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Qanoon Digest

Details of Demands for Grants and Appropriations Vol-II (Current), part 9

FY 2022-23Details of demandsPages 801 to 900 of 930

The Details of Demands for Grants and Appropriations Vol-II (Current) is part of the federal budget for FY 2022-23. This page reproduces the text of its 930 PDF pages, extracted automatically from the official PDF published by the Finance Division, Government of Pakistan.

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Page 801

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          MARGALLA
IB9018 ESTABLISHMENT OF POLICE STATION KARACHI COMPANY
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000

Page 802

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
           KARACHI COMPANY
IB9019 ESTABLISHMENT OF POLICE STATION SHALIMAR
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
           SHALIMAR
IB9020 ESTABLISHMENT OF POLICE STATION RAMMA
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000

Page 803

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
         RAMMA
IB9021 ESTABLISHMENT OF POLICE STATION GOLRA
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          GOLRA

Page 804

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

IB9022 ESTABLISHMENT OF POLICE STATION TARNOLSTA
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          TARNOL
IB9023 ESTABLISHMENT OF POLICE STATION I-9
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000

Page 805

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
                  I-9
IB9024 ESTABLISHMENT OF POLICE STATION SABZI MANDI
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
            SABZI MANDI
IB9025 ESTABLISHMENT OF POLICE STATION SHAMS COLONY
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000

Page 806

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          SHAMS COLONY
IB9026 ESTABLISHMENT OF POLICE STATION NOON
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
         NOON

Page 807

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

IB9027 ESTABLISHMENT OF POLICE STATION SHEHZAD TOWN
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          SHEHZAD TOWN
IB9028 ESTABLISHMENT OF POLICE STATION KHANA
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000

Page 808

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          KHANA
IB9029 ESTABLISHMENT OF POLICE STATION NILORE
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
           NILORE
IB9030 ESTABLISHMENT OF POLICE STATION KORAL
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000

Page 809

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
          KORAL
IB9031 ESTABLISHMENT OF POLICE STATION SIHALA
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                             300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
           SIHALA

Page 810

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

IB9032 ESTABLISHMENT OF POLICE STATION LOHI BHER
032101- A03    Operating Expenses                                 5,240,000             5,240,000             4,485,000
032101- A032   Communications                                     200,000              200,000              140,000
032101- A033     Utilities                                               2,450,000             2,450,000             1,682,000
032101- A038    Travel & Transportation                               820,000              820,000              841,000
032101- A039   General                                              1,770,000             1,770,000             1,822,000
032101- A06    Transfers                                            200,000              200,000              100,000
032101- A061    Scholarship                                          200,000              200,000              100,000
032101- A09    Physical Assets                                                                                794,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                187,000
032101- A097   Purchase of Furniture and Fixture                                                               280,000
032101- A098   Purchase of Other Assets                                                                         47,000
032101- A13    Repairs and Maintenance                            1,060,000             1,060,000              700,000
032101- A130    Transport                                            500,000              500,000              467,000
032101- A131   Machinery and Equipment                            300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  160,000              160,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,079,000
            LOHI BHER
IB9033 ESTABLISHMENT OF POLICE STATION CTD
032101- A03    Operating Expenses                                 5,240,000             4,650,000             4,019,000
032101- A032   Communications                                     200,000               70,000               65,000
032101- A033     Utilities                                               2,450,000             1,230,000             1,103,000
032101- A038    Travel & Transportation                               820,000              900,000              840,000
032101- A039   General                                              1,770,000             2,450,000             2,011,000
032101- A06    Transfers                                            200,000              200,000              200,000
032101- A061    Scholarship                                          200,000              200,000              200,000
032101- A09    Physical Assets                                                            1,050,000             1,075,000
032101- A092   Computer Equipment                                                      150,000              233,000
032101- A096   Purchase of Plant and Machinery                                           650,000              608,000
032101- A097   Purchase of Furniture and Fixture                                          250,000              234,000

