Achievements of SR DFM’s office
for the month of July 2022 is as under:-
Highlights:
A) Finance
Section:- Due to thorough scrutiny of financial Proposals, Indents
& Estimates, savings to the tune of Rs. 13.46 crores have been
achieved.
Ø Major Savings:
Ø Major
Savings of Rs.5.69 crores have been achieved due to
reduction in the quantity proposed for HSD oil for LTT depot for FY 2022-23
based on the average last three year consumption. Quantity proposed by the
department – 4350 KL and Quantity vetted by this office- 3496 KL.
Ø Further
major savings of Rs.2.26 crore have been achieved due
to reduction of manpower to 55 nos as against 65 nos i.e. proposed by the department & bonus portion, lumpsum provision cannot be accepted for outsourcing for
operation and upkeep of lifts & escalators of Mumbai Division round
the clock for a period of one year.
Ø Major
savings of Rs.1.66 crore has been achieved in
housekeeping and cleanliness contracts of Byculla
hospital, Nirmal Park, Dadar
Holiday home and RPF Barracks. In Rendering services
contract of Byculla hospital and Nirmal
Park, savings achieved by deleting the cost of outsourcing of valvemen as separate contract for operation of valves
already exists. Housekeeping contract at Dadar
Holiday home and RPF barrack vetted activity based.
Ø Savings
in the form of earnings Rs.94.45 lakh achieved in
deposit work estimate of Turbhe ROB and Mankhurd ROB.
Ø Savings
of Rs.56.98 lakh achieved in IRPSM proposal of PH 64
CCTV at ISS stations by adopting latest LARs instead of BQ.
Ø
B) Bills Recoverable Section:- The following major amount recovered
against Bills raised:
Sr. No |
Party Name |
Bill Type |
Amount (Rs. In Lakhs) |
1 |
Tata Power |
Way Leave |
245.09 |
2 |
Airtel |
Way Leave |
24.48 |
3 |
BEST |
Way Leave |
159.45 |
4 |
CONCOR Turbhe |
Land Licence |
63.37 |
5 |
Kerala Transport Company |
Building Rent |
1.32 |
6 |
C Rly Institute Thane |
Building Rent |
1.06 |
C) Revenue
and Capital Expenditure
:-Working Expenses (Demand 03 to 13): (For the month of June)
(Rs. in. Crs.)
Revenue D. No. 3 to 13 |
Expenditure for the month of June |
Expenditure to end of June |
||||
|
Actual June 21 |
Actual June 22 |
Variation (%) |
Actual to end of June 21 |
Actual to end of June 22 |
Variation (%) |
|
267.58 |
297.20 |
11.07 |
824.85 |
1043.16 |
26.47 |
Works (Exp.) |
79.80 |
22.63 |
-71.64 |
131.98 |
99.92 |
-24.29 |
Working Expenses (Demand 03 to 13): (For the
month of July)
(Rs. in Crs.)
Revenue D. No. 3 to 13 |
Expenditure for the month of July |
Expenditure to end of July |
||||
|
Actual July 21 |
Actual July 22 |
Variation (%) |
Actual to end of July 21 |
Actual to end of July 22 |
Variation (%) |
|
297.80 |
323.94 |
8.77 |
1122.65 |
1367.10 |
21.77 |
Works (Exp.) |
36.74 |
47.59 |
29.53 |
167.71 |
147.50 |
-12 |
D) Bill passed and amount for the month of July 2022.
SECTION |
NO. OF BILL PASSED |
AMOUNT IN CR. |
EXP |
260 |
89.72 |
Stores Bills |
262 |
7.60 |
Petty Bills |
1068 |
9.24 |
E)
Achievements:
Ø
Expenditure
Section:- Savings for the
month of July 2022 is Rs. 38.30 Lakhs.
Assistance Required from HQ:-
·
As against
9 sanctioned posts of ASVs only two posts of ASV are being operated. Vacancies
of ASVs (7 posts) required to be filled up urgently for stock verification and
witnessing of scarp sale.
Admin section (2), Pension &
Settlement section (5) & Pay sheet section (4).