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Details of Demands for Grants and Appropriations Vol-II

FY 2020-21Details of demandsPages 1 to 100 of 883

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Page 1

                            For Departmental use only

 FEDERAL
BUDGET
   2020-2021

DETAILS OF DEMANDS
  FOR GRANTS AND
  APPROPRIATIONS
    VOLUME II
  Current Expenditure

    Government of Pakistan
       Finance Division
          Islamabad

Page 2

                 P R E F A C E

The “Details of Demands for Grants and Appropriations 2020-21”  is prepared as
additional information mainly for Account Offices and Budget utilizing entities. It is a
collection of Budget Orders/New Item Statements submitted by individual entities, the
verified physical record of which is maintained by entity concerned as well as Finance
Division. The purpose of the book is to provide details to dealing staff. “Details of
Demands for Grants and Appropriations” is available in SAP ERP and official website
of Finance Division. Hard copy of this book is not printed.

There are separate volumes for Current Expenditure and Development Expenditure.
For the Current and Development Expenditures, a clear distinction has been made
between Expenditure on Revenue and Expenditure on Capital Account. The estimated
expenditures are reported on gross basis. Wherever any receipts or recoveries are
expected, the estimated reduction in expenditure is shown below the relevant demand.

The budget information  is reported in  this publication from Function-cum-Object
perspective. It describes budgeted resources to be spent on objects of expenditure like
employee related expenses, utilities, motor vehicles and travel etc. The Functional
Classification provides a perspective about the purpose on which money will be spent
like general public service, defence affairs, public order and safety etc. The book, gives
detailed information till the sub detailed level of Functional classification whereas, the
Object Classification gives information till the level of their respective Minor Heads.
The accounting office’s through which the budgets of individual  entities will be
processed for payments against budgeted amounts are also identified with each Grant or
Appropriation. For day-to-day working of Ministries and  their departments,  this
document becomes the basic reference point for expenditure management and control.

                             NAVEED KAMRAN BALOCH
Finance Division,                           Secretary to the Government of Pakistan
Islamabad, the 12th June, 2020

Page 3

      Note: Please Click on Desired Ministry/Demand for Instant Access

X - FINANCE AND REVENUE, MINISTRY OF-
    59  Finance Division                                       1380
    60  Other Expenditure of Finance Division                      1390
    61  Controller General of Accounts                            1399
    62  Pakistan Mint                                          1475
    63  National Savings                                       1478
    64  Superannuation Allowances and Pensions                   1517
    65  Grants-in-Aid and Miscellaneous Adjustments
        between the Federal and Provincial Governments             1525
    66  Subsidies and Miscellaneous Expenditure                   1531
    __
         Higher Education Commission (HEC)                       1537
    __
        Economic Affairs Division                                1563
    67  Revenue Division                                      1569
    68  Other Expenditure of Revenue Division                     1585
    69  Federal Board of Revenue                               1598
    70  Customs                                             1617
    71  Inland Revenue                                        1693

XI - FOREIGN AFFAIRS, MINISTRY OF -

    72  Foreign Affairs Division                                  1784
    73  Other Expenditure of Foreign Affairs Division                 1798
    74  Foreign Affairs                                         1808

                                                         (i)

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XII - HOUSING AND WORKS, MINISTRY OF  -

    75  Housing and Works Division                              1943
    76  Other Expenditure of Housing & Works Division               1947
    __
            Civil Works                                           1983
    __
         Estate Offices                                         2012
    __
         Federal Lodges                                        2023

XIII - HUMAN RIGHTS, MINISTRY OF  -

    77  Human Rights Division                                  2031
    78  Other Expenditure of Human Rights Division                 2074
    79  Miscellaneous Expenditure of Human Rights Division          2102

XIV- INDUSTRIES AND PRODUCTION, MINISTRY OF -

    80  Industries and Production Division                         2106
    81  Other Expenditure of Industries and Production Division        2110
    82  Miscellaneous Expenditure of Industries and
         Production Division                                     2124
    __
        Department of Investment Promotion and Supplies            2128
    83  Financial Action Task Force (FATF) Secretariat               2130

                                                          (ii)

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XV - INFORMATION AND BROADCASTING, MINISTRY OF-

    84  Information and Broadcasting Division                      2133
    85  Other Expenditure of Information and Broadcasting Division     2148
    86  Miscellaneous Expenditure of Information and
         Broadcasting Division                                   2178
    __
          Directorate of Publications, Newsreels and Documentaries      2182
    __
         Press Information Department                            2195
    87  Information Services Abroad                              2213
    __
          National History and Literary Heritage Division                2235

                                                          (iii)

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                                   SECTION X

                          MINISTRY OF FINANCE AND REVENUE
                                                            **********

                                                                               2020-2021
                                                                           Budget
                                                                                  Estimate

                                                                    (Rupees in Thousand)
Demands Presented on behalf of the Ministry of
Finance and Revenue

Current Expenditure on Revenue Account
           59.  Finance Division                                                         1,854,552
           60.  Other Expenditure of Finance Division                                   28,838,490
           61.  Controller General of Accounts                                           5,923,620
           62.  Pakistan Mint                                                           642,526
           63.  National Savings                                                         3,639,397
           64.  Superannuation Allowances and Pensions                             470,000,000
           65.  Grants-in-Aid and Miscellaneous Adjustments
             between the Federal and Provincial Governments                       171,890,000
           66.  Subsidies and Miscellaneous Expenditure                              643,300,000
          __  Higher Education Commission (HEC)
          __  Economic Affairs Division
           67.  Revenue Division                                                         73,909
           68.  Other Expenditure of Revenue Division                                    352,232
           69.  Federal Board of Revenue                                                4,463,246
           70.  Customs                                                                 8,482,367
           71.  Inland Revenue                                                        14,769,674

                                                                           Total:           1,354,230,013

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NO. 059.- FINANCE DIVISION                                         DEMANDS FOR GRANTS
                                DEMAND NO. 059
                                                                            ( FC21F05 )
                                    FINANCE DIVISION

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2021 to defray the Salaries and Other
Expenses of the FINANCE DIVISION.

                                Voted           Rs. 1,854,552,000

             II.    FUNCTION-cum-OBJECT Classification under which this Grant will be accounted for on behalf of the
MINISTRY OF FINANCE AND REVENUE  .

                                                           2019-2020         2019-2020         2020-2021
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
011    Executive & Legislative Organs,Financial and Fiscal         1,858,000,000         1,931,539,000         1,854,552,000
         Affairs, External Affairs
               Total                                               1,858,000,000         1,931,539,000         1,854,552,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                        1,427,000,000       1,452,049,000       1,602,200,000
A011  Pay                                                        633,415,000          625,123,000          696,708,000
A011-1 Pay of Officers                                               (405,707,000)         (403,311,000)         (433,967,000)
A011-2 Pay of Other Staff                                            (227,708,000)         (221,812,000)         (262,741,000)
A012  Allowances                                                 793,585,000          826,926,000          905,492,000
A012-1 Regular Allowances                                          (402,742,000)         (431,079,000)         (495,374,000)
A012-2 Other Allowances (Excluding TA)                             (390,843,000)         (395,847,000)         (410,118,000)
A03   Operating Expenses                                  328,289,000        334,889,000        200,157,000
A04   Employees Retirement Benefits                         46,213,000         54,137,000         25,948,000
A05   Grants, Subsidies and Write off Loans                    7,639,000         47,645,000           4,553,000
A06   Transfers                                                   2,000              3,000              3,000
A09   Physical Assets                                        29,747,000         22,202,000         11,229,000
A13   Repairs and Maintenance                               19,110,000         20,614,000         10,462,000
               Total                                         1,858,000,000       1,931,539,000       1,854,552,000

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2019-2020         2019-2020       2020-2021
                                       2019-20 2020-21       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES
01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
ID1013 FINANCE DIVISION ( MAIN)
011204- A01    Employees Related Expenses                   1,141,778,000         1,184,779,000         1,265,760,000
011204- A011   Pay                    1387   1387          497,217,000          495,217,000          535,373,000
011204- A011-1 Pay of Officers             (461)   (461)       (333,151,000)       (333,151,000)       (354,056,000)
011204- A011-2 Pay of Other Staff          (926)   (926)       (164,066,000)       (162,066,000)       (181,317,000)
011204- A012   Allowances                                        644,561,000          689,562,000          730,387,000
011204- A012-1  Regular Allowances                            (314,949,000)       (354,950,000)       (388,575,000)
011204- A012-2  Other Allowances (Excluding TA)                (329,612,000)       (334,612,000)       (341,812,000)
011204- A03    Operating Expenses                              259,901,000          262,479,000          158,677,000
011204- A032   Communications                                    21,917,000            21,917,000            11,669,000
011204- A033     Utilities                                                  3,000                 3,000                 3,000
011204- A034   Occupancy Costs                                  101,251,000          111,751,000            56,629,000
011204- A037   Consultancy and Contractual Work                       1,000                 1,000                 1,000
011204- A038    Travel & Transportation                             58,902,000            56,902,000            31,049,000
011204- A039   General                                             77,827,000            71,905,000            59,326,000
011204- A04    Employees Retirement Benefits                    41,001,000            44,001,000            23,233,000
011204- A041   Pension                                            41,001,000            44,001,000            23,233,000
011204- A05    Grants, Subsidies and Write off Loans              6,610,000            46,610,000             4,541,000
011204- A052   Grants Domestic                                     6,610,000            46,610,000             4,541,000
011204- A06    Transfers                                                1,000                 1,000                 1,000
011204- A063    Entertainment & Gifts                                    1,000                 1,000                 1,000
011204- A09    Physical Assets                                    19,600,000            16,051,000             6,706,000
011204- A092   Computer Equipment                                 9,900,000             3,351,000              898,000
011204- A095   Purchase of Transport                                2,200,000             2,200,000             1,584,000
011204- A096   Purchase of Plant and Machinery                     4,000,000             4,000,000             2,112,000
011204- A097   Purchase of Furniture and Fixture                     3,500,000             6,500,000             2,112,000
011204- A13    Repairs and Maintenance                          12,500,000            14,000,000             6,970,000
011204- A130    Transport                                             4,000,000             2,500,000             1,584,000

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011204- A131   Machinery and Equipment                            3,000,000             3,000,000             1,848,000
011204- A132    Furniture and Fixture                                 1,900,000             1,900,000             1,320,000
011204- A133    Buildings and Structure                               2,000,000             5,000,000             1,056,000
011204- A137   Computer Equipment                                 1,600,000             1,600,000             1,162,000
        Total- FINANCE DIVISION ( MAIN)                    1,481,391,000       1,567,921,000       1,465,888,000
ID1028 FINANCE DIVISION (MILITARY).
011204- A01    Employees Related Expenses                    210,339,000          197,959,000          237,745,000
011204- A011   Pay                     312    312          100,682,000            93,535,000          110,655,000
011204- A011-1 Pay of Officers               (77)    (77)         (67,540,000)         (62,993,000)         (68,403,000)
011204- A011-2 Pay of Other Staff          (235)   (235)         (33,142,000)         (30,542,000)         (42,252,000)
011204- A012   Allowances                                        109,657,000          104,424,000          127,090,000
011204- A012-1  Regular Allowances                             (62,856,000)         (57,723,000)         (74,489,000)
011204- A012-2  Other Allowances (Excluding TA)                 (46,801,000)         (46,701,000)         (52,601,000)
011204- A03    Operating Expenses                               24,190,000            33,182,000            17,631,000
011204- A032   Communications                                     2,017,000             1,954,000             1,173,000
011204- A033     Utilities                                                  1,000                 1,000                 1,000
011204- A034   Occupancy Costs                                   17,030,000            24,630,000            13,216,000
011204- A038    Travel & Transportation                               3,002,000             2,694,000             1,613,000
011204- A039   General                                              2,140,000             3,903,000             1,628,000
011204- A04    Employees Retirement Benefits                     5,210,000            10,132,000             2,711,000
011204- A041   Pension                                              5,210,000            10,132,000             2,711,000
011204- A05    Grants, Subsidies and Write off Loans              1,029,000             1,029,000                 6,000
011204- A052   Grants Domestic                                     1,029,000             1,029,000                 6,000
011204- A06    Transfers                                                1,000                 1,000                 1,000
011204- A063    Entertainment & Gifts                                    1,000                 1,000                 1,000
011204- A09    Physical Assets                                      889,000              889,000              213,000
011204- A092   Computer Equipment                                 338,000              338,000
011204- A095   Purchase of Transport                                151,000              151,000                 1,000
011204- A096   Purchase of Plant and Machinery                      200,000              200,000              106,000
011204- A097   Purchase of Furniture and Fixture                     200,000              200,000              106,000
011204- A13    Repairs and Maintenance                            500,000              498,000              264,000
011204- A130    Transport                                            150,000              150,000               79,000
011204- A131   Machinery and Equipment                             100,000               98,000               53,000

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011204- A132    Furniture and Fixture                                  100,000              100,000               53,000
011204- A137   Computer Equipment                                 150,000              150,000               79,000
        Total- FINANCE DIVISION (MILITARY).                242,158,000        243,690,000        258,571,000
     011204   Total-  Administration of Financial Affairs         1,723,549,000       1,811,611,000       1,724,459,000
     0112     Total-  Financial and Fiscal Affairs              1,723,549,000       1,811,611,000       1,724,459,000
     011      Total-  Executive & Legislative                  1,723,549,000       1,811,611,000       1,724,459,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  1,723,549,000       1,811,611,000       1,724,459,000
               Total- ACCOUNTANT GENERAL                 1,723,549,000         1,811,611,000         1,724,459,000
                PAKISTAN REVENUES

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
PR0078 FINANCIAL ADVISOR AIRFORCE PESHAWAR
011204- A01    Employees Related Expenses                                           12,428,000            15,642,000
011204- A011   Pay                                26                                  7,155,000             8,764,000
011204- A011-1 Pay of Officers                           (7)                               (4,551,000)          (6,092,000)
011204- A011-2 Pay of Other Staff                    (19)                               (2,604,000)          (2,672,000)
011204- A012   Allowances                                                                 5,273,000             6,878,000
011204- A012-1  Regular Allowances                                                    (5,169,000)          (6,773,000)
011204- A012-2  Other Allowances (Excluding TA)                                        (104,000)            (105,000)
011204- A03    Operating Expenses                                                       2,030,000             1,092,000
011204- A032   Communications                                                            66,000               35,000
011204- A033     Utilities                                                                        1,000                 1,000
011204- A034   Occupancy Costs                                                           1,402,000              748,000
011204- A038    Travel & Transportation                                                    513,000              279,000
011204- A039   General                                                                     48,000               29,000
011204- A04    Employees Retirement Benefits                                              2,000                 2,000
011204- A041   Pension                                                                       2,000                 2,000
011204- A05    Grants, Subsidies and Write off Loans                                       6,000                 6,000
011204- A052   Grants Domestic                                                               6,000                 6,000
011204- A06    Transfers                                                                      1,000                 1,000
011204- A063    Entertainment & Gifts                                                          1,000                 1,000
011204- A09    Physical Assets                                                               4,000                 3,000
011204- A092   Computer Equipment                                                          1,000
011204- A095   Purchase of Transport                                                         1,000                 1,000
011204- A096   Purchase of Plant and Machinery                                              1,000                 1,000
011204- A097   Purchase of Furniture and Fixture                                              1,000                 1,000
011204- A13    Repairs and Maintenance                                                     6,000                 5,000
011204- A130    Transport                                                                      1,000                 1,000
011204- A131   Machinery and Equipment                                                     3,000                 2,000

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011204- A132    Furniture and Fixture                                                          1,000                 1,000
011204- A137   Computer Equipment                                                          1,000                 1,000
        Total- FINANCIAL ADVISOR AIRFORCE                                    14,477,000          16,751,000
          PESHAWAR
     011204   Total-  Administration of Financial Affairs                               14,477,000         16,751,000
     0112     Total-  Financial and Fiscal Affairs                                    14,477,000         16,751,000
     011      Total-  Executive & Legislative                                        14,477,000         16,751,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                                        14,477,000         16,751,000
               Total- ACCOUNTANT GENERAL                                         14,477,000            16,751,000
                PAKISTAN REVENUES
                  SUB-OFFICE, PESHAWAR

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
HQ0387 ECONOMIC MINISTER AND FINANCIAL ADVISER WASHINGTON U.S.A.
011204- A01    Employees Related Expenses                      28,818,000            22,118,000            33,718,000
011204- A011   Pay                       4      4           17,400,000            13,700,000            21,500,000
011204- A011-1 Pay of Officers                  (1)      (1)          (1,400,000)            (700,000)          (1,500,000)
011204- A011-2 Pay of Other Staff               (3)      (3)         (16,000,000)         (13,000,000)         (20,000,000)
011204- A012   Allowances                                         11,418,000             8,418,000            12,218,000
011204- A012-1  Regular Allowances                               (6,518,000)          (3,518,000)          (7,118,000)
011204- A012-2  Other Allowances (Excluding TA)                  (4,900,000)          (4,900,000)          (5,100,000)
011204- A03    Operating Expenses                                 7,661,000             7,661,000             3,884,000
011204- A032   Communications                                     1,030,000             1,030,000              546,000
011204- A033     Utilities                                               1,450,000             1,450,000              819,000
011204- A034   Occupancy Costs                                      25,000               25,000               13,000
011204- A036   Motor Vehicles                                       300,000              300,000              185,000
011204- A038    Travel & Transportation                               1,720,000             1,720,000              909,000
011204- A039   General                                              3,136,000             3,136,000             1,412,000
011204- A09    Physical Assets                                      1,251,000             1,251,000              555,000
011204- A092   Computer Equipment                                 200,000              200,000
011204- A095   Purchase of Transport                                   1,000                 1,000                 1,000
011204- A096   Purchase of Plant and Machinery                      550,000              550,000              290,000
011204- A097   Purchase of Furniture and Fixture                     500,000              500,000              264,000
011204- A13    Repairs and Maintenance                            2,475,000             2,475,000             1,306,000
011204- A130    Transport                                            500,000              500,000              264,000
011204- A131   Machinery and Equipment                             250,000              250,000              132,000
011204- A132    Furniture and Fixture                                   50,000               50,000               26,000
011204- A133    Buildings and Structure                               1,610,000             1,610,000              850,000
011204- A137   Computer Equipment                                   65,000               65,000               34,000
        Total- ECONOMIC MINISTER AND FINANCIAL          40,205,000         33,505,000          39,463,000
           ADVISER WASHINGTON U.S.A.
HQ3305 ECONOMIC MINISTER/COUNSELLOR EMBASSY OF PAKISTAN TOKYO JAPAN

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

011204- A01    Employees Related Expenses                      15,083,000            10,383,000            16,503,000
011204- A011   Pay                       3      3            6,700,000             5,200,000             8,000,000
011204- A011-1 Pay of Officers                  (1)      (1)          (1,200,000)            (600,000)          (1,500,000)
011204- A011-2 Pay of Other Staff               (2)      (2)          (5,500,000)          (4,600,000)          (6,500,000)
011204- A012   Allowances                                           8,383,000             5,183,000             8,503,000
011204- A012-1  Regular Allowances                               (6,403,000)          (3,203,000)          (6,403,000)
011204- A012-2  Other Allowances (Excluding TA)                  (1,980,000)          (1,980,000)          (2,100,000)
011204- A03    Operating Expenses                               11,964,000            11,964,000             6,345,000
011204- A032   Communications                                     1,215,000             1,215,000              640,000
011204- A033     Utilities                                               1,125,000             1,125,000              620,000
011204- A034   Occupancy Costs                                        2,000                 2,000                 2,000
011204- A036   Motor Vehicles                                       300,000              300,000              158,000
011204- A038    Travel & Transportation                               2,430,000             2,430,000             1,284,000
011204- A039   General                                              6,892,000             6,892,000             3,641,000
011204- A04    Employees Retirement Benefits                         1,000                 1,000                 1,000
011204- A041   Pension                                                 1,000                 1,000                 1,000
011204- A09    Physical Assets                                      956,000              956,000              424,000
011204- A092   Computer Equipment                                 155,000              155,000
011204- A095   Purchase of Transport                                   1,000                 1,000                 1,000
011204- A096   Purchase of Plant and Machinery                      450,000              450,000              238,000
011204- A097   Purchase of Furniture and Fixture                     350,000              350,000              185,000
011204- A13    Repairs and Maintenance                            2,015,000             2,015,000             1,063,000
011204- A130    Transport                                            900,000              900,000              475,000
011204- A131   Machinery and Equipment                             400,000              400,000              211,000
011204- A132    Furniture and Fixture                                  400,000              400,000              211,000
011204- A133    Buildings and Structure                               315,000              315,000              166,000
        Total- ECONOMIC MINISTER/COUNSELLOR            30,019,000         25,319,000          24,336,000
          EMBASSY OF PAKISTAN TOKYO JAPAN

HQ3355 ECONOMIC MINISTER, EMBASSY OF PAKISTAN BEIJING, CHINA
011204- A01    Employees Related Expenses                      18,867,000            15,167,000            20,717,000
011204- A011   Pay                       8      5            6,416,000             5,716,000             7,416,000
011204- A011-1 Pay of Officers                  (2)      (1)          (1,416,000)            (716,000)          (1,416,000)

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

011204- A011-2 Pay of Other Staff               (6)      (4)          (5,000,000)          (5,000,000)          (6,000,000)
011204- A012   Allowances                                         12,451,000             9,451,000            13,301,000
011204- A012-1  Regular Allowances                               (7,001,000)          (4,001,000)          (7,001,000)
011204- A012-2  Other Allowances (Excluding TA)                  (5,450,000)          (5,450,000)          (6,300,000)
011204- A03    Operating Expenses                               14,963,000            14,963,000             7,457,000
011204- A032   Communications                                     1,334,000             1,334,000              599,000
011204- A033     Utilities                                               959,000              959,000              537,000
011204- A034   Occupancy Costs                                     5,000,000             5,000,000             2,640,000
011204- A036   Motor Vehicles                                       250,000              250,000              132,000
011204- A038    Travel & Transportation                               2,550,000             2,550,000             1,241,000
011204- A039   General                                              4,870,000             4,870,000             2,308,000
011204- A09    Physical Assets                                      1,101,000             1,101,000              582,000
011204- A095   Purchase of Transport                                   1,000                 1,000                 1,000
011204- A096   Purchase of Plant and Machinery                      600,000              600,000              317,000
011204- A097   Purchase of Furniture and Fixture                     500,000              500,000              264,000
011204- A13    Repairs and Maintenance                            1,170,000             1,170,000              616,000
011204- A130    Transport                                            600,000              600,000              317,000
011204- A131   Machinery and Equipment                              50,000               50,000               26,000
011204- A132    Furniture and Fixture                                   50,000               50,000               26,000
011204- A133    Buildings and Structure                               320,000              320,000              169,000
011204- A137   Computer Equipment                                 150,000              150,000               78,000
        Total- ECONOMIC MINISTER, EMBASSY OF            36,101,000         32,401,000          29,372,000
           PAKISTAN BEIJING, CHINA
HQ3680 ECONOMIC MINISTER EMBASSY OF PAKISTAN LONDON UK
011204- A01    Employees Related Expenses                      12,115,000             9,215,000            12,115,000
011204- A011   Pay                       3      3            5,000,000             4,600,000             5,000,000
011204- A011-1 Pay of Officers                  (1)      (1)          (1,000,000)            (600,000)          (1,000,000)
011204- A011-2 Pay of Other Staff               (2)      (2)          (4,000,000)          (4,000,000)          (4,000,000)
011204- A012   Allowances                                           7,115,000             4,615,000             7,115,000
011204- A012-1  Regular Allowances                               (5,015,000)          (2,515,000)          (5,015,000)
011204- A012-2  Other Allowances (Excluding TA)                  (2,100,000)          (2,100,000)          (2,100,000)
011204- A03    Operating Expenses                                 9,610,000             2,610,000             5,071,000
011204- A032   Communications                                     890,000                                   469,000

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NO. 059.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

011204- A033     Utilities                                               420,000              420,000              222,000
011204- A034   Occupancy Costs                                     2,300,000                                   1,214,000
011204- A036   Motor Vehicles                                       800,000                                   422,000
011204- A038    Travel & Transportation                               2,325,000                                   1,227,000
011204- A039   General                                              2,875,000             2,190,000             1,517,000
011204- A04    Employees Retirement Benefits                         1,000                 1,000                 1,000
011204- A041   Pension                                                 1,000                 1,000                 1,000
011204- A09    Physical Assets                                      5,950,000             1,950,000             2,746,000
011204- A092   Computer Equipment                                 750,000              750,000
011204- A095   Purchase of Transport                                4,000,000                                   2,112,000
011204- A096   Purchase of Plant and Machinery                      600,000              600,000              317,000
011204- A097   Purchase of Furniture and Fixture                     600,000              600,000              317,000
011204- A13    Repairs and Maintenance                            450,000              450,000              238,000
011204- A130    Transport                                            100,000              100,000               53,000
011204- A131   Machinery and Equipment                             100,000              100,000               53,000
011204- A132    Furniture and Fixture                                  100,000              100,000               53,000
011204- A133    Buildings and Structure                               150,000              150,000               79,000
        Total- ECONOMIC MINISTER EMBASSY OF             28,126,000         14,226,000          20,171,000
           PAKISTAN LONDON UK
     011204   Total-  Administration of Financial Affairs          134,451,000        105,451,000        113,342,000
     0112     Total-  Financial and Fiscal Affairs                134,451,000        105,451,000        113,342,000
     011      Total-  Executive & Legislative                   134,451,000        105,451,000        113,342,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                   134,451,000        105,451,000        113,342,000
               Total- CHIEF ACCOUNTS OFFICER               134,451,000          105,451,000          113,342,000
                  (MINISTRY OF FOREIGN
                  AFFAIRS)
          TOTAL - DEMAND                             1,858,000,000       1,931,539,000       1,854,552,000

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NO. 060.- OTHER EXPENDITURE OF FINANCE DIVISION                       DEMANDS FOR GRANTS
                                DEMAND NO. 060
                                                                            ( FC21Y07 )
                        OTHER EXPENDITURE OF FINANCE DIVISION

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2021 to defray the Salaries and Other
Expenses of the OTHER EXPENDITURE OF FINANCE DIVISION.