Page 811

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A13    Repairs and Maintenance                            1,060,000              600,000              795,000
032101- A130    Transport                                            500,000              250,000              234,000
032101- A131   Machinery and Equipment                             300,000              150,000              140,000
032101- A132    Furniture and Fixture                                  160,000              150,000              140,000
032101- A133    Buildings and Structure                                                                         234,000
032101- A137   Computer Equipment                                 100,000               50,000               47,000
        Total- ESTABLISHMENT OF POLICE STATION           6,500,000           6,500,000           6,089,000
          CTD
IB9034 ISLAMABAD TRAFFIC POLICE ISLAMABAD TRAFFIC POLICE
032101- A03    Operating Expenses                               60,370,000            60,370,000            53,709,000
032101- A032   Communications                                     1,250,000             1,250,000              771,000
032101- A033     Utilities                                               6,820,000             6,820,000             4,320,000
032101- A038    Travel & Transportation                             45,500,000            45,500,000            44,552,000
032101- A039   General                                              6,800,000             6,800,000             4,066,000
032101- A06    Transfers                                            500,000              500,000              800,000
032101- A061    Scholarship                                          500,000              500,000              800,000
032101- A09    Physical Assets                                                                                 1,472,000
032101- A092   Computer Equipment                                                                           164,000
032101- A096   Purchase of Plant and Machinery                                                                654,000
032101- A097   Purchase of Furniture and Fixture                                                               654,000
032101- A13    Repairs and Maintenance                            6,650,000             6,650,000             7,199,000
032101- A130    Transport                                             6,000,000             6,000,000             6,545,000
032101- A131   Machinery and Equipment                             400,000              400,000              374,000
032101- A132    Furniture and Fixture                                  150,000              150,000              187,000
032101- A137   Computer Equipment                                 100,000              100,000               93,000
        Total- ISLAMABAD TRAFFIC POLICE                   67,520,000         67,520,000          63,180,000
           ISLAMABAD TRAFFIC POLICE
IB9035 ESTABLISHMENT OF SPECIAL BRANCH
032101- A03    Operating Expenses                               17,750,000            17,750,000            15,751,000
032101- A032   Communications                                     1,030,000             1,030,000              495,000
032101- A033     Utilities                                               3,520,000             3,520,000             3,291,000
032101- A038    Travel & Transportation                             10,300,000            10,300,000             9,536,000
032101- A039   General                                              2,900,000             2,900,000             2,429,000

Page 812

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A06    Transfers                                            500,000              500,000              500,000
032101- A061    Scholarship                                          500,000              500,000              500,000
032101- A09    Physical Assets                                                                                654,000
032101- A096   Purchase of Plant and Machinery                                                                467,000
032101- A097   Purchase of Furniture and Fixture                                                               187,000
032101- A13    Repairs and Maintenance                            2,100,000             2,100,000             2,149,000
032101- A130    Transport                                             1,600,000             1,600,000             1,683,000
032101- A131   Machinery and Equipment                             300,000              300,000              280,000
032101- A132    Furniture and Fixture                                  100,000              100,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               93,000
        Total- ESTABLISHMENT OF SPECIAL BRANCH         20,350,000         20,350,000          19,054,000

IB9036 ESTABLISHMENT OF SECURITY DIVISION
032101- A03    Operating Expenses                              119,960,000          119,960,000          106,410,000
032101- A032   Communications                                     2,050,000             2,050,000             1,571,000
032101- A033     Utilities                                             21,560,000            21,560,000            14,083,000
032101- A034   Occupancy Costs                                                                                   2,000
032101- A038    Travel & Transportation                             90,650,000            90,650,000            84,757,000
032101- A039   General                                              5,700,000             5,700,000             5,997,000
032101- A06    Transfers                                             1,000,000             1,000,000             1,200,000
032101- A061    Scholarship                                          1,000,000             1,000,000             1,200,000
032101- A09    Physical Assets                                                                                 3,280,000
032101- A092   Computer Equipment                                                                           939,000
032101- A096   Purchase of Plant and Machinery                                                                 1,402,000
032101- A097   Purchase of Furniture and Fixture                                                               935,000
032101- A098   Purchase of Other Assets                                                                           4,000
032101- A13    Repairs and Maintenance                          10,860,000            10,860,000            12,439,000
032101- A130    Transport                                           10,000,000            10,000,000            11,687,000
032101- A131   Machinery and Equipment                             600,000              600,000              563,000
032101- A132    Furniture and Fixture                                  200,000              200,000               93,000
032101- A133    Buildings and Structure                                                                              4,000
032101- A137   Computer Equipment                                   60,000               60,000               90,000
032101- A138   General                                                                                             2,000
        Total- ESTABLISHMENT OF SECURITY               131,820,000        131,820,000        123,329,000
             DIVISION

