No official Railway Board PDF has been traced for this entry yet. The text below was read from the document held in the library.
| Type | Commercial Circular |
|---|---|
| Topic | freight |
| Currency | Currency not verified |
NAME OF STATION :_-------------------- — MONTH AND YEAR :-----
GOODS BALANCE SHEET NAME OF STATION :_-------------------- — MONTH AND YEAR :----- Debit Credit PARTICULARS PARTICULARS AMT. 7 To Opening balance T. By Cash and cash Vouchers for i) Floating cash which — acknowedgement is. ii) Cashiers Debit received ill) iv) v) vi) Accounts office Debits or error sheet a) Admitted Debits b) Not Admitted Debits Wharfage Charges Cost of Govt . publications Inward to pay freight 2 To Current Debits i) ii) iil) iv) vy) Outward Paid GoodsTraffic-L Outward Paid Goods Tratfic-F Inward To-Pay Traffic Inward To-Pay Traffic-F Wharfage and Demurrage Wagon Registration Fees Crane Charges Siding Charges = By Special Credits i) Cr. Advice Notes. Il) — Refund list. iil) Deduction list iv) Remission Orders v) Dr. Transferred to Other stn vi) Certified — Overcharge sheets. vil) Rebooking or paid on charges. Consignments sent to LPO ix) Twice invoices x) Auction sales. vill) Accounted 3.To Special Debits i) ii) ill) iv) y) Floating cash Cashiers Debits Accounts Office debits or error sheet a) Admitted debit b) Not Admitted debit Sundry and Miscellaneous eaming Government Publications 3. By Closing Balance ) Floating cash Cashiers Debit Accounts office Debits or error sheet a) Admitted Debits b) Not Admitted Debits iv) Wharfage Charges v) Cost of Govt . publications. vi) Inward to pay freight Total Total
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