                                Voted           Rs. 28,838,490,000

             II.    FUNCTION-cum-OBJECT Classification under which this Grant will be accounted for on behalf of the
MINISTRY OF FINANCE AND REVENUE  .

                                                           2019-2020         2019-2020         2020-2021
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
011    Executive & Legislative Organs,Financial and Fiscal          429,000,000          385,684,000          427,690,000
         Affairs, External Affairs
014    Transfers                                                 21,920,000,000        31,894,974,000        28,410,800,000
               Total                                              22,349,000,000        32,280,658,000        28,838,490,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                         180,500,000        470,399,000        352,052,000
A011  Pay                                                        110,720,000          241,361,000          177,655,000
A011-1 Pay of Officers                                                 (79,183,000)         (180,287,000)         (144,148,000)
A011-2 Pay of Other Staff                                              (31,537,000)           (61,074,000)           (33,507,000)
A012  Allowances                                                   69,780,000          229,038,000          174,397,000
A012-1 Regular Allowances                                            (50,549,000)         (192,342,000)         (154,346,000)
A012-2 Other Allowances (Excluding TA)                              (19,231,000)           (36,696,000)           (20,051,000)
A03   Operating Expenses                                  149,658,000        379,249,000        479,726,000
A04   Employees Retirement Benefits                          2,556,000           2,612,000           4,536,000
A05   Grants, Subsidies and Write off Loans               22,013,173,000      31,409,055,000      28,000,012,000
A09   Physical Assets                                         1,906,000           1,906,000           1,101,000
A13   Repairs and Maintenance                                1,207,000         17,437,000           1,063,000
               Total                                        22,349,000,000      32,280,658,000      28,838,490,000

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2019-2020         2019-2020       2020-2021
                                       2019-20 2020-21       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES
01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
IB2030 VIABILITY GAP FUND
011204- A03    Operating Expenses                                                                         100,000,000
011204- A039   General                                                                                      100,000,000
        Total-  VIABILITY GAP FUND                                                                100,000,000
IB2200 PAKISTAN INNOVATION FUND
011204- A03    Operating Expenses                                                                         100,000,000
011204- A039   General                                                                                      100,000,000
        Total- PAKISTAN INNOVATION FUND                                                        100,000,000
     011204   Total-  Administration of Financial Affairs                                                 200,000,000
011206 Accounting services  :
ID1166 FEDERAL TREASURY OFFICE ISLAMABAD.
011206- A01    Employees Related Expenses                      39,883,000            39,884,000            41,074,000
011206- A011   Pay                      56     56           18,108,000            18,108,000            18,923,000
011206- A011-1 Pay of Officers                  (9)      (9)          (5,850,000)          (5,850,000)          (5,072,000)
011206- A011-2 Pay of Other Staff            (47)    (47)         (12,258,000)         (12,258,000)         (13,851,000)
011206- A012   Allowances                                         21,775,000            21,776,000            22,151,000
011206- A012-1  Regular Allowances                             (11,215,000)         (11,216,000)         (11,071,000)
011206- A012-2  Other Allowances (Excluding TA)                 (10,560,000)         (10,560,000)         (11,080,000)
011206- A03    Operating Expenses                               74,269,000            58,039,000            49,409,000
011206- A032   Communications                                     420,000              420,000              415,000
011206- A033     Utilities                                               974,000              974,000             1,226,000
011206- A034   Occupancy Costs                                     5,001,000             3,001,000             5,501,000
011206- A038    Travel & Transportation                               1,251,000             1,311,000             1,401,000
011206- A039   General                                             66,623,000            52,333,000            40,866,000
011206- A04    Employees Retirement Benefits                     1,351,000             1,351,000              102,000
011206- A041   Pension                                              1,351,000             1,351,000              102,000
011206- A05    Grants, Subsidies and Write off Loans                  6,000                 6,000                 6,000
011206- A052   Grants Domestic                                         6,000                 6,000                 6,000
011206- A09    Physical Assets                                      1,000,000             1,000,000              551,000

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A092   Computer Equipment                                 350,000              350,000
011206- A093   Commodity Purchases                                                                              1,000
011206- A096   Purchase of Plant and Machinery                      400,000              400,000              300,000
011206- A097   Purchase of Furniture and Fixture                     250,000              250,000              250,000
011206- A13    Repairs and Maintenance                            852,000            17,082,000              633,000
011206- A131   Machinery and Equipment                             350,000              350,000              350,000
011206- A132    Furniture and Fixture                                  150,000              150,000               50,000
011206- A133    Buildings and Structure                                                   16,300,000                 3,000
011206- A137   Computer Equipment                                 352,000              282,000              230,000
        Total- FEDERAL TREASURY OFFICE                  117,361,000        117,362,000          91,775,000
           ISLAMABAD.
     011206   Total-  Accounting services                      117,361,000        117,362,000         91,775,000
     0112     Total-  Financial and Fiscal Affairs                117,361,000        117,362,000        291,775,000
     011      Total-  Executive & Legislative                   117,361,000        117,362,000        291,775,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
014    Transfers:
0141   Transfers (Inter-Governmental):
014110 Others  :
ID6071 PROVISION FOR RELIEF ETC.
014110- A05    Grants, Subsidies and Write off Loans          3,000,000,000         8,000,000,000         3,000,000,000
014110- A052   Grants Domestic                                  3,000,000,000         8,000,000,000         3,000,000,000
        Total- PROVISION FOR RELIEF ETC.                 3,000,000,000       8,000,000,000       3,000,000,000
     014110   Total-  Others                                 3,000,000,000       8,000,000,000       3,000,000,000
     0141     Total-  Transfers (Inter-Governmental)           3,000,000,000       8,000,000,000       3,000,000,000
0142   Transfers (Others):
014201 Transfer To Financial Institutions  :
IB0611 PAKISTAN BANAO CERTIFICATE
014201- A03    Operating Expenses                                                                         112,200,000
014201- A039   General                                                                                      112,200,000
        Total- PAKISTAN BANAO CERTIFICATE                                                     112,200,000
IB0691 FWBL'S KEY INTIATIVES/ DEVELOPMENT
014201- A05    Grants, Subsidies and Write off Loans            500,000,000
014201- A052   Grants Domestic                                  500,000,000

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

        Total- FWBL'S KEY INTIATIVES/                      500,000,000
          DEVELOPMENT
IB2039 STANDARD CHARTERED BANK
014201- A03    Operating Expenses                                                                           13,600,000
014201- A039   General                                                                                        13,600,000
        Total- STANDARD CHARTERED BANK                                                        13,600,000
     014201   Total-  Transfer To Financial Institutions           500,000,000                            125,800,000
014202 Trasfer To Non-Financial Institutions  :
IB0631 PUBLIC PRIVATE PARTNERSHIP AUTHORITY-PPPA
014202- A01    Employees Related Expenses                      64,500,000
014202- A011   Pay                                                 56,087,000
014202- A011-1 Pay of Officers                                  (39,822,000)
014202- A011-2 Pay of Other Staff                               (16,265,000)
014202- A012   Allowances                                           8,413,000
014202- A012-1  Regular Allowances                               (8,413,000)
014202- A03    Operating Expenses                               10,500,000
014202- A039   General                                             10,500,000
        Total- PUBLIC PRIVATE PARTNERSHIP                75,000,000
           AUTHORITY-PPPA
IB0701 AUDIT OVERSIGHT BOARD
014202- A01    Employees Related Expenses                      35,000,000            35,000,000            35,000,000
014202- A011   Pay                                                 31,415,000            31,415,000            31,695,000
014202- A011-1 Pay of Officers                                  (30,525,000)         (30,525,000)         (31,064,000)
014202- A011-2 Pay of Other Staff                                  (890,000)            (890,000)            (631,000)
014202- A012   Allowances                                           3,585,000             3,585,000             3,305,000
014202- A012-1  Regular Allowances                               (3,585,000)          (3,585,000)          (3,305,000)
        Total- AUDIT OVERSIGHT BOARD                     35,000,000         35,000,000          35,000,000
ID6074 COMPETITION COMMISSION OF PAKISTAN.
014202- A01    Employees Related Expenses                                          354,397,000          231,000,000
014202- A011   Pay                                                                    186,728,000          105,000,000
014202- A011-1 Pay of Officers                                                     (140,926,000)       (105,000,000)
014202- A011-2 Pay of Other Staff                                                    (45,802,000)
014202- A012   Allowances                                                             167,669,000          126,000,000

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

014202- A012-1  Regular Allowances                                                (150,204,000)       (126,000,000)
014202- A012-2  Other Allowances (Excluding TA)                                      (17,465,000)
014202- A03    Operating Expenses                                                    255,577,000            19,000,000
014202- A039   General                                                                255,577,000            19,000,000
014202- A05    Grants, Subsidies and Write off Loans            210,000,000
014202- A052   Grants Domestic                                  210,000,000
        Total- COMPETITION COMMISSION OF                210,000,000        609,974,000        250,000,000
            PAKISTAN.
     014202   Total-  Trasfer To Non-Financial                 320,000,000        644,974,000        285,000,000
                           Institutions
     0142     Total-  Transfers (Others)                       820,000,000        644,974,000        410,800,000
     014      Total-  Transfers                              3,820,000,000       8,644,974,000       3,410,800,000
     01        Total-  General Public Service                  3,937,361,000       8,762,336,000       3,702,575,000
               Total- ACCOUNTANT GENERAL                 3,937,361,000         8,762,336,000         3,702,575,000
                PAKISTAN REVENUES

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
KA7007 PRIME MINISTER YOUTH LOAN SCHEM IMPACT ASSESSMENT
011204- A03    Operating Expenses                                                                           20,000,000
011204- A037   Consultancy and Contractual Work                                                             20,000,000
        Total- PRIME MINISTER YOUTH LOAN SCHEM                                                 20,000,000
           IMPACT ASSESSMENT
     011204   Total-  Administration of Financial Affairs                                                  20,000,000
011206 Accounting services  :
KA0091 FEDERAL TREASURY OFFICE KARACHI.
011206- A01    Employees Related Expenses                      41,117,000            41,118,000            44,978,000
011206- A011   Pay                      66     66            5,110,000             5,110,000            22,037,000
011206- A011-1 Pay of Officers                  (9)      (9)          (2,986,000)          (2,986,000)          (3,012,000)
011206- A011-2 Pay of Other Staff            (57)    (57)          (2,124,000)          (2,124,000)         (19,025,000)
011206- A012   Allowances                                         36,007,000            36,008,000            22,941,000
011206- A012-1  Regular Allowances                             (27,336,000)         (27,337,000)         (13,970,000)
011206- A012-2  Other Allowances (Excluding TA)                  (8,671,000)          (8,671,000)          (8,971,000)
011206- A03    Operating Expenses                               14,889,000            15,633,000            15,517,000
011206- A032   Communications                                     165,000              165,000              168,000
011206- A033     Utilities                                               1,540,000             1,540,000             1,600,000
011206- A034   Occupancy Costs                                   11,749,000            11,749,000            11,497,000
011206- A038    Travel & Transportation                               796,000             1,051,000              966,000
011206- A039   General                                              639,000             1,128,000             1,286,000
011206- A04    Employees Retirement Benefits                     1,205,000             1,261,000             4,434,000
011206- A041   Pension                                              1,205,000             1,261,000             4,434,000
011206- A05    Grants, Subsidies and Write off Loans              3,167,000             2,367,000                 6,000
011206- A052   Grants Domestic                                     3,167,000             2,367,000                 6,000
011206- A09    Physical Assets                                      906,000              906,000              550,000
011206- A092   Computer Equipment                                 505,000              505,000
011206- A095   Purchase of Transport                                   1,000                 1,000              100,000
011206- A096   Purchase of Plant and Machinery                      300,000              300,000              300,000

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A097   Purchase of Furniture and Fixture                     100,000              100,000              150,000
011206- A13    Repairs and Maintenance                            355,000              355,000              430,000
011206- A131   Machinery and Equipment                             100,000              100,000              150,000
011206- A132    Furniture and Fixture                                  100,000              100,000              120,000
011206- A137   Computer Equipment                                 155,000              155,000              160,000
        Total- FEDERAL TREASURY OFFICE                   61,639,000         61,640,000          65,915,000
            KARACHI.
     011206   Total-  Accounting services                       61,639,000         61,640,000         65,915,000
011250 OTHERS  :
KA3119 RELIEF TO WDOW OF BROWERS OF HBFCL
011250- A05    Grants, Subsidies and Write off Loans            200,000,000          156,682,000
011250- A053    Write Off Loans / Advances                        200,000,000          156,682,000
        Total- RELIEF TO WDOW OF BROWERS OF           200,000,000        156,682,000
          HBFCL
     011250   Total- OTHERS                               200,000,000        156,682,000
     0112     Total-  Financial and Fiscal Affairs                261,639,000        218,322,000         85,915,000
     011      Total-  Executive & Legislative                   261,639,000        218,322,000         85,915,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
014    Transfers:
0142   Transfers (Others):
014202 Trasfer To Non-Financial Institutions  :
KA1081 REIMBURSEMENT OF T.T. CHARGES TO BANKS ON HOME REMITTANCES
014202- A05    Grants, Subsidies and Write off Loans         15,000,000,000        22,005,905,000        22,477,000,000
014202- A052   Grants Domestic                                15,000,000,000        22,005,905,000        22,477,000,000
        Total- REIMBURSEMENT OF T.T. CHARGES TO     15,000,000,000      22,005,905,000      22,477,000,000
          BANKS ON HOME REMITTANCES
KA1082 PAKISTAN REMITTANCE INITIATIVE
014202- A05    Grants, Subsidies and Write off Loans            100,000,000            23,000,000            23,000,000
014202- A052   Grants Domestic                                  100,000,000            23,000,000            23,000,000
        Total- PAKISTAN REMITTANCE INITIATIVE            100,000,000         23,000,000          23,000,000
KA3130 PROMOTION OF HOME REMITTANCE THROUGH BRANCHLESS BANKING/M WALLET ACCOUNTS
014202- A05    Grants, Subsidies and Write off Loans          1,000,000,000                                500,000,000
014202- A052   Grants Domestic                                  1,000,000,000                                500,000,000

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

        Total- PROMOTION OF HOME REMITTANCE         1,000,000,000                            500,000,000
          THROUGH BRANCHLESS BANKING/M
          WALLET ACCOUNTS
KA3131 NEW INCENTIVE SCHEME FOR MARKETING CAMPAIGN OF HOME REMMITTANCE
014202- A05    Grants, Subsidies and Write off Loans          2,000,000,000         1,221,095,000         2,000,000,000
014202- A052   Grants Domestic                                  2,000,000,000         1,221,095,000         2,000,000,000
        Total- NEW INCENTIVE SCHEME FOR                2,000,000,000       1,221,095,000       2,000,000,000
           MARKETING CAMPAIGN OF HOME
           REMMITTANCE
     014202   Total-  Trasfer To Non-Financial               18,100,000,000      23,250,000,000      25,000,000,000
                           Institutions
     0142     Total-  Transfers (Others)                     18,100,000,000      23,250,000,000      25,000,000,000
     014      Total-  Transfers                             18,100,000,000      23,250,000,000      25,000,000,000
     01        Total-  General Public Service                 18,361,639,000      23,468,322,000      25,085,915,000
               Total- ACCOUNTANT GENERAL                18,361,639,000        23,468,322,000        25,085,915,000
                PAKISTAN REVENUES
                  SUB-OFFICE, KARACHI

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NO. 060.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
HQ0404 LOSS BY EXCHANGE ON LOCAL TRANSACTIONS
011204- A03    Operating Expenses                               50,000,000            50,000,000            50,000,000
011204- A039   General                                             50,000,000            50,000,000            50,000,000
        Total- LOSS BY EXCHANGE ON LOCAL                50,000,000         50,000,000          50,000,000
           TRANSACTIONS
     011204   Total-  Administration of Financial Affairs           50,000,000         50,000,000         50,000,000
     0112     Total-  Financial and Fiscal Affairs                 50,000,000         50,000,000         50,000,000
     011      Total-  Executive & Legislative                    50,000,000         50,000,000         50,000,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                    50,000,000         50,000,000         50,000,000
               Total- CHIEF ACCOUNTS OFFICER                 50,000,000            50,000,000            50,000,000
                  (MINISTRY OF FOREIGN
                  AFFAIRS)
          TOTAL - DEMAND                           22,349,000,000      32,280,658,000      28,838,490,000

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NO. 061.- CONTROLLER GENERAL OF ACCOUNTS                          DEMANDS FOR GRANTS
                                DEMAND NO. 061
                                                                            ( FC21C42 )
                          CONTROLLER GENERAL OF ACCOUNTS

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2021 to defray the Salaries and Other
Expenses of the CONTROLLER GENERAL OF ACCOUNTS.

                                Voted           Rs. 5,923,620,000

             II.    FUNCTION-cum-OBJECT Classification under which this Grant will be accounted for on behalf of the
MINISTRY OF FINANCE AND REVENUE  .

                                                           2019-2020         2019-2020         2020-2021
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
011    Executive & Legislative Organs,Financial and Fiscal         5,957,900,000         5,957,834,000         5,923,620,000
         Affairs, External Affairs
               Total                                               5,957,900,000         5,957,834,000         5,923,620,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                        4,852,900,000       4,819,945,000       4,845,550,000
A011  Pay                                                        2,906,034,000         2,872,139,000         2,736,032,000
A011-1 Pay of Officers                                              (2,483,612,000)        (2,457,674,000)        (2,395,515,000)
A011-2 Pay of Other Staff                                            (422,422,000)         (414,465,000)         (340,517,000)
A012  Allowances                                                 1,946,866,000         1,947,806,000         2,109,518,000
A012-1 Regular Allowances                                         (1,636,145,000)        (1,633,991,000)        (1,754,450,000)
A012-2 Other Allowances (Excluding TA)                             (310,721,000)         (313,815,000)         (355,068,000)
A03   Operating Expenses                                  869,234,000        874,393,000        845,245,000
A04   Employees Retirement Benefits                        168,155,000        168,990,000        167,425,000
A05   Grants, Subsidies and Write off Loans                    9,168,000           9,168,000         24,481,000
A06   Transfers                                                 11,000             11,000
A09   Physical Assets                                        32,061,000         56,105,000         18,380,000
A13   Repairs and Maintenance                               26,371,000         29,222,000         22,539,000
               Total                                         5,957,900,000       5,957,834,000       5,923,620,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2019-2020         2019-2020       2020-2021
                                       2019-20 2020-21       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES
01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
ID1162 CONTROLLER GENERAL OF ACCOUNTS ISLAMABAD
011206- A01    Employees Related Expenses                    385,500,000          168,644,000          400,000,000
011206- A011   Pay                     172    172           83,871,000            83,871,000            73,086,000
011206- A011-1 Pay of Officers             (100)   (100)         (68,680,000)         (68,680,000)         (57,050,000)
011206- A011-2 Pay of Other Staff            (72)    (72)         (15,191,000)         (15,191,000)         (16,036,000)
011206- A012   Allowances                                        301,629,000            84,773,000          326,914,000
011206- A012-1  Regular Allowances                             (64,828,000)         (64,828,000)         (53,910,000)
011206- A012-2  Other Allowances (Excluding TA)                (236,801,000)         (19,945,000)       (273,004,000)
011206- A03    Operating Expenses                               71,096,000            49,924,000            61,332,000
011206- A032   Communications                                     3,500,000             2,603,000             2,617,000
011206- A033     Utilities                                               450,000              287,000              346,000
011206- A034   Occupancy Costs                                   35,050,000            23,550,000            32,772,000
011206- A036   Motor Vehicles                                         50,000               26,000               47,000
011206- A038    Travel & Transportation                             19,550,000            13,272,000            13,089,000
011206- A039   General                                             12,496,000            10,186,000            12,461,000
011206- A04    Employees Retirement Benefits                    22,001,000              331,000             8,850,000
011206- A041   Pension                                            22,001,000              331,000             8,850,000
011206- A05    Grants, Subsidies and Write off Loans              8,901,000              101,000            24,200,000
011206- A052   Grants Domestic                                     8,901,000              101,000            24,200,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      4,350,000             5,350,000             3,927,000
011206- A092   Computer Equipment                                 2,150,000             2,150,000
011206- A095   Purchase of Transport                                                                          187,000
011206- A096   Purchase of Plant and Machinery                     1,100,000             1,100,000             1,870,000
011206- A097   Purchase of Furniture and Fixture                     1,100,000             2,100,000             1,870,000
011206- A13    Repairs and Maintenance                            3,651,000             3,983,000             4,300,000
011206- A130    Transport                                             1,300,000             1,300,000             1,402,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A131   Machinery and Equipment                            1,000,000             1,000,000              935,000
011206- A132    Furniture and Fixture                                  400,000              750,000              748,000
011206- A133    Buildings and Structure                               200,000              387,000              467,000
011206- A137   Computer Equipment                                 751,000              546,000              701,000
011206- A138   General                                                                                          47,000
        Total- CONTROLLER GENERAL OF                   495,500,000        228,334,000        502,609,000
          ACCOUNTS ISLAMABAD
ID1164 DIRECTOR GENERAL MANAGEMENT & INFORMATION SERVICES ISLAMABAD (MIS)
011206- A01    Employees Related Expenses                    124,616,000          108,781,000          111,640,000
011206- A011   Pay                      34     34          109,939,000            87,797,000            97,474,000
011206- A011-1 Pay of Officers               (20)    (20)       (102,878,000)         (83,623,000)         (92,655,000)
011206- A011-2 Pay of Other Staff            (14)    (14)          (7,061,000)          (4,174,000)          (4,819,000)
011206- A012   Allowances                                         14,677,000            20,984,000            14,166,000
011206- A012-1  Regular Allowances                             (12,024,000)         (11,815,000)         (12,516,000)
011206- A012-2  Other Allowances (Excluding TA)                  (2,653,000)          (9,169,000)          (1,650,000)
011206- A03    Operating Expenses                              123,448,000            98,926,000          112,318,000
011206- A031   Fees                                                    1,000                 1,000
011206- A032   Communications                                    50,725,000            26,889,000            45,580,000
011206- A033     Utilities                                               6,202,000             6,552,000             6,123,000
011206- A034   Occupancy Costs                                     5,002,000             4,602,000             4,675,000
011206- A036   Motor Vehicles                                           4,000                 4,000
011206- A038    Travel & Transportation                               3,706,000             4,680,000             3,753,000
011206- A039   General                                             57,808,000            56,198,000            52,187,000
011206- A04    Employees Retirement Benefits                       52,000               52,000             2,550,000
011206- A041   Pension                                               52,000               52,000             2,550,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      6,047,000            26,870,000             1,963,000
011206- A092   Computer Equipment                                 6,044,000             6,044,000
011206- A095   Purchase of Transport                                   1,000                 1,000
011206- A096   Purchase of Plant and Machinery                         1,000            20,000,000             1,870,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A097   Purchase of Furniture and Fixture                        1,000              825,000               93,000
011206- A13    Repairs and Maintenance                            3,764,000             4,063,000             1,794,000
011206- A130    Transport                                            300,000              300,000              196,000
011206- A131   Machinery and Equipment                            1,450,000             1,450,000              935,000
011206- A132    Furniture and Fixture                                  100,000              200,000               93,000
011206- A133    Buildings and Structure                                  3,000              202,000
011206- A137   Computer Equipment                                 1,911,000             1,911,000              570,000
        Total- DIRECTOR GENERAL MANAGEMENT &         257,933,000        238,698,000        230,265,000
           INFORMATION SERVICES ISLAMABAD
               (MIS)
ID1165 ACCOUNTANT GENERAL PAKISTAN REVENUES ISLAMABAD
011206- A01    Employees Related Expenses                    508,446,000          557,099,000          473,344,000
011206- A011   Pay                     650    650          316,675,000          316,675,000          284,939,000
011206- A011-1 Pay of Officers             (478)   (478)       (288,574,000)       (288,574,000)       (255,748,000)
011206- A011-2 Pay of Other Staff          (172)   (172)         (28,101,000)         (28,101,000)         (29,191,000)
011206- A012   Allowances                                        191,771,000          240,424,000          188,405,000
011206- A012-1  Regular Allowances                            (179,019,000)       (179,019,000)       (173,655,000)
011206- A012-2  Other Allowances (Excluding TA)                 (12,752,000)         (61,405,000)         (14,750,000)
011206- A03    Operating Expenses                              100,109,000          104,558,000            87,134,000
011206- A031   Fees                                                    1,000                 1,000
011206- A032   Communications                                     3,171,000             3,171,000             2,365,000
011206- A033     Utilities                                             15,995,000            15,995,000            13,323,000
011206- A034   Occupancy Costs                                   50,025,000            52,425,000            47,707,000
011206- A036   Motor Vehicles                                           2,000                 2,000
011206- A038    Travel & Transportation                             15,755,000            17,955,000            12,248,000
011206- A039   General                                             15,160,000            15,009,000            11,491,000
011206- A04    Employees Retirement Benefits                    10,350,000            17,720,000             9,500,000
011206- A041   Pension                                            10,350,000            17,720,000             9,500,000
011206- A05    Grants, Subsidies and Write off Loans                34,000             2,834,000               35,000
011206- A052   Grants Domestic                                       34,000             2,834,000               35,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      2,972,000             3,122,000             1,496,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A092   Computer Equipment                                 821,000              821,000
011206- A095   Purchase of Transport                                   1,000              151,000
011206- A096   Purchase of Plant and Machinery                     1,150,000             1,150,000              748,000
011206- A097   Purchase of Furniture and Fixture                     1,000,000             1,000,000              748,000
011206- A13    Repairs and Maintenance                            3,911,000             3,911,000             2,543,000
011206- A130    Transport                                             2,000,000             2,000,000              935,000
011206- A131   Machinery and Equipment                             720,000              720,000              748,000
011206- A132    Furniture and Fixture                                  520,000              520,000              374,000
011206- A133    Buildings and Structure                               400,000              400,000              280,000
011206- A137   Computer Equipment                                 121,000              121,000               66,000
011206- A138   General                                              150,000              150,000              140,000
        Total- ACCOUNTANT GENERAL PAKISTAN           625,823,000        689,245,000        574,052,000
          REVENUES ISLAMABAD
ID1169 A G P R (COMPUTER) ISLAMABAD
011206- A01    Employees Related Expenses                      27,372,000            24,577,000            27,624,000
011206- A011   Pay                      37     37           17,650,000            15,047,000            17,160,000
011206- A011-1 Pay of Officers               (27)    (27)         (12,150,000)         (10,080,000)         (12,160,000)
011206- A011-2 Pay of Other Staff            (10)    (10)          (5,500,000)          (4,967,000)          (5,000,000)
011206- A012   Allowances                                           9,722,000             9,530,000            10,464,000
011206- A012-1  Regular Allowances                               (9,722,000)          (9,530,000)         (10,464,000)
011206- A03    Operating Expenses                                 3,190,000             3,190,000             2,645,000
011206- A033     Utilities                                               200,000              200,000              140,000
011206- A034   Occupancy Costs                                     600,000              600,000              561,000
011206- A039   General                                              2,390,000             2,390,000             1,944,000
011206- A13    Repairs and Maintenance                            220,000              220,000              205,000
011206- A131   Machinery and Equipment                             100,000              100,000               93,000
011206- A137   Computer Equipment                                 120,000              120,000              112,000
        Total- A G P R (COMPUTER) ISLAMABAD              30,782,000         27,987,000          30,474,000
ID3053 DIRECTORATE OF BUDGET AND ACCOUNTS PAK. PWD ISLAMABAD
011206- A01    Employees Related Expenses                      56,864,000            56,950,000            57,000,000
011206- A011   Pay                      99     99           36,530,000            34,348,000            35,108,000
011206- A011-1 Pay of Officers               (81)    (81)         (33,706,000)         (31,746,000)         (32,830,000)
011206- A011-2 Pay of Other Staff            (18)    (18)          (2,824,000)          (2,602,000)          (2,278,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A012   Allowances                                         20,334,000            22,602,000            21,892,000
011206- A012-1  Regular Allowances                             (19,530,000)         (20,024,000)         (21,491,000)
011206- A012-2  Other Allowances (Excluding TA)                    (804,000)          (2,578,000)            (401,000)
011206- A03    Operating Expenses                               13,778,000            14,216,000            12,233,000
011206- A031   Fees                                                    1,000
011206- A032   Communications                                     611,000              730,000              730,000
011206- A033     Utilities                                                40,000               40,000
011206- A034   Occupancy Costs                                     8,200,000             8,200,000             6,545,000
011206- A038    Travel & Transportation                               3,624,000             3,624,000             3,388,000
011206- A039   General                                              1,302,000             1,622,000             1,570,000
011206- A04    Employees Retirement Benefits                     1,111,000             2,730,000             2,401,000
011206- A041   Pension                                              1,111,000             2,730,000             2,401,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A09    Physical Assets                                      690,000             1,050,000              560,000
011206- A092   Computer Equipment                                 240,000              300,000
011206- A096   Purchase of Plant and Machinery                      150,000              200,000               93,000
011206- A097   Purchase of Furniture and Fixture                     300,000              550,000              467,000
011206- A13    Repairs and Maintenance                            416,000              529,000              552,000
011206- A130    Transport                                            100,000              150,000               93,000
011206- A131   Machinery and Equipment                             150,000              150,000              140,000
011206- A132    Furniture and Fixture                                   50,000               70,000               75,000
011206- A133    Buildings and Structure                                 21,000               65,000               70,000
011206- A137   Computer Equipment                                   95,000               94,000              174,000
        Total- DIRECTORATE OF BUDGET AND                72,864,000         75,480,000          72,746,000
          ACCOUNTS PAK. PWD ISLAMABAD
ID9860 PUBLIC FINANCIAL MANAGEMENT&ACCOUNTABILI ty to SupportServices Delivery Prog ram For Results
011206- A01    Employees Related Expenses                           1,000                 1,000
011206- A011   Pay                                                      1,000                 1,000
011206- A011-1 Pay of Officers                                         (1,000)               (1,000)
011206- A03    Operating Expenses                                    2,000                 2,000
011206- A039   General                                                  2,000                 2,000
011206- A09    Physical Assets                                         6,000                 6,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A092   Computer Equipment                                    4,000                 4,000
011206- A096   Purchase of Plant and Machinery                         1,000                 1,000
011206- A097   Purchase of Furniture and Fixture                        1,000                 1,000
        Total- PUBLIC FINANCIAL                                  9,000              9,000
          MANAGEMENT&ACCOUNTABILI ty to
             SupportServices Delivery Prog ram For
              Results
     011206   Total-  Accounting services                     1,482,911,000       1,259,753,000       1,410,146,000
     0112     Total-  Financial and Fiscal Affairs              1,482,911,000       1,259,753,000       1,410,146,000
     011      Total-  Executive & Legislative                  1,482,911,000       1,259,753,000       1,410,146,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  1,482,911,000       1,259,753,000       1,410,146,000
               Total- ACCOUNTANT GENERAL                 1,482,911,000         1,259,753,000         1,410,146,000
                PAKISTAN REVENUES