Page 813

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

IB9037 ESTABLISHMENT OF INVESTIGATION WING
032101- A03    Operating Expenses                               27,510,000            27,510,000            24,505,000
032101- A032   Communications                                     1,030,000             1,030,000              449,000
032101- A033     Utilities                                               2,520,000             2,520,000             2,496,000
032101- A038    Travel & Transportation                             10,800,000            10,800,000             9,584,000
032101- A039   General                                             13,160,000            13,160,000            11,976,000
032101- A06    Transfers                                             1,000,000             1,000,000             1,000,000
032101- A061    Scholarship                                          1,000,000             1,000,000             1,000,000
032101- A09    Physical Assets                                                                                 1,214,000
032101- A092   Computer Equipment                                                                           280,000
032101- A096   Purchase of Plant and Machinery                                                                467,000
032101- A097   Purchase of Furniture and Fixture                                                               467,000
032101- A13    Repairs and Maintenance 032101-                   2,300,000             2,300,000             2,149,000
A130    Transport                                                     1,800,000             1,800,000             1,870,000
032101- A131   Machinery and Equipment                            300,000              300,000               93,000
032101- A132    Furniture and Fixture                                  100,000              100,000               93,000
032101- A137   Computer Equipment                                 100,000              100,000               93,000
        Total- ESTABLISHMENT OF INVESTIGATION           30,810,000         30,810,000          28,868,000
          WING
ID1457 POLICE DEPARTMENT OF FEDERAL AREA ISLAMABAD
032101- A01    Employees Related Expenses                   7,957,261,000         7,586,306,000         8,429,232,000
032101- A011   Pay                   11440  11440        2,479,069,000         2,231,162,000         2,460,870,000
032101- A011-1 Pay of Officers             (288)   (288)       (123,189,000)       (110,870,000)       (170,936,000)
032101- A011-2 Pay of Other Staff       (11152)(11152)      (2,355,880,000)      (2,120,292,000)      (2,289,934,000)
032101- A012   Allowances                                       5,478,192,000         5,355,144,000         5,968,362,000
032101- A012-1  Regular Allowances                          (5,280,692,000)      (5,177,394,000)      (5,770,862,000)
032101- A012-2  Other Allowances (Excluding TA)                (197,500,000)       (177,750,000)       (197,500,000)
032101- A03    Operating Expenses                              717,910,000          682,120,000          790,529,000
032101- A032   Communications                                    17,950,000            16,155,000            23,983,000
032101- A033     Utilities                                             79,000,000            71,100,000            68,442,000
032101- A034   Occupancy Costs                                     6,602,000             5,942,000             3,655,000

Page 814

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A036   Motor Vehicles                                       3,000,000             2,700,000             2,805,000
032101- A038    Travel & Transportation                            282,100,000          253,890,000          272,085,000
032101- A039   General                                           329,258,000          332,333,000          419,559,000
032101- A04    Employees Retirement Benefits                    21,500,000            19,350,000          205,000,000
032101- A041   Pension                                            21,500,000            19,350,000          205,000,000
032101- A05    Grants, Subsidies and Write off Loans             59,601,000         1,044,442,000          367,010,000
032101- A052   Grants Domestic                                    59,601,000         1,044,442,000          367,010,000
032101- A06    Transfers                                             6,001,000             5,401,000            10,010,000
032101- A061    Scholarship                                          6,000,000             5,400,000            10,000,000
032101- A063    Entertainment & Gifts                                    1,000                 1,000               10,000
032101- A09    Physical Assets                                   150,705,000          135,635,000          133,465,000
032101- A092   Computer Equipment                               10,002,000             9,002,000            12,173,000
032101- A094   Other Stores and Stocks                                 3,000                 3,000               27,000
032101- A095   Purchase of Transport                              55,000,000            49,500,000            56,100,000
032101- A096   Purchase of Plant and Machinery                    11,500,000            10,350,000            15,895,000
032101- A097   Purchase of Furniture and Fixture                   14,000,000            12,600,000             9,350,000
032101- A098   Purchase of Other Assets                           60,200,000            54,180,000            39,920,000
032101- A13    Repairs and Maintenance                          64,051,000            57,646,000            61,250,000
032101- A130    Transport                                           55,000,000            49,500,000            46,750,000
032101- A131   Machinery and Equipment                            3,301,000             2,971,000             3,748,000
032101- A132    Furniture and Fixture                                  700,000              630,000              935,000
032101- A133    Buildings and Structure                               4,600,000             4,140,000             9,350,000
032101- A137   Computer Equipment                                 400,000              360,000              374,000
032101- A138   General                                                50,000               45,000               93,000
        Total- POLICE DEPARTMENT OF FEDERAL          8,977,029,000       9,530,900,000       9,996,496,000
          AREA ISLAMABAD
ID9338 COUNTER TERRORISM DEPARTMENT (CTD), ISLAMABAD
032101- A01    Employees Related Expenses                    597,704,000          597,704,000          597,704,000
032101- A011   Pay                    1024   1024          187,288,000          187,288,000          166,615,000
032101- A011-1 Pay of Officers               (30)    (30)         (14,852,000)         (14,852,000)         (14,852,000)
032101- A011-2 Pay of Other Staff          (994)   (994)       (172,436,000)       (172,436,000)       (151,763,000)
032101- A012   Allowances                                        410,416,000          410,416,000          431,089,000
032101- A012-1  Regular Allowances                            (403,321,000)       (403,321,000)       (423,994,000)

