1DQTS STATE HEALTH SOCIETY - REVISED NATIONAL TB CONTROL PROGRAMME TAMILNADU F TZ ...... 1. ..49.14.Z ACCOUNTS 2014- 15 Flat No.8, 1st Floor, A-Block, Veekay Manor" No.8, (Old No.28), Gopalakrishna Road, (Off. Dr. Nair Road), T.Nagar, Chennai - 600 017. Phone: +91-44-2815 0485 / 2815 5414 .4.'RAJA & ASSOCIATES Fax : +91-44-2815 3458 -hartered Accountants E-mail : nrajaca@hotmai.com, nracas@hotmail.com Audit Report The Mission Director National Rural Health Mission - Tamilnadu Introduction: * We. have audited the attached Balance. Sheet as at 31.03.2015, Income and It Expenditure Account for the year ended 31.03.2015 and Receipt and Payment Account for the period from 01.04.2014 to 31.03.2015 of the Revised TB Control Project (Consolidated) implemented through the State Health , Society - Tamilnadu under the Revised National TB Control Project (RNTCP) Phase II financed under World Bank Credit/Loan No. 4228 - In as of March 31, 2015 for the year(s) then ended. Our responsibility is to express an opinion on these financial statements based on our audit. Scope: We conducted the audit in accordance with the Auditing Standards generally accepted in India. Those standards require that we plan and perform the. audit to obtain responsible assurance about whether the financial statements are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amount and disclosures in the financial statements. An audit also includes assessing the accounting principles used and significant estimates made by 'the management, as well as evaluating the overall financial statements presentation. We believe that our audit provides a reasonable basis for opinion. Audit Opinion: i We have obtained the information and explanations, which to the best of our knowledge and belief were necessary for the purpose of our audit; ii In our opinion proper books of account as required by law have been kept by the Vertical society so far as it appears from our examination of those books; iii In our opinion proper books of account have been maintained by the Vertical Society , so far as appears from our examination of the books; Flat No.8, 1st Floor, A-Block, "Veekay Manor" No.8, (Old No.28), Gopalakrishna Road, (Off. Dr. Nair Road), T.Nagar, Chennai - 600 017. Phone: +91-44-2815 0485 / 2815 5414 Fax : +91-44-2815 3458 Chartered Accountants E-mail : nrajaca@hotmail.com, nracas@hotmail.com iv. . The Balance Sheet, Income and Expenditure Account and Statement of Receipt and Payments dealt with by this report are in arrangement with the book of account; v. In our opinion and to the best our information and according to the explanation given to us , the said accounts give the information required in the manner so required and give a true and fair view. in conformity with the according principles generally accepted in India; a) In the case of Balance Sheet of the state of affairs of the society as at 31st March 2015; b) In the case of Income and Expenditure Account, of the excess of income over expenditure for the year ended on that date; and c) In the case of Receipt and payment Account, the receipts and payments for the period from 01.04.2014 to 31.03.2015. In addition, (a) with respect to FMR/ SOEs, adequate supporting documentation has been maintained to support claims to the World Bank for reimbursements of expenditures incurred; and (b) which expenditures are eligible for financing under the Loan/ Credit Agreement (c) procurement of goods and services has been carried out as per the procurement manual by the Central TB Division, GOI. Place: Chennai For