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
AK0001 AG (PB) - DAO ATTOCK
011206- A01    Employees Related Expenses                      14,872,000            15,261,000            11,408,000
011206- A011   Pay                      27     27            8,922,000             8,922,000             6,750,000
011206- A011-1 Pay of Officers               (20)    (20)          (8,147,000)          (8,147,000)          (6,570,000)
011206- A011-2 Pay of Other Staff               (7)      (7)            (775,000)            (775,000)            (180,000)
011206- A012   Allowances                                           5,950,000             6,339,000             4,658,000
011206- A012-1  Regular Allowances                               (5,949,000)          (5,949,000)          (4,658,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (390,000)
011206- A03    Operating Expenses                                    1,000              431,000
011206- A038    Travel & Transportation                                  1,000              431,000
011206- A04    Employees Retirement Benefits                                           1,771,000
011206- A041   Pension                                                                    1,771,000
        Total- AG (PB) - DAO ATTOCK                         14,873,000         17,463,000          11,408,000
BH0001 AG (PB) - DAO BAHAWALNAGAR
011206- A01    Employees Related Expenses                      12,704,000            13,091,000            12,914,000
011206- A011   Pay                      34     34            7,887,000             7,887,000             7,593,000
011206- A011-1 Pay of Officers               (23)    (23)          (6,404,000)          (6,404,000)          (6,282,000)
011206- A011-2 Pay of Other Staff            (11)    (11)          (1,483,000)          (1,483,000)          (1,311,000)
011206- A012   Allowances                                           4,817,000             5,204,000             5,321,000
011206- A012-1  Regular Allowances                               (4,816,000)          (4,816,000)          (5,321,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (388,000)
011206- A03    Operating Expenses                                    1,000              191,000
011206- A038    Travel & Transportation                                  1,000              191,000
        Total- AG (PB) - DAO BAHAWALNAGAR                12,705,000         13,282,000          12,914,000
BK0001 AG (PB) - DAO BHAKKAR
011206- A01    Employees Related Expenses                      10,178,000            10,465,000             9,657,000
011206- A011   Pay                      18     18            6,233,000             6,233,000             5,549,000
011206- A011-1 Pay of Officers               (13)    (13)          (5,518,000)          (5,518,000)          (5,178,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (715,000)            (715,000)            (371,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012   Allowances                                           3,945,000             4,232,000             4,108,000
011206- A012-1  Regular Allowances                               (3,944,000)          (3,944,000)          (4,108,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (288,000)
011206- A03    Operating Expenses                                    1,000              223,000
011206- A038    Travel & Transportation                                  1,000              223,000
011206- A04    Employees Retirement Benefits                                           665,000
011206- A041   Pension                                                                   665,000
        Total- AG (PB) - DAO BHAKKAR                       10,179,000         11,353,000           9,657,000
BR0001 DISTRICT ACCOUNTS OFFICER BAHAWALPUR
011206- A01    Employees Related Expenses                      29,983,000            30,844,000            32,363,000
011206- A011   Pay                      64     64           18,018,000            18,018,000            18,676,000
011206- A011-1 Pay of Officers               (50)    (50)         (15,733,000)         (15,733,000)         (18,118,000)
011206- A011-2 Pay of Other Staff            (14)    (14)          (2,285,000)          (2,285,000)            (558,000)
011206- A012   Allowances                                         11,965,000            12,826,000            13,687,000
011206- A012-1  Regular Allowances                             (11,964,000)         (11,964,000)         (13,687,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (862,000)
011206- A03    Operating Expenses                                    1,000              112,000
011206- A038    Travel & Transportation                                  1,000              112,000
011206- A04    Employees Retirement Benefits                                           628,000
011206- A041   Pension                                                                   628,000
        Total- DISTRICT ACCOUNTS OFFICER                 29,984,000         31,584,000          32,363,000
          BAHAWALPUR
CH0001 AG (PB) - DAO CHAKWAL
011206- A01    Employees Related Expenses                      14,476,000            14,842,000            11,566,000
011206- A011   Pay                      18     18            9,310,000             9,310,000             7,122,000
011206- A011-1 Pay of Officers               (15)    (15)          (8,748,000)          (8,748,000)          (7,022,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (562,000)            (562,000)            (100,000)
011206- A012   Allowances                                           5,166,000             5,532,000             4,444,000
011206- A012-1  Regular Allowances                               (5,165,000)          (5,165,000)          (4,444,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (367,000)
011206- A03    Operating Expenses                                    1,000                 1,000
011206- A038    Travel & Transportation                                  1,000                 1,000
011206- A04    Employees Retirement Benefits                                           1,220,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A041   Pension                                                                    1,220,000
        Total- AG (PB) - DAO CHAKWAL                       14,477,000         16,063,000          11,566,000
CT0001 DISTRICT ACCOUNT OFFCIER CHINIOT
011206- A01    Employees Related Expenses                       3,551,000             3,681,000             4,283,000
011206- A011   Pay                      15     15            2,208,000             2,208,000             2,486,000
011206- A011-1 Pay of Officers               (12)    (12)          (2,036,000)          (2,036,000)          (2,378,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (172,000)            (172,000)            (108,000)
011206- A012   Allowances                                           1,343,000             1,473,000             1,797,000
011206- A012-1  Regular Allowances                               (1,342,000)          (1,342,000)          (1,797,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (131,000)
011206- A03    Operating Expenses                                    1,000              206,000
011206- A038    Travel & Transportation                                  1,000              206,000
011206- A04    Employees Retirement Benefits                                           1,198,000
011206- A041   Pension                                                                    1,198,000
        Total- DISTRICT ACCOUNT OFFCIER CHINIOT           3,552,000           5,085,000           4,283,000
DG0001 AG (PB) - DAO DERA GHAZI KHAN
011206- A01    Employees Related Expenses                      17,366,000            17,770,000            16,238,000
011206- A011   Pay                      33     33           10,522,000            10,522,000             9,208,000
011206- A011-1 Pay of Officers               (25)    (25)          (9,362,000)          (9,362,000)          (8,860,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (1,160,000)          (1,160,000)            (348,000)
011206- A012   Allowances                                           6,844,000             7,248,000             7,030,000
011206- A012-1  Regular Allowances                               (6,843,000)          (6,843,000)          (7,030,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (405,000)
011206- A03    Operating Expenses                                    1,000              166,000
011206- A038    Travel & Transportation                                  1,000              166,000
011206- A04    Employees Retirement Benefits                                           1,947,000
011206- A041   Pension                                                                    1,947,000
        Total- AG (PB) - DAO DERA GHAZI KHAN               17,367,000         19,883,000          16,238,000
FD0168 DISTRICT ACCOUNTS OFFICE FAISLABABD
011206- A01    Employees Related Expenses                      49,130,000            50,576,000            50,145,000
011206- A011   Pay                      81     81           29,564,000            29,564,000            28,379,000
011206- A011-1 Pay of Officers               (61)    (61)         (24,887,000)         (24,887,000)         (25,124,000)
011206- A011-2 Pay of Other Staff            (20)    (20)          (4,677,000)          (4,677,000)          (3,255,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012   Allowances                                         19,566,000            21,012,000            21,766,000
011206- A012-1  Regular Allowances                             (19,565,000)         (19,565,000)         (21,766,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)          (1,447,000)
011206- A03    Operating Expenses                                    1,000              523,000
011206- A038    Travel & Transportation                                  1,000              523,000
011206- A04    Employees Retirement Benefits                                           3,962,000
011206- A041   Pension                                                                    3,962,000
        Total- DISTRICT ACCOUNTS OFFICE                   49,131,000         55,061,000          50,145,000
           FAISLABABD
GA0035 AG (PB) - DAO GUJRANWALA
011206- A01    Employees Related Expenses                      30,084,000            30,928,000            29,996,000
011206- A011   Pay                      59     59           17,784,000            17,784,000            17,215,000
011206- A011-1 Pay of Officers               (47)    (47)         (15,724,000)         (15,724,000)         (16,293,000)
011206- A011-2 Pay of Other Staff            (12)    (12)          (2,060,000)          (2,060,000)            (922,000)
011206- A012   Allowances                                         12,300,000            13,144,000            12,781,000
011206- A012-1  Regular Allowances                             (12,299,000)         (12,299,000)         (12,781,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (845,000)
011206- A03    Operating Expenses                                    1,000              237,000
011206- A038    Travel & Transportation                                  1,000              237,000
        Total- AG (PB) - DAO GUJRANWALA                   30,085,000         31,165,000          29,996,000
GT0001 AG (PB) - DAO GUJRAT
011206- A01    Employees Related Expenses                      23,383,000            23,945,000            19,428,000
011206- A011   Pay                      44     44           14,078,000            14,078,000            11,301,000
011206- A011-1 Pay of Officers               (38)    (38)         (13,293,000)         (13,293,000)         (11,008,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (785,000)            (785,000)            (293,000)
011206- A012   Allowances                                           9,305,000             9,867,000             8,127,000
011206- A012-1  Regular Allowances                               (9,304,000)          (9,304,000)          (8,127,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (563,000)
011206- A03    Operating Expenses                                    1,000              400,000
011206- A038    Travel & Transportation                                  1,000              400,000
011206- A04    Employees Retirement Benefits                                           701,000
011206- A041   Pension                                                                   701,000
        Total- AG (PB) - DAO GUJRAT                         23,384,000         25,046,000          19,428,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

HF0001 AG (PB) - DAO HAFIZABAD
011206- A01    Employees Related Expenses                       9,056,000             9,320,000             8,739,000
011206- A011   Pay                      16     16            5,655,000             5,655,000             5,208,000
011206- A011-1 Pay of Officers               (13)    (13)          (5,273,000)          (5,273,000)          (5,108,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (382,000)            (382,000)            (100,000)
011206- A012   Allowances                                           3,401,000             3,665,000             3,531,000
011206- A012-1  Regular Allowances                               (3,400,000)          (3,400,000)          (3,531,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (265,000)
011206- A03    Operating Expenses                                    1,000              218,000
011206- A038    Travel & Transportation                                  1,000              218,000
        Total- AG (PB) - DAO HAFIZABAD                       9,057,000           9,538,000           8,739,000
JG0001 AG (PB) - DAO JHANG
011206- A01    Employees Related Expenses                      22,817,000            23,661,000            26,147,000
011206- A011   Pay                      42     42           14,144,000            14,144,000            15,440,000
011206- A011-1 Pay of Officers               (29)    (29)         (11,647,000)         (11,647,000)         (13,587,000)
011206- A011-2 Pay of Other Staff            (13)    (13)          (2,497,000)          (2,497,000)          (1,853,000)
011206- A012   Allowances                                           8,673,000             9,517,000            10,707,000
011206- A012-1  Regular Allowances                               (8,672,000)          (8,672,000)         (10,707,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (845,000)
011206- A03    Operating Expenses                                    1,000              132,000
011206- A038    Travel & Transportation                                  1,000              132,000
011206- A13    Repairs and Maintenance                                                   50,000
011206- A137   Computer Equipment                                                        50,000
        Total- AG (PB) - DAO JHANG                          22,818,000         23,843,000          26,147,000
JM0001 DISTRICT ACCOUNTS OFFICE JHELUM
011206- A01    Employees Related Expenses                      11,204,000            11,557,000            12,153,000
011206- A011   Pay                      32     32            6,775,000             6,775,000             7,009,000
011206- A011-1 Pay of Officers               (24)    (24)          (5,450,000)          (5,450,000)          (6,548,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (1,325,000)          (1,325,000)            (461,000)
011206- A012   Allowances                                           4,429,000             4,782,000             5,144,000
011206- A012-1  Regular Allowances                               (4,428,000)          (4,428,000)          (5,144,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (354,000)
011206- A03    Operating Expenses                                    1,000              126,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A038    Travel & Transportation                                  1,000              126,000
        Total- DISTRICT ACCOUNTS OFFICE JHELUM          11,205,000         11,683,000          12,153,000
KB0001 AG (PB) - DAO KHUSHAB
011206- A01    Employees Related Expenses                      12,131,000            12,545,000            13,244,000
011206- A011   Pay                      23     23            7,515,000             7,515,000             7,820,000
011206- A011-1 Pay of Officers               (18)    (18)          (6,643,000)          (6,643,000)          (7,395,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (872,000)            (872,000)            (425,000)
011206- A012   Allowances                                           4,616,000             5,030,000             5,424,000
011206- A012-1  Regular Allowances                               (4,615,000)          (4,615,000)          (5,424,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (415,000)
011206- A03    Operating Expenses                                    1,000              222,000
011206- A038    Travel & Transportation                                  1,000              222,000
        Total- AG (PB) - DAO KHUSHAB                       12,132,000         12,767,000          13,244,000
KS0001 AG (PB) - DAO KASUR
011206- A01    Employees Related Expenses                      13,993,000            14,540,000            16,257,000
011206- A011   Pay                      23     24            8,658,000             8,658,000             9,527,000
011206- A011-1 Pay of Officers               (14)    (15)          (6,822,000)          (6,822,000)          (7,884,000)
011206- A011-2 Pay of Other Staff               (9)      (9)          (1,836,000)          (1,836,000)          (1,643,000)
011206- A012   Allowances                                           5,335,000             5,882,000             6,730,000
011206- A012-1  Regular Allowances                               (5,334,000)          (5,334,000)          (6,730,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (548,000)
011206- A03    Operating Expenses                                    1,000               58,000
011206- A038    Travel & Transportation                                  1,000               58,000
        Total- AG (PB) - DAO KASUR                          13,994,000         14,598,000          16,257,000
KW0001 AG (PB) - DAO KHANEWAL
011206- A01    Employees Related Expenses                      16,645,000            17,131,000            17,274,000
011206- A011   Pay                      24     25           10,433,000            10,433,000            10,245,000
011206- A011-1 Pay of Officers               (18)    (19)          (9,530,000)          (9,530,000)          (9,695,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (903,000)            (903,000)            (550,000)
011206- A012   Allowances                                           6,212,000             6,698,000             7,029,000
011206- A012-1  Regular Allowances                               (6,211,000)          (6,211,000)          (7,029,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (487,000)
011206- A03    Operating Expenses                                    1,000                 1,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A038    Travel & Transportation                                  1,000                 1,000
011206- A04    Employees Retirement Benefits                                           683,000
011206- A041   Pension                                                                   683,000
        Total- AG (PB) - DAO KHANEWAL                      16,646,000         17,815,000          17,274,000
LN0001 AG (PB) - DAO LODHRAN
011206- A01    Employees Related Expenses                       8,474,000             8,746,000             9,650,000
011206- A011   Pay                      16     16            5,298,000             5,298,000             5,669,000
011206- A011-1 Pay of Officers               (11)    (11)          (4,470,000)          (4,470,000)          (4,912,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (828,000)            (828,000)            (757,000)
011206- A012   Allowances                                           3,176,000             3,448,000             3,981,000
011206- A012-1  Regular Allowances                               (3,175,000)          (3,175,000)          (3,981,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (273,000)
011206- A03    Operating Expenses                                    1,000               97,000
011206- A038    Travel & Transportation                                  1,000               97,000
        Total- AG (PB) - DAO LODHRAN                         8,475,000           8,843,000           9,650,000
LO0051 ACCOUNTANT GENERAL PUNJAB LAHORE
011206- A01    Employees Related Expenses                    464,737,000          478,611,000          460,843,000
011206- A011   Pay                    1009    985          291,046,000          291,046,000          270,922,000
011206- A011-1 Pay of Officers             (754)   (731)       (243,013,000)       (243,013,000)       (240,812,000)
011206- A011-2 Pay of Other Staff          (255)   (254)         (48,033,000)         (48,033,000)         (30,110,000)
011206- A012   Allowances                                        173,691,000          187,565,000          189,921,000
011206- A012-1  Regular Allowances                            (165,013,000)       (165,013,000)       (181,905,000)
011206- A012-2  Other Allowances (Excluding TA)                  (8,678,000)         (22,552,000)          (8,016,000)
011206- A03    Operating Expenses                              125,804,000          120,542,000          131,980,000
011206- A031   Fees                                                    1,000                 1,000
011206- A032   Communications                                     1,820,000             1,670,000             1,748,000
011206- A033     Utilities                                             21,502,000            23,456,000            29,172,000
011206- A034   Occupancy Costs                                   69,204,000            70,800,000            70,125,000
011206- A038    Travel & Transportation                             18,566,000            10,954,000            16,922,000
011206- A039   General                                             14,711,000            13,661,000            14,013,000
011206- A04    Employees Retirement Benefits                    48,526,000            27,707,000            41,500,000
011206- A041   Pension                                            48,526,000            27,707,000            41,500,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000             6,005,000               40,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A052   Grants Domestic                                         5,000             6,005,000               40,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      6,127,000             6,127,000             4,207,000
011206- A092   Computer Equipment                                 2,701,000             2,701,000
011206- A095   Purchase of Transport                                   1,000                 1,000
011206- A096   Purchase of Plant and Machinery                     2,425,000             2,425,000             2,337,000
011206- A097   Purchase of Furniture and Fixture                     1,000,000             1,000,000             1,870,000
011206- A13    Repairs and Maintenance                            4,502,000             3,552,000             4,019,000
011206- A130    Transport                                            400,000              400,000              280,000
011206- A131   Machinery and Equipment                            1,500,000             1,500,000             1,683,000
011206- A132    Furniture and Fixture                                 1,000,000              500,000              654,000
011206- A137   Computer Equipment                                 1,601,000             1,151,000             1,402,000
011206- A138   General                                                  1,000                 1,000
        Total- ACCOUNTANT GENERAL PUNJAB             649,702,000        642,545,000        642,589,000
          LAHORE
LO0052 DIRECTOR GENERAL ACCOUNTS (WORKS) LAHORE
011206- A01    Employees Related Expenses                    179,619,000          185,441,000          181,000,000
011206- A011   Pay                     366    366          112,819,000          112,819,000          111,095,000
011206- A011-1 Pay of Officers             (306)   (292)       (103,589,000)       (103,589,000)       (103,554,000)
011206- A011-2 Pay of Other Staff            (60)    (74)          (9,230,000)          (9,230,000)          (7,541,000)
011206- A012   Allowances                                         66,800,000            72,622,000            69,905,000
011206- A012-1  Regular Allowances                             (63,117,000)         (63,117,000)         (67,405,000)
011206- A012-2  Other Allowances (Excluding TA)                  (3,683,000)          (9,505,000)          (2,500,000)
011206- A03    Operating Expenses                               35,073,000            37,173,000            33,721,000
011206- A031   Fees                                                    1,000                 1,000
011206- A032   Communications                                     641,000              641,000             1,155,000
011206- A033     Utilities                                               104,000              104,000              140,000
011206- A034   Occupancy Costs                                   31,641,000            32,941,000            28,977,000
011206- A036   Motor Vehicles                                           4,000                 4,000
011206- A038    Travel & Transportation                               1,625,000             2,425,000             1,636,000
011206- A039   General                                              1,057,000             1,057,000             1,813,000
011206- A04    Employees Retirement Benefits                     6,251,000             7,351,000             9,984,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A041   Pension                                              6,251,000             7,351,000             9,984,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A09    Physical Assets                                      810,000              810,000              888,000
011206- A092   Computer Equipment                                 360,000              360,000
011206- A096   Purchase of Plant and Machinery                      200,000              200,000              561,000
011206- A097   Purchase of Furniture and Fixture                     250,000              250,000              327,000
011206- A13    Repairs and Maintenance                            377,000              377,000              486,000
011206- A130    Transport                                              75,000               75,000               19,000
011206- A131   Machinery and Equipment                             100,000              100,000              140,000
011206- A132    Furniture and Fixture                                  100,000              100,000              187,000
011206- A137   Computer Equipment                                 102,000              102,000              140,000
        Total- DIRECTOR GENERAL ACCOUNTS              222,135,000        231,157,000        226,079,000
           (WORKS) LAHORE
LO0053 DISTRICT ACCOUNTS OFFICES SCHEME IN PUNJAB LAHORE
011206- A01    Employees Related Expenses                        766,000              766,000              900,000
011206- A011   Pay                       7      7             452,000              452,000              518,000
011206- A011-1 Pay of Officers                  (5)      (5)            (292,000)            (292,000)            (335,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (160,000)            (160,000)            (183,000)
011206- A012   Allowances                                           314,000              314,000              382,000
011206- A012-1  Regular Allowances                                (310,000)            (310,000)            (372,000)
011206- A012-2  Other Allowances (Excluding TA)                       (4,000)               (4,000)             (10,000)
011206- A03    Operating Expenses                                 148,000              148,000              108,000
011206- A032   Communications                                       22,000               22,000               19,000
011206- A033     Utilities                                                30,000               30,000                 9,000
011206- A038    Travel & Transportation                                 49,000               49,000               42,000
011206- A039   General                                                47,000               47,000               38,000
011206- A04    Employees Retirement Benefits                         1,000                 1,000
011206- A041   Pension                                                 1,000                 1,000
011206- A09    Physical Assets                                         3,000                 3,000
011206- A092   Computer Equipment                                    1,000                 1,000
011206- A096   Purchase of Plant and Machinery                         1,000                 1,000
011206- A097   Purchase of Furniture and Fixture                        1,000                 1,000

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  Table of Content                       1415            Previous     Next

NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A13    Repairs and Maintenance                              48,000               48,000               33,000
011206- A130    Transport                                                1,000                 1,000
011206- A131   Machinery and Equipment                              15,000               15,000               14,000
011206- A132    Furniture and Fixture                                   15,000               15,000                 5,000
011206- A137   Computer Equipment                                   17,000               17,000               14,000
        Total- DISTRICT ACCOUNTS OFFICES                    966,000            966,000           1,041,000
          SCHEME IN PUNJAB LAHORE
LO0545 DIRECTOR OF ACOUNTS PPO DETPARTMENT, LAHORE
011206- A01    Employees Related Expenses                    346,556,000          357,581,000          338,000,000
011206- A011   Pay                     690    690          216,473,000          216,473,000          198,871,000
011206- A011-1 Pay of Officers             (417)   (418)       (161,473,000)       (161,473,000)       (151,871,000)
011206- A011-2 Pay of Other Staff          (273)   (272)         (55,000,000)         (55,000,000)         (47,000,000)
011206- A012   Allowances                                        130,083,000          141,108,000          139,129,000
011206- A012-1  Regular Allowances                            (126,751,000)       (126,751,000)       (135,699,000)
011206- A012-2  Other Allowances (Excluding TA)                  (3,332,000)         (14,357,000)          (3,430,000)
011206- A03    Operating Expenses                               83,880,000            86,780,000            86,285,000
011206- A032   Communications                                     753,000              753,000              750,000
011206- A033     Utilities                                               4,355,000             4,355,000             4,322,000
011206- A034   Occupancy Costs                                   67,735,000            69,135,000            70,411,000
011206- A038    Travel & Transportation                               7,060,000             8,060,000             7,087,000
011206- A039   General                                              3,977,000             4,477,000             3,715,000
011206- A04    Employees Retirement Benefits                     3,300,000             5,700,000             2,800,000
011206- A041   Pension                                              3,300,000             5,700,000             2,800,000
011206- A05    Grants, Subsidies and Write off Loans                  4,000                 4,000
011206- A052   Grants Domestic                                         4,000                 4,000
011206- A09    Physical Assets                                      1,601,000             1,601,000              748,000
011206- A092   Computer Equipment                                 801,000              801,000
011206- A096   Purchase of Plant and Machinery                      400,000              400,000              374,000
011206- A097   Purchase of Furniture and Fixture                     400,000              400,000              374,000
011206- A13    Repairs and Maintenance                            1,215,000             1,215,000             1,228,000
011206- A130    Transport                                            200,000              200,000              187,000
011206- A131   Machinery and Equipment                             300,000              300,000              280,000
011206- A132    Furniture and Fixture                                  200,000              200,000              187,000

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  Table of Content                       1416            Previous     Next

NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A133    Buildings and Structure                               210,000              210,000              186,000
011206- A137   Computer Equipment                                 305,000              305,000              388,000
        Total- DIRECTOR OF ACOUNTS PPO                  436,556,000        452,881,000        429,061,000
           DETPARTMENT, LAHORE
LO0941 CHIEF ACCOUNTS OFFICER, PAKISTAN MINT, LAHORE.
011206- A01    Employees Related Expenses                       7,089,000             7,318,000             7,000,000
011206- A011   Pay                      30     30            4,479,000             4,362,000             4,004,000
011206- A011-1 Pay of Officers                  (9)      (9)          (1,295,000)          (1,303,000)          (1,400,000)
011206- A011-2 Pay of Other Staff            (21)    (21)          (3,184,000)          (3,059,000)          (2,604,000)
011206- A012   Allowances                                           2,610,000             2,956,000             2,996,000
011206- A012-1  Regular Allowances                               (2,359,000)          (2,337,000)          (2,696,000)
011206- A012-2  Other Allowances (Excluding TA)                    (251,000)            (619,000)            (300,000)
011206- A03    Operating Expenses                                 1,325,000             1,433,000             1,269,000
011206- A032   Communications                                       70,000               86,000               84,000
011206- A034   Occupancy Costs                                     600,000              560,000              467,000
011206- A038    Travel & Transportation                               503,000              628,000              570,000
011206- A039   General                                              152,000              159,000              148,000
011206- A04    Employees Retirement Benefits                       12,000               12,000               21,000
011206- A041   Pension                                               12,000               12,000               21,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000                 5,000
011206- A09    Physical Assets                                       17,000               17,000               47,000
011206- A092   Computer Equipment                                    2,000                 2,000
011206- A097   Purchase of Furniture and Fixture                       15,000               15,000               47,000
011206- A13    Repairs and Maintenance                              32,000               32,000               35,000
011206- A130    Transport                                                7,000                 7,000                 5,000
011206- A131   Machinery and Equipment                              15,000               15,000               19,000
011206- A137   Computer Equipment                                   10,000               10,000               11,000
        Total- CHIEF ACCOUNTS OFFICER, PAKISTAN          8,480,000           8,817,000           8,377,000
             MINT, LAHORE.
LO2011 AG PUNJAB DATA ENTRY CELL
011206- A01    Employees Related Expenses                      18,299,000            20,608,000            15,351,000
011206- A011   Pay                      32     32           10,599,000            12,045,000             9,100,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A011-1 Pay of Officers               (18)    (18)            (756,000)          (2,202,000)          (2,250,000)
011206- A011-2 Pay of Other Staff            (14)    (14)          (9,843,000)          (9,843,000)          (6,850,000)
011206- A012   Allowances                                           7,700,000             8,563,000             6,251,000
011206- A012-1  Regular Allowances                               (7,700,000)          (8,513,000)          (6,251,000)
011206- A012-2  Other Allowances (Excluding TA)                                          (50,000)
011206- A03    Operating Expenses                                 5,390,000             8,604,000             5,197,000
011206- A032   Communications                                     100,000              365,000               93,000
011206- A033     Utilities                                               1,500,000             2,750,000             1,402,000
011206- A034   Occupancy Costs                                     1,200,000             1,500,000             1,402,000
011206- A038    Travel & Transportation                                                    150,000
011206- A039   General                                              2,590,000             3,839,000             2,300,000
011206- A04    Employees Retirement Benefits                                           118,000
011206- A041   Pension                                                                   118,000
011206- A13    Repairs and Maintenance                            320,000             1,350,000              252,000
011206- A131   Machinery and Equipment                             100,000              250,000               93,000
011206- A137   Computer Equipment                                 220,000             1,100,000              159,000
        Total- AG PUNJAB DATA ENTRY CELL                 24,009,000         30,680,000          20,800,000
LO2013 AGPR SUB OFFICE LAHORE
011206- A01    Employees Related Expenses                    139,806,000          150,815,000          140,804,000
011206- A011   Pay                     211    211           88,884,000            88,884,000            84,970,000
011206- A011-1 Pay of Officers             (166)   (166)         (81,854,000)         (81,854,000)         (76,920,000)
011206- A011-2 Pay of Other Staff            (45)    (45)          (7,030,000)          (7,030,000)          (8,050,000)
011206- A012   Allowances                                         50,922,000            61,931,000            55,834,000
011206- A012-1  Regular Allowances                             (47,384,000)         (47,384,000)         (51,804,000)
011206- A012-2  Other Allowances (Excluding TA)                  (3,538,000)         (14,547,000)          (4,030,000)
011206- A03    Operating Expenses                               24,814,000            24,714,000            24,653,000
011206- A031   Fees                                                  49,000               49,000               52,000
011206- A032   Communications                                     1,000,000             1,000,000              654,000
011206- A033     Utilities                                               915,000              915,000              767,000
011206- A034   Occupancy Costs                                   17,030,000            17,030,000            18,731,000
011206- A038    Travel & Transportation                               3,554,000             3,454,000             2,729,000
011206- A039   General                                              2,266,000             2,266,000             1,720,000
011206- A04    Employees Retirement Benefits                     4,500,000             4,500,000             3,730,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A041   Pension                                              4,500,000             4,500,000             3,730,000
011206- A05    Grants, Subsidies and Write off Loans                65,000               65,000               50,000
011206- A052   Grants Domestic                                       65,000               65,000               50,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      1,161,000             1,161,000              841,000
011206- A092   Computer Equipment                                 361,000              361,000
011206- A096   Purchase of Plant and Machinery                      500,000              500,000              374,000
011206- A097   Purchase of Furniture and Fixture                     300,000              300,000              467,000
011206- A13    Repairs and Maintenance                            498,000              498,000              654,000
011206- A130    Transport                                            100,000              100,000               93,000
011206- A131   Machinery and Equipment                              80,000               80,000              140,000
011206- A132    Furniture and Fixture                                  150,000              150,000              187,000
011206- A137   Computer Equipment                                 168,000              168,000              234,000
        Total- AGPR SUB OFFICE LAHORE                   170,845,000        181,754,000        170,732,000
LO2014 AGPR SUB OFFICE LAHORE(COMPUTER CELL)
011206- A03    Operating Expenses                                 950,000             1,175,000              822,000
011206- A039   General                                              950,000             1,175,000              822,000
011206- A13    Repairs and Maintenance                            115,000              175,000              107,000
011206- A131   Machinery and Equipment                              25,000               55,000               23,000
011206- A137   Computer Equipment                                   90,000              120,000               84,000
        Total- AGPR SUB OFFICE                               1,065,000           1,350,000            929,000
          LAHORE(COMPUTER CELL)
LY0001 DISTT. ACCOUNTS OFFICE LAYYAH
011206- A01    Employees Related Expenses                      23,773,000            24,562,000            26,222,000
011206- A011   Pay                      33     36           14,846,000            14,846,000            15,555,000
011206- A011-1 Pay of Officers               (27)    (30)         (13,518,000)         (13,518,000)         (15,416,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,328,000)          (1,328,000)            (139,000)
011206- A012   Allowances                                           8,927,000             9,716,000            10,667,000
011206- A012-1  Regular Allowances                               (8,926,000)          (8,926,000)         (10,667,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (790,000)
011206- A03    Operating Expenses                                    1,000              374,000
011206- A038    Travel & Transportation                                  1,000              374,000

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  Table of Content                       1419            Previous     Next

NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A04    Employees Retirement Benefits                                           207,000
011206- A041   Pension                                                                   207,000
        Total-  DISTT. ACCOUNTS OFFICE LAYYAH            23,774,000         25,143,000          26,222,000
MB0001 DAO MANDI BAH-UD-DIN
011206- A01    Employees Related Expenses                       5,971,000             6,113,000             4,872,000
011206- A011   Pay                      12     12            3,582,000             3,582,000             2,877,000
011206- A011-1 Pay of Officers               (10)    (10)          (3,410,000)          (3,410,000)          (2,777,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (172,000)            (172,000)            (100,000)
011206- A012   Allowances                                           2,389,000             2,531,000             1,995,000
011206- A012-1  Regular Allowances                               (2,388,000)          (2,388,000)          (1,995,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (143,000)
011206- A03    Operating Expenses                                    1,000              233,000
011206- A038    Travel & Transportation                                  1,000              233,000
        Total- DAO MANDI BAH-UD-DIN                         5,972,000           6,346,000           4,872,000
MH0001 DAO MUZAFFARGARH
011206- A01    Employees Related Expenses                      24,896,000            25,649,000            25,079,000
011206- A011   Pay                      35     35           15,860,000            15,860,000            14,885,000
011206- A011-1 Pay of Officers               (29)    (29)         (14,229,000)         (14,229,000)         (14,444,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,631,000)          (1,631,000)            (441,000)
011206- A012   Allowances                                           9,036,000             9,789,000            10,194,000
011206- A012-1  Regular Allowances                               (9,035,000)          (9,035,000)         (10,194,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (754,000)
011206- A03    Operating Expenses                                    1,000               57,000
011206- A038    Travel & Transportation                                  1,000               57,000
011206- A04    Employees Retirement Benefits                                           2,006,000
011206- A041   Pension                                                                    2,006,000
        Total- DAO MUZAFFARGARH                          24,897,000         27,712,000          25,079,000
MI0001 DAO MIANWALI
011206- A01    Employees Related Expenses                      18,857,000            19,438,000            18,426,000
011206- A011   Pay                      30     32           11,795,000            11,795,000            10,821,000
011206- A011-1 Pay of Officers               (22)    (24)          (9,772,000)          (9,772,000)         (10,400,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (2,023,000)          (2,023,000)            (421,000)
011206- A012   Allowances                                           7,062,000             7,643,000             7,605,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012-1  Regular Allowances                               (7,061,000)          (7,061,000)          (7,605,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (582,000)
011206- A03    Operating Expenses                                    1,000              439,000
011206- A038    Travel & Transportation                                  1,000              439,000
        Total- DAO MIANWALI                                18,858,000         19,877,000          18,426,000
MN0005 DAO MULTAN
011206- A01    Employees Related Expenses                      45,794,000            47,150,000            44,589,000
011206- A011   Pay                      67     70           27,588,000            27,588,000            25,459,000
011206- A011-1 Pay of Officers               (49)    (52)         (24,828,000)         (24,828,000)         (23,362,000)
011206- A011-2 Pay of Other Staff            (18)    (18)          (2,760,000)          (2,760,000)          (2,097,000)
011206- A012   Allowances                                         18,206,000            19,562,000            19,130,000
011206- A012-1  Regular Allowances                             (18,205,000)         (18,205,000)         (19,130,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)          (1,357,000)
011206- A03    Operating Expenses                                    1,000              234,000
011206- A038    Travel & Transportation                                  1,000              234,000
011206- A04    Employees Retirement Benefits                                           1,202,000
011206- A041   Pension                                                                    1,202,000
        Total- DAO MULTAN                                  45,795,000         48,586,000          44,589,000
NK0001 DAO DAO NANKANA SAHIB
011206- A01    Employees Related Expenses                       8,284,000             8,556,000             8,552,000
011206- A011   Pay                      12     14            5,131,000             5,131,000             5,064,000
011206- A011-1 Pay of Officers               (10)    (12)          (4,744,000)          (4,744,000)          (4,849,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (387,000)            (387,000)            (215,000)
011206- A012   Allowances                                           3,153,000             3,425,000             3,488,000
011206- A012-1  Regular Allowances                               (3,152,000)          (3,152,000)          (3,488,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (273,000)
011206- A03    Operating Expenses                                    1,000               36,000
011206- A038    Travel & Transportation                                  1,000               36,000
        Total- DAO DAO NANKANA SAHIB                      8,285,000           8,592,000           8,552,000
NL0001 DAO NAROWAL
011206- A01    Employees Related Expenses                      15,896,000            16,409,000            15,807,000
011206- A011   Pay                      26     26            9,900,000             9,900,000             9,292,000
011206- A011-1 Pay of Officers               (19)    (19)          (8,791,000)          (8,791,000)          (8,558,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A011-2 Pay of Other Staff               (7)      (7)          (1,109,000)          (1,109,000)            (734,000)
011206- A012   Allowances                                           5,996,000             6,509,000             6,515,000
011206- A012-1  Regular Allowances                               (5,995,000)          (5,995,000)          (6,515,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (514,000)
011206- A03    Operating Expenses                                    1,000              175,000
011206- A038    Travel & Transportation                                  1,000              175,000
011206- A04    Employees Retirement Benefits                                           573,000
011206- A041   Pension                                                                   573,000
        Total- DAO NAROWAL                                15,897,000         17,157,000          15,807,000
OK0075 DISTRICT ACCOUNTS OFFICE OKARA
011206- A01    Employees Related Expenses                      17,718,000            18,207,000            15,847,000
011206- A011   Pay                      27     29           10,908,000            10,908,000             9,217,000
011206- A011-1 Pay of Officers               (17)    (19)          (8,861,000)          (8,861,000)          (8,648,000)
011206- A011-2 Pay of Other Staff            (10)    (10)          (2,047,000)          (2,047,000)            (569,000)
011206- A012   Allowances                                           6,810,000             7,299,000             6,630,000
011206- A012-1  Regular Allowances                               (6,809,000)          (6,809,000)          (6,630,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (490,000)
011206- A03    Operating Expenses                                    1,000              316,000
011206- A038    Travel & Transportation                                  1,000              316,000
011206- A04    Employees Retirement Benefits                                           647,000
011206- A041   Pension                                                                   647,000
        Total- DISTRICT ACCOUNTS OFFICE OKARA           17,719,000         19,170,000          15,847,000
PK0002 DAO PAKPATTAN
011206- A01    Employees Related Expenses                      14,591,000            14,998,000            13,719,000
011206- A011   Pay                      20     20            9,084,000             9,084,000             8,207,000
011206- A011-1 Pay of Officers               (17)    (17)          (8,482,000)          (8,482,000)          (8,007,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (602,000)            (602,000)            (200,000)
011206- A012   Allowances                                           5,507,000             5,914,000             5,512,000
011206- A012-1  Regular Allowances                               (5,506,000)          (5,506,000)          (5,512,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (408,000)
011206- A03    Operating Expenses                                    1,000              279,000
011206- A038    Travel & Transportation                                  1,000              279,000
        Total- DAO PAKPATTAN                              14,592,000         15,277,000          13,719,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

RI0001 DISTRICT ACCOUNT OFFICE RAWALPINDI
011206- A01    Employees Related Expenses                      31,080,000            32,059,000            32,967,000
011206- A011   Pay                      66     73           18,557,000            18,557,000            18,624,000
011206- A011-1 Pay of Officers               (45)    (52)         (14,538,000)         (14,538,000)         (16,920,000)
011206- A011-2 Pay of Other Staff            (21)    (21)          (4,019,000)          (4,019,000)          (1,704,000)
011206- A012   Allowances                                         12,523,000            13,502,000            14,343,000
011206- A012-1  Regular Allowances                             (12,522,000)         (12,522,000)         (14,343,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (980,000)
011206- A03    Operating Expenses                                    1,000              102,000
011206- A038    Travel & Transportation                                  1,000              102,000
011206- A04    Employees Retirement Benefits                                           1,313,000
011206- A041   Pension                                                                    1,313,000
        Total- DISTRICT ACCOUNT OFFICE                    31,081,000         33,474,000          32,967,000
           RAWALPINDI
RN0001 DAO RAHIM YAAR KHAN
011206- A01    Employees Related Expenses                      16,831,000            17,376,000            17,717,000
011206- A011   Pay                      35     35           10,468,000            10,468,000            10,412,000
011206- A011-1 Pay of Officers               (29)    (29)          (9,832,000)          (9,832,000)         (10,072,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (636,000)            (636,000)            (340,000)
011206- A012   Allowances                                           6,363,000             6,908,000             7,305,000
011206- A012-1  Regular Allowances                               (6,362,000)          (6,362,000)          (7,305,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (546,000)
011206- A03    Operating Expenses                                    1,000              450,000
011206- A038    Travel & Transportation                                  1,000              450,000
011206- A04    Employees Retirement Benefits                                           1,392,000
011206- A041   Pension                                                                    1,392,000
        Total- DAO RAHIM YAAR KHAN                        16,832,000         19,218,000          17,717,000
RP0001 DAO RAJAN PUR
011206- A01    Employees Related Expenses                       9,026,000             9,318,000             9,035,000
011206- A011   Pay                      19     19            5,732,000             5,732,000             5,506,000
011206- A011-1 Pay of Officers               (16)    (16)          (5,267,000)          (5,267,000)          (5,206,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (465,000)            (465,000)            (300,000)
011206- A012   Allowances                                           3,294,000             3,586,000             3,529,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012-1  Regular Allowances                               (3,293,000)          (3,293,000)          (3,529,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (293,000)
011206- A03    Operating Expenses                                    1,000               37,000
011206- A038    Travel & Transportation                                  1,000               37,000
        Total- DAO RAJAN PUR                                 9,027,000           9,355,000           9,035,000
SA0001 DAO SHEIKHUPURA
011206- A01    Employees Related Expenses                      15,023,000            15,510,000            15,414,000
011206- A011   Pay                      34     34            8,993,000             8,993,000             8,864,000
011206- A011-1 Pay of Officers               (25)    (25)          (7,540,000)          (7,540,000)          (7,917,000)
011206- A011-2 Pay of Other Staff               (9)      (9)          (1,453,000)          (1,453,000)            (947,000)
011206- A012   Allowances                                           6,030,000             6,517,000             6,550,000
011206- A012-1  Regular Allowances                               (6,029,000)          (6,029,000)          (6,550,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (488,000)
011206- A03    Operating Expenses                                    1,000               10,000
011206- A038    Travel & Transportation                                  1,000               10,000
        Total- DAO SHEIKHUPURA                            15,024,000         15,520,000          15,414,000
SG0002 DAO SARGODHA
011206- A01    Employees Related Expenses                      25,261,000            26,196,000            29,518,000
011206- A011   Pay                      49     50           15,127,000            15,127,000            16,683,000
011206- A011-1 Pay of Officers               (37)    (38)         (12,336,000)         (12,336,000)         (15,115,000)
011206- A011-2 Pay of Other Staff            (12)    (12)          (2,791,000)          (2,791,000)          (1,568,000)
011206- A012   Allowances                                         10,134,000            11,069,000            12,835,000
011206- A012-1  Regular Allowances                             (10,133,000)         (10,133,000)         (12,835,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (936,000)
011206- A03    Operating Expenses                                    1,000              471,000
011206- A038    Travel & Transportation                                  1,000              471,000
011206- A04    Employees Retirement Benefits                                           537,000
011206- A041   Pension                                                                   537,000
        Total- DAO SARGODHA                               25,262,000         27,204,000          29,518,000
SL0002 DAO SAHIWAL
011206- A01    Employees Related Expenses                      22,845,000            23,533,000            22,506,000
011206- A011   Pay                      35     37           13,994,000            13,994,000            13,070,000
011206- A011-1 Pay of Officers               (25)    (26)         (11,712,000)         (11,712,000)         (11,422,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A011-2 Pay of Other Staff            (10)    (11)          (2,282,000)          (2,282,000)          (1,648,000)
011206- A012   Allowances                                           8,851,000             9,539,000             9,436,000
011206- A012-1  Regular Allowances                               (8,850,000)          (8,850,000)          (9,436,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (689,000)
011206- A03    Operating Expenses                                    1,000              751,000
011206- A038    Travel & Transportation                                  1,000              751,000
011206- A04    Employees Retirement Benefits                                           629,000
011206- A041   Pension                                                                   629,000
        Total- DAO SAHIWAL                                 22,846,000         24,913,000          22,506,000
ST0002 DAO SIALKOT
011206- A01    Employees Related Expenses                      25,665,000            26,381,000            21,535,000
011206- A011   Pay                      50     50           15,505,000            15,505,000            12,340,000
011206- A011-1 Pay of Officers               (42)    (42)         (14,341,000)         (14,341,000)         (11,350,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (1,164,000)          (1,164,000)            (990,000)
011206- A012   Allowances                                         10,160,000            10,876,000             9,195,000
011206- A012-1  Regular Allowances                             (10,159,000)         (10,159,000)          (9,195,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (717,000)
011206- A03    Operating Expenses                                    1,000              341,000
011206- A038    Travel & Transportation                                  1,000              341,000
011206- A04    Employees Retirement Benefits                                           574,000
011206- A041   Pension                                                                   574,000
        Total- DAO SIALKOT                                  25,666,000         27,296,000          21,535,000
TS0001 DAO TOBA TEK SINGH
011206- A01    Employees Related Expenses                       9,573,000             9,932,000            11,075,000
011206- A011   Pay                      20     20            5,862,000             5,862,000             6,450,000
011206- A011-1 Pay of Officers               (14)    (14)          (4,747,000)          (4,747,000)          (5,890,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,115,000)          (1,115,000)            (560,000)
011206- A012   Allowances                                           3,711,000             4,070,000             4,625,000
011206- A012-1  Regular Allowances                               (3,710,000)          (3,710,000)          (4,625,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (360,000)
011206- A03    Operating Expenses                                    1,000              147,000
011206- A038    Travel & Transportation                                  1,000              147,000
        Total- DAO TOBA TEK SINGH                           9,574,000         10,079,000          11,075,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

VR0001 DAO VIHARI
011206- A01    Employees Related Expenses                      18,452,000            19,042,000            19,815,000
011206- A011   Pay                      26     26           11,592,000            11,592,000            11,860,000
011206- A011-1 Pay of Officers               (21)    (21)         (10,797,000)         (10,797,000)         (11,272,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (795,000)            (795,000)            (588,000)
011206- A012   Allowances                                           6,860,000             7,450,000             7,955,000
011206- A012-1  Regular Allowances                               (6,859,000)          (6,859,000)          (7,955,000)
011206- A012-2  Other Allowances (Excluding TA)                       (1,000)            (591,000)
011206- A03    Operating Expenses                                    1,000                 1,000
011206- A038    Travel & Transportation                                  1,000                 1,000
011206- A04    Employees Retirement Benefits                                           664,000
011206- A041   Pension                                                                   664,000
        Total- DAO VIHARI                                    18,453,000         19,707,000          19,815,000
     011206   Total-  Accounting services                     2,163,376,000       2,249,848,000       2,153,765,000
     0112     Total-  Financial and Fiscal Affairs              2,163,376,000       2,249,848,000       2,153,765,000
     011      Total-  Executive & Legislative                  2,163,376,000       2,249,848,000       2,153,765,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  2,163,376,000       2,249,848,000       2,153,765,000
               Total- ACCOUNTANT GENERAL                 2,163,376,000         2,249,848,000         2,153,765,000
                PAKISTAN REVENUES
                  SUB-OFFICE, LAHORE

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
AD0092 DISTRICT ACCOUNTS OFFICE ABBOTTABAD
011206- A01    Employees Related Expenses                      24,253,000            25,296,000            17,139,000
011206- A011   Pay                      38     32           15,407,000            15,407,000            10,732,000
011206- A011-1 Pay of Officers               (32)    (26)         (13,401,000)         (13,401,000)          (9,326,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (2,006,000)          (2,006,000)          (1,406,000)
011206- A012   Allowances                                           8,846,000             9,889,000             6,407,000
011206- A012-1  Regular Allowances                               (8,846,000)          (8,846,000)          (6,407,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (1,043,000)
011206- A03    Operating Expenses                                                        50,000
011206- A039   General                                                                     50,000
        Total- DISTRICT ACCOUNTS OFFICE                   24,253,000         25,346,000          17,139,000
          ABBOTTABAD
AD0093 DISTRICT ACCOUNTS OFFICE ABBOTTABAD(DAO SCHEME)
011206- A01    Employees Related Expenses                       2,579,000             1,729,000             1,964,000
011206- A011   Pay                       4      3            1,420,000              910,000             1,100,000
011206- A011-1 Pay of Officers                  (1)      (1)          (1,014,000)            (755,000)            (720,000)
011206- A011-2 Pay of Other Staff               (3)      (2)            (406,000)            (155,000)            (380,000)
011206- A012   Allowances                                           1,159,000              819,000              864,000
011206- A012-1  Regular Allowances                                (909,000)            (569,000)            (564,000)
011206- A012-2  Other Allowances (Excluding TA)                    (250,000)            (250,000)            (300,000)
011206- A03    Operating Expenses                                 705,000              965,000              734,000
011206- A032   Communications                                       40,000               40,000               33,000
011206- A033     Utilities                                               200,000              260,000              187,000
011206- A038    Travel & Transportation                               300,000              500,000              280,000
011206- A039   General                                              165,000              165,000              234,000
011206- A13    Repairs and Maintenance                              20,000               20,000               18,000
011206- A131   Machinery and Equipment                              10,000               10,000                 9,000
011206- A132    Furniture and Fixture                                   10,000               10,000                 9,000
        Total- DISTRICT ACCOUNTS OFFICE                    3,304,000           2,714,000           2,716,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

