Sr. No.
|
Date
|
Doc No.
|
A/c Name
|
Debit
|
Credit
|
Balance
|
Particulars
|
1
|
02-03-2024
|
414638966
|
Adjustment
|
1,500.00
|
|
-1,500.00
|
ADV . SAL . FOR NEW JOINING - 02.03.2024
|
2
|
06-03-2024
|
414638967
|
Adjustment
|
3,000.00
|
|
-4,500.00
|
ADVANCE SAL - 06.03.2024
|
3
|
13-03-2024
|
414639165
|
Adjustment
|
800.00
|
|
-5,300.00
|
CHEMICAL CARD - 2319 ( 13.03.2024 )
|
4
|
15-03-2024
|
414639313
|
Adjustment
|
3,000.00
|
|
-8,300.00
|
ADVANCE SAL - 15.03.2024
|
5
|
22-03-2024
|
414640214
|
Adjustment
|
3,000.00
|
|
-11,300.00
|
ADVANCE SAL - 22.03.2024
|
6
|
31-03-2024
|
3/2024
|
Salary GJ12BW2319
|
|
29,032.00
|
17,732.00
|
30 Days @ 30000.00/PM
|
7
|
31-03-2024
|
414639702
|
Adjustment
|
2,000.00
|
|
15,732.00
|
EXTRA DISEL . WRONG LOCATION MAI GAYA HAI ISLEA DISEL DENA HAI . 2319 ( 01.04.2024 )
|
8
|
31-03-2024
|
414639703
|
Adjustment
|
2,000.00
|
|
13,732.00
|
EXTRA DISEL DOUBLE FINE - 2319 ( 01.04.2024 )
|
9
|
31-03-2024
|
414640260
|
Adjustment
|
13,200.00
|
|
532.00
|
LD:05.04.2024, LR:46855, VEHICLE NO:GJ12BW2319, PRODUCT:STYRENE, SHORTAGE:110, RATE:120, JNPT TO HYDERABAD, BALAJI RESINS AND COATINGS
|
10
|
31-03-2024
|
414640598
|
Adjustment
|
532.00
|
|
0.00
|
SALARY PAID FOR THE MONTH OF MARCH 2024
|
11
|
01-04-2024
|
414639818
|
Adjustment
|
3,000.00
|
|
-3,000.00
|
ADVANCE SAL - 01.04.2024
|
12
|
10-04-2024
|
414640215
|
Adjustment
|
3,000.00
|
|
-6,000.00
|
ADVANCE SAL - 10.04.2024
|
13
|
24-04-2024
|
414640344
|
Adjustment
|
3,000.00
|
|
-9,000.00
|
ADVANCE SAL - 24.04.2024
|
14
|
30-04-2024
|
4/2024
|
Salary GJ12BW2319
|
|
30,000.00
|
21,000.00
|
30 Days @ 30000.00/PM
|
15
|
30-04-2024
|
414640413
|
Adjustment
|
7,000.00
|
|
14,000.00
|
TYRE BRUST - 11.05.2024
|
16
|
30-04-2024
|
414640663
|
Adjustment
|
7,000.00
|
|
7,000.00
|
SON'S ADMISSION - 2319 ( 06.05.2024 )
|
17
|
30-04-2024
|
414640698
|
Adjustment
|
10,000.00
|
|
-3,000.00
|
LD: 20.04.2024, LR:47569, LOADING QTY:25.14, UNLOADING QTY:25.06, ALLOWANCE:75.42, SHORTAGE:80, RATE:125/KG, KANDLA-CHENNAI, PRODUCT:BA, CUSTOMER:PON PURE CHEMICAL INDIA PVT. LTD.