N. Raja & Associates Date: 1 4 SEP 2015 Chartered Accountants F.R.No. 003388S G avan Partner M.No.029915 Flat No.8, 1st Floor, A-Block, "Veekay Manor" No.8, (Old No.28), Gopalakrishna Road, (Off. Dr. Nair Road), T.Nagar, Chennal - 600 017. Phone: +91-44-2815 0485 / 2815 5414 Fax : +91-44-2815 3458 Chartered Accountants E-mail: nrajaca@hotmail.com, nracas@hotmail.com TO, The State TB Officer State Health Society - Revised National Tuberculosis Programme, O/o The Joint Director Medical aid Rural Health Services . DMS Campus, Teynampet, Chennai-600006. Dear Sir, Sub: Compliance with the Procurement Manual for the financial year 2014-'2015-reg. We, N.Raja & Associates are the Statutory Auditors of State Health Society, Tamilnadu for the Financial Year 2014-2015. Based on the Verification of book of accounts and documents and audit Procedures followed by us, for the Revised National Tuberculosis Programme (RNTCP); -Tamilnadu for the Financial Year 2014-2015, WE hereby confirm the compliance with respect to: a) Certification with respect to adequate supporting documentation; b) Expenditure so claimed are eligible for financing; and . c) Procurement of goods and services has been carried as per the Procurement Manual. Place: Chennai For N. Raja & Associates Date: Chartered Accountants AssocF.R.No. 03388S 600 017 -4 FPJ-033aS G. avan o0g A Partner M.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME S.No.2 ANNEX - XIV CONSOLIDATED RECEIPTS AND PAYMENTS ACCOUNT FOR THE YEAR ENDING 31ST MARCH 2015 Name of SocIety STATE HEALTH SOCIETY - TAMILNADU For the yar 2014-15 (Amount I.) Forthe y a 2014-15 (Amount W.) Previou Near Previous yearanet NH (Wiout T.) RNTCP Total (Amont T.) RNTCP TO Additional Additonal peingm Balance __dsilised 32,823 Cash in hand 27,805 27.805 10,702,190 Civl Works 6.133.035 -6133,035 44.301,59 Cash at Bank 23,251,354 - 23,251,354 12,420,040 Laboratory Materil 12,561.077 - 12561.077 2,598,592 Counseling ChargesiHonorarium -5,787-550 5,787,550 6,307,331 IEC (Publicity) 3788548- 3788548 166,616,000 Grant-i4 received from GOf -212,149,000 212,149,000 ,248, Eiment Maintenance 778 -11078778 52,629,333 Grant from State Govt Share 70,716,333 7 16333 6.582,394 Trainina 3,437,992 - 604,O§6 Grant from State Govt (Additionality) - - 8,054,378 Veicle Maintenance 10,823,319 - 10823,319 - Advance - - - 754,646 Vehicle Hiring Charges 739838 - 739,838 42,260,95 Loan Received from NRHM 45,397,000 - 45,397,000 8,464780 Publio-Private Mix (PPINGO Support) 7.098765 -7,098,765 2,766,60 Interest 2029290- 2,029,290 16,238,871 PPM Focused Personnel 28,819,139 - 28,819,139 861.614 Miscellaneous Income 9799- 869,799 14,041A16. Medical Colleges 22,985,145 - 22,9,145 85,573 Sale of Vehicle - - - 11,89,645 Office Operations (Miscellaneous) 9,464.289 - 9,464,289 75,852,620 Contractual services 101,929,462 - 101,929,462 3,698,7001 Printi!g 4J33,753 - 4,733,753 247,154 Procurement of Drugs 357,408- 357,408 - Procurement of Vehicle - - 1,496,140 Procurement of Equipment 493 - 493,629 46,713, Patient Support & Transportation Charges 708,488 - 706,488 9,160,439 Supervision & Mointoring 11,224,106- 11,224.106 190,201,696 Sub Total 232,162,321 - 232,162,321 - Advance to Medical College 28.00 - 628,000 - GIA to others 98,677,919 Loan Refund 87.657,9- 87,657,958 Closing Balance 27,805 Cash-in-hand 213.715 - 213,715 23,251_354' Cash at Bank 3 - 33778,587 310,158,77V TOTAL 354,440,581 - 354,440,581 310,158,774 TOTAL 354,440,581 - 354,440,581 Date: 1 4 SEP 2015 For N. Raja & Associates Place: Channal Chartered Accountants tNSSO 0 Z FRIt.003388S tateFProgramme Officer Mission Director Partner, M.