          ABBOTTABAD(DAO SCHEME)
BD0021 DISTRICT ACCOUNTS OFFICE BUNIR(DAO SCHEME)
011206- A01    Employees Related Expenses                                                                  100,000
011206- A012   Allowances                                                                                     100,000
011206- A012-2  Other Allowances (Excluding TA)                                                             (100,000)
011206- A03    Operating Expenses                                 450,000              550,000              295,000
011206- A032   Communications                                       10,000               10,000                 5,000
011206- A033     Utilities                                               200,000              200,000               75,000
011206- A038    Travel & Transportation                               205,000              305,000              192,000
011206- A039   General                                                35,000               35,000               23,000
011206- A09    Physical Assets                                       25,000               25,000
011206- A092   Computer Equipment                                   25,000               25,000
011206- A13    Repairs and Maintenance                              16,000               16,000               14,000
011206- A131   Machinery and Equipment                                8,000                 8,000                 7,000
011206- A132    Furniture and Fixture                                     8,000                 8,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE                     491,000            591,000            409,000
           BUNIR(DAO SCHEME)
BD0022 DISTRICT ACCOUNTS OFFICE BUNIR
011206- A01    Employees Related Expenses                       2,198,000             2,380,000             2,348,000
011206- A011   Pay                       6      6            1,330,000             1,330,000             1,330,000
011206- A011-1 Pay of Officers                  (4)      (4)          (1,150,000)          (1,150,000)          (1,150,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (180,000)            (180,000)            (180,000)
011206- A012   Allowances                                           868,000             1,050,000             1,018,000
011206- A012-1  Regular Allowances                                (868,000)            (868,000)          (1,018,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (182,000)
        Total- DISTRICT ACCOUNTS OFFICE BUNIR             2,198,000           2,380,000           2,348,000
BJ0032 ACCOUNTING SERVICES
011206- A01    Employees Related Expenses                                             298,000             5,720,000
011206- A011   Pay                                 7                                                        3,828,000
011206- A011-1 Pay of Officers                           (7)                                                    (3,828,000)
011206- A012   Allowances                                                                298,000             1,892,000
011206- A012-1  Regular Allowances                                                                         (1,892,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (298,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

        Total- ACCOUNTING SERVICES                                            298,000           5,720,000
BM0012 DAO BATAGRAM
011206- A01    Employees Related Expenses                       5,017,000             5,212,000             5,155,000
011206- A011   Pay                       8      8            3,089,000             3,089,000             3,089,000
011206- A011-1 Pay of Officers                  (7)      (6)          (2,929,000)          (2,929,000)          (2,929,000)
011206- A011-2 Pay of Other Staff               (1)      (2)            (160,000)            (160,000)            (160,000)
011206- A012   Allowances                                           1,928,000             2,123,000             2,066,000
011206- A012-1  Regular Allowances                               (1,928,000)          (1,928,000)          (2,066,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (195,000)
        Total- DAO BATAGRAM                                 5,017,000           5,212,000           5,155,000
BM0021 DISTRICT ACCOUNTS OFFICE(DAO SCHEM) BATA GRAM
011206- A03    Operating Expenses                                 535,000              740,000              377,000
011206- A032   Communications                                         5,000                 5,000                 5,000
011206- A033     Utilities                                               300,000              300,000              157,000
011206- A038    Travel & Transportation                               200,000              400,000              187,000
011206- A039   General                                                30,000               35,000               28,000
011206- A13    Repairs and Maintenance                              16,000               16,000               14,000
011206- A131   Machinery and Equipment                                8,000                 8,000                 7,000
011206- A132    Furniture and Fixture                                     8,000                 8,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE(DAO                551,000            756,000            391,000
           SCHEM) BATA GRAM
BU0004 DISTT ACCOOUNTS OFFICE BANNU
011206- A01    Employees Related Expenses                      17,751,000            18,690,000            18,101,000
011206- A011   Pay                      37     37           10,999,000            10,999,000            10,999,000
011206- A011-1 Pay of Officers               (32)    (32)         (10,079,000)         (10,079,000)         (10,079,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (920,000)            (920,000)            (920,000)
011206- A012   Allowances                                           6,752,000             7,691,000             7,102,000
011206- A012-1  Regular Allowances                               (6,752,000)          (6,752,000)          (7,102,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (939,000)
        Total- DISTT ACCOOUNTS OFFICE BANNU             17,751,000         18,690,000          18,101,000
BU0009 DISTRICT ACCOUNTS OFFICE BUNU( DAO SCHEM )
011206- A01    Employees Related Expenses                       1,895,000             2,324,000             1,586,000
011206- A011   Pay                       4      4            1,004,000             1,176,000              804,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011-1 Pay of Officers                  (1)      (1)            (714,000)            (809,000)            (514,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (290,000)            (367,000)            (290,000)
011206- A012   Allowances                                           891,000             1,148,000              782,000
011206- A012-1  Regular Allowances                                (591,000)            (848,000)            (482,000)
011206- A012-2  Other Allowances (Excluding TA)                    (300,000)            (300,000)            (300,000)
011206- A03    Operating Expenses                                 725,000             1,636,000              782,000
011206- A032   Communications                                       20,000              140,000               61,000
011206- A033     Utilities                                               140,000              500,000              215,000
011206- A038    Travel & Transportation                               335,000              766,000              351,000
011206- A039   General                                              230,000              230,000              155,000
011206- A13    Repairs and Maintenance                              20,000               40,000               18,000
011206- A131   Machinery and Equipment                              10,000               20,000                 9,000
011206- A132    Furniture and Fixture                                   10,000               20,000                 9,000
        Total- DISTRICT ACCOUNTS OFFICE BUNU(             2,640,000           4,000,000           2,386,000
          DAO SCHEM )
CA0001 DISTRICT ACCOUNT OFFICER CHARSADDA
011206- A01    Employees Related Expenses                      18,415,000            19,357,000            18,465,000
011206- A011   Pay                      19     19           11,599,000            11,599,000            11,549,000
011206- A011-1 Pay of Officers               (17)    (17)         (10,987,000)         (10,987,000)         (10,937,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (612,000)            (612,000)            (612,000)
011206- A012   Allowances                                           6,816,000             7,758,000             6,916,000
011206- A012-1  Regular Allowances                               (6,816,000)          (6,816,000)          (6,916,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (942,000)
        Total- DISTRICT ACCOUNT OFFICER                   18,415,000         19,357,000          18,465,000
          CHARSADDA
CA0002 DISTRICT ACCOUNT OFFICER (DAO SCHEM)CHAR SADDA
011206- A01    Employees Related Expenses                       1,491,000             1,792,000             1,257,000
011206- A011   Pay                       2      1             715,000              842,000              510,000
011206- A011-1 Pay of Officers                  (2)      (1)            (715,000)            (842,000)            (510,000)
011206- A012   Allowances                                           776,000              950,000              747,000
011206- A012-1  Regular Allowances                                (426,000)            (534,000)            (397,000)
011206- A012-2  Other Allowances (Excluding TA)                    (350,000)            (416,000)            (350,000)
011206- A03    Operating Expenses                                 375,000              730,000              384,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A032   Communications                                         5,000               30,000               28,000
011206- A033     Utilities                                               100,000              100,000               79,000
011206- A038    Travel & Transportation                               205,000              510,000              239,000
011206- A039   General                                                65,000               90,000               38,000
011206- A09    Physical Assets                                                           150,000
011206- A096   Purchase of Plant and Machinery                                            50,000
011206- A097   Purchase of Furniture and Fixture                                          100,000
011206- A13    Repairs and Maintenance                              30,000               65,000               18,000
011206- A131   Machinery and Equipment                              15,000               30,000                 9,000
011206- A132    Furniture and Fixture                                   15,000               35,000                 9,000
        Total- DISTRICT ACCOUNT OFFICER (DAO              1,896,000           2,737,000           1,659,000
          SCHEM)CHAR SADDA
CL0002 DAO CHITRAL0
011206- A01    Employees Related Expenses                       9,945,000            10,512,000            10,085,000
011206- A011   Pay                      16     16            6,027,000             6,027,000             6,027,000
011206- A011-1 Pay of Officers               (12)    (12)          (5,652,000)          (5,652,000)          (5,652,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (375,000)            (375,000)            (375,000)
011206- A012   Allowances                                           3,918,000             4,485,000             4,058,000
011206- A012-1  Regular Allowances                               (3,918,000)          (3,918,000)          (4,058,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (567,000)
        Total- DAO CHITRAL0                                  9,945,000         10,512,000          10,085,000
CL0036 DISTRICT ACCOUNTS OFFICE CHITRAL (DA0 SCHEME)
011206- A01    Employees Related Expenses                       1,815,000             2,173,000             1,250,000
011206- A011   Pay                       4      4             750,000              864,000              350,000
011206- A011-1 Pay of Officers                                                         (361,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (750,000)            (503,000)            (350,000)
011206- A012   Allowances                                           1,065,000             1,309,000              900,000
011206- A012-1  Regular Allowances                                (581,000)            (775,000)            (436,000)
011206- A012-2  Other Allowances (Excluding TA)                    (484,000)            (534,000)            (464,000)
011206- A03    Operating Expenses                                 2,085,000             2,595,000             1,398,000
011206- A032   Communications                                       40,000               50,000               33,000
011206- A033     Utilities                                               1,240,000             1,340,000              683,000
011206- A038    Travel & Transportation                               460,000              835,000              430,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A039   General                                              345,000              370,000              252,000
011206- A13    Repairs and Maintenance                              60,000               60,000               18,000
011206- A131   Machinery and Equipment                              30,000               30,000                 9,000
011206- A132    Furniture and Fixture                                   30,000               30,000                 9,000
        Total- DISTRICT ACCOUNTS OFFICE CHITRAL           3,960,000           4,828,000           2,666,000
            (DA0 SCHEME)
DA0008 D A O TIMERGARA
011206- A01    Employees Related Expenses                       8,235,000             8,604,000             8,335,000
011206- A011   Pay                      12     12            4,064,000             4,064,000             4,064,000
011206- A011-1 Pay of Officers                  (8)      (8)          (3,656,000)          (3,656,000)          (3,656,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (408,000)            (408,000)            (408,000)
011206- A012   Allowances                                           4,171,000             4,540,000             4,271,000
011206- A012-1  Regular Allowances                               (4,171,000)          (4,171,000)          (4,271,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (369,000)
        Total- D A O TIMERGARA                               8,235,000           8,604,000           8,335,000
DA0009 D A O TIMERGARA (DAO SCHEM)
011206- A01    Employees Related Expenses                                             100,000              498,000
011206- A011   Pay                                 2                                                       200,000
011206- A011-2 Pay of Other Staff                       (2)                                                     (200,000)
011206- A012   Allowances                                                                100,000              298,000
011206- A012-1  Regular Allowances                                                                         (298,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (100,000)
011206- A03    Operating Expenses                                 590,000              865,000              589,000
011206- A032   Communications                                       15,000               45,000               61,000
011206- A033     Utilities                                               240,000              265,000              168,000
011206- A038    Travel & Transportation                               300,000              500,000              327,000
011206- A039   General                                                35,000               55,000               33,000
011206- A09    Physical Assets                                                           250,000
011206- A092   Computer Equipment                                                        70,000
011206- A096   Purchase of Plant and Machinery                                            80,000
011206- A097   Purchase of Furniture and Fixture                                          100,000
011206- A13    Repairs and Maintenance                              30,000               50,000               18,000
011206- A131   Machinery and Equipment                              15,000               35,000                 9,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A132    Furniture and Fixture                                   15,000               15,000                 9,000
        Total- D A O TIMERGARA (DAO SCHEM)                  620,000           1,265,000           1,105,000
DI0013 DAO DI KHAN
011206- A01    Employees Related Expenses                      19,022,000            19,582,000            16,715,000
011206- A011   Pay                      42     37           13,198,000            13,198,000            12,070,000
011206- A011-1 Pay of Officers               (36)    (31)         (11,993,000)         (11,993,000)         (11,165,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,205,000)          (1,205,000)            (905,000)
011206- A012   Allowances                                           5,824,000             6,384,000             4,645,000
011206- A012-1  Regular Allowances                               (5,824,000)          (5,824,000)          (4,645,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (560,000)
        Total- DAO DI KHAN                                   19,022,000         19,582,000          16,715,000
DI0019 DAO DIKHAN (ADDITIONAL STAFF)
011206- A01    Employees Related Expenses                       2,552,000             1,837,000             1,658,000
011206- A011   Pay                       5      5            1,600,000              978,000              920,000
011206- A011-1 Pay of Officers                  (1)      (1)            (690,000)            (296,000)            (510,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (910,000)            (682,000)            (410,000)
011206- A012   Allowances                                           952,000              859,000              738,000
011206- A012-1  Regular Allowances                                (752,000)            (659,000)            (488,000)
011206- A012-2  Other Allowances (Excluding TA)                    (200,000)            (200,000)            (250,000)
011206- A03    Operating Expenses                                 775,000             1,092,000              679,000
011206- A032   Communications                                       30,000              170,000               66,000
011206- A033     Utilities                                               100,000              400,000               75,000
011206- A038    Travel & Transportation                               400,000              400,000              374,000
011206- A039   General                                              245,000              122,000              164,000
011206- A09    Physical Assets                                       30,000               80,000
011206- A092   Computer Equipment                                   30,000
011206- A096   Purchase of Plant and Machinery                                            80,000
011206- A13    Repairs and Maintenance                              40,000               40,000               18,000
011206- A131   Machinery and Equipment                              20,000               20,000                 9,000
011206- A132    Furniture and Fixture                                   20,000               20,000                 9,000
        Total- DAO DIKHAN (ADDITIONAL STAFF)               3,397,000           3,049,000           2,355,000
DP0004 DAO DIR UPPER
011206- A01    Employees Related Expenses                       1,377,000             1,529,000             1,427,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011   Pay                       3      3             779,000              779,000              779,000
011206- A011-1 Pay of Officers                  (2)      (2)            (589,000)            (589,000)            (589,000)
011206- A011-2 Pay of Other Staff               (1)      (1)            (190,000)            (190,000)            (190,000)
011206- A012   Allowances                                           598,000              750,000              648,000
011206- A012-1  Regular Allowances                                (598,000)            (598,000)            (648,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (152,000)
        Total- DAO DIR UPPER                                 1,377,000           1,529,000           1,427,000
DP0005 DAO DIR UPPER (DAO SCHEME)
011206- A01    Employees Related Expenses                       1,065,000              965,000             1,067,000
011206- A011   Pay                       1      1             589,000              534,000              585,000
011206- A011-1 Pay of Officers                  (1)      (1)            (589,000)            (534,000)            (585,000)
011206- A012   Allowances                                           476,000              431,000              482,000
011206- A012-1  Regular Allowances                                (380,000)            (335,000)            (386,000)
011206- A012-2  Other Allowances (Excluding TA)                     (96,000)             (96,000)             (96,000)
011206- A03    Operating Expenses                                 685,000              835,000              506,000
011206- A032   Communications                                       10,000               30,000                 9,000
011206- A033     Utilities                                               225,000              225,000              116,000
011206- A038    Travel & Transportation                               270,000              380,000              231,000
011206- A039   General                                              180,000              200,000              150,000
011206- A09    Physical Assets                                                           150,000
011206- A096   Purchase of Plant and Machinery                                           100,000
011206- A097   Purchase of Furniture and Fixture                                            50,000
011206- A13    Repairs and Maintenance                              30,000               30,000               18,000
011206- A131   Machinery and Equipment                              15,000               15,000                 9,000
011206- A132    Furniture and Fixture                                   15,000               15,000                 9,000
        Total- DAO DIR UPPER (DAO SCHEME)                  1,780,000           1,980,000           1,591,000
HG0007 D.A.O AUDIT & ACC HANGU
011206- A01    Employees Related Expenses                       3,205,000             3,482,000             3,304,000
011206- A011   Pay                       8      8            2,000,000             2,000,000             1,999,000
011206- A011-1 Pay of Officers                  (6)      (6)          (1,999,000)          (1,999,000)          (1,999,000)
011206- A011-2 Pay of Other Staff               (2)      (2)               (1,000)               (1,000)
011206- A012   Allowances                                           1,205,000             1,482,000             1,305,000
011206- A012-1  Regular Allowances                               (1,205,000)          (1,205,000)          (1,305,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A012-2  Other Allowances (Excluding TA)                                        (277,000)
011206- A03    Operating Expenses                                                          1,000
011206- A036   Motor Vehicles                                                                1,000
        Total- D.A.O AUDIT & ACC HANGU                      3,205,000           3,483,000           3,304,000
HG0008 D.A.O SCHEME HANGU
011206- A01    Employees Related Expenses                       1,152,000             1,268,000              821,000
011206- A011   Pay                       2      2             600,000              632,000              345,000
011206- A011-1 Pay of Officers                                                         (329,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (600,000)            (303,000)            (345,000)
011206- A012   Allowances                                           552,000              636,000              476,000
011206- A012-1  Regular Allowances                                (452,000)            (536,000)            (376,000)
011206- A012-2  Other Allowances (Excluding TA)                    (100,000)            (100,000)            (100,000)
011206- A03    Operating Expenses                                 225,000              225,000              242,000
011206- A033     Utilities                                                                                           37,000
011206- A038    Travel & Transportation                               200,000              200,000              187,000
011206- A039   General                                                25,000               25,000               18,000
011206- A13    Repairs and Maintenance                              20,000               20,000               18,000
011206- A131   Machinery and Equipment                              10,000               10,000                 9,000
011206- A132    Furniture and Fixture                                   10,000               10,000                 9,000
        Total- D.A.O SCHEME HANGU                           1,397,000           1,513,000           1,081,000
HR0001 DISTRICT ACCOUNT OFFICER HARIPUR(DAO SCH EM)
011206- A01    Employees Related Expenses                                              50,000
011206- A012   Allowances                                                                  50,000
011206- A012-2  Other Allowances (Excluding TA)                                          (50,000)
011206- A03    Operating Expenses                                 565,000              685,000              464,000
011206- A032   Communications                                       40,000               55,000               33,000
011206- A033     Utilities                                               230,000              275,000              159,000
011206- A038    Travel & Transportation                               250,000              300,000              234,000
011206- A039   General                                                45,000               55,000               38,000
011206- A09    Physical Assets                                                           100,000
011206- A096   Purchase of Plant and Machinery                                           100,000
011206- A13    Repairs and Maintenance                              20,000               60,000               18,000
011206- A131   Machinery and Equipment                              10,000               30,000                 9,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A132    Furniture and Fixture                                   10,000               30,000                 9,000
        Total- DISTRICT ACCOUNT OFFICER                     585,000            895,000            482,000
           HARIPUR(DAO SCH EM)
HR0041 DISTRICT ACCOUNTS OFFICE HARIPUR
011206- A01    Employees Related Expenses                       7,153,000             7,345,000             7,173,000
011206- A011   Pay                       8      8            4,551,000             4,551,000             4,551,000
011206- A011-1 Pay of Officers                  (7)      (7)          (4,067,000)          (4,067,000)          (4,067,000)
011206- A011-2 Pay of Other Staff               (1)      (1)            (484,000)            (484,000)            (484,000)
011206- A012   Allowances                                           2,602,000             2,794,000             2,622,000
011206- A012-1  Regular Allowances                               (2,602,000)          (2,602,000)          (2,622,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (192,000)
        Total- DISTRICT ACCOUNTS OFFICE HARIPUR          7,153,000           7,345,000           7,173,000

KD0001 DAO KOHISTAN
011206- A01    Employees Related Expenses                       9,907,000            10,098,000             9,961,000
011206- A011   Pay                       6      6            9,263,000             9,263,000             9,263,000
011206- A011-1 Pay of Officers                  (5)      (5)          (9,200,000)          (9,200,000)          (9,200,000)
011206- A011-2 Pay of Other Staff               (1)      (1)             (63,000)             (63,000)             (63,000)
011206- A012   Allowances                                           644,000              835,000              698,000
011206- A012-1  Regular Allowances                                (644,000)            (644,000)            (698,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (191,000)
        Total- DAO KOHISTAN                                  9,907,000         10,098,000           9,961,000
KD0029 DISTRICT ACCOUNTS OFFICE KOHISTAN(DAO SCHEME)
011206- A01    Employees Related Expenses                       1,597,000               80,000             1,199,000
011206- A011   Pay                       3      3             865,000                                   656,000
011206- A011-1 Pay of Officers                  (1)      (1)            (614,000)                                (405,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (251,000)                                (251,000)
011206- A012   Allowances                                           732,000               80,000              543,000
011206- A012-1  Regular Allowances                                (652,000)                                (463,000)
011206- A012-2  Other Allowances (Excluding TA)                     (80,000)             (80,000)             (80,000)
011206- A03    Operating Expenses                                 400,000              625,000              280,000
011206- A032   Communications                                         5,000                 5,000                 5,000
011206- A033     Utilities                                               200,000              200,000               93,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A038    Travel & Transportation                               175,000              400,000              164,000
011206- A039   General                                                20,000               20,000               18,000
011206- A09    Physical Assets                                       25,000               25,000
011206- A092   Computer Equipment                                   25,000               25,000
011206- A13    Repairs and Maintenance                              16,000               16,000               14,000
011206- A131   Machinery and Equipment                                8,000                 8,000                 7,000
011206- A132    Furniture and Fixture                                     8,000                 8,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE                    2,038,000            746,000           1,493,000
           KOHISTAN(DAO SCHEME)
KK0005 DISTRICT ACCOUNTS OFFICE KARAK
011206- A01    Employees Related Expenses                       9,996,000            10,456,000            10,146,000
011206- A011   Pay                      12     12            6,490,000             6,490,000             6,490,000
011206- A011-1 Pay of Officers                  (9)      (9)          (5,872,000)          (5,872,000)          (5,872,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (618,000)            (618,000)            (618,000)
011206- A012   Allowances                                           3,506,000             3,966,000             3,656,000
011206- A012-1  Regular Allowances                               (3,506,000)          (3,506,000)          (3,656,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (460,000)
        Total- DISTRICT ACCOUNTS OFFICE KARAK            9,996,000         10,456,000          10,146,000
KK0006 DAO KARAK (DAO SCHEME)
011206- A01    Employees Related Expenses                       1,299,000              942,000             1,125,000
011206- A011   Pay                       1      1             550,000              325,000              400,000
011206- A011-1 Pay of Officers                  (1)      (1)            (550,000)            (325,000)            (400,000)
011206- A012   Allowances                                           749,000              617,000              725,000
011206- A012-1  Regular Allowances                                (349,000)            (217,000)            (325,000)
011206- A012-2  Other Allowances (Excluding TA)                    (400,000)            (400,000)            (400,000)
011206- A03    Operating Expenses                                 465,000              685,000              389,000
011206- A032   Communications                                         5,000                 5,000                 5,000
011206- A033     Utilities                                               100,000              100,000               75,000
011206- A038    Travel & Transportation                               280,000              500,000              262,000
011206- A039   General                                                80,000               80,000               47,000
011206- A13    Repairs and Maintenance                              40,000               40,000               18,000
011206- A131   Machinery and Equipment                              20,000               20,000                 9,000
011206- A132    Furniture and Fixture                                   20,000               20,000                 9,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

