| Serial No. |
24 Schedule in details |
| 1 |
Land |
| 2 |
Buildings |
| 3 |
Bridges & Culverts, Subways & Causeways
|
| 4 |
Storm Water Drain / Open Drain
|
| 5 |
Heavy / Light / Other Vehicles
|
| 6 |
Furniture, Fixtures & Office Equipment |
| 7 |
Plant & Machinery
|
| 8 |
Roads, Streets & Lanes
|
| 9 |
Electrical Cables / Lamp Posts & Luminary Fittings
|
| 10 |
Substations (Transformers)
|
| 11 |
List of Capital Works in Progress
|
| 12 |
Investments
|
| 13 |
Closing Stock as on 31/03/2019
|
| 14 |
List of Advances Other than Employees Advances
|
| 15 |
Bank Balance as per Cash Books as on 31/03/2019
|
| 16 |
Property Tax, Profession Tax, Other Taxes, Fees etc., Recoverable
|
| 17 |
List of Grants Due from the Government as on 31/03/2019
|
| 18 |
Employees Advances, Pending Recovery as on 31/03/2019
|
| 19 |
Assets of the Water Supply & Drainage Schemes / Branch
|
| 20 |
Any other Kind of Asset or Recoverable
|
| 21 |
Loans Pending Repayment as on 31/03/2019
|
| 22 |
Deposits Repayable
|
| 23 |
List of Outstanding Bills as on 31/03/2019 (Liabilities)
|
| 24 |
List of any Other Liabilities as on 31/03/2019
|