Sr. No.
|
Date
|
Doc No.
|
A/c Name
|
Debit
|
Credit
|
Balance
|
Particulars
|
1
|
31-01-2025
|
414646614
|
Adjustment
|
3,331,640.00
|
|
-3,331,640.00
|
LOADING DATE - 04.03.2025 UNLOAD DATE - 15.03.2025 PRODUCT - ALKYLATE 300 LR NO- 1865 CUSTOMER NAME - PON PURE LOGISTICS PRIVATE LIMITED STATION FROM - KANDLA TO - RANIPET LOADING QTY - 34.25 UNLOAD QTY - 14.88 SHORATGE QTY - -19370 RATE - 172
|
2
|
12-03-2025
|
414646170
|
Adjustment
|
2,000.00
|
|
-3,333,640.00
|
ADVANCE SALARY- 12.03.2025
|
3
|
14-03-2025
|
414646197
|
Adjustment
|
3,985.00
|
|
-3,337,625.00
|
JACK, FIRE EXTINGUISHER 9KG, MEDICAL BOX, HAND GLOVES, RING PANA MISSING- GJ39TA0132
|
4
|
14-03-2025
|
414646198
|
Adjustment
|
1,992.00
|
|
-3,339,617.00
|
1.5X DEBIT OF JACK, FIRE EXTINGUISHER 9KG, MEDICAL BOX, HAND GLOVES, RING PANA MISSING- GJ39TA0132- 19.03.2025
|
5
|
20-03-2025
|
414646202
|
Adjustment
|
2,000.00
|
|
-3,341,617.00
|
ADVANCE SALARY- 20.03.2025
|
6
|
29-03-2025
|
414646333
|
Adjustment
|
1,000.00
|
|
-3,342,617.00
|
ADVANCE SALARY- 29.03.2025
|
|
Total...
|
|
|
3,342,617.00
|
0.00
|
-3,342,617.00
|
|