        Total- DAO KARAK (DAO SCHEME)                      1,804,000           1,667,000           1,532,000
KM0115 AGENCY ACCOUNT OFFICE KURRAM
011206- A01    Employees Related Expenses                       1,762,000             2,002,000             1,862,000
011206- A011   Pay                       7      8            1,018,000             1,018,000             1,018,000
011206- A011-1 Pay of Officers                  (7)      (8)          (1,018,000)          (1,018,000)          (1,018,000)
011206- A012   Allowances                                           744,000              984,000              844,000
011206- A012-1  Regular Allowances                                (744,000)            (744,000)            (844,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (240,000)
        Total- AGENCY ACCOUNT OFFICE KURRAM             1,762,000           2,002,000           1,862,000
KM0128 AGENCY ACCOUNT OFFICE KURRAM(DAO SCHEME)
011206- A01    Employees Related Expenses                       1,677,000             1,185,000             1,319,000
011206- A011   Pay                       1      2             975,000              564,000              700,000
011206- A011-1 Pay of Officers                  (1)      (1)            (975,000)                                (400,000)
011206- A011-2 Pay of Other Staff                       (1)                                (564,000)            (300,000)
011206- A012   Allowances                                           702,000              621,000              619,000
011206- A012-1  Regular Allowances                                (622,000)            (466,000)            (499,000)
011206- A012-2  Other Allowances (Excluding TA)                     (80,000)            (155,000)            (120,000)
011206- A03    Operating Expenses                                 530,000             1,151,000              350,000
011206- A032   Communications                                       10,000               25,000                 5,000
011206- A033     Utilities                                               300,000              350,000               93,000
011206- A038    Travel & Transportation                               200,000              746,000              234,000
011206- A039   General                                                20,000               30,000               18,000
011206- A09    Physical Assets                                                           100,000
011206- A096   Purchase of Plant and Machinery                                            50,000
011206- A097   Purchase of Furniture and Fixture                                            50,000
011206- A13    Repairs and Maintenance                              16,000               16,000               14,000
011206- A131   Machinery and Equipment                                8,000                 8,000                 7,000
011206- A132    Furniture and Fixture                                     8,000                 8,000                 7,000
        Total- AGENCY ACCOUNT OFFICE                      2,223,000           2,452,000           1,683,000
          KURRAM(DAO SCHEME)
KT0027 DAO KOHAT
011206- A01    Employees Related Expenses                      18,495,000            19,323,000            18,461,000
011206- A011   Pay                      28     28           11,493,000            11,493,000            11,318,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011-1 Pay of Officers               (20)    (20)         (10,410,000)         (10,410,000)         (10,410,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (1,083,000)          (1,083,000)            (908,000)
011206- A012   Allowances                                           7,002,000             7,830,000             7,143,000
011206- A012-1  Regular Allowances                               (7,002,000)          (7,002,000)          (7,143,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (828,000)
011206- A03    Operating Expenses                                                        40,000
011206- A033     Utilities                                                                      40,000
011206- A04    Employees Retirement Benefits                                           1,646,000
011206- A041   Pension                                                                    1,646,000
        Total- DAO KOHAT                                    18,495,000         21,009,000          18,461,000
KT0034 DAO KOHAT(DAO SCHEME)
011206- A01    Employees Related Expenses                       2,393,000             2,233,000             1,634,000
011206- A011   Pay                       7      7            1,315,000             1,149,000              764,000
011206- A011-1 Pay of Officers                  (2)      (2)            (615,000)            (727,000)            (414,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (700,000)            (422,000)            (350,000)
011206- A012   Allowances                                           1,078,000             1,084,000              870,000
011206- A012-1  Regular Allowances                                (778,000)            (219,000)            (126,000)
011206- A012-2  Other Allowances (Excluding TA)                    (300,000)            (865,000)            (744,000)
011206- A03    Operating Expenses                                 825,000             1,740,000              764,000
011206- A032   Communications                                       65,000              115,000               80,000
011206- A033     Utilities                                               350,000              690,000              280,000
011206- A038    Travel & Transportation                               320,000              840,000              353,000
011206- A039   General                                                90,000               95,000               51,000
011206- A09    Physical Assets                                       50,000               50,000
011206- A092   Computer Equipment                                   50,000               50,000
011206- A13    Repairs and Maintenance                              50,000               64,000               18,000
011206- A131   Machinery and Equipment                              25,000               39,000                 9,000
011206- A132    Furniture and Fixture                                   25,000               25,000                 9,000
        Total- DAO KOHAT(DAO SCHEME)                      3,318,000           4,087,000           2,416,000
LK0005 DISTT ACCOUNT OFFICE LAKKI(DAO SCHEME)
011206- A03    Operating Expenses                                 700,000             1,055,000              598,000
011206- A032   Communications                                       30,000               30,000               33,000
011206- A033     Utilities                                               225,000              225,000              182,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A038    Travel & Transportation                               355,000              710,000              332,000
011206- A039   General                                                90,000               90,000               51,000
011206- A13    Repairs and Maintenance                              40,000               40,000               18,000
011206- A131   Machinery and Equipment                              20,000               20,000                 9,000
011206- A132    Furniture and Fixture                                   20,000               20,000                 9,000
        Total- DISTT ACCOUNT OFFICE LAKKI(DAO              740,000           1,095,000            616,000
           SCHEME)
LK0021 DAO LAKKI
011206- A01    Employees Related Expenses                       5,940,000             6,161,000             6,040,000
011206- A011   Pay                       9      9            3,758,000             3,758,000             3,758,000
011206- A011-1 Pay of Officers                  (7)      (7)          (3,458,000)          (3,458,000)          (3,458,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (300,000)            (300,000)            (300,000)
011206- A012   Allowances                                           2,182,000             2,403,000             2,282,000
011206- A012-1  Regular Allowances                               (2,182,000)          (2,182,000)          (2,282,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (221,000)
        Total- DAO LAKKI                                      5,940,000           6,161,000           6,040,000
MA0001 DAO MANSEHRA
011206- A01    Employees Related Expenses                       8,706,000             9,271,000             8,790,000
011206- A011   Pay                      19     19            5,294,000             5,294,000             5,294,000
011206- A011-1 Pay of Officers               (15)    (15)          (5,054,000)          (5,054,000)          (5,054,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (240,000)            (240,000)            (240,000)
011206- A012   Allowances                                           3,412,000             3,977,000             3,496,000
011206- A012-1  Regular Allowances                               (3,412,000)          (3,412,000)          (3,496,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (565,000)
        Total- DAO MANSEHRA                                 8,706,000           9,271,000           8,790,000
MA0056 DAO MANSEHRA(ADDITIONAL STAFF)
011206- A01    Employees Related Expenses                       2,048,000             1,156,000             1,339,000
011206- A011   Pay                       1      1            1,065,000              473,000              414,000
011206- A011-1 Pay of Officers                  (1)      (1)          (1,065,000)                                (414,000)
011206- A011-2 Pay of Other Staff                                                       (473,000)
011206- A012   Allowances                                           983,000              683,000              925,000
011206- A012-1  Regular Allowances                                (683,000)            (383,000)            (575,000)
011206- A012-2  Other Allowances (Excluding TA)                    (300,000)            (300,000)            (350,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A03    Operating Expenses                                 1,245,000             1,720,000              763,000
011206- A032   Communications                                       40,000               40,000               33,000
011206- A033     Utilities                                               500,000              650,000              187,000
011206- A038    Travel & Transportation                               450,000              760,000              346,000
011206- A039   General                                              255,000              270,000              197,000
011206- A09    Physical Assets                                                           200,000
011206- A096   Purchase of Plant and Machinery                                           100,000
011206- A097   Purchase of Furniture and Fixture                                          100,000
011206- A13    Repairs and Maintenance                              50,000               50,000               18,000
011206- A131   Machinery and Equipment                              25,000               25,000                 9,000
011206- A132    Furniture and Fixture                                   25,000               25,000                 9,000
        Total- DAO MANSEHRA(ADDITIONAL STAFF)            3,343,000           3,126,000           2,120,000
MD0001 AGENCY ACCOUNT OFFICE MALAKAND
011206- A01    Employees Related Expenses                       9,382,000             9,923,000             9,579,000
011206- A011   Pay                      21     21            5,860,000             5,860,000             5,860,000
011206- A011-1 Pay of Officers               (17)    (17)          (5,535,000)          (5,535,000)          (5,535,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (325,000)            (325,000)            (325,000)
011206- A012   Allowances                                           3,522,000             4,063,000             3,719,000
011206- A012-1  Regular Allowances                               (3,522,000)          (3,522,000)          (3,719,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (541,000)
        Total- AGENCY ACCOUNT OFFICE                      9,382,000           9,923,000           9,579,000
          MALAKAND
MD0002 AGENCY ACCOUNT OFFICE MALAKAND(DAO SCHEM
011206- A01    Employees Related Expenses                       1,258,000             1,597,000             1,245,000
011206- A011   Pay                       4      4             666,000              639,000              600,000
011206- A011-1 Pay of Officers                  (1)      (1)            (250,000)            (280,000)            (250,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (416,000)            (359,000)            (350,000)
011206- A012   Allowances                                           592,000              958,000              645,000
011206- A012-1  Regular Allowances                                (492,000)            (558,000)            (445,000)
011206- A012-2  Other Allowances (Excluding TA)                    (100,000)            (400,000)            (200,000)
011206- A03    Operating Expenses                                 995,000             1,820,000              749,000
011206- A032   Communications                                       20,000               60,000               23,000
011206- A033     Utilities                                               550,000              700,000              308,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A038    Travel & Transportation                               340,000              960,000              357,000
011206- A039   General                                                85,000              100,000               61,000
011206- A13    Repairs and Maintenance                              50,000               85,000               18,000
011206- A131   Machinery and Equipment                              25,000               45,000                 9,000
011206- A132    Furniture and Fixture                                   25,000               40,000                 9,000
        Total- AGENCY ACCOUNT OFFICE                      2,303,000           3,502,000           2,012,000
          MALAKAND(DAO SCHEM
MG0002 AGENCY ACCOUNTS OFFICER MOHMAND
011206- A01    Employees Related Expenses                                             492,000             4,631,000
011206- A011   Pay                                 6                                                        1,125,000
011206- A011-1 Pay of Officers                           (6)                                                    (1,125,000)
011206- A012   Allowances                                                                492,000             3,506,000
011206- A012-1  Regular Allowances                                                                         (3,506,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (492,000)
        Total- AGENCY ACCOUNTS OFFICER                                       492,000           4,631,000
         MOHMAND
MR0006 D.A.O . FEDRAL STAFF MARDAN
011206- A01    Employees Related Expenses                      24,148,000            25,387,000            23,866,000
011206- A011   Pay                      34     34           15,184,000            15,184,000            14,902,000
011206- A011-1 Pay of Officers               (28)    (28)         (13,552,000)         (13,552,000)         (13,552,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,632,000)          (1,632,000)          (1,350,000)
011206- A012   Allowances                                           8,964,000            10,203,000             8,964,000
011206- A012-1  Regular Allowances                               (8,964,000)          (8,964,000)          (8,964,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (1,239,000)
011206- A04    Employees Retirement Benefits                                           1,048,000
011206- A041   Pension                                                                    1,048,000
        Total- D.A.O . FEDRAL STAFF MARDAN                24,148,000         26,435,000          23,866,000
MR0007 D. A.O. MARDAN(DAO SCHEME)
011206- A01    Employees Related Expenses                       2,248,000             2,544,000             2,061,000
011206- A011   Pay                       7      8            1,100,000             1,100,000              950,000
011206- A011-1 Pay of Officers                  (1)      (2)            (550,000)            (550,000)            (550,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (550,000)            (550,000)            (400,000)
011206- A012   Allowances                                           1,148,000             1,444,000             1,111,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A012-1  Regular Allowances                                (648,000)            (648,000)            (511,000)
011206- A012-2  Other Allowances (Excluding TA)                    (500,000)            (796,000)            (600,000)
011206- A03    Operating Expenses                                 925,000             1,050,000              938,000
011206- A032   Communications                                       80,000               80,000               52,000
011206- A033     Utilities                                               160,000              160,000              242,000
011206- A038    Travel & Transportation                               500,000              625,000              467,000
011206- A039   General                                              185,000              185,000              177,000
011206- A09    Physical Assets                                                           400,000
011206- A096   Purchase of Plant and Machinery                                           200,000
011206- A097   Purchase of Furniture and Fixture                                          200,000
011206- A13    Repairs and Maintenance                              40,000               40,000               18,000
011206- A131   Machinery and Equipment                              20,000               20,000                 9,000
011206- A132    Furniture and Fixture                                   20,000               20,000                 9,000
        Total-  D. A.O. MARDAN(DAO SCHEME)                  3,213,000           4,034,000           3,017,000
NR0002 D.A.O NOWSHERA(DAO SCHEME)
011206- A01    Employees Related Expenses                       1,934,000              934,000             1,593,000
011206- A011   Pay                       4      6             890,000              126,000              614,000
011206- A011-1 Pay of Officers                  (1)      (1)            (690,000)             (76,000)            (414,000)
011206- A011-2 Pay of Other Staff               (3)      (5)            (200,000)             (50,000)            (200,000)
011206- A012   Allowances                                           1,044,000              808,000              979,000
011206- A012-1  Regular Allowances                                (594,000)            (169,000)            (479,000)
011206- A012-2  Other Allowances (Excluding TA)                    (450,000)            (639,000)            (500,000)
011206- A03    Operating Expenses                                 570,000             1,195,000              565,000
011206- A032   Communications                                       25,000               30,000               33,000
011206- A033     Utilities                                               160,000              300,000              215,000
011206- A038    Travel & Transportation                               350,000              800,000              280,000
011206- A039   General                                                35,000               65,000               37,000
011206- A13    Repairs and Maintenance                              20,000               50,000               18,000
011206- A131   Machinery and Equipment                              10,000               20,000                 9,000
011206- A132    Furniture and Fixture                                   10,000               30,000                 9,000
        Total- D.A.O NOWSHERA(DAO SCHEME)                2,524,000           2,179,000           2,176,000
NR0035 DISTRICT ACCOUNTS OFFICE NOSHERA
011206- A01    Employees Related Expenses                       7,919,000             7,919,000             8,119,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011   Pay                      10     10            5,036,000             5,036,000             5,036,000
011206- A011-1 Pay of Officers                  (8)      (8)          (4,836,000)          (4,836,000)          (4,836,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (200,000)            (200,000)            (200,000)
011206- A012   Allowances                                           2,883,000             2,883,000             3,083,000
011206- A012-1  Regular Allowances                               (2,883,000)          (2,883,000)          (3,083,000)
        Total- DISTRICT ACCOUNTS OFFICE                    7,919,000           7,919,000           8,119,000
          NOSHERA
PR0079 ACCOUNTANT GENERAL, KHYBER PAKHTUNKHWA, PESHAWAR.
011206- A01    Employees Related Expenses                    379,189,000          400,054,000          379,706,000
011206- A011   Pay                     571    568          235,953,000          235,953,000          215,611,000
011206- A011-1 Pay of Officers             (415)   (412)       (205,414,000)       (205,414,000)       (189,313,000)
011206- A011-2 Pay of Other Staff          (156)   (156)         (30,539,000)         (30,539,000)         (26,298,000)
011206- A012   Allowances                                        143,236,000          164,101,000          164,095,000
011206- A012-1  Regular Allowances                            (136,134,000)       (136,134,000)       (156,175,000)
011206- A012-2  Other Allowances (Excluding TA)                  (7,102,000)         (27,967,000)          (7,920,000)
011206- A03    Operating Expenses                               64,774,000            67,598,000            64,300,000
011206- A032   Communications                                     810,000              810,000              760,000
011206- A033     Utilities                                               9,080,000             8,954,000             9,611,000
011206- A034   Occupancy Costs                                   38,001,000            39,501,000            37,400,000
011206- A036   Motor Vehicles                                           1,000                 1,000
011206- A038    Travel & Transportation                             10,850,000            12,350,000            11,265,000
011206- A039   General                                              6,032,000             5,982,000             5,264,000
011206- A04    Employees Retirement Benefits                    28,500,000            28,706,000            30,510,000
011206- A041   Pension                                            28,500,000            28,706,000            30,510,000
011206- A05    Grants, Subsidies and Write off Loans               104,000              104,000              100,000
011206- A052   Grants Domestic                                     104,000              104,000              100,000
011206- A09    Physical Assets                                      1,070,000             1,070,000              904,000
011206- A092   Computer Equipment                                 102,000              102,000
011206- A095   Purchase of Transport                                   1,000                 1,000
011206- A096   Purchase of Plant and Machinery                      467,000              467,000              437,000
011206- A097   Purchase of Furniture and Fixture                     500,000              500,000              467,000
011206- A13    Repairs and Maintenance                            552,000              552,000              513,000
011206- A130    Transport                                            200,000              200,000              187,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A131   Machinery and Equipment                             100,000              100,000               93,000
011206- A132    Furniture and Fixture                                  100,000              100,000               93,000
011206- A133    Buildings and Structure                               100,000              100,000               93,000
011206- A137   Computer Equipment                                   52,000               52,000               47,000
        Total- ACCOUNTANT GENERAL, KHYBER             474,189,000        498,084,000        476,033,000
          PAKHTUNKHWA, PESHAWAR.
PR0080 AG KP (COMPUTER CELL)PESHAWAR
011206- A01    Employees Related Expenses                      22,420,000            18,132,000            18,438,000
011206- A011   Pay                      26     26           14,249,000            10,694,000            11,175,000
011206- A011-1 Pay of Officers               (15)    (15)          (5,616,000)          (3,330,000)          (3,175,000)
011206- A011-2 Pay of Other Staff            (11)    (11)          (8,633,000)          (7,364,000)          (8,000,000)
011206- A012   Allowances                                           8,171,000             7,438,000             7,263,000
011206- A012-1  Regular Allowances                               (8,171,000)          (7,138,000)          (7,263,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (300,000)
011206- A03    Operating Expenses                                 5,190,000            19,110,000             4,748,000
011206- A032   Communications                                     100,000              200,000               93,000
011206- A033     Utilities                                               1,500,000             6,500,000             1,402,000
011206- A034   Occupancy Costs                                     1,000,000             1,200,000              935,000
011206- A038    Travel & Transportation                                                    400,000
011206- A039   General                                              2,590,000            10,810,000             2,318,000
011206- A13    Repairs and Maintenance                            320,000             1,120,000              252,000
011206- A131   Machinery and Equipment                             100,000              300,000               93,000
011206- A137   Computer Equipment                                 220,000              820,000              159,000
        Total- AG KP (COMPUTER CELL)PESHAWAR           27,930,000         38,362,000          23,438,000
PR0081 AGPR SUB OFFICE PESHAWAR
011206- A01    Employees Related Expenses                    167,745,000          183,059,000          186,115,000
011206- A011   Pay                     279    279          111,278,000          111,278,000          110,756,000
011206- A011-1 Pay of Officers             (222)   (222)       (102,206,000)       (102,206,000)       (102,706,000)
011206- A011-2 Pay of Other Staff            (57)    (57)          (9,072,000)          (9,072,000)          (8,050,000)
011206- A012   Allowances                                         56,467,000            71,781,000            75,359,000
011206- A012-1  Regular Allowances                             (53,466,000)         (53,466,000)         (70,359,000)
011206- A012-2  Other Allowances (Excluding TA)                  (3,001,000)         (18,315,000)          (5,000,000)
011206- A03    Operating Expenses                               26,085,000            26,085,000            27,437,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A032   Communications                                     681,000              681,000              561,000
011206- A033     Utilities                                               1,570,000             1,570,000             1,094,000
011206- A034   Occupancy Costs                                   18,001,000            18,001,000            19,635,000
011206- A038    Travel & Transportation                               3,673,000             3,673,000             4,276,000
011206- A039   General                                              2,160,000             2,160,000             1,871,000
011206- A04    Employees Retirement Benefits                     8,000,000             8,000,000            13,500,000
011206- A041   Pension                                              8,000,000             8,000,000            13,500,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000               51,000
011206- A052   Grants Domestic                                         5,000                 5,000               51,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      667,000              667,000              233,000
011206- A092   Computer Equipment                                 367,000              367,000
011206- A096   Purchase of Plant and Machinery                      100,000              100,000               93,000
011206- A097   Purchase of Furniture and Fixture                     200,000              200,000              140,000
011206- A13    Repairs and Maintenance                            341,000              341,000              533,000
011206- A130    Transport                                            100,000              100,000              234,000
011206- A131   Machinery and Equipment                              50,000               50,000              140,000
011206- A132    Furniture and Fixture                                  100,000              100,000               93,000
011206- A137   Computer Equipment                                   90,000               90,000               66,000
011206- A138   General                                                  1,000                 1,000
        Total- AGPR SUB OFFICE PESHAWAR                202,844,000        218,158,000        227,869,000
PR0082 AGPR SUB OFFICE PESHAWAR(COMTR. CELL)
011206- A03    Operating Expenses                                 1,000,000             1,770,000              869,000
011206- A033     Utilities                                                50,000              100,000               47,000
011206- A038    Travel & Transportation                                                    350,000
011206- A039   General                                              950,000             1,320,000              822,000
011206- A09    Physical Assets                                                            2,100,000
011206- A092   Computer Equipment                                                       1,550,000
011206- A096   Purchase of Plant and Machinery                                           250,000
011206- A097   Purchase of Furniture and Fixture                                          300,000
011206- A13    Repairs and Maintenance                            115,000              625,000              107,000
011206- A131   Machinery and Equipment                              25,000              200,000               23,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A132    Furniture and Fixture                                                        50,000
011206- A137   Computer Equipment                                   90,000              375,000               84,000
        Total- AGPR SUB OFFICE                               1,115,000           4,495,000            976,000
          PESHAWAR(COMTR. CELL)
PR0415 DISTRICT ACCOUNTS OFFICES SCHEME IN KHYBER PAKHTUNKHWA, PESHAWAR.
011206- A01    Employees Related Expenses                       2,099,000              237,000             2,693,000
011206- A011   Pay                       7      4             441,000                                   440,000
011206- A011-1 Pay of Officers                  (3)      (3)            (205,000)                                (205,000)
011206- A011-2 Pay of Other Staff               (4)      (1)            (236,000)                                (235,000)
011206- A012   Allowances                                           1,658,000              237,000             2,253,000
011206- A012-1  Regular Allowances                                (295,000)                                (253,000)
011206- A012-2  Other Allowances (Excluding TA)                  (1,363,000)            (237,000)          (2,000,000)
011206- A03    Operating Expenses                                 2,761,000              848,000             2,756,000
011206- A032   Communications                                     310,000                                   135,000
011206- A033     Utilities                                               440,000              575,000              346,000
011206- A038    Travel & Transportation                               1,770,000              273,000             1,072,000
011206- A039   General                                              241,000                                   1,203,000
011206- A09    Physical Assets                                      2,070,000
011206- A092   Computer Equipment                                   70,000
011206- A096   Purchase of Plant and Machinery                     1,000,000
011206- A097   Purchase of Furniture and Fixture                     1,000,000
011206- A13    Repairs and Maintenance                            291,000
011206- A131   Machinery and Equipment                             144,000
011206- A132    Furniture and Fixture                                  144,000
011206- A137   Computer Equipment                                    3,000
        Total- DISTRICT ACCOUNTS OFFICES                   7,221,000           1,085,000           5,449,000
          SCHEME IN KHYBER PAKHTUNKHWA,
          PESHAWAR.
PR7020 DISTRICT ACCOUNT OFFICER KAYBER(DAO SCHEME)
011206- A01    Employees Related Expenses                                                                   1,199,000
011206- A011   Pay                                                                                            505,000
011206- A011-1 Pay of Officers                                                                              (305,000)
011206- A011-2 Pay of Other Staff                                                                           (200,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A012   Allowances                                                                                     694,000
011206- A012-1  Regular Allowances                                                                         (394,000)
011206- A012-2  Other Allowances (Excluding TA)                                                             (300,000)
011206- A03    Operating Expenses                                                                           275,000
011206- A032   Communications                                                                                    4,000
011206- A033     Utilities                                                                                           79,000
011206- A038    Travel & Transportation                                                                         187,000
011206- A039   General                                                                                             5,000
        Total- DISTRICT ACCOUNT OFFICER                                                            1,474,000
          KAYBER(DAO SCHEME)
PR7021 DISTRICT ACCOUNT OFFICER ORAKZAI (DAO SCHEME)
011206- A01    Employees Related Expenses                                                                   1,131,000
011206- A011   Pay                                                                                            430,000
011206- A011-1 Pay of Officers                                                                              (230,000)
011206- A011-2 Pay of Other Staff                                                                           (200,000)
011206- A012   Allowances                                                                                     701,000
011206- A012-1  Regular Allowances                                                                         (361,000)
011206- A012-2  Other Allowances (Excluding TA)                                                             (340,000)
011206- A03    Operating Expenses                                                                           213,000
011206- A032   Communications                                                                                    3,000
011206- A033     Utilities                                                                                           70,000
011206- A038    Travel & Transportation                                                                         140,000
        Total- DISTRICT ACCOUNT OFFICER ORAKZAI                                                  1,344,000
           (DAO SCHEME)
PR7022 DISTRICT ACCOUNT OFFICER NORTH WAZIRSTAN (DAO SCHEME)
011206- A01    Employees Related Expenses                                                                   1,305,000
011206- A011   Pay                                                                                            605,000
011206- A011-1 Pay of Officers                                                                              (405,000)
011206- A011-2 Pay of Other Staff                                                                           (200,000)
011206- A012   Allowances                                                                                     700,000
011206- A012-1  Regular Allowances                                                                         (360,000)
011206- A012-2  Other Allowances (Excluding TA)                                                             (340,000)
011206- A03    Operating Expenses                                                                           219,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A032   Communications                                                                                    4,000
011206- A033     Utilities                                                                                           75,000
011206- A038    Travel & Transportation                                                                         140,000
        Total- DISTRICT ACCOUNT OFFICER NORTH                                                    1,524,000
           WAZIRSTAN (DAO SCHEME)
PR7023 DISTRICT ACCOUNT OFFICER SOUTH WAZIRSTAN (DAO SCHEME)
011206- A01    Employees Related Expenses                                                                   1,270,000
011206- A011   Pay                                                                                            580,000
011206- A011-1 Pay of Officers                                                                              (380,000)
011206- A011-2 Pay of Other Staff                                                                           (200,000)
011206- A012   Allowances                                                                                     690,000
011206- A012-1  Regular Allowances                                                                         (360,000)
011206- A012-2  Other Allowances (Excluding TA)                                                             (330,000)
011206- A03    Operating Expenses                                                                           219,000
011206- A032   Communications                                                                                    4,000
011206- A033     Utilities                                                                                           75,000
011206- A038    Travel & Transportation                                                                         140,000
        Total- DISTRICT ACCOUNT OFFICER SOUTH                                                    1,489,000
           WAZIRSTAN (DAO SCHEME)
PR7024 DISTRICT ACCOUNT OFFICER MOHMAND(DAO SCHEME)
011206- A01    Employees Related Expenses                                                                   1,267,000
011206- A011   Pay                                                                                            628,000
011206- A011-1 Pay of Officers                                                                              (428,000)
011206- A011-2 Pay of Other Staff                                                                           (200,000)
011206- A012   Allowances                                                                                     639,000
011206- A012-1  Regular Allowances                                                                         (339,000)
011206- A012-2  Other Allowances (Excluding TA)                                                             (300,000)
011206- A03    Operating Expenses                                                                           181,000
011206- A032   Communications                                                                                    3,000
011206- A033     Utilities                                                                                           70,000
011206- A038    Travel & Transportation                                                                         108,000
        Total- DISTRICT ACCOUNT OFFICER                                                            1,448,000
          MOHMAND(DAO SCHEME)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

