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 |
4 Inward To Pay Trafic (Foreign) 4, Remission Order
Goods Balance Sheet Name of the Station — Month 8 Year Description ‘Amt | Description ‘Opening Balance Gash and Gash Vouchers 1. Floating cashiimprest 1 2 Cashiers’ debit 2 3.#/0 Office DebitsEmor Sheet a ७. Admitted debit Non Admitted debi 4. Inward To Pay freight 5 Wharfage (Demurrage 6. Cost of Govt. publications Current Debits Special Credits 1. Outward Paid Trafic (Local) 1. Credit Advice Note 2. Outward Peid Traffic (Foreign) 2 Refund List 3. Inward To Pay Trafic (Local) 3. Deduction List 4 Inward To Pay Trafic (Foreign) 4, Remission Order 5. Wharfage [Demurrage 5. Transfers to other stations 6. Undercharges 6. Certified Over Charge sheet 7. Coal and Livestock 7. Peid On to Pay 8 Siding Charges 3. Transferred to LPO 9. Crene Charges 8. Double sccounted Invoices 10. Wagon Registration Fee Special Debits Closing Balance 1. Cashers debit 1. Floating cash / Imprest 2. AIC Office Debts 1 Error 2. Cashiers’ Debt Sheets 3. NC Office Debits 1 Eror 8 Admitted debit Sheet b. Non Admitted debit 2. Admitted debit 3. Cost of Gout publications Non Admitted debit 4. Transfer from other station 4. Inward To Pay freight 5. Sundry & Miscellaneous 5. Wharlage /Damurrage eemings 6. Cost of Govt. publications Total Total
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