Page 815

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

032101- A012-2  Other Allowances (Excluding TA)                  (7,095,000)          (7,095,000)          (7,095,000)
032101- A03    Operating Expenses                               54,470,000            54,470,000            50,667,000
032101- A032   Communications                                     1,710,000             1,710,000              860,000
032101- A033     Utilities                                             10,260,000            10,260,000             9,556,000
032101- A036   Motor Vehicles                                         10,000               10,000
032101- A038    Travel & Transportation                             24,470,000            24,470,000            23,908,000
032101- A039   General                                             18,020,000            18,020,000            16,343,000
032101- A04    Employees Retirement Benefits                      550,000              550,000            14,606,000
032101- A041   Pension                                              550,000              550,000            14,606,000
032101- A05    Grants, Subsidies and Write off Loans             14,130,000            14,130,000
032101- A052   Grants Domestic                                    14,130,000            14,130,000
032101- A06    Transfers                                            500,000              500,000              900,000
032101- A061    Scholarship                                          500,000              500,000              900,000
032101- A09    Physical Assets                                      3,010,000             3,010,000             2,805,000
032101- A092   Computer Equipment                                                                           935,000
032101- A095   Purchase of Transport                                  10,000               10,000
032101- A096   Purchase of Plant and Machinery                     1,500,000             1,500,000              935,000
032101- A097   Purchase of Furniture and Fixture                     1,500,000             1,500,000              935,000
032101- A13    Repairs and Maintenance                            2,696,000             2,696,000             2,486,000
032101- A130    Transport                                             2,000,000             2,000,000             1,870,000
032101- A131   Machinery and Equipment                             500,000              500,000              280,000
032101- A132    Furniture and Fixture                                  101,000              101,000              280,000
032101- A133    Buildings and Structure                                 10,000               10,000
032101- A137   Computer Equipment                                   85,000               85,000               56,000
        Total- COUNTER TERRORISM DEPARTMENT          673,060,000        673,060,000        669,168,000
              (CTD), ISLAMABAD
     032101   Total-  Federal Police                        10,319,666,000      10,873,537,000      11,293,332,000
     0321     Total-  Police                                10,319,666,000      10,873,537,000      11,293,332,000
     032      Total-  Police                                10,319,666,000      10,873,537,000      11,293,332,000
033     Fire Protection:
0331   Fire protection:
033101 Administration  :
ID1432 CIVIL DEFENCE DEPARTMENT, ICT ISLAMABAD.

Page 816

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

033101- A01    Employees Related Expenses                      13,839,000            13,839,000            21,500,000
033101- A011   Pay                      71     71            7,050,000             7,050,000             9,600,000
033101- A011-1 Pay of Officers                  (2)      (2)            (500,000)            (500,000)          (1,000,000)
033101- A011-2 Pay of Other Staff            (69)    (69)          (6,550,000)          (6,550,000)          (8,600,000)
033101- A012   Allowances                                           6,789,000             6,789,000            11,900,000
033101- A012-1  Regular Allowances                               (5,489,000)          (5,489,000)         (10,550,000)
033101- A012-2  Other Allowances (Excluding TA)                  (1,300,000)          (1,300,000)          (1,350,000)
033101- A03    Operating Expenses                                 2,002,000             2,002,000             3,253,000
033101- A032   Communications                                       80,000               80,000              131,000
033101- A033     Utilities                                                                                              9,000
033101- A034   Occupancy Costs                                     900,000              900,000             1,309,000
033101- A038    Travel & Transportation                               780,000              780,000             1,225,000
033101- A039   General                                              242,000              242,000              579,000
033101- A05    Grants, Subsidies and Write off Loans               100,000              100,000              100,000
033101- A052   Grants Domestic                                     100,000              100,000              100,000
033101- A13    Repairs and Maintenance                              80,000               80,000              290,000
033101- A130    Transport                                              50,000               50,000              140,000
033101- A131   Machinery and Equipment                              20,000               20,000               75,000
033101- A132    Furniture and Fixture                                   10,000               10,000               75,000
        Total-  CIVIL DEFENCE DEPARTMENT, ICT              16,021,000         16,021,000          25,143,000
           ISLAMABAD.
     033101   Total-  Administration                            16,021,000         16,021,000         25,143,000
     0331     Total-  Fire protection                            16,021,000         16,021,000         25,143,000
     033      Total-  Fire Protection                            16,021,000         16,021,000         25,143,000
036    Administration Of Public Order:
0361   Administration:
036101 Secretariat / Administration  :
IB5150 FINANCE AND ACCOUNT WING MOI-III
036101- A03    Operating Expenses                                                                         448,571,000
036101- A034   Occupancy Costs                                                                            448,571,000
036101- A09    Physical Assets                                                                             341,305,000
036101- A098   Purchase of Other Assets                                                                     341,305,000
036101- A13    Repairs and Maintenance                                                                    185,279,000