|
18
|
01-05-2024
|
414641161
|
Adjustment
|
3,000.00
|
|
-6,000.00
|
ADVANCE SAL - 01.05.2024
|
19
|
14-05-2024
|
414641038
|
Adjustment
|
2,000.00
|
|
-8,000.00
|
ADVANCE SAL - 14.05.2024
|
20
|
31-05-2024
|
5/2024
|
Salary GJ12BW2319
|
|
30,000.00
|
22,000.00
|
31 Days @ 30000.00/PM
|
21
|
31-05-2024
|
414641713
|
Adjustment
|
22,000.00
|
|
0.00
|
SALARY PAID FOR THE MONTH OF MAY 2024 (ON DATE:11.07.2024)
|
22
|
01-06-2024
|
414642081
|
Adjustment
|
3,000.00
|
|
-3,000.00
|
ADVANCE SALARY 29.05.2024
|
23
|
15-06-2024
|
414641336
|
Adjustment
|
2,000.00
|
|
-5,000.00
|
ADVANCE SAL - 15.06.2024
|
24
|
20-06-2024
|
414641923
|
Adjustment
|
2,000.00
|
|
-7,000.00
|
ADVANCE SAL - 20.06.2024
|
25
|
26-06-2024
|
414641634
|
Adjustment
|
3,000.00
|
|
-10,000.00
|
ADVANCE SAL - 26.06.2024
|
26
|
30-06-2024
|
6/2024
|
Salary GJ12BW2319
|
|
30,000.00
|
20,000.00
|
30 Days @ 30000.00/PM
|
27
|
30-06-2024
|
414642144
|
Adjustment
|
102.00
|
|
19,898.00
|
EXTRA DISEL IOCL PAID - 2319
|
28
|
30-06-2024
|
414642584
|
Adjustment
|
19,898.00
|
|
0.00
|
SALARY PAID FOR THE MONTH OF JUNE 2024
|
29
|
02-07-2024
|
414642642
|
Adjustment
|
2,000.00
|
|
-2,000.00
|
ADVANCE SAL - 02.07.2024
|
30
|
09-07-2024
|
414642760
|
Adjustment
|
2,000.00
|
|
-4,000.00
|
ADVANCE SAL - 09.07.2024
|
31
|
18-07-2024
|
414641808
|
Adjustment
|
3,000.00
|
|
-7,000.00
|
ADVANCE SAL - 18.07.2024
|
32
|
30-07-2024
|
414642977
|
Adjustment
|
2,000.00
|
|
-9,000.00
|
ADVANCE SAL - 30.07.2024
|
33
|
31-07-2024
|
7/2024
|
Salary GJ12BW2319
|
|
30,000.00
|
21,000.00
|
31 Days @ 30000.00/PM
|
34
|
31-07-2024
|
414642218
|
Adjustment
|
150.00
|
|
20,850.00
|
MISSING OLD GOOGLES - 01.08.2024
|
35
|
31-07-2024
|
414643308
|
Adjustment
|
20,850.00
|
|
0.00
|
SALARY PAID FOR THE MONTH OF JULY 2024
|
36
|
20-08-2024
|
414642477
|
Adjustment
|
2,000.00
|
|
-2,000.00
|
ADVANCE SAL - 20.08.2024
|
37
|
31-08-2024
|
8/2024
|
Salary GJ12BW2319
|
|
21,000.00
|
19,000.00
|
31 Days @ 21000.00/PM
|
38
|
31-08-2024
|
414643198
|
Adjustment
|
2,000.00
|
|
17,000.00
|
TYRE PUNCHER - 2319
|
39
|
31-08-2024
|
414643488
|
Adjustment
|
2,000.00
|
|
15,000.00
|
EXTRA DISEL . BECAUSE OF BREAKDOWN VEHICLE . 25.09.2024
|
40
|
31-08-2024
|
414643886
|
Adjustment
|
15,000.00
|
|
0.00
|
PAID SALARY FOR THE MONTH OF AUGUST 2024.
|
41
|
30-09-2024
|
9/2024
|
Salary GJ12BW2319
|
|
21,000.00
|
21,000.00
|
30 Days @ 21000.00/PM
|
42
|
30-09-2024
|
414644201
|
Adjustment
|
21,000.00
|
|
0.00
|
SALARY PAID FOR THE MONTH OF SEP 2024
|
43
|
30-10-2024
|
414644136
|
Adjustment
|
1,500.00
|
|
-1,500.00
|
TOUCH A CAR - 05.11.2024
|
44
|
31-10-2024
|
10/2024
|
Salary GJ12BW2319
|
|
20,000.00
|
18,500.00
|
31 Days @ 20000.00/PM
|
45
|
31-10-2024
|
414644503
|
Adjustment
|
18,700.00
|
|
-200.00
|
LD 29.10.24 PD ACETONE LR NO 2135CUSTOMER NAME PON PURE LOGISTICS PVT LTD - CHENNA FROM COCHIN TO HYDERABAD LDQ23.97 UNLOADQ 23.8 QTY DEDUCATE -170
|
46
|
05-11-2024
|
11/2024
|
Salary GJ12BW2319
|
|
3,333.00
|
3,133.00
|
5 Days @ 20000.00/PM
|
47
|
30-11-2024
|
414645007
|
Adjustment
|
2,550.00
|
|
583.00
|
MORE SHORTAGE AMOUNT DEBIT ( LD 29.10.24 PD ACETONE LR NO 2135CUSTOMER NAME PON PURE LOGISTICS PVT LTD - CHENNA FROM COCHIN TO HYDERABAD )
|
|
Total...
|
|
|
213,782.00
|
214,365.00
|
583.00
|
|