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME S S.No.3 ANNEX - XV CONSOLIDATED INCOME AND EXPENDITURE ACCOUNT FOR THE YEAR ENDING 31ST MARCH 2015 Name of Society: STATE HEALTH SOCIETY - TAMILNADU For the year 2014-15 (Amount.1) For the yer 20'14-15 (Amount .) TAmountT.) NRHM (AmIco m) NRHM ._RNTCP Additonal Total RNTCP Additional Total 10,702,190 Civil Works 6,135 - 6,133,035 219,245,333 Grant-in-aid received from GOI 282,865,333 282865333 12,420,040 LabQratory Material 12,561,077 - 12,.561.077 2,766,608 Interest 2,029290 2,598,692 &unselng ChargesHonorarium 5,787,550 - 5,787,550 947,187 Miscellaneous,income(Sale of Vehicle & 869,799 869,799 other income) 6,296,347 IEC (Publicity) 3799532 3,799,532 604,356 NRHM Additionality Fund _ 1,248,247 Equipment Maintenance 1,078,778 - 1,078,778 6,709,911 Trainin 3.441419 - 3,441,419. 8,065,300 Vehicle Maintenance 10,823,319 - 10,823,319 754,646 Vehicle Hiring Charges 739.838 - 739,838 8,464,780 Public-Private Mix (PPINGO Support) 7,098,765 - 7,098,765 16,238,871 PPM Focused Personnel 28,819,139 - 28,819,139 14,150,768 Medical CoLeges 23093145 23,093,145 11,885,161 Office Operations (Miscellaneous) 9- 9,475,773 75,852,620 Contractual services 101,929,462 - 101929,462 3,698,700 Printing 4739,753 - 4,739,153 247,154 Procurement of Drugs 357,408 357,468 - Procurement of Vehicle - -- 1,496,140 Procurement of Equipment 493,629 - 493,629 436,713 Patient Support & Transportation Charges 706,488 - 706,488 9,160,439 Supervision & Mointoring 11,224.106 - 11,224,106 Execss of Income over expenditure c/f to Execss of over expenditure c/f to!8Iance 33,569,765 Balance sheet 53,462,206 - 53,462,206 432,900 sheet 223,996,384 TOTAL 285,764,422 - 285,764,422 223,996,384 TOTAL 285,764,422 285,764,42 Date: 1 4 SEP 2015 For N. Raja & Associates Place: Chennal Chartered Accountants CCO G.Velavan state Prgam Oficr issi n Director AC Partner, M.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME S.No.4 ANNEX - XVI CONSOLIDATED BALANCt SHEET AS AT 31ST MARCH 2015 Name of Society: STATE HEALTH SOCIETY - TAMILNADU As at 31.03.2015 (Amount .) As at 31.03.2015 (Amount '.) Pmkxs wLIABILITIES PeiuyarASSETS (Amount T.) RNTCP Total (Amount i.) RNTCP NRHM Total NRHM Additonal Additonal ,52,935,087; Capital Fund 59,561,751 - 59,561,751 Fixed Assets (51,466,558) Opening Balanqq- (18,329,693) - (18,329,693) 25,077,666 Civil Works 31,210,701 31,210,701 Add:Adjustre of previous.year in the Balance Sheet of BSATUS - 17,449,461 Vehicles 17,449,461 17,449,461 A: Excess of income over the expenditure brought forward from the 33,569,765, Income and Expenditure account 53,462,206 - 53,462,206 5,732,275 Computer & Peripherals 6,225,904 6.225,904 Less: Excess of Expenditure over Income brought forward from the Income and 432.900, Expenditure account - - - 2,821,732 Xerox Machine 2,821,732 2,821,732 (18,329,93) 35,132,513 - 35,132,513 154,930 Overhead & Slide Projector 154,930 154,930 888,805 Other Office Equipments 888,805 888,805 810,218 Furniture 810,218 810,218 52,935,087 Sub Total 59,561,751 - 59,561,751 Receivable tiundry Veposits (telephone 20,500 deposit etc) 20,500 20,500 Current Liabilities and Provisions Unspent Balance Loans/Advances Other Payable - 358,400 Advances for OR Study 872,40 872,400 TDS Payable - - - 247,311 Advances for Civil Works 247,311 247,311 25,895 Advance to Others - Loan Repayable to NRHM 42,260,958 (+) Received from NRHM 87,657,958 - Cash & Bank BAlances - (-)Loan Refund to NRHM .87,657,958 - - 27,805 Cash in hand 213,715 - 213,715 42,260,958 - - 23,251,354 Cash at Bank 33,778,587 - 33,778,587 76,866,352- TOTAL 94,694,264 - 94,694,264 76,866,352 TOTAL 94,694,264 - 94,694,264 Date:,1 4 SEP 2015 For N. Raja & Associates Place: Channel Chartered Accountants & ASSo * FRN:003388S Acco~ G.Velavan State Programme Officer Mission Director Partner, M.