Sr. No. Date Doc No. A/c Name Debit Credit Balance Particulars
1 18-11-2024 414644414 Adjustment 2,000.00 -2,000.00 ADVANCE SALARY FOR NEW JOINING GIVEN CASH FROM TALOJA- 18.11.2024
2 30-11-2024 11/2024 Salary GJ39T7685 8,667.00 6,667.00 13 Days @ 20000.00/PM
3 30-11-2024 414644901 Adjustment 2,464.00 4,203.00 LOADING DATE - 19.11.2024 PD - MIXED GLYCOL LR NO - 48971 CUSTOMER NAME - AKRY ORGANICS PVT. LTD. STATION FROM - TURBHE TO TARAPUR LOADING QTY - 32.8 UNLOAD QTY 32.64 SHORTAGE QTY - -160 0.25% - 98.4 DEDUCATION QTY - -61.6 RATE - 40
4 30-11-2024 414645319 Adjustment 4,203.00 0.00 SALARY PAID FOR THE MONTH OF NOV 2024
5 31-12-2024 12/2024 Salary GJ39T7685 20,000.00 20,000.00 31 Days @ 20000.00/PM
6 31-12-2024 414645602 Adjustment 20,000.00 0.00 SALARY PAID FOR THE MONTH OF DEC 2024
7 31-01-2025 1/2025 Salary GJ39T7685 20,000.00 20,000.00 31 Days @ 20000.00/PM
8 31-01-2025 414646401 Adjustment 20,000.00 0.00 SALARY PAID FOR THE MONTH OF JAN 2025
9 28-02-2025 2/2025 Salary GJ39T7685 20,000.00 20,000.00 28 Days @ 20000.00/PM
10 28-02-2025 414646619 Adjustment 1,955.00 18,045.00 LOADING DATE - 15.03.2025 UNLOAD DATE - 20.03.2025 PRODUCT - TOLUENE LR NO- 59539 CUSTOMER NAME - PON PURE CHEMICAL INDIA PVT. LTD. STATION FROM - CHENNAI TO - RANGAREDDY LOADING QTY - 20.15 UNLOAD QTY - 20.07SHORATGE QTY - -19.55RATE - 100
11 28-02-2025 414646623 Adjustment 1,320.00 16,725.00 LOADING DATE - 21.03.2025 UNLOAD DATE - 26.03.2025 PRODUCT - ETHYL ACETATE LR NO- 59536 CUSTOMER NAME - PON PURE CHEMICAL INDIA PVT. LTD. STATION FROM - AHMEDNAGAR TO - CHENNAI LOADING QTY - 24.5 UNLOAD QTY - 24.41SHORATGE QTY - -16.5RATE - 80
12 28-02-2025 414646964 Adjustment 16,725.00 0.00 PAID SALARY FOR THE MONTH OF FEB 2025
13 31-03-2025 3/2025 Salary GJ39T7685 20,000.00 20,000.00 31 Days @ 20000.00/PM
14 31-03-2025 414647297 Adjustment 2,000.00 18,000.00 LOADING DATE - 03.05.2025 FROM STATION - KANDLA STATION TO - SONIPAT
15 31-03-2025 414647454 Adjustment 18,000.00 0.00 SALARY PAID FOR THE MONHT OF MARCH 2025
16 30-04-2025 4/2025 Salary GJ39T7685 20,000.00 20,000.00 30 Days @ 20000.00/PM
17 30-04-2025 414647784 Adjustment 2,240.00 17,760.00 LOADING DATE - 03.05.2025 UNLOADING DATE - 08.05.2025 PRODUCT - N BUTANOL LR NO - 48392 CUSTOMER NAME - PON PURE CHEMICAL INDIA PVT. LTD. FROM - KANDLA TO - SONIPAT LOADING QTY - 23.11 UNLOADING QTY - 23.022 SHORATGE - -18.67 RATE - 120
18 30-04-2025 414647932 Adjustment 17,760.00 0.00 SALARY PAID FOR THE MONTH OF APRIL 2025
19 31-05-2025 5/2025 Salary GJ39T7685 20,000.00 20,000.00 31 Days @ 20000.00/PM
20 31-05-2025 414648465 Adjustment 20,000.00 0.00 SALAY PAID FOR THE MONTH OF MAY 2025
21 01-06-2025 6/2025 Salary GJ39T7685 667.00 667.00 1 Days @ 20000.00/PM
22 30-06-2025 414649082 Adjustment 667.00 0.00 SALARY PAID FOR THE MONTH OF JUNE 2025
23 18-07-2025 414648333 Adjustment 2,000.00 -2,000.00 ADVANCE SALARY FOR REJOINING GIVEN CASH FROM TALOJA- 18.07.2025
24 31-07-2025 7/2025 Salary GJ39T8933 11,613.00 9,613.00 18 Days @ 20000.00/PM
25 31-07-2025 414649589 Adjustment 9,613.00 0.00 SALARY PAID FOR THE MONTH OF JULY 2025
26 31-08-2025 8/2025 Salary GJ39T8933 20,000.00 20,000.00 31 Days @ 20000.00/PM
27 31-08-2025 414649897 Adjustment 10,000.00 10,000.00 ADVANCE SALARY FOR SOME PERSONAL PROBLEM - 15.10.2025
28 15-10-2025 414649889 Adjustment 2,000.00 8,000.00 ADVANCE SALARY- 15.10.2025
Total... 152,947.00 160,947.00 8,000.00