Page 817

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

036101- A130    Transport                                                                                      74,112,000
036101- A131   Machinery and Equipment                                                                      48,757,000
036101- A137   Computer Equipment                                                                           62,410,000
        Total- FINANCE AND ACCOUNT WING MOI-III                                                975,155,000
     036101   Total-  Secretariat / Administration                                                      975,155,000
     0361     Total-  Administration                                                                 975,155,000
     036      Total-  Administration Of Public Order                                                   975,155,000
     03        Total-  Public Order And Safety Affairs         10,365,877,000      10,919,748,000      12,353,546,000
04     Economic Affairs:
041    General Economic,Commercial & Labour Affairs:
0413   General Labour Affairs:
041310 Administration  :
ID1440 LABOUR WELFARE DEPARTMENT, ICT, ISLAMABAD
041310- A01    Employees Related Expenses                       4,180,000             4,180,000             4,922,000
041310- A011   Pay                      13     13            2,150,000             1,772,000             2,250,000
041310- A011-1 Pay of Officers                  (4)      (4)            (850,000)            (650,000)            (850,000)
041310- A011-2 Pay of Other Staff               (9)      (9)          (1,300,000)          (1,122,000)          (1,400,000)
041310- A012   Allowances                                           2,030,000             2,408,000             2,672,000
041310- A012-1  Regular Allowances                               (1,765,000)          (2,143,000)          (2,362,000)
041310- A012-2  Other Allowances (Excluding TA)                    (265,000)            (265,000)            (310,000)
041310- A03    Operating Expenses                                 791,000              791,000              739,000
041310- A034   Occupancy Costs                                     600,000              600,000              654,000
041310- A038    Travel & Transportation                                 93,000               93,000               19,000
041310- A039   General                                                98,000               98,000               66,000
        Total-  LABOUR WELFARE DEPARTMENT, ICT,          4,971,000           4,971,000           5,661,000
           ISLAMABAD
     041310   Total-  Administration                              4,971,000           4,971,000           5,661,000
     0413     Total-  General Labour Affairs                      4,971,000           4,971,000           5,661,000
     041      Total-  General Economic,Commercial &             4,971,000           4,971,000           5,661,000
                     Labour Affairs
042     Agriculture,Food,Irrigation,Forestry and Fishing:
0421   Agriculture:
042101 Administration/land commission  :
IB1086 ISLAMABAD FOOD AUTHORITY ICT

Page 818

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

042101- A01    Employees Related Expenses                       3,009,000             3,009,000             3,543,000
042101- A011   Pay                      28     28            2,359,000             2,359,000             2,848,000
042101- A011-1 Pay of Officers               (15)    (15)          (1,700,000)          (1,700,000)          (1,700,000)
042101- A011-2 Pay of Other Staff            (13)    (13)            (659,000)            (659,000)          (1,148,000)
042101- A012   Allowances                                           650,000              650,000              695,000
042101- A012-1  Regular Allowances                                (620,000)            (620,000)            (665,000)
042101- A012-2  Other Allowances (Excluding TA)                     (30,000)             (30,000)             (30,000)
042101- A03    Operating Expenses                                 655,000              655,000              611,000
042101- A032   Communications                                       80,000               80,000               75,000
042101- A033     Utilities                                                90,000               90,000               84,000
042101- A038    Travel & Transportation                               270,000              270,000              253,000
042101- A039   General                                              215,000              215,000              199,000
042101- A05    Grants, Subsidies and Write off Loans               100,000              100,000              100,000
042101- A052   Grants Domestic                                     100,000              100,000              100,000
042101- A09    Physical Assets                                      2,457,000             2,457,000             2,361,000
042101- A092   Computer Equipment                                 100,000              100,000               93,000
042101- A095   Purchase of Transport                                1,307,000             1,307,000             1,287,000
042101- A096   Purchase of Plant and Machinery                      700,000              700,000              654,000
042101- A097   Purchase of Furniture and Fixture                     350,000              350,000              327,000
042101- A12     Civil works                                           988,000              988,000              924,000
042101- A124    Building and Structures                               988,000              988,000              924,000
042101- A13    Repairs and Maintenance                            480,000              480,000              384,000
042101- A130    Transport                                            140,000              140,000              131,000
042101- A131   Machinery and Equipment                             200,000              200,000              122,000
042101- A132    Furniture and Fixture                                   50,000               50,000               47,000
042101- A137   Computer Equipment                                   90,000               90,000               84,000
        Total- ISLAMABAD FOOD AUTHORITY ICT               7,689,000           7,689,000           7,923,000
ID1441 AGRICULTURE DEPARTMENT ISLAMABAD
042101- A01    Employees Related Expenses                       7,615,000             7,615,000             8,967,000
042101- A011   Pay                      25     25            4,305,000             4,305,000             4,981,000
042101- A011-1 Pay of Officers               (24)      (1)            (755,000)            (755,000)            (970,000)
042101- A011-2 Pay of Other Staff               (1)    (24)          (3,550,000)          (3,550,000)          (4,011,000)
042101- A012   Allowances                                           3,310,000             3,310,000             3,986,000

