INDIAN RAILWAY CODE FOR THE ACCOUNTS DEPARTMENT

||  Index  ||  Chapter 20  ||  Chapter 21  ||  Chapter 22  ||  Chapter 23 ||
||  Chapter 24 ||  Chapter 25  ||  Chapter 26  || 
Chapter 27  ||  Chapter 28  ||  Chapter 29  || 
|| Chapter 30  ||  Chapter 31  ||  Chapter 32  ||  Chapter 33  ||  Chapter 34  || 

Chapter XXVII
Check of Station Balance Sheets

 2701. Definition
 2702. Chart showing the check of Station Balance Sheets
 2705. Check of Open­ing Balance
 2707. Check of Local/Through Traffic Returns with Balance Sheet
 2710.
 2712.
Check of Cash Transmit Notes of Miscellaneous Receipts
 2714. Check of Special Debits
 2718. Check of Credits on account of "Cash"
 2728. Check of Credits on account of “Vouchers"
 2731. Check of Telegraph Vouchers
 2732. Check of Station Pay Orders
 2737. Check of Special Credits
 2738. Check of credits on Account of Certified Overcharge Sheet
 2739. Check of Credits on account of "Paid on" charges
 2740. Check of Credits authorized by the Accounts Office
 2741. Check of Credits on account of short collections recovered  at other stations
 2742. Check of credits on account of refunds allowed at the time  of delivery of goods or parcels
 2743. Check of Credits for freight on consignments  transferred to the Lost Property Office
 2744. Check of Credits for Invoices/Way Bills twice accounted for
 2745. Check of Credits for Invoices issued in connection with consignments delivered short of destination
 2746. Check of Credits for undercharges deducted from Pay Bills
 2747. Check of Credits for charges due on consignments of Fodder
 2748. Check of Closing Balance
 2751. Check of Lists of Outstandings
 2753. Pre­paration of Approximate Balance Sheet
 2754. Advice of Internal Check
 2756. Balance Sheets of Out/City Booking Agencies and Lost Property Office
 2757. Change of Balance Sheet Checkers

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