Municipal Committee Jaranawala

 
 
 
 
 
 
 
Covid-19 Activities of MC Jaranwala
 
 
Budget
Municipal Committee Jaranwala
Financial Position
Annual Budget Estimates For The Year 2020 - 2021
    Estimated Revised Actual Estimated
(Nov-Jun)
2019 - 2020
(Nov-Jun)
2019 - 2020
(Nov-Jun) 2019 - 2020 2020 - 2021
Opening Balance  97,364,438   -   -  8,069,028
Expected Income Local Receipt  196,302,311   -   -  126,247,637
  PFC Award Grant  199,437,257   -   -  213,573,144
Total    493,104,006   -   -  347,889,809
Expected Expenditure Current / Non Development Expenditure  229,099,300   -  128,636,825  319,168,434
  Development Expenditure  210,700,000   -  15,874,307  238,669,505
  Development Liabilities (Prev. Year)  10,516,770   -  3,199,996  5,972,129
Total    450,316,070   -  147,711,128  563,810,068
Closing balance as on June 30th.  42,787,936   -  -147,711,128  -215,920,259

 

Monthly Receipts 2019-20 Details

Monthly Expenditure 2019-20 Details

 

 
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