Voucher Wise Summary Report
Opening Balance | 0 | |||||||||||||
Receipts | Payments | Contra | Journal | |||||||||||
---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Voucher Date | Voucher No | Voucher Type | Voucher Amount (in Rs.) | Voucher Date | Voucher No | Voucher Type | Voucher Amount (in Rs.) | Case Record | Voucher Date | Voucher No | Voucher Amount (in Rs.) | Voucher Date | Voucher No | Voucher Amount (in Rs.) |
08/11/2019 | FFC/2019-20/R/5 | Direct Receipts | 955,229 | 21/11/2019 | FFC/2019-20/P/10 | Expenditures | 17,450 | |||||||
23/11/2019 | FFC/2019-20/R/6 | Refund of Excess Payment | 194,500 | 22/11/2019 | FFC/2019-20/P/11 | Expenditures | 194,500 | |||||||
23/11/2019 | FFC/2019-20/R/7 | Refund of Excess Payment | 194,500 | 22/11/2019 | FFC/2019-20/P/12 | Expenditures | 194,500 | |||||||
24/11/2019 | FFC/2019-20/R/8 | Refund of Excess Payment | 194,500 | 23/11/2019 | FFC/2019-20/P/13 | Expenditures | 194,500 | |||||||
24/11/2019 | FFC/2019-20/R/9 | Refund of Excess Payment | 194,500 | 23/11/2019 | FFC/2019-20/P/14 | Expenditures | 194,500 | |||||||
Refund of Excess Payment | 24/11/2019 | FFC/2019-20/P/15 | Expenditures | 194,500 | ||||||||||
Refund of Excess Payment | 24/11/2019 | FFC/2019-20/P/16 | Expenditures | 194,500 | ||||||||||
Refund of Excess Payment | 27/11/2019 | FFC/2019-20/P/17 | Expenditures | 46,825 | ||||||||||
Refund of Excess Payment | 27/11/2019 | FFC/2019-20/P/18 | Expenditures | 47,850 | ||||||||||
Refund of Excess Payment | 27/11/2019 | FFC/2019-20/P/19 | Expenditures | 46,803 | ||||||||||
Refund of Excess Payment | 27/11/2019 | FFC/2019-20/P/20 | Expenditures | 47,420 | ||||||||||
Report generated through eGramSwaraj (https://egramswaraj.gov.in/) on Sun, 02 Jun 2024 09:52:01 AM. |