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME STATE NEALTs SoCIxTY - STATE & DISTICTS CONSOLIDATION Receipts and Payments Account for the period from 01.04.2014 to 31.03.2015 2013-14 2014-15 2013-14 2014-15 Amount (M.) Receipts Amount (T.) Amount (.) Payments Amount (.) 1. Ovenins Balsane 10,702,190 1. Civil Works 6,133,035 32,823 - Cash in Hand 27,805 44,301,509 - Balance with Bank 23,251,354 11,618,100 2. Laboratory Material 12,561,077 166,616,000 2, Grant-in-aid Received from 0.0.1 212,149,000 2,598,592 3. Honorarium 5,787,550 2,766,08 3. Bank Interest 2,029,290 6,307,331 4. IEC Publicity, 3,788,548 42,260,958 4. Amount Received From NRHM-Loan 45,397,000 1,248,247 5. Eq,Jpment Maintenance 1,078,778 52,629,333 5. Grant from State Govt Share 70,716,333 6,582,394 6. Train#19 3,437,992 604,356 6. Grant from State Govt (Additionality) - 8,054,378 7. Vehicle Maintenance 10,823,319 861,614 7. Miscellaneous Receipt - - 754,646 8. Vehicle Hiring Charges 739,838 - 8. Grant-in-aid Received from District - 8,464,780 9. Public -Private Mix (PP/NOO Support) 7,098,765 85,573 9. Sale of Vehicle - 16,238,871 10. PPM Focused Personnel 28,819,139 10. Advance RefUnd 14,041,816 11. Medical Collages 22,985,145 - Civil Works 115 - Contractual Services 30,368 11,896,645 12. Office Operations (Miscellaneous) 9,464,289 - Equipment Maintenance - Miscellaneous 22,112 75,852,620 13. Contractual Services 101,929,462 . Vehicle Maintenance (ins. Claim) 2,041 - Laboratory Material 13,400 3,698,700 14. Printing 4,733,753 - Training 28,433 - Honorarium 85,338 - 15. Research,tudies & Consultancy - Supervision & Mointoring 630 Procurement of Equipment 63,755 247,154 16. Procurement of Drugs 357,408 PPM Focused Personnel. Publicity /ACSM 3,120 - 17. Procurement of Vehicle - Patient Support & Transportation Charges 5,516 Public -Private Mix (PP/NOO Support) 144,000 1,260,824 18. Procurement of Equipment 493,629 Medical Collages 470,971 436,713 19. Patient Support & Transportation Charge 706,488 9,160,439 20. Supervision & Mointoring 11,224,106 - 21. Advance to Medical Colleges 628,000 96,677,919 23. Loan repaid to NRHM 87,657,958 1,037,256 24. Grant from State Govt (Additionalitv) - CialongBlance 27,805 -Cash in Hand 213,715 23,251,354 - Balance with Bank 33,778,587 310.158.774 Total 84.440.581 310.158.774 Total 354,440,581 Date: 1 4 SEP 2015 As per our report on even date Place: Chennal n For N. Raja & Associates V NSS0O, .-%Chartered Accountants t s e.00338er s SttePogameOfficer Miso ietor CD Partner, M.No.029915 REVISED NATIONAL TUBMRCULOSIS CONTROL PROQRANM STATE HEALTH SOCIETY - STATE & DISTRICTS CONSOLIDATION Income & Expenditure Account for the period from 01-04-2014 to 31-03-2015 2013-14 2014-15 2018-14 2014-15 Amount (T.) Expenditure Amount (!.) Amount (T.) Income Amount (R.) Income to the extent of Expenditure 11,618,100 1. Laboratory Material 12,561,077 177,426,349 incurred 225,675,552 85,573 Sale of Vehicle - 2,598,592 2. Honorarium 5,787,550 2,766,608 Bank Interest 2,029,290 6,296,347 3. IEC Publicity 3,799,532 1,2ft,247 4. Equipment Maintenance 1,078,778 6,709,911 5. Training 3,441,419 8,065,300 6. Vehicle Maitenance 10,823,319 754,646 7. Vehicle Hiring Charge 739,838 8,464,788 