIVAL ADVANCE  oguh; C;kt eqDr&R;kSgkj vfxze       -3      0      0       0
                    41   460  10  05  7    4    334   RECOVERY OF FESTIVAL ADVANCE        R;kSgkj vfxze dh olwyh                   4       0      0       0
                                                      SUB TOTAL : LOANS AND ADVANCES TO
                    41   460  10                                                          mi&;ksx % deZpkfj;ksa gsrq Í.k rFkk vfxze  4     0      0       0
                                                      EMPLOYEES
                    41   460                          TOTAL : LOANS, ADVANCES AND DEPOSITS  ;ksx % Í.k vfxze rFkk tek              4       0      0       0
                                                      TOTAL CAPITAL EXPENDITURE:SOLID WASTE
                    41                                                                    ;ksx iwathxr O;; % Bksl dwM+k izca/u   3023   7400    4400  50200
                                                      MANAGEMENT
                    42                                PUBLIC CONVENIENCE                  tu&lqfo/k,¡
                    42   412                          CAPITAL WORK IN PROGRESS            iz/ku dk;Z izxfr ij
                    42   412  40                      GENERAL                             lkekU;

                                                      PROVIDING AND FIXING TOTEM BOARDS   ifj"kn~~ {ks=k esa ihVh;w esa ,lhih ds lkFk VksVe cksM~~l
                                                      FABRICATED WITH ACP, POLYCARBONATE
                    42   412  40     30         125                                       isQfczdsM~~l] ikWyh dkcksZusV~~l VªkalisjaUVl 'khV] jsVªks fjÝysfDVo   0  0  7500  500
                                                      TRANSPARENT SHEET, RETROREFLECTIVE TAPE
                                                      AND LED ETC. AT PTUS IN NDMC AREA.  Vsi rFkk ,ybZMh bR;kfn dk izko/ku rFkk yxkukA
                    42   412  40                      SUB TOTAL : GENERAL                 mi&;ksx % lkekU;                         0       0    7500    500
                    42   412                          TOTAL : CAPITAL WORK IN PROGRESS    ;ksx % iz/ku dk;Z izxfr ij               4       0    7500    500
                                                      TOTAL CAPITAL EXPENDITURE:PUBLIC
                    42                                                                    ;ksx iwathxr O;; % tu&lqfo/k,¡           0       0    7500    500
                                                      CONVENIENCE
                    43                                VETERINARY SERVICES                 i'kq fpfdRlk lsok,¡
                    43   410                          FIXED ASSETS                        LFkkbZ ifjlEifRr;k¡
                    43   410  50                      VEHICLES                            okgu
                                                      PURCHASE OF DOG CATCHING VEHICLE AND
                    43   410  50     3     1    303                                       dqÙks idMus okys okgu rFkk ,EcwySal dk Ø;A  0    0      0     500
                                                      AMBULANCE
                    43   410  50                      SUB TOTAL : VEHICLES                mi&;ksx % okgu                           0       0      0     500
                    43   410                          TOTAL : FIXED ASSETS                ;ksx % LFkkbZ ifjlEifRr;k¡               4       0    7500   1000
                    43   412                          CAPITAL WORK IN PROGRESS            iz/ku dk;Z izxfr ij
                    43   412  40                      GENERAL                             lkekU;
                    43   412  40                      SUB TOTAL : GENERAL                 mi&;ksx % lkekU;                         0       0      0       0


                   i`"B 607                                                                                                                           Page 607
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