EAST AVENUE WELFARE SOCIETY JUN 2020
.
Balance As on 30-06-2020
Opening Balance
Total Income from Recharge
Extra Income
Amount
566.164,00
1.013.401,00
10.500,00
Total Blance
Total Expense
Balance
1.590.065,00
758.384,00
831.681,00
DATE
PARTICULARS EXPENSES
AMOUNT
680,00
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1
1/06/2020 F BLOCK PLUMBER MATERIAL
1/06/2020 ELECTRICAL MATERIAL COMMON AREYA
2/06/2020 PLUMBER MATERIAL E BLOCK
3/06/2020 GORBAGE JOB COMMON AREYA F BLOCK
4/06/2020 PIPE GITE
5/06/2020 PRINT PAPARE
5/06/2020 GAS REFIL
6/06/2020 G BLOCK MOTOR REPAIR
6/06/2020 COLD DRINK LABOUR
7/06/2020 G BLOCK COMMON AREYA PARKING PLUMBERING MATERIL
7/06/2020 LIGHT HOLDER SWITCH
8/06/2020 HAND GLOVS
8/06/2020 DIESEL + RENT
9/06/2020 PRINTER REPAIR
9/06/2020 HAND SANITIZER
0/06/2020 NIL
1/06/2020 STATER REPAIR D BLOCK
1/06/2020 HAND GLOVS 3 PKT 600*3
2/06/2020 LED LIGHT 27 PCS`
3/06/2020 FLAX BOARD MAIN GATE
3/06/2020 OFFICE COMPUTER REPAIR FORMATE AND HARD DISK REPAIR
3/06/2020 A3 + A2 MOTOR REMOVIL AND INSTLICTION
4/06/2020 BLUE STAR WATER MACHINE RWA OFFICE + RENT
4/06/2020 H K MATERIAL
1.400,00
1.350,00
300,00
520,00
500,00
300,00
1.300,00
200,00
740,00
205,00
600,00
3.070,00
560,00
1.800,00
900,00
1.800,00
3.290,00
2.000,00
800,00
600,00
12.000,00
8.175,00
675,00
40,00
1.300,00
500,00
1.500,00
2.000,00
428.316,00
31.283,00
2.070,00
4/06/2020 ELECTRICAL CABLE COMMON AREYA
5/06/2020 GLASS
6/06/2020 IDIENTY CARD
6/06/2020 PLUMBER MATERIAL
6/06/2020 STAFF NIGHT DAY TEA PAYMENT MONTH OF MAY
6/06/2020 MILK MAIN NIGHT GAUARD
6/06/2020 ELECTRICAL BILL PAYMENT
6/06/2020 RR SANITITON
7/06/2020 DIESEL + RENT
8/06/2020 NILL
9/06/2020 FLAX BOARD LABOUR CHARGE AND ANGALE
9/06/2020 PLASTICK COVER G BLOCK LABOUR CHARGE
1.000,00
5.000,00