8. Public -Private Mix (PP/NGO Support) 7,098,765 16,238,871 9. PPM Focused Personnel 28,819,139 14,150,768 10. Medical Collages 23,099,145 11,885,161 11. Office Operations (Miscellaneous) 9,475,773 75,852,620 12. Contractual Services 101,929,462 3,698,700 13. Printing 4,733,753 - 14. Research,Studies & Consultancy - 247,154 15. Procurement of Drugs 357,408 436,713 16. Patient Support & Transportation Charge 706,488 9,160,439 17. Supervision & Mointoring 11,224,106 2,852,181 Excess of Income over Expenditure .2,029,290 180,278,530 Total 227,704,842 180,278,530 T6tal 227,704,842 Datei 1 4 SEF As per our report on even date Place: Chanal For N. Raja & Associates ~SSOC Chartered Accountants State rogrie rtor , Partner, M.No.029915 -ED * REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME STATE HEALTH SOCIETY - STATE & DISTRICTS CONSOLIDATION BALANCE SHEET AS ON 31st MARCH 2015 2013-14 2014-15 2013-14 2014-15 Amount (c.) Liabilities Amount (T) Amount (T.) Assets Amount (f.) 52,935,087 Canital Pund. 59,561,751 Phoe Assets t 25,077,666 Civil Works 31,210,701 Reoses & BaW 17,449,461 Vehicles 17,449,461 6,599,728 Opening Balance 9,451,909 5,732,275 Computer & Peripherals 6,225,904 2,852,181 Add : Transfer from Income & Expt A/c 2,029,290 2,821,732 Xerox Machine 2,821,732 9,451,909 11,481,199 154,930 Overhead & Slide Projector 154,930 CurrentCLrabilities 888,805 Other Office Equipments 888,805 -27,781,602 Unspent Grant 23,651,314 810,218 Furniture 810,218 42,260,958 Loan Payable to NRHM - 20,500 Sundry Deposits 20,500 - Grant from State Govt (Additionality) Other Current Assets Loans & Advances: 358,400 Advance for OR Study 872,400 247,311 Advance for Civil Works 247,311 - POL Advance 11,484 Misc. Expenses Advance 3,427 Training Advance - - Honorarium Advance - 10,984 IEC Advance - - Medical College - - Funds transfer to DDHS ClosinLBalance 27,805 Cash in Hand 213,715 23,251,354 Balance with bank 33,778,587 76,866,352 Total 94,694,264 76,866,352 Total 94,694,264 Date.: 14 SEP 2015As per our report on even date Place:- Channal For N. Raja & Associates SS(, Chartered Accountants (PD AState Programme e1forMsio rco ro M.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME STATE HEALTH SOCIETY - TAMILNADU Receipts and Payments Account for the period from 01.04.2014 to 31.03.2015 2013-14 2014-15 2013-14 2014-15 Amount (I.) Receipts Amount (T.) Amount (e.) Payments Amount (T.) 1. Opening Balance 165,498 1. Civil Works 1,340 - Cash in Hand 2,530 20,088,384 - Balance with Bank 9,741,142 186,942 2. Laboratory Material 253,883 166,616,000 2. Grant-in-aid Received from G.O.I 212,149,000 - 3. Honorarium ,02,281 3. Bank Interest 435,562 1,691,348 4. IEC Publicity 124,385 42,260,958 4. Amount Received From NRHM - Loan 45,397,000 106,652 5. Equipment Maintenance 192,129 52,629,333 5. Grant from State Govt Share 70,716,333 938,155 6. Training 108,082 604,356 6. Grant from State Govt (Additionality) - 187,832 7. Vehicle Maintenance 57,615 771,496 7. Miscellaneous Receipt - 8. Vehicle Hiring Charges 7,888 - 8. Grant-in-aid Received from District 7,000,000 416,250 9. Public -Private Mix (PP/NGO Support) - - 9. Sale of Vehicle - - 10. PPM Focused Personnel - - 10. Advance Refund 238,000 11. Medical Collages 3,076,520 - Civil Workh - Contractual Services - 4,510,207 12. Office Operations (Miacellaneous) 4,158,911 - Equipment Maintenance - * Miscellaneous 2,041 1,874,554 13. Contractual Services 1,674,159 Vehicle Maintenance (ins. Claim) - - Laboratory Material - 976,802 14. Printing 1,993,795 - Training 14,088 - Honorarium - - 15. Research,Studies & Cansultancy - Supervision & Mointoring 63,255 - Procurement of Equipment . 