PR7025 DISTRICT ACCOUNT OFFICER BAJOUR(DAO SCHEME)
011206- A01    Employees Related Expenses                                                                   1,272,000
011206- A011   Pay                                                                                            605,000
011206- A011-1 Pay of Officers                                                                              (405,000)
011206- A011-2 Pay of Other Staff                                                                           (200,000)
011206- A012   Allowances                                                                                     667,000
011206- A012-1  Regular Allowances                                                                         (327,000)
011206- A012-2  Other Allowances (Excluding TA)                                                             (340,000)
011206- A03    Operating Expenses                                                                           219,000
011206- A032   Communications                                                                                    4,000
011206- A033     Utilities                                                                                           75,000
011206- A038    Travel & Transportation                                                                         140,000
        Total- DISTRICT ACCOUNT OFFICER                                                            1,491,000
          BAJOUR(DAO SCHEME)
SH0002 D.A.O SHANGLA( FEDERAL SIDE)
011206- A01    Employees Related Expenses                       2,750,000             2,846,000             2,830,000
011206- A011   Pay                       5      5            1,600,000             1,600,000             1,600,000
011206- A011-1 Pay of Officers                  (5)      (5)          (1,600,000)          (1,600,000)          (1,600,000)
011206- A012   Allowances                                           1,150,000             1,246,000             1,230,000
011206- A012-1  Regular Allowances                               (1,150,000)          (1,150,000)          (1,230,000)
011206- A012-2  Other Allowances (Excluding TA)                                          (96,000)
        Total- D.A.O SHANGLA( FEDERAL SIDE)                 2,750,000           2,846,000           2,830,000
SH0003 DAO SHANGLA( DAO SCHEME)
011206- A01    Employees Related Expenses                        951,000              867,000              734,000
011206- A011   Pay                       4      3             300,000              242,000              200,000
011206- A011-2 Pay of Other Staff               (4)      (3)            (300,000)            (242,000)            (200,000)
011206- A012   Allowances                                           651,000              625,000              534,000
011206- A012-1  Regular Allowances                                (251,000)            (225,000)            (234,000)
011206- A012-2  Other Allowances (Excluding TA)                    (400,000)            (400,000)            (300,000)
011206- A03    Operating Expenses                                 550,000              860,000              335,000
011206- A032   Communications                                         5,000                 5,000                 3,000
011206- A033     Utilities                                               260,000              260,000              112,000
011206- A038    Travel & Transportation                               255,000              555,000              192,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A039   General                                                30,000               40,000               28,000
011206- A09    Physical Assets                                                            90,000
011206- A096   Purchase of Plant and Machinery                                            40,000
011206- A097   Purchase of Furniture and Fixture                                            50,000
011206- A13    Repairs and Maintenance                              16,000               36,000               14,000
011206- A131   Machinery and Equipment                                8,000               18,000                 7,000
011206- A132    Furniture and Fixture                                     8,000               18,000                 7,000
        Total- DAO SHANGLA( DAO SCHEME)                   1,517,000           1,853,000           1,083,000
SU0001 DAO SWABI0
011206- A01    Employees Related Expenses                      11,140,000            11,704,000            11,390,000
011206- A011   Pay                      19     19            6,940,000             6,940,000             6,940,000
011206- A011-1 Pay of Officers               (15)    (15)          (6,525,000)          (6,525,000)          (6,525,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (415,000)            (415,000)            (415,000)
011206- A012   Allowances                                           4,200,000             4,764,000             4,450,000
011206- A012-1  Regular Allowances                               (4,200,000)          (4,200,000)          (4,450,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (564,000)
        Total- DAO SWABI0                                   11,140,000         11,704,000          11,390,000
SU0044 DAO SAWABI(DAO SCHEM
011206- A01    Employees Related Expenses                                             100,000              100,000
011206- A012   Allowances                                                                100,000              100,000
011206- A012-2  Other Allowances (Excluding TA)                                        (100,000)            (100,000)
011206- A03    Operating Expenses                                 335,000              740,000              360,000
011206- A032   Communications                                                            15,000
011206- A033     Utilities                                                50,000               75,000               47,000
011206- A038    Travel & Transportation                               255,000              605,000              285,000
011206- A039   General                                                30,000               45,000               28,000
011206- A09    Physical Assets                                                            50,000
011206- A097   Purchase of Furniture and Fixture                                            50,000
011206- A13    Repairs and Maintenance                              16,000               36,000               14,000
011206- A131   Machinery and Equipment                                8,000               18,000                 7,000
011206- A132    Furniture and Fixture                                     8,000               18,000                 7,000
        Total- DAO SAWABI(DAO SCHEM                        351,000            926,000            474,000
SW0005 D.A.O SWAT (FEDERAL SIDE)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A01    Employees Related Expenses                      12,729,000            13,257,000            13,016,000
011206- A011   Pay                      22     22            8,102,000             8,102,000             8,102,000
011206- A011-1 Pay of Officers               (17)    (17)          (7,739,000)          (7,739,000)          (7,739,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (363,000)            (363,000)            (363,000)
011206- A012   Allowances                                           4,627,000             5,155,000             4,914,000
011206- A012-1  Regular Allowances                               (4,627,000)          (4,627,000)          (4,914,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (528,000)
        Total- D.A.O SWAT (FEDERAL SIDE)                   12,729,000         13,257,000          13,016,000
SW0007 DAO SWAT (DAO SCHEME)
011206- A01    Employees Related Expenses                       2,408,000             1,289,000             2,313,000
011206- A011   Pay                       8      8            1,317,000              442,000             1,364,000
011206- A011-1 Pay of Officers                  (2)      (2)            (964,000)            (442,000)            (714,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (353,000)                                (650,000)
011206- A012   Allowances                                           1,091,000              847,000              949,000
011206- A012-1  Regular Allowances                                (691,000)            (347,000)            (549,000)
011206- A012-2  Other Allowances (Excluding TA)                    (400,000)            (500,000)            (400,000)
011206- A03    Operating Expenses                                 1,740,000             2,376,000              990,000
011206- A032   Communications                                       25,000               20,000               19,000
011206- A033     Utilities                                               1,080,000             1,200,000              514,000
011206- A038    Travel & Transportation                               515,000             1,015,000              386,000
011206- A039   General                                              120,000              141,000               71,000
011206- A09    Physical Assets                                                           140,000
011206- A096   Purchase of Plant and Machinery                                            30,000
011206- A097   Purchase of Furniture and Fixture                                          110,000
011206- A13    Repairs and Maintenance                              40,000               60,000               18,000
011206- A131   Machinery and Equipment                              20,000               30,000                 9,000
011206- A132    Furniture and Fixture                                   20,000               30,000                 9,000
        Total- DAO SWAT (DAO SCHEME)                       4,188,000           3,865,000           3,321,000
TG0001 DAO TOR GHAR
011206- A01    Employees Related Expenses                       4,259,000             4,357,000             4,399,000
011206- A011   Pay                       4      4            2,646,000             2,646,000             2,646,000
011206- A011-1 Pay of Officers                  (3)      (3)          (2,489,000)          (2,489,000)          (2,489,000)
011206- A011-2 Pay of Other Staff               (1)      (1)            (157,000)            (157,000)            (157,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A012   Allowances                                           1,613,000             1,711,000             1,753,000
011206- A012-1  Regular Allowances                               (1,613,000)          (1,613,000)          (1,753,000)
011206- A012-2  Other Allowances (Excluding TA)                                          (98,000)
        Total- DAO TOR GHAR                                  4,259,000           4,357,000           4,399,000
TG0002 DAO TOR GHAR (DAO SCHEME)
011206- A03    Operating Expenses                                 335,000              535,000              262,000
011206- A033     Utilities                                               100,000              100,000               47,000
011206- A038    Travel & Transportation                               205,000              405,000              192,000
011206- A039   General                                                30,000               30,000               23,000
011206- A13    Repairs and Maintenance                                                   34,000
011206- A132    Furniture and Fixture                                                        34,000
        Total- DAO TOR GHAR (DAO SCHEME)                   335,000            569,000            262,000
TK0001 DAO TANK(DAO SCHEME)
011206- A01    Employees Related Expenses                                              50,000
011206- A012   Allowances                                                                  50,000
011206- A012-2  Other Allowances (Excluding TA)                                          (50,000)
011206- A03    Operating Expenses                                 350,000              550,000              309,000
011206- A032   Communications                                       15,000               15,000               14,000
011206- A033     Utilities                                               100,000              100,000               75,000
011206- A038    Travel & Transportation                               205,000              405,000              192,000
011206- A039   General                                                30,000               30,000               28,000
011206- A13    Repairs and Maintenance                              16,000               16,000               14,000
011206- A131   Machinery and Equipment                                8,000                 8,000                 7,000
011206- A132    Furniture and Fixture                                     8,000                 8,000                 7,000
        Total- DAO TANK(DAO SCHEME)                        366,000            616,000            323,000
TK0067 DAO TANK
011206- A01    Employees Related Expenses                       3,128,000             3,300,000             3,237,000
011206- A011   Pay                       7      7            1,871,000             1,871,000             1,871,000
011206- A011-1 Pay of Officers                  (5)      (5)          (1,119,000)          (1,119,000)          (1,119,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (752,000)            (752,000)            (752,000)
011206- A012   Allowances                                           1,257,000             1,429,000             1,366,000
011206- A012-1  Regular Allowances                               (1,257,000)          (1,257,000)          (1,366,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (172,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

        Total- DAO TANK                                       3,128,000           3,300,000           3,237,000
     011206   Total-  Accounting services                     1,009,015,000       1,076,797,000       1,032,198,000
     0112     Total-  Financial and Fiscal Affairs              1,009,015,000       1,076,797,000       1,032,198,000
     011      Total-  Executive & Legislative                  1,009,015,000       1,076,797,000       1,032,198,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  1,009,015,000       1,076,797,000       1,032,198,000
               Total- ACCOUNTANT GENERAL                 1,009,015,000         1,076,797,000         1,032,198,000
                PAKISTAN REVENUES
                  SUB-OFFICE, PESHAWAR

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
BN0108 DISTRICT ACCOUNTS OFFICE BADIN
011206- A01    Employees Related Expenses                       1,156,000             1,156,000             5,098,000
011206- A011   Pay                       3      3             811,000              811,000             3,415,000
011206- A011-1 Pay of Officers                  (3)      (2)            (810,000)            (810,000)          (2,915,000)
011206- A011-2 Pay of Other Staff                       (1)               (1,000)               (1,000)            (500,000)
011206- A012   Allowances                                           345,000              345,000             1,683,000
011206- A012-1  Regular Allowances                                (345,000)            (345,000)          (1,683,000)
011206- A03    Operating Expenses                                   28,000               28,000               29,000
011206- A032   Communications                                         4,000                 4,000                 7,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  9,000                 9,000                 8,000
011206- A04    Employees Retirement Benefits                                           573,000
011206- A041   Pension                                                                   573,000
        Total- DISTRICT ACCOUNTS OFFICE BADIN             1,184,000           1,757,000           5,127,000
DU0001 DISTRICT ACCOUNT OFFICE DADU
011206- A01    Employees Related Expenses                       5,351,000             5,600,000             5,100,000
011206- A011   Pay                      10     12            3,516,000             3,516,000             3,416,000
011206- A011-1 Pay of Officers                  (5)      (8)          (3,016,000)          (3,016,000)          (2,916,000)
011206- A011-2 Pay of Other Staff               (5)      (4)            (500,000)            (500,000)            (500,000)
011206- A012   Allowances                                           1,835,000             2,084,000             1,684,000
011206- A012-1  Regular Allowances                               (1,835,000)          (1,835,000)          (1,684,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (249,000)
011206- A03    Operating Expenses                                   30,000               30,000               29,000
011206- A032   Communications                                         7,000                 7,000                 7,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  8,000                 8,000                 8,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

        Total- DISTRICT ACCOUNT OFFICE DADU               5,381,000           5,630,000           5,129,000
GH0108 DISTRICT ACCOUNTS OFFICE GHOTKI
011206- A01    Employees Related Expenses                       2,594,000             2,594,000             2,493,000
011206- A011   Pay                       5      5            1,425,000             1,425,000             1,425,000
011206- A011-1 Pay of Officers                  (3)      (5)          (1,305,000)          (1,305,000)          (1,305,000)
011206- A011-2 Pay of Other Staff               (2)                   (120,000)            (120,000)            (120,000)
011206- A012   Allowances                                           1,169,000             1,169,000             1,068,000
011206- A012-1  Regular Allowances                               (1,169,000)          (1,169,000)          (1,068,000)
011206- A03    Operating Expenses                                   29,000               29,000               28,000
011206- A032   Communications                                         8,000                 8,000                 8,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  6,000                 6,000                 6,000
        Total- DISTRICT ACCOUNTS OFFICE GHOTKI            2,623,000           2,623,000           2,521,000
HD0002 DISTRICT ACCOUNTS OFFICER HYDERABAD
011206- A01    Employees Related Expenses                      20,722,000            20,983,000            20,337,000
011206- A011   Pay                      26     40           13,203,000            13,203,000            12,893,000
011206- A011-1 Pay of Officers               (18)    (34)         (12,101,000)         (12,101,000)         (11,793,000)
011206- A011-2 Pay of Other Staff               (8)      (6)          (1,102,000)          (1,102,000)          (1,100,000)
011206- A012   Allowances                                           7,519,000             7,780,000             7,444,000
011206- A012-1  Regular Allowances                               (7,519,000)          (7,519,000)          (7,444,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (261,000)
011206- A03    Operating Expenses                                   82,000               82,000               73,000
011206- A032   Communications                                       18,000               18,000               15,000
011206- A033     Utilities                                                25,000               25,000               23,000
011206- A038    Travel & Transportation                                 25,000               25,000               23,000
011206- A039   General                                                14,000               14,000               12,000
011206- A04    Employees Retirement Benefits                                           328,000
011206- A041   Pension                                                                   328,000
        Total- DISTRICT ACCOUNTS OFFICER                 20,804,000         21,393,000          20,410,000
          HYDERABAD
JD0108 DISTRICT ACCOUNTS OFFICE JACUBABAD
011206- A01    Employees Related Expenses                       2,155,000             2,155,000             2,010,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A011   Pay                       2      6            1,203,000             1,203,000             1,200,000
011206- A011-1 Pay of Officers                  (1)      (6)          (1,003,000)          (1,003,000)          (1,000,000)
011206- A011-2 Pay of Other Staff               (1)                   (200,000)            (200,000)            (200,000)
011206- A012   Allowances                                           952,000              952,000              810,000
011206- A012-1  Regular Allowances                                (952,000)            (952,000)            (810,000)
011206- A03    Operating Expenses                                   36,000               36,000               34,000
011206- A032   Communications                                         9,000                 9,000                 8,000
011206- A033     Utilities                                                15,000               15,000               14,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
011206- A04    Employees Retirement Benefits                                           189,000
011206- A041   Pension                                                                   189,000
        Total- DISTRICT ACCOUNTS OFFICE                    2,191,000           2,380,000           2,044,000
          JACUBABAD
JS0108 DISTRICT ACCOUNTS OFFICE JAMSHORO
011206- A01    Employees Related Expenses                       3,723,000             3,907,000             3,537,000
011206- A011   Pay                       9     12            1,640,000             1,640,000             1,640,000
011206- A011-1 Pay of Officers                  (5)    (10)          (1,530,000)          (1,530,000)          (1,530,000)
011206- A011-2 Pay of Other Staff               (4)      (2)            (110,000)            (110,000)            (110,000)
011206- A012   Allowances                                           2,083,000             2,267,000             1,897,000
011206- A012-1  Regular Allowances                               (2,083,000)          (2,083,000)          (1,897,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (184,000)
011206- A03    Operating Expenses                                   26,000               26,000               25,000
011206- A032   Communications                                         6,000                 6,000                 6,000
011206- A033     Utilities                                                  8,000                 8,000                 7,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE                    3,749,000           3,933,000           3,562,000
          JAMSHORO
KA0078 ACCOUNTANT GENERAL SINDH KARACHI
011206- A01    Employees Related Expenses                    418,983,000          433,242,000          410,668,000
011206- A011   Pay                     967    477          262,765,000          262,769,000          241,639,000
011206- A011-1 Pay of Officers             (742)   (332)       (212,395,000)       (212,399,000)       (205,248,000)

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                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A011-2 Pay of Other Staff          (225)   (145)         (50,370,000)         (50,370,000)         (36,391,000)
011206- A012   Allowances                                        156,218,000          170,473,000          169,029,000
011206- A012-1  Regular Allowances                            (148,212,000)       (148,212,000)       (161,423,000)
011206- A012-2  Other Allowances (Excluding TA)                  (8,006,000)         (22,261,000)          (7,606,000)
011206- A03    Operating Expenses                               50,512,000            52,933,000            47,951,000
011206- A031   Fees                                                    1,000                 1,000
011206- A032   Communications                                     1,365,000             1,365,000             1,286,000
011206- A033     Utilities                                             12,475,000            12,475,000            11,663,000
011206- A034   Occupancy Costs                                   28,978,000            30,478,000            28,081,000
011206- A036   Motor Vehicles                                           4,000                 4,000
011206- A038    Travel & Transportation                               3,360,000             4,281,000             3,070,000
011206- A039   General                                              4,329,000             4,329,000             3,851,000
011206- A04    Employees Retirement Benefits                    20,100,000            21,298,000            21,650,000
011206- A041   Pension                                            20,100,000            21,298,000            21,650,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      1,720,000             1,720,000              949,000
011206- A092   Computer Equipment                                 704,000              704,000
011206- A095   Purchase of Transport                                   1,000                 1,000
011206- A096   Purchase of Plant and Machinery                      466,000              466,000              436,000
011206- A097   Purchase of Furniture and Fixture                     549,000              549,000              513,000
011206- A13    Repairs and Maintenance                            2,009,000             2,009,000             1,589,000
011206- A130    Transport                                              91,000               91,000               85,000
011206- A131   Machinery and Equipment                             191,000              191,000              280,000
011206- A132    Furniture and Fixture                                  142,000              142,000              280,000
011206- A133    Buildings and Structure                               994,000              994,000              467,000
011206- A137   Computer Equipment                                 410,000              410,000              384,000
011206- A138   General                                              181,000              181,000               93,000
        Total- ACCOUNTANT GENERAL SINDH               493,330,000        511,208,000        482,807,000
           KARACHI
KA2002 AGPR SUB OFFICE KHI(COMPUTER )

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A01    Employees Related Expenses                      12,037,000            12,404,000            12,530,000
011206- A011   Pay                      11     11            7,848,000             7,503,000             7,650,000
011206- A011-1 Pay of Officers                  (9)      (9)          (7,705,000)          (7,381,000)          (7,520,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (143,000)            (122,000)            (130,000)
011206- A012   Allowances                                           4,189,000             4,901,000             4,880,000
011206- A012-1  Regular Allowances                               (4,189,000)          (4,801,000)          (4,880,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (100,000)
011206- A03    Operating Expenses                                 1,225,000             1,535,000              999,000
011206- A038    Travel & Transportation                                                      10,000
011206- A039   General                                              1,225,000             1,525,000              999,000
011206- A13    Repairs and Maintenance                            160,000              360,000              149,000
011206- A131   Machinery and Equipment                              50,000              150,000               47,000
011206- A137   Computer Equipment                                 110,000              210,000              102,000
        Total- AGPR SUB OFFICE KHI(COMPUTER )            13,422,000         14,299,000          13,678,000
KA2011 AGPR SUB OFFICE KARACHI
011206- A01    Employees Related Expenses                    288,970,000          311,055,000          292,311,000
011206- A011   Pay                     438    438          182,340,000          182,340,000          176,187,000
011206- A011-1 Pay of Officers             (336)   (336)       (162,200,000)       (162,200,000)       (155,020,000)
011206- A011-2 Pay of Other Staff          (102)   (102)         (20,140,000)         (20,140,000)         (21,167,000)
011206- A012   Allowances                                        106,630,000          128,715,000          116,124,000
011206- A012-1  Regular Allowances                             (97,553,000)         (97,553,000)       (106,039,000)
011206- A012-2  Other Allowances (Excluding TA)                  (9,077,000)         (31,162,000)         (10,085,000)
011206- A03    Operating Expenses                               39,264,000            39,164,000            50,561,000
011206- A032   Communications                                     1,551,000             1,551,000             1,308,000
011206- A033     Utilities                                               6,100,000             6,100,000             5,448,000
011206- A034   Occupancy Costs                                   25,001,000            25,001,000            37,400,000
011206- A038    Travel & Transportation                               4,768,000             4,668,000             4,516,000
011206- A039   General                                              1,844,000             1,844,000             1,889,000
011206- A04    Employees Retirement Benefits                     8,700,000             8,700,000            13,500,000
011206- A041   Pension                                              8,700,000             8,700,000            13,500,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A06    Transfers                                                1,000                 1,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      662,000              662,000              467,000
011206- A092   Computer Equipment                                 362,000              362,000
011206- A096   Purchase of Plant and Machinery                      100,000              100,000              187,000
011206- A097   Purchase of Furniture and Fixture                     200,000              200,000              280,000
011206- A13    Repairs and Maintenance                            363,000              363,000              467,000
011206- A130    Transport                                                1,000                 1,000
011206- A131   Machinery and Equipment                              50,000               50,000              187,000
011206- A132    Furniture and Fixture                                  100,000              100,000               93,000
011206- A133    Buildings and Structure                               140,000              140,000               93,000
011206- A137   Computer Equipment                                   71,000               71,000               47,000
011206- A138   General                                                  1,000                 1,000               47,000
        Total- AGPR SUB OFFICE KARACHI                  337,965,000        359,950,000        357,306,000
KA2012 DATA PROCESSING UNIT A.G.SINDH KARACHI
011206- A01    Employees Related Expenses                       6,367,000             6,283,000             6,193,000
011206- A011   Pay                      28     28            4,359,000             3,790,000             3,615,000
011206- A011-1 Pay of Officers               (12)    (12)          (1,470,000)          (3,228,000)          (3,015,000)
011206- A011-2 Pay of Other Staff            (16)    (16)          (2,889,000)            (562,000)            (600,000)
011206- A012   Allowances                                           2,008,000             2,493,000             2,578,000
011206- A012-1  Regular Allowances                               (2,008,000)          (2,493,000)          (2,578,000)
011206- A03    Operating Expenses                                 3,640,000             5,835,000             2,916,000
011206- A032   Communications                                       50,000               65,000
011206- A033     Utilities                                               500,000              260,000              280,000
011206- A034   Occupancy Costs                                     800,000             1,360,000              748,000
011206- A039   General                                              2,290,000             4,150,000             1,888,000
011206- A13    Repairs and Maintenance                            160,000              205,000              102,000
011206- A131   Machinery and Equipment                              50,000               75,000
011206- A137   Computer Equipment                                 110,000              130,000              102,000
        Total- DATA PROCESSING UNIT A.G.SINDH            10,167,000         12,323,000           9,211,000
           KARACHI
KE0108 DISTRICT ACCOUNTS OFFICE KASHMORE
011206- A01    Employees Related Expenses                       1,389,000             1,389,000             1,194,000
011206- A011   Pay                       4      3             596,000              596,000              596,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A011-1 Pay of Officers                  (3)      (3)            (506,000)            (506,000)            (506,000)
011206- A011-2 Pay of Other Staff               (1)                     (90,000)             (90,000)             (90,000)
011206- A012   Allowances                                           793,000              793,000              598,000
011206- A012-1  Regular Allowances                                (793,000)            (793,000)            (598,000)
011206- A03    Operating Expenses                                   31,000               31,000               28,000
011206- A032   Communications                                         9,000                 9,000                 7,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE                    1,420,000           1,420,000           1,222,000
          KASHMORE
KG0108 DISTRICT ACCOUNTS OFFICE KUMBER
011206- A01    Employees Related Expenses                       2,121,000             2,121,000             2,084,000
011206- A011   Pay                       4      9            1,106,000             1,106,000             1,100,000
011206- A011-1 Pay of Officers                  (2)      (7)            (605,000)            (605,000)            (600,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (501,000)            (501,000)            (500,000)
011206- A012   Allowances                                           1,015,000             1,015,000              984,000
011206- A012-1  Regular Allowances                               (1,015,000)          (1,015,000)            (984,000)
011206- A03    Operating Expenses                                   13,000               13,000               11,000
011206- A032   Communications                                         5,000                 5,000                 6,000
011206- A038    Travel & Transportation                                  2,000                 2,000
011206- A039   General                                                  6,000                 6,000                 5,000
        Total- DISTRICT ACCOUNTS OFFICE KUMBER           2,134,000           2,134,000           2,095,000

KP0001 DISTRICT ACCOUNTS OFFICER KHAIRPUR
011206- A01    Employees Related Expenses                       7,179,000             7,179,000             7,007,000
011206- A011   Pay                      12     14            4,371,000             4,371,000             4,340,000
011206- A011-1 Pay of Officers                  (9)    (10)          (4,120,000)          (4,120,000)          (4,090,000)
011206- A011-2 Pay of Other Staff               (3)      (4)            (251,000)            (251,000)            (250,000)
011206- A012   Allowances                                           2,808,000             2,808,000             2,667,000
011206- A012-1  Regular Allowances                               (2,808,000)          (2,808,000)          (2,667,000)
011206- A03    Operating Expenses                                   21,000               21,000               20,000
011206- A032   Communications                                         8,000                 8,000                 8,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  8,000                 8,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICER                   7,200,000           7,200,000           7,027,000
           KHAIRPUR
KP0126 DAO SCHEMES KHAIRPUR
011206- A01    Employees Related Expenses                        332,000              332,000              190,000
011206- A011   Pay                       8     13             194,000              194,000              125,000
011206- A011-1 Pay of Officers                       (10)             (24,000)             (24,000)             (20,000)
011206- A011-2 Pay of Other Staff               (8)      (3)            (170,000)            (170,000)            (105,000)
011206- A012   Allowances                                           138,000              138,000               65,000
011206- A012-1  Regular Allowances                                (138,000)            (138,000)             (65,000)
011206- A03    Operating Expenses                                 258,000              258,000              139,000
011206- A032   Communications                                       29,000               29,000               14,000
011206- A033     Utilities                                               113,000              113,000               79,000
011206- A038    Travel & Transportation                                 38,000               38,000               16,000
011206- A039   General                                                78,000               78,000               30,000
011206- A13    Repairs and Maintenance                              11,000               11,000                 7,000
011206- A130    Transport                                                1,000                 1,000                 1,000
011206- A131   Machinery and Equipment                                5,000                 5,000                 3,000
011206- A132    Furniture and Fixture                                     5,000                 5,000                 3,000
        Total- DAO SCHEMES KHAIRPUR                        601,000            601,000            336,000
LA0009 DISTRICT ACCOUNTS OFFICER LARKANA
011206- A01    Employees Related Expenses                       8,050,000             8,050,000             7,868,000
011206- A011   Pay                      17     18            4,327,000             4,327,000             4,327,000
011206- A011-1 Pay of Officers                  (7)    (15)          (4,207,000)          (4,207,000)          (4,207,000)
011206- A011-2 Pay of Other Staff            (10)      (3)            (120,000)            (120,000)            (120,000)
011206- A012   Allowances                                           3,723,000             3,723,000             3,541,000
011206- A012-1  Regular Allowances                               (3,723,000)          (3,723,000)          (3,541,000)
011206- A03    Operating Expenses                                   27,000               27,000               26,000
011206- A032   Communications                                         9,000                 9,000                 9,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  1,000                 1,000                 1,000
011206- A039   General                                                  7,000                 7,000                 7,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