Page 819

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

042101- A012-1  Regular Allowances                               (2,720,000)          (2,720,000)          (3,326,000)
042101- A012-2  Other Allowances (Excluding TA)                    (590,000)            (590,000)            (660,000)
042101- A03    Operating Expenses                                 2,120,000             2,120,000             2,315,000
042101- A032   Communications                                       70,000               70,000               83,000
042101- A033     Utilities                                               145,000              145,000              117,000
042101- A034   Occupancy Costs                                     710,000              710,000              786,000
042101- A038    Travel & Transportation                               690,000              690,000              859,000
042101- A039   General                                              505,000              505,000              470,000
042101- A04    Employees Retirement Benefits                      350,000              350,000               40,000
042101- A041   Pension                                              350,000              350,000               40,000
042101- A05    Grants, Subsidies and Write off Loans               130,000              130,000               90,000
042101- A052   Grants Domestic                                     130,000              130,000               90,000
042101- A13    Repairs and Maintenance                            321,000              321,000              289,000
042101- A130    Transport                                            106,000              106,000              131,000
042101- A131   Machinery and Equipment                              70,000               70,000               65,000
042101- A132    Furniture and Fixture                                   70,000               70,000               65,000
042101- A137   Computer Equipment                                   20,000               20,000               19,000
042101- A138   General                                                55,000               55,000                 9,000
        Total- AGRICULTURE DEPARTMENT                   10,536,000         10,536,000          11,701,000
           ISLAMABAD
ID1445 FOOD DEPARTMENT ISLAMABAD
042101- A01    Employees Related Expenses                       5,425,000             5,325,000             6,271,000
042101- A011   Pay                      16     16            3,305,000             3,205,000             3,286,000
042101- A011-1 Pay of Officers                  (4)      (3)          (1,010,000)          (1,010,000)          (1,010,000)
042101- A011-2 Pay of Other Staff            (12)    (13)          (2,295,000)          (2,195,000)          (2,276,000)
042101- A012   Allowances                                           2,120,000             2,120,000             2,985,000
042101- A012-1  Regular Allowances                               (1,730,000)          (1,730,000)          (2,685,000)
042101- A012-2  Other Allowances (Excluding TA)                    (390,000)            (390,000)            (300,000)
042101- A03    Operating Expenses                                 2,630,000             2,730,000             2,631,000
042101- A032   Communications                                     120,000              120,000               75,000
042101- A033     Utilities                                                20,000               20,000               19,000
042101- A034   Occupancy Costs                                     950,000             1,050,000             1,402,000
042101- A038    Travel & Transportation                               845,000              845,000              528,000

Page 820

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

042101- A039   General                                              695,000              695,000              607,000
042101- A04    Employees Retirement Benefits                      400,000              400,000              400,000
042101- A041   Pension                                              400,000              400,000              400,000
042101- A05    Grants, Subsidies and Write off Loans               192,000              192,000              100,000
042101- A052   Grants Domestic                                     192,000              192,000              100,000
042101- A09    Physical Assets                                      500,000              500,000              614,000
042101- A096   Purchase of Plant and Machinery                                                                280,000
042101- A097   Purchase of Furniture and Fixture                     500,000              500,000              334,000
042101- A13    Repairs and Maintenance                            320,000              320,000              160,000
042101- A130    Transport                                            210,000              210,000              122,000
042101- A131   Machinery and Equipment                                                                        19,000
042101- A132    Furniture and Fixture                                   60,000               60,000
042101- A137   Computer Equipment                                   50,000               50,000               19,000
        Total- FOOD DEPARTMENT ISLAMABAD                9,467,000           9,467,000          10,176,000
     042101   Total-  Administration/land commission             27,692,000         27,692,000         29,800,000
042103 agricultural research and extension ser  :
ID1456 OFFICE OF THE SOIL CONSERVATION ISLAMABAD
042103- A01    Employees Related Expenses                      11,088,000            11,088,000            12,057,000
042103- A011   Pay                      41     41            6,135,000             6,135,000             6,135,000
042103- A011-1 Pay of Officers                  (1)      (1)            (800,000)            (800,000)            (800,000)
042103- A011-2 Pay of Other Staff            (40)    (40)          (5,335,000)          (5,335,000)          (5,335,000)
042103- A012   Allowances                                           4,953,000             4,953,000             5,922,000
042103- A012-1  Regular Allowances                               (4,545,000)          (4,545,000)          (5,514,000)
042103- A012-2  Other Allowances (Excluding TA)                    (408,000)            (408,000)            (408,000)
042103- A03    Operating Expenses                                 6,720,000             6,720,000             6,841,000
042103- A032   Communications                                     110,000              110,000              102,000
042103- A033     Utilities                                               500,000              500,000              467,000
042103- A034   Occupancy Costs                                     1,720,000             1,720,000             1,889,000
042103- A038    Travel & Transportation                               2,510,000             2,510,000             2,627,000
042103- A039   General                                              1,880,000             1,880,000             1,756,000
042103- A04    Employees Retirement Benefits                      800,000              800,000              800,000
042103- A041   Pension                                              800,000              800,000              800,000
042103- A05    Grants, Subsidies and Write off Loans              3,400,000             3,400,000             3,400,000

