BALANCE AS ON 01/05/19
PARTICULARS AMT
Opening Balance
Cash
4,586.00
Opening Balance
Bank
255,274.00
Total
259,860.00
CONTIGENCY FUND
PARTICULARS AMT
Receipt
Cash
81,570.60
Receipt
Bank
155,429.40
Total
237,000.00
BALANCE AS ON 31/05/19
PARTICULARS AMT
OPENING BALANCE
259,860
TOTAL INCOME
888,800
CONTINGENCY
237,000
EXTRA INCOME
17,500
TOTAL
1,403,160
TOTAL EXPENSE
718,617
BALANCE
684,543
DATE
PARTICULARS EXPENSES
Amount
5/1/2019
Repair of Lift
15,000.00
5/2/2019
Krishna light and mandir pooja ka saman
7,425.00
5/3/2019
Line man
500.00
5/4/2019
Cement brick person wage and nipple and hari camera
10,735.00
5/5/2019
Blade,khana samosa and hawan samaghri, hawan
samagri, dakshina, prasad
2,900.00
5/7/2019
khana, gittikeel
260.00
5/8/2019
Hari compurter repair, Colddrink chai glass
1,130.00
9/5/2019
Pipe,tea and valve
9,500.00
10/5/2019
Diesel
4,460.00
11/5/2019
Odonil elbow
495.00
12/5/2019
Coldrink & glass
240.00
5/14/2019
Tile works payment
12,200.00
5/15/2019
Diesel ,and hardware materials
16,970.00
5/16/2019
Cement dust and blade socket brush
2,210.00
5/17/2019
Deisel & hardware material
15,555.00
EAST AVENUE WELFARE SOCIETY MAY - 2019