Achievements of ACCOUNTS OFFICE, MUMBAI DIVISION for the month of November 2021 is
as under:-
Highlights:
A) Finance Section:-
Due
to thorough scrutiny of financial Proposals, Indents & Estimates, savings
to the tune of Rs. 11.84 crores have been
achieved.
Major Savings :
Ř
Saving
achieved while vetting estimate for the work of “Provision of infra structure
facilities for examination of NG trains at Matheran”
& “Homing of Electric locos at diesel loco shed KYN”.
Ř In
case of proposal for vetting of tender schedule for Taloja
depot, quantity against four Project IDs was proposed. During the internal check it is noticed that
in case of one ID, Detailed estimate was yet to be submitted. In case of another ID it was observed that
the quantity proposed has already been vetted earlier. Hence, quantity of these two IDs was deleted
which resulted in the saving to the tune of Rs.1.39 Crore.
Ř In
case of proposal for one time major maintenance work of KLMG yard it was
noticed that, Deep Screening activity has been proposed. Since
this activity is being executed under Works Programme, the same was deleted. Also, rate was corrected as per latest
LAR. This has resulted in the saving of
Rs.67.52 lakh.
Ř In
case of proposal for repairs to quarters at PNVL-Roha,
the rate adopted was of average of 3 LARs and some of the LARs were relatively
old one. From the LAR bank maintained by
this office, it is noticed that, more competitive and latest LAR is available. The same was applied which resulted in the saving
to the tune of Rs.58.06 lakh.
Bills Recoverable Section:-
The
following major amount recovered against Bills raised:
Sr. No |
Party Name |
Bill Type |
Amount (Rs. In Lakhs) |
1 |
Reliance JIO |
WAYLEAVE |
112.41 |
2 |
MGL |
WAYLEAVE |
13.93 |
3 |
CONCOR |
LAND LICENCE |
59.22 |
4 |
HPCL |
Staff Cost |
89.00 |
B) Revenue and
Capital Expenditure :-Working
Expenses (Demand 03 to 13):
(Rs. in. Crs.)
Revenue D. No. 3 to 13 |
Expenditure for the month of October 2021 |
Expenditure to end of October 2021 |
||||
|
Actual October 20 |
Actual October 21 |
Variation (%) |
Actual October 20 |
Actual October 21 |
Variation (%) |
|
301.07 |
358.77 |
19.16 |
1736.11 |
2033.46 |
17.13 |
Works (Exp.) |
24.58 |
112.71 |
358.54 |
319.12 |
341.25 |
6.93 |
Bill
passed and amount for the month of November 21.
SECTION |
NO. OF BILL PASSED |
AMOUNT IN CR. |
EXP |
208 |
49.14 |
Stores Bills |
198 |
4.33 |
Petty Bills |
899 |
8.44 |
C) Achievements:
Ř Expenditure Section:- An amount of Rs. 51.54
Lakh has been recovered from ON Account Bills of
contractors during the month of November 2021 and transferred to Railway
earnings on account of deduction of penalty, bill charges, 7vetting charges etc.
Ř Admin Section:- On
the occasion of Gandhi Jayanti (02.10.2021) under Swachchh Bharat Abhiyan this
office has forwarded 10 trucks of scrap material/Old record/old chairs, tables,
PCs to Dy CMM/Currey Road
for grounding purpose.
Ř Audit Section:- Audit inspection
report part-I on ‘the regular payment of ration money allowances to RPF staff
Rs. 5.52 Lakhs closed on 23.11.2021.