        Total- DISTRICT ACCOUNTS OFFICER                   8,077,000           8,077,000           7,894,000
          LARKANA
MQ0001 DISTRICT ACCOUNTS OFFICER MATIARI
011206- A01    Employees Related Expenses                       1,796,000             1,860,000             1,676,000
011206- A011   Pay                       6      6             902,000              902,000              900,000
011206- A011-1 Pay of Officers                  (5)      (5)            (802,000)            (802,000)            (800,000)
011206- A011-2 Pay of Other Staff               (1)      (1)            (100,000)            (100,000)            (100,000)
011206- A012   Allowances                                           894,000              958,000              776,000
011206- A012-1  Regular Allowances                                (894,000)            (894,000)            (776,000)
011206- A012-2  Other Allowances (Excluding TA)                                          (64,000)
011206- A03    Operating Expenses                                   27,000               27,000               26,000
011206- A032   Communications                                         7,000                 7,000                 7,000
011206- A033     Utilities                                                  8,000                 8,000                 7,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICER                   1,823,000           1,887,000           1,702,000
            MATIARI
MS0108 DISTRICT ACCOUNTS OFFICE MIPURKHAS
011206- A01    Employees Related Expenses                       1,634,000             1,634,000             1,534,000
011206- A011   Pay                       3      8             975,000              975,000              975,000
011206- A011-1 Pay of Officers                  (1)      (7)            (605,000)            (605,000)            (605,000)
011206- A011-2 Pay of Other Staff               (2)      (1)            (370,000)            (370,000)            (370,000)
011206- A012   Allowances                                           659,000              659,000              559,000
011206- A012-1  Regular Allowances                                (659,000)            (659,000)            (559,000)
011206- A03    Operating Expenses                                   31,000               31,000               30,000
011206- A032   Communications                                         9,000                 9,000                 9,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE                    1,665,000           1,665,000           1,564,000
           MIPURKHAS
MT0001 DISSTRICT ACCOUNTS OFFICER THARPARKAR
011206- A01    Employees Related Expenses                       1,721,000             1,721,000             1,640,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A011   Pay                       3      2             825,000              825,000              825,000
011206- A011-1 Pay of Officers                  (2)      (2)            (305,000)            (305,000)            (305,000)
011206- A011-2 Pay of Other Staff               (1)                   (520,000)            (520,000)            (520,000)
011206- A012   Allowances                                           896,000              896,000              815,000
011206- A012-1  Regular Allowances                                (896,000)            (896,000)            (815,000)
011206- A03    Operating Expenses                                   29,000               29,000               28,000
011206- A032   Communications                                         7,000                 7,000                 7,000
011206- A033     Utilities                                                10,000               10,000                 9,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
        Total- DISSTRICT ACCOUNTS OFFICER                 1,750,000           1,750,000           1,668,000
          THARPARKAR
NF0108 DISTRICT ACCOUNTS OFFICE NAUSHEROFEROZ
011206- A01    Employees Related Expenses                       2,018,000             2,088,000             1,936,000
011206- A011   Pay                       3      6            1,185,000             1,185,000             1,185,000
011206- A011-1 Pay of Officers                  (1)      (3)          (1,105,000)          (1,105,000)          (1,105,000)
011206- A011-2 Pay of Other Staff               (2)      (3)             (80,000)             (80,000)             (80,000)
011206- A012   Allowances                                           833,000              903,000              751,000
011206- A012-1  Regular Allowances                                (833,000)            (833,000)            (751,000)
011206- A012-2  Other Allowances (Excluding TA)                                          (70,000)
011206- A03    Operating Expenses                                   27,000               27,000               26,000
011206- A032   Communications                                         7,000                 7,000                 7,000
011206- A033     Utilities                                                  8,000                 8,000                 7,000
011206- A038    Travel & Transportation                                  5,000                 5,000                 5,000
011206- A039   General                                                  7,000                 7,000                 7,000
        Total- DISTRICT ACCOUNTS OFFICE                    2,045,000           2,115,000           1,962,000
          NAUSHEROFEROZ
NH0002 DISTRICT ACCOUNTS OFFICE NAWABSHAH
011206- A01    Employees Related Expenses                       3,880,000             3,880,000             3,829,000
011206- A011   Pay                       3      7            2,871,000             2,871,000             2,870,000
011206- A011-1 Pay of Officers                  (2)      (6)          (1,420,000)          (1,420,000)          (1,420,000)
011206- A011-2 Pay of Other Staff               (1)      (1)          (1,451,000)          (1,451,000)          (1,450,000)
011206- A012   Allowances                                           1,009,000             1,009,000              959,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A012-1  Regular Allowances                               (1,009,000)          (1,009,000)            (959,000)
011206- A03    Operating Expenses                                 118,000              118,000              109,000
011206- A032   Communications                                       32,000               32,000               28,000
011206- A033     Utilities                                                34,000               34,000               32,000
011206- A038    Travel & Transportation                                 20,000               20,000               19,000
011206- A039   General                                                32,000               32,000               30,000
        Total- DISTRICT ACCOUNTS OFFICE                    3,998,000           3,998,000           3,938,000
          NAWABSHAH
SK0007 DISTT ACCOUNTS OFFICER SUKKUR
011206- A01    Employees Related Expenses                       3,511,000             3,705,000             3,460,000
011206- A011   Pay                      20     33             602,000              602,000              601,000
011206- A011-1 Pay of Officers               (11)    (26)            (500,000)            (500,000)            (500,000)
011206- A011-2 Pay of Other Staff               (9)      (7)            (102,000)            (102,000)            (101,000)
011206- A012   Allowances                                           2,909,000             3,103,000             2,859,000
011206- A012-1  Regular Allowances                               (2,909,000)          (2,909,000)          (2,859,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (194,000)
011206- A03    Operating Expenses                                                        78,000
011206- A038    Travel & Transportation                                                      78,000
011206- A04    Employees Retirement Benefits                                           610,000
011206- A041   Pension                                                                   610,000
        Total- DISTT ACCOUNTS OFFICER SUKKUR             3,511,000           4,393,000           3,460,000
SK0126 DAO SCHEMES SUKKUR
011206- A01    Employees Related Expenses                         24,000               24,000              110,000
011206- A011   Pay                       1     17               24,000               24,000               70,000
011206- A011-1 Pay of Officers                  (1)    (12)             (24,000)             (24,000)             (25,000)
011206- A011-2 Pay of Other Staff                       (5)                                                       (45,000)
011206- A012   Allowances                                                                                       40,000
011206- A012-1  Regular Allowances                                                                            (40,000)
011206- A03    Operating Expenses                                 252,000              252,000              131,000
011206- A032   Communications                                       26,000               26,000               12,000
011206- A033     Utilities                                               112,000              112,000               75,000
011206- A038    Travel & Transportation                                 37,000               37,000               15,000
011206- A039   General                                                77,000               77,000               29,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A13    Repairs and Maintenance                              10,000               10,000                 4,000
011206- A131   Machinery and Equipment                                5,000                 5,000                 2,000
011206- A132    Furniture and Fixture                                     5,000                 5,000                 2,000
        Total- DAO SCHEMES SUKKUR                          286,000            286,000            245,000
SP0001 DISSTRICT ACCOUNTS OFFICER SHIKARPUR
011206- A01    Employees Related Expenses                       4,433,000             4,718,000             4,283,000
011206- A011   Pay                       9      6            2,820,000             2,820,000             2,770,000
011206- A011-1 Pay of Officers                  (5)      (4)          (1,820,000)          (1,820,000)          (1,770,000)
011206- A011-2 Pay of Other Staff               (4)      (2)          (1,000,000)          (1,000,000)          (1,000,000)
011206- A012   Allowances                                           1,613,000             1,898,000             1,513,000
011206- A012-1  Regular Allowances                               (1,613,000)          (1,613,000)          (1,513,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (285,000)
        Total- DISSTRICT ACCOUNTS OFFICER                 4,433,000           4,718,000           4,283,000
           SHIKARPUR
SR0004 DISTRICT ACCOUNTS OFFICER SANGHAR
011206- A01    Employees Related Expenses                       1,142,000             1,273,000             1,038,000
011206- A011   Pay                       6      5             256,000              256,000              256,000
011206- A011-1 Pay of Officers                  (3)      (5)            (106,000)            (106,000)            (106,000)
011206- A011-2 Pay of Other Staff               (3)                   (150,000)            (150,000)            (150,000)
011206- A012   Allowances                                           886,000             1,017,000              782,000
011206- A012-1  Regular Allowances                                (886,000)            (886,000)            (782,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (131,000)
        Total- DISTRICT ACCOUNTS OFFICER                   1,142,000           1,273,000           1,038,000
          SANGHAR
TA0003 DISSTRICT ACCOUNTS OFFICER THATTA
011206- A01    Employees Related Expenses                       3,703,000             3,703,000             3,627,000
011206- A011   Pay                       6      4            1,900,000             1,900,000             1,900,000
011206- A011-1 Pay of Officers                  (6)      (4)          (1,010,000)          (1,010,000)          (1,010,000)
011206- A011-2 Pay of Other Staff                                  (890,000)            (890,000)            (890,000)
011206- A012   Allowances                                           1,803,000             1,803,000             1,727,000
011206- A012-1  Regular Allowances                               (1,803,000)          (1,803,000)          (1,727,000)
011206- A03    Operating Expenses                                   57,000               57,000               53,000
011206- A032   Communications                                       14,000               14,000               13,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A033     Utilities                                                18,000               18,000               17,000
011206- A038    Travel & Transportation                                 10,000               10,000                 9,000
011206- A039   General                                                15,000               15,000               14,000
        Total- DISSTRICT ACCOUNTS OFFICER                 3,760,000           3,760,000           3,680,000
           THATTA
TD0001 DISTRICT ACCOUNTS OFFICER T-ALLAHYAR
011206- A01    Employees Related Expenses                       1,738,000             1,738,000             1,688,000
011206- A011   Pay                       4      2            1,100,000             1,100,000             1,100,000
011206- A011-1 Pay of Officers                  (3)      (2)          (1,000,000)          (1,000,000)          (1,000,000)
011206- A011-2 Pay of Other Staff               (1)                   (100,000)            (100,000)            (100,000)
011206- A012   Allowances                                           638,000              638,000              588,000
011206- A012-1  Regular Allowances                                (638,000)            (638,000)            (588,000)
        Total- DISTRICT ACCOUNTS OFFICER                   1,738,000           1,738,000           1,688,000
           T-ALLAHYAR
TM0001 DISTRICT ACCOUNTS OFFICER T M KHAN
011206- A01    Employees Related Expenses                       2,254,000             2,315,000             2,145,000
011206- A011   Pay                       2      2            1,390,000             1,390,000             1,370,000
011206- A011-1 Pay of Officers                  (2)      (2)          (1,110,000)          (1,110,000)          (1,090,000)
011206- A011-2 Pay of Other Staff                                  (280,000)            (280,000)            (280,000)
011206- A012   Allowances                                           864,000              925,000              775,000
011206- A012-1  Regular Allowances                                (864,000)            (864,000)            (775,000)
011206- A012-2  Other Allowances (Excluding TA)                                          (61,000)
011206- A03    Operating Expenses                                   41,000               41,000               38,000
011206- A032   Communications                                       11,000               11,000               11,000
011206- A033     Utilities                                                  8,000                 8,000                 7,000
011206- A038    Travel & Transportation                                 10,000               10,000                 9,000
011206- A039   General                                                12,000               12,000               11,000
        Total- DISTRICT ACCOUNTS OFFICER T M               2,295,000           2,356,000           2,183,000
          KHAN
UK0108 DISTRICT ACCOUNTS OF OFFICE UMERKOT
011206- A01    Employees Related Expenses                        779,000              779,000              748,000
011206- A011   Pay                                 3             501,000              501,000              501,000
011206- A011-1 Pay of Officers                           (3)            (501,000)            (501,000)            (501,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A012   Allowances                                           278,000              278,000              247,000
011206- A012-1  Regular Allowances                                (278,000)            (278,000)            (247,000)
        Total- DISTRICT ACCOUNTS OF OFFICE                  779,000            779,000            748,000
          UMERKOT
     011206   Total-  Accounting services                      939,473,000        985,646,000        948,528,000
     0112     Total-  Financial and Fiscal Affairs                939,473,000        985,646,000        948,528,000
     011      Total-  Executive & Legislative                   939,473,000        985,646,000        948,528,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                   939,473,000        985,646,000        948,528,000
               Total- ACCOUNTANT GENERAL                  939,473,000          985,646,000          948,528,000
                PAKISTAN REVENUES
                  SUB-OFFICE, KARACHI

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
QA0026 ACCOUNTANT GENERAL BALOCHISTAN QUETTA
011206- A01    Employees Related Expenses                    180,910,000          187,034,000          180,000,000
011206- A011   Pay                     302    302          117,453,000          117,453,000          105,898,000
011206- A011-1 Pay of Officers             (218)   (250)       (101,819,000)       (101,819,000)         (96,008,000)
011206- A011-2 Pay of Other Staff            (84)    (52)         (15,634,000)         (15,634,000)          (9,890,000)
011206- A012   Allowances                                         63,457,000            69,581,000            74,102,000
011206- A012-1  Regular Allowances                             (61,455,000)         (61,455,000)         (72,102,000)
011206- A012-2  Other Allowances (Excluding TA)                  (2,002,000)          (8,126,000)          (2,000,000)
011206- A03    Operating Expenses                               34,290,000            35,590,000            34,869,000
011206- A032   Communications                                     731,000              731,000              793,000
011206- A033     Utilities                                               2,565,000             2,565,000             2,308,000
011206- A034   Occupancy Costs                                   23,692,000            24,992,000            26,030,000
011206- A038    Travel & Transportation                               4,071,000             4,071,000             3,047,000
011206- A039   General                                              3,231,000             3,231,000             2,691,000
011206- A04    Employees Retirement Benefits                     5,200,000             7,300,000             4,400,000
011206- A041   Pension                                              5,200,000             7,300,000             4,400,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A09    Physical Assets                                      703,000              703,000              467,000
011206- A092   Computer Equipment                                 302,000              302,000
011206- A095   Purchase of Transport                                   1,000                 1,000
011206- A096   Purchase of Plant and Machinery                      200,000              200,000              187,000
011206- A097   Purchase of Furniture and Fixture                     200,000              200,000              280,000
011206- A13    Repairs and Maintenance                            802,000              802,000              559,000
011206- A130    Transport                                            200,000              200,000               93,000
011206- A131   Machinery and Equipment                             200,000              200,000              140,000
011206- A132    Furniture and Fixture                                  150,000              150,000              140,000
011206- A133    Buildings and Structure                               100,000              100,000               93,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

011206- A137   Computer Equipment                                 152,000              152,000               93,000
        Total- ACCOUNTANT GENERAL                      221,910,000        231,434,000        220,295,000
           BALOCHISTAN QUETTA
QA0537 CHIEF ACCOUNTS OFFICE, GEOLOGICAL SURVEY OF PAKISTAN, QUETTA.
011206- A01    Employees Related Expenses                      21,759,000            22,510,000            22,000,000
011206- A011   Pay                      64     64           13,462,000            13,462,000            12,779,000
011206- A011-1 Pay of Officers               (17)    (17)          (3,611,000)          (3,611,000)          (3,229,000)
011206- A011-2 Pay of Other Staff            (47)    (47)          (9,851,000)          (9,851,000)          (9,550,000)
011206- A012   Allowances                                           8,297,000             9,048,000             9,221,000
011206- A012-1  Regular Allowances                               (8,045,000)          (8,045,000)          (8,869,000)
011206- A012-2  Other Allowances (Excluding TA)                    (252,000)          (1,003,000)            (352,000)
011206- A03    Operating Expenses                                 4,933,000             5,433,000             5,730,000
011206- A032   Communications                                       95,000               95,000               88,000
011206- A033     Utilities                                                12,000               12,000               11,000
011206- A034   Occupancy Costs                                     2,300,000             2,800,000             3,178,000
011206- A038    Travel & Transportation                               2,102,000             2,102,000             2,057,000
011206- A039   General                                              424,000              424,000              396,000
011206- A04    Employees Retirement Benefits                      601,000              901,000              229,000
011206- A041   Pension                                              601,000              901,000              229,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      360,000              360,000              140,000
011206- A092   Computer Equipment                                 160,000              160,000
011206- A096   Purchase of Plant and Machinery                      150,000              150,000               93,000
011206- A097   Purchase of Furniture and Fixture                       50,000               50,000               47,000
011206- A13    Repairs and Maintenance                            416,000              416,000              328,000
011206- A130    Transport                                            200,000              200,000              140,000
011206- A131   Machinery and Equipment                             100,000              100,000               93,000
011206- A132    Furniture and Fixture                                   50,000               50,000               47,000
011206- A137   Computer Equipment                                   66,000               66,000               48,000
        Total- CHIEF ACCOUNTS OFFICE,                     28,075,000         29,626,000          28,427,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

           GEOLOGICAL SURVEY OF PAKISTAN,
           QUETTA.
QA2008 AG BALOCHISTAN QUETTA(COMT.CELL)
011206- A01    Employees Related Expenses                       3,940,000             4,831,000             3,224,000
011206- A011   Pay                       6      6             775,000             2,109,000             1,950,000
011206- A011-1 Pay of Officers                           (2)                                (615,000)            (550,000)
011206- A011-2 Pay of Other Staff               (6)      (4)            (775,000)          (1,494,000)          (1,400,000)
011206- A012   Allowances                                           3,165,000             2,722,000             1,274,000
011206- A012-1  Regular Allowances                               (3,165,000)          (2,721,000)          (1,274,000)
011206- A012-2  Other Allowances (Excluding TA)                                             (1,000)
011206- A03    Operating Expenses                                 2,740,000             5,580,000             2,579,000
011206- A032   Communications                                       50,000              490,000
011206- A033     Utilities                                               1,000,000             3,200,000              935,000
011206- A034   Occupancy Costs                                     400,000              600,000              561,000
011206- A039   General                                              1,290,000             1,290,000             1,083,000
011206- A09    Physical Assets                                                               1,000
011206- A097   Purchase of Furniture and Fixture                                              1,000
011206- A13    Repairs and Maintenance                            160,000              160,000              149,000
011206- A131   Machinery and Equipment                              50,000               50,000               47,000
011206- A137   Computer Equipment                                 110,000              110,000              102,000
        Total- AG BALOCHISTAN                               6,840,000         10,572,000           5,952,000
           QUETTA(COMT.CELL)
QA2010 AGPR (SUB OFFICE) QUETTA
011206- A01    Employees Related Expenses                      59,904,000            65,795,000            72,044,000
011206- A011   Pay                     108    108           35,542,000            35,542,000            46,379,000
011206- A011-1 Pay of Officers               (82)    (82)         (30,542,000)         (30,542,000)         (41,479,000)
011206- A011-2 Pay of Other Staff            (26)    (26)          (5,000,000)          (5,000,000)          (4,900,000)
011206- A012   Allowances                                         24,362,000            30,253,000            25,665,000
011206- A012-1  Regular Allowances                             (22,362,000)         (22,362,000)         (22,665,000)
011206- A012-2  Other Allowances (Excluding TA)                  (2,000,000)          (7,891,000)          (3,000,000)
011206- A03    Operating Expenses                               18,137,000            18,137,000            15,537,000
011206- A032   Communications                                     581,000              581,000              466,000
011206- A033     Utilities                                               1,600,000             1,600,000             1,214,000

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

011206- A034   Occupancy Costs                                   10,001,000            10,001,000             9,350,000
011206- A038    Travel & Transportation                               4,395,000             4,395,000             3,197,000
011206- A039   General                                              1,560,000             1,560,000             1,310,000
011206- A04    Employees Retirement Benefits                      950,000              950,000             1,300,000
011206- A041   Pension                                              950,000              950,000             1,300,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      625,000              625,000              374,000
011206- A092   Computer Equipment                                 225,000              225,000
011206- A096   Purchase of Plant and Machinery                      200,000              200,000              187,000
011206- A097   Purchase of Furniture and Fixture                     200,000              200,000              187,000
011206- A13    Repairs and Maintenance                            308,000              308,000              392,000
011206- A130    Transport                                              80,000               80,000               47,000
011206- A131   Machinery and Equipment                              50,000               50,000               93,000
011206- A132    Furniture and Fixture                                   80,000               80,000               93,000
011206- A137   Computer Equipment                                   95,000               95,000              140,000
011206- A138   General                                                  3,000                 3,000               19,000
        Total- AGPR (SUB OFFICE) QUETTA                   79,930,000         85,821,000          89,647,000
QA2066 AGPR SUB OFFICE QUETA(COMT. CELL)
011206- A03    Operating Expenses                                 1,000,000              975,000              822,000
011206- A033     Utilities                                                50,000
011206- A039   General                                              950,000              975,000              822,000
011206- A13    Repairs and Maintenance                            105,000              355,000               98,000
011206- A131   Machinery and Equipment                              25,000              125,000               23,000
011206- A137   Computer Equipment                                   80,000              230,000               75,000
        Total- AGPR SUB OFFICE QUETA(COMT.                1,105,000           1,330,000            920,000
            CELL)
UL0001 DAO SCHEME BALOCHIST(LASBALA AT UTHUL)
011206- A01    Employees Related Expenses                       3,511,000             3,511,000             3,900,000
011206- A011   Pay                       7      7            1,814,000             1,814,000             2,186,000
011206- A011-1 Pay of Officers                  (6)      (6)          (1,669,000)          (1,669,000)          (1,976,000)

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

011206- A011-2 Pay of Other Staff               (1)      (1)            (145,000)            (145,000)            (210,000)
011206- A012   Allowances                                           1,697,000             1,697,000             1,714,000
011206- A012-1  Regular Allowances                               (1,646,000)          (1,646,000)          (1,654,000)
011206- A012-2  Other Allowances (Excluding TA)                     (51,000)             (51,000)             (60,000)
011206- A03    Operating Expenses                                 380,000              380,000              411,000
011206- A032   Communications                                       30,000               30,000               33,000
011206- A033     Utilities                                                90,000               90,000               74,000
011206- A038    Travel & Transportation                               200,000              200,000              126,000
011206- A039   General                                                60,000               60,000              178,000
011206- A13    Repairs and Maintenance                              22,000               22,000               57,000
011206- A130    Transport                                                                                           9,000
011206- A131   Machinery and Equipment                              10,000               10,000               19,000
011206- A132    Furniture and Fixture                                   10,000               10,000               19,000
011206- A137   Computer Equipment                                    2,000                 2,000               10,000
        Total- DAO SCHEME BALOCHIST(LASBALA             3,913,000           3,913,000           4,368,000
           AT UTHUL)
     011206   Total-  Accounting services                      341,773,000        362,696,000        349,609,000
     0112     Total-  Financial and Fiscal Affairs                341,773,000        362,696,000        349,609,000
     011      Total-  Executive & Legislative                   341,773,000        362,696,000        349,609,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                   341,773,000        362,696,000        349,609,000
               Total- ACCOUNTANT GENERAL                  341,773,000          362,696,000          349,609,000
                PAKISTAN REVENUES
                  SUB-OFFICE, QUETTA

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NO. 061.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2019-2020         2019-2020        2020-2021
                                       2019-20 2020-21       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, GILGIT

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
GL0170 AGPR SUB OFFICE GILGIT
011206- A01    Employees Related Expenses                      15,213,000            16,372,000            20,832,000
011206- A011   Pay                      91     91            9,747,000             9,747,000            11,268,000
011206- A011-1 Pay of Officers               (50)    (50)          (8,628,000)          (8,628,000)          (9,918,000)
011206- A011-2 Pay of Other Staff            (41)    (41)          (1,119,000)          (1,119,000)          (1,350,000)
011206- A012   Allowances                                           5,466,000             6,625,000             9,564,000
011206- A012-1  Regular Allowances                               (4,920,000)          (4,920,000)          (8,314,000)
011206- A012-2  Other Allowances (Excluding TA)                    (546,000)          (1,705,000)          (1,250,000)
011206- A03    Operating Expenses                                 4,858,000             4,858,000             6,257,000
011206- A032   Communications                                     216,000              216,000              215,000
011206- A033     Utilities                                               1,820,000             1,820,000             2,196,000
011206- A034   Occupancy Costs                                                                               935,000
011206- A038    Travel & Transportation                               2,356,000             2,356,000             2,370,000
011206- A039   General                                              466,000              466,000              541,000
011206- A04    Employees Retirement Benefits                                                                 1,000,000
011206- A041   Pension                                                                                          1,000,000
011206- A05    Grants, Subsidies and Write off Loans                  5,000                 5,000
011206- A052   Grants Domestic                                         5,000                 5,000
011206- A06    Transfers                                                1,000                 1,000
011206- A063    Entertainment & Gifts                                    1,000                 1,000
011206- A09    Physical Assets                                      270,000              270,000              169,000
011206- A092   Computer Equipment                                   70,000               70,000
011206- A096   Purchase of Plant and Machinery                      100,000              100,000               76,000
011206- A097   Purchase of Furniture and Fixture                     100,000              100,000               93,000
011206- A13    Repairs and Maintenance                            330,000              330,000              514,000
011206- A130    Transport                                            219,000              219,000              327,000
011206- A131   Machinery and Equipment                              50,000               50,000               47,000
011206- A132    Furniture and Fixture                                   50,000               50,000               93,000