Sr. No. Date Doc No. A/c Name Debit Credit Balance Particulars
1 03-01-2025 414645014 Adjustment 2,000.00 -2,000.00 ADVANCE SALARY FOR NEW JOINING- 03.01.2025
2 15-01-2025 414645105 Adjustment 2,000.00 -4,000.00 ADVANCE SALARY- 15.01.2025
3 31-01-2025 1/2025 Salary GJ39T8897 18,065.00 14,065.00 28 Days @ 20000.00/PM
4 31-01-2025 414646545 Adjustment 14,065.00 0.00 SALARY PAID FOR THE MONTH OF JAN 2025
5 31-01-2025 414646613 Adjustment 18,480.00 -18,480.00 LOADING DATE - 01.03.2025 UNLOAD DATE - 07.03.2025 PRODUCT - SOLVENT C9 LR NO- 55191 CUSTOMER NAME - PON PURE CHEMICAL INDIA PVT. LTD. STATION FROM - KANDLA TO - MANGALORE LOADING QTY - 24.77 UNLOAD QTY - 24.63 SHORATGE QTY - -140RATE - 132
6 10-02-2025 414645496 Adjustment 2,000.00 -20,480.00 ADVANCE SALARY- 10.02.2025
7 28-02-2025 2/2025 Salary GJ39T8897 20,000.00 -480.00 28 Days @ 20000.00/PM
Total... 38,545.00 38,065.00 -480.00