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NEW EVERSHINE CO-OP.HSG SOC. LTD
  INCOME AND EXPENDITURE FOR THE PERIOD OF APRIL 2020 TO MARCH 2021
 Mar-2020  EXPENDITURE  BRINDAVAN  GOKUL  MATHURA  TOTAL  Mar-2020  INCOME  BRINDAVAN  GOKUL  MATHURA  TOTAL
                 CONTRIBUTION FROM
 STATUTORY EXPENSES  MEMBERS TOWARDS
 521761.00 Property Tax  302516.00  216516.00  81106.00  600138.00  627708.00 Property Tax  307200.00  222540.00  97968.00  627708.00
 818812.00 Water charges  215980.00  137645.00  431436.00  785061.00  871160.00 Water charges  273360.00  268800.00  323400.00  865560.00
 456202.00 Electricity Charges  115579.51  82821.87  161750.25  360151.63  551220.00 Electricity Charges  221100.00  161280.00  168840.00  551220.00
 59519.00 Insurance charges  35134.00  20699.00  22261.00  78094.00  40654.00 Insurance  19632.00  10200.00  10836.00  40668.00
 500.00 Subscription Charges  240.00  299.00  539.00
 N A Tax  0.00
 REPAIRS & MAINTENANCE  0.00  604788.00 Repaires & Maintenance  246720.00  194148.00  163920.00  604788.00
 670950.00 Regular Repair & Maintenance  -640.00  157598.00  228830.50  385788.50  88700.00 Lift Maintenance  88800.00  88800.00
 88087.00 Lift Repairs & Maintenance  34278.00  34278.00  1100100.00 Services Charges  381900.00  319200.00  399000.00  1100100.00
 673500.00 Crack Filling and Waterproofing  0.00  27628.00 Misc. Charges  1000.00  50.00  2000.00  3050.00
 68250.00 Pest Control   0.00  49312.00 NOC Charges       13662.00     13064.00     18860.00      45586.00
 Major Repair   250000.00  300000.00  550000.00
 ADMINASTRATIVE EXPENSES  0.00  258025.00 Parking Charges  85100.00    61800.00     91800.00     238700.00
 1394030.00 Salaries & Security Charges  549599.00  460609.00  575731.00 1585939.00  11580.00 Sports Charges  4020.00  3360.00  4200.00  11580.00
 33920.00 Bonus   7903.00  9438.00  8259.00  25600.00  26000.00 Shifting Charges   12000.00  12000.00  10000.00  34000.00
 8909.00 Computer Maintenance  0.00  1512414.00 Interest On Late Payment  1049127.00  229443.00  132902.00  1411472.00
 882.00 Conveyance  0.00  0.00 Legal Charges                            1500.00                    1500.00
 1359.00 Bank Charges   846.00  3403.90  878.90  5128.80  0.00 OTHER INCOME                           0.00
 26228.00 Printing & Stationary  5073.00  5042.00  5583.00  15698.00  34059.00 Interest On SB/A/C  10722.00  19339.00  7252.00  37313.00
 Legal Charges  1500.00  1500.00  3000.00 Scrap Sale/MISC Receipts  313.00  261.00     326.00       900.00
 19300.00 Audit Fees  6700.00  5600.00  7000.00  19300.00  13115.00 Donation Received                 0.00
 37449.00 Meeting & Celebration Exp.  5559.00  5028.00  6488.00  17075.00  Insurance Claim  8476.00  8476.00
 30363.30 Depreciation  9857.44  10598.50  9946.00  30401.94  Majore Rpair Billing   490490.00  670808.00  1161298.00
 59.00 Postage Charges  0.00  Interest on Late Payament on MR           3080.00      6512.00       9592.00
 EXCESS OF IN. OVER EXP. On MR  246485.00  379380.00  625865.00  Int From Bank on Major Repair A/c  2915.00  2060.00  4975.00
 1266042.70 EXCESS OF INCOME OVER EXP.  1426271.05  408721.73  1834992.78  356660.00 EXCESS OF EXP OVER INCOME                             -  108264.65  108264.65
 0.00
 6176123.00  TOTAL  2714656.00 2021946.00  2218948.65 6955550.65  6176123.00  TOTAL  2714656.00 2021946.00  2218948.65  6955550.65


 AS PER OUR REPORT OF EVEN DATE                             -                    -                        -                      -  For New Evershine Co-op Hsg. Soc.Ltd.
 For Vivek Agrawal & Co
 Chartered Accountants




 Vivek K . Agrawal
 (Proprietor)                            Hon .Chairman/  Hon. Secretary /  Hon.Treasurer
 P . No. 15858
 PLACE :MUMBAI
 DATED:  Feb-2022
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