Page 821

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

042103- A052   Grants Domestic                                     3,400,000             3,400,000             3,400,000
042103- A09    Physical Assets                                      1,150,000             1,150,000             1,075,000
042103- A096   Purchase of Plant and Machinery                     1,000,000             1,000,000              935,000
042103- A097   Purchase of Furniture and Fixture                     150,000              150,000              140,000
042103- A12     Civil works                                           3,998,000             3,998,000             2,476,000
042103- A124    Building and Structures                               3,998,000             3,998,000             2,476,000
042103- A13    Repairs and Maintenance                            1,960,000             1,960,000             2,534,000
042103- A130    Transport                                            350,000              350,000              561,000
042103- A131   Machinery and Equipment                            1,500,000             1,500,000             1,870,000
042103- A132    Furniture and Fixture                                   50,000               50,000               47,000
042103- A133    Buildings and Structure                                 10,000               10,000                 9,000
042103- A137   Computer Equipment                                   50,000               50,000               47,000
        Total- OFFICE OF THE SOIL CONSERVATION           29,116,000         29,116,000          29,183,000
           ISLAMABAD
ID6793 WATER MANAGEMENT DEPARTMENT, ICT ISLAMABAD
042103- A01    Employees Related Expenses                       8,946,000             8,946,000            10,535,000
042103- A011   Pay                      12     12            5,704,000             5,704,000             5,704,000
042103- A011-1 Pay of Officers                  (4)      (4)          (3,504,000)          (3,504,000)          (3,504,000)
042103- A011-2 Pay of Other Staff               (8)      (8)          (2,200,000)          (2,200,000)          (2,200,000)
042103- A012   Allowances                                           3,242,000             3,242,000             4,831,000
042103- A012-1  Regular Allowances                               (2,502,000)          (2,502,000)          (4,191,000)
042103- A012-2  Other Allowances (Excluding TA)                    (740,000)            (740,000)            (640,000)
042103- A03    Operating Expenses                                 2,382,000             2,382,000             2,269,000
042103- A032   Communications                                       56,000               56,000               23,000
042103- A033     Utilities                                               130,000              130,000               47,000
042103- A034   Occupancy Costs                                     1,500,000             1,500,000             1,723,000
042103- A038    Travel & Transportation                               527,000              527,000              393,000
042103- A039   General                                              169,000              169,000               83,000
042103- A05    Grants, Subsidies and Write off Loans               311,000              311,000              311,000
042103- A052   Grants Domestic                                     311,000              311,000              311,000
042103- A13    Repairs and Maintenance                            233,000              233,000              175,000
042103- A130    Transport                                            187,000              187,000              175,000
042103- A131   Machinery and Equipment                              14,000               14,000