234,464 16. Procurement of Drugs 96,794 - PPM Focused Personnel - Publicity /ACSM - - 17. Procurement of Vehicle - Patient Support & Transportation Charges - - Public -Private Mix (PP/NGO Support) - * 18. Procurement of Equipment - Medical Collages 470,971 - 19. Patient Support & Transportation Char - 917,939 20. Supervision & Mointoring 572,236 - 21. Advance to Medical Colleges 628,000 164,000,658 22. Funds Transfer to DDHS 239,547,450 96,677,919 23. Loan reffind to NRHM 87,657,958 1,037,256 24. Grant from.State Govt (Additionality) Closig salpace 2,530 . Cash in Hand 9,741,142 - Balance with Bank 5,842,117 283904,148 Total 345991,922 283.904.148 Total 348,991,922 Date: 1 4 SE z 5 A. per our report n even date Place: Chennal For N. Raja & Associates N ASSon; Chartered Accountants *V0 Stat Pr:0033P , . Stt rogranun or Mission Director ED Partner, M.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME STATE REALTR SOCIETY - TAMIL ADU Income & Ependiture Account for the period from 01-04-2014 to 31.03-2015 2013-14 2014-15 2013-14 2014-15 Amount (T.) apenditure Amount (T.) Amount (T.) Income Amount (f.) Income to the extent of Expenditure 186,942 1. Laboratory Material 253,883 12,387,145 incurred 12,430,397 - Sale of Vehicle - - 2. Honorarium - 932,281 Bank Interest 435,562 1,691,348 3. IEC Publicity 124,385 ,406,652 4. Equipment Maintenance 192,129 938,155 5. Training 108,082 187,832 6. Vehicle Maintenance 57,615 - 7. Vehicle Hiring Charge 7,888 416,250 8. Public -Private Mix (PP/NGO Support) - 9. PPM Focused Personnel - 346,000 10. Medical Collages 3,190,520 4,510,207 11. Office Operations (Miscellaneous) 4,158,911 1,874,594 12. Contractual Services 1,674,159 976,802 13. Printing 1,993,795 - 14. Research,Studies & Consultancy - 234,464 15. Procurement of Drugs 96,794 - 16. Patient Support & Transportation Charg - 917,939 17. Supervision & Mointoring 572,236 932,281 Excess of Income over Expenditure 435,562 .13,319,426 Total 12.865,959 13,319,426 Total 12,865,959 Date: 1 4 SEP 2015 As per our report on even date Place: Chennal For N. Raja & Associates NS80 Chartered Accountants t FRN003388S state Programume OffRoer mission Director DAPartner, U.No.029915 REVISED NATIONAL TUBERCULOSIS CONTROL PROGRAMME STATE HEALTH SOCIETY - TAMILNADU BALANCE SHEET AS ON 3tat MARCH 2015 2013-14 2014-15 2013-14 2014-15 Amount (.) Liabilities Amount (.) Amount ('.) Assets Amount .) 781,724 Cagital rund 781,724 rLid Assetst 231,431 Civil Works 231,431 Reservesy&Surs - Vehicles 1,635,515 Opening Balance 2,567,796 430,877 Computer & Peripherals 430,877 932.281 Add: Transfer fom Income & Expt A/c 435.562 119,416 Xerox Machine 119,416 2,67,796 3,008,38 - Overhead & Slide Projector .. Curnt LLablittls . - Other Office Equipments 129,526,287 Unspent Grant 243,510,920 - Furniture 42,260,958 Loan Payable to NRHM Bg- Rec Iwi s,000 Suihdry IVsbits 5,000 - Grant from State Govt (Additionality) - . Loans & Advances 358,400 Advance for Medical College OR Study 872,400 247,311 Advance for Civil Worke 247,311 - POL Advance - Misc. Expenses Advance - Training Advance - Honorarium Advance - - IEC Advance - - Medical College - 164,000,658 Funds transfer to DDHS 239,547,450 Closn Ban 2,530 Cash in Hand - 9,741,142 Balance with bank 5,842,117 17, 136.765 Total 247,296,002 175136,768 Total 247,296002 Date: , 4 EP 2015 As per our report on even date Place: For N. Raja & Associates Chartered Accountants State Progranue OfRoer or Partner, M.No.029915