Page 822

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

042103- A132    Furniture and Fixture                                   23,000               23,000
042103- A137   Computer Equipment                                    9,000                 9,000
        Total- WATER MANAGEMENT DEPARTMENT,          11,872,000         11,872,000          13,290,000
             ICT ISLAMABAD
     042103   Total-  agricultural research and extension          40,988,000         40,988,000         42,473,000
                       ser
042106 animal husbandry  :
ID1454 OFFICE OF THE ASSISTANT DIRECTOR LIVESTOCK AND DAIRY DEVELOPMENT ISLAMABAD
042106- A01    Employees Related Expenses                      17,336,000            17,336,000            17,415,000
042106- A011   Pay                      46     46            9,793,000             9,793,000             8,700,000
042106- A011-1 Pay of Officers                  (5)      (3)          (2,050,000)          (2,050,000)          (1,500,000)
042106- A011-2 Pay of Other Staff            (41)    (43)          (7,743,000)          (7,743,000)          (7,200,000)
042106- A012   Allowances                                           7,543,000             7,543,000             8,715,000
042106- A012-1  Regular Allowances                               (6,343,000)          (6,343,000)          (7,915,000)
042106- A012-2  Other Allowances (Excluding TA)                  (1,200,000)          (1,200,000)            (800,000)
042106- A03    Operating Expenses                                 2,252,000             2,252,000             3,270,000
042106- A032   Communications                                       47,000               47,000               93,000
042106- A033     Utilities                                                46,000               46,000               93,000
042106- A034   Occupancy Costs                                     1,474,000             1,474,000             1,496,000
042106- A038    Travel & Transportation                               205,000              205,000              934,000
042106- A039   General                                              480,000              480,000              654,000
042106- A04    Employees Retirement Benefits                      450,000              450,000              900,000
042106- A041   Pension                                              450,000              450,000              900,000
042106- A05    Grants, Subsidies and Write off Loans              1,730,000             1,730,000                 1,000
042106- A052   Grants Domestic                                     1,730,000             1,730,000                 1,000
042106- A13    Repairs and Maintenance                            200,000              200,000              216,000
042106- A130    Transport                                            182,000              182,000              122,000
042106- A131   Machinery and Equipment                                9,000                 9,000               47,000
042106- A132    Furniture and Fixture                                     9,000                 9,000               47,000
        Total- OFFICE OF THE ASSISTANT DIRECTOR          21,968,000         21,968,000          21,802,000
           LIVESTOCK AND DAIRY DEVELOPMENT
           ISLAMABAD
     042106   Total-  animal husbandry                         21,968,000         21,968,000         21,802,000
     0421     Total-  Agriculture                               90,648,000         90,648,000         94,075,000

Page 823

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

0424   Forestry:
042402 Administration  :
IB0821 FOREST AND AGRICULTURE DIRECTORATE ICT
042402- A01    Employees Related Expenses                       1,650,000             1,650,000             1,943,000
042402- A011   Pay                      30     30             770,000              770,000              840,000
042402- A011-1 Pay of Officers                  (5)      (5)            (320,000)            (320,000)            (380,000)
042402- A011-2 Pay of Other Staff            (25)    (25)            (450,000)            (450,000)            (460,000)
042402- A012   Allowances                                           880,000              880,000             1,103,000
042402- A012-1  Regular Allowances                                (830,000)            (830,000)          (1,053,000)
042402- A012-2  Other Allowances (Excluding TA)                     (50,000)             (50,000)             (50,000)
042402- A03    Operating Expenses                                 559,000              559,000              518,000
042402- A032   Communications                                       32,000               32,000               29,000
042402- A033     Utilities                                                61,000               61,000               57,000
042402- A034   Occupancy Costs                                      30,000               30,000               27,000
042402- A038    Travel & Transportation                               173,000              173,000              161,000
042402- A039   General                                              263,000              263,000              244,000
042402- A04    Employees Retirement Benefits                       20,000               20,000               20,000
042402- A041   Pension                                               20,000               20,000               20,000
042402- A05    Grants, Subsidies and Write off Loans                60,000               60,000               60,000
042402- A052   Grants Domestic                                       60,000               60,000               60,000
042402- A09    Physical Assets                                      180,000              180,000              166,000
042402- A092   Computer Equipment                                   30,000               30,000               27,000
042402- A095   Purchase of Transport                                  10,000               10,000                 9,000
042402- A096   Purchase of Plant and Machinery                       40,000               40,000               37,000
042402- A097   Purchase of Furniture and Fixture                     100,000              100,000               93,000
042402- A13    Repairs and Maintenance                              70,000               70,000               65,000
042402- A130    Transport                                              20,000               20,000               19,000
042402- A131   Machinery and Equipment                              20,000               20,000               19,000
042402- A132    Furniture and Fixture                                   10,000               10,000                 9,000
042402- A137   Computer Equipment                                   20,000               20,000               18,000
        Total- FOREST AND AGRICULTURE                     2,539,000           2,539,000           2,772,000
           DIRECTORATE ICT
     042402   Total-  Administration                              2,539,000           2,539,000           2,772,000
     0424     Total-  Forestry                                   2,539,000           2,539,000           2,772,000

Page 824

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

0425   Fishing:
042501 Administration  :
ID1448 FISHERIES DEPARTMENT ISLAMABAD
042501- A01    Employees Related Expenses                      12,096,000            15,031,000            13,244,000
042501- A011   Pay                      40     40            7,390,000             6,808,000             6,250,000
042501- A011-1 Pay of Officers                  (2)      (2)          (1,720,000)          (1,828,000)          (1,637,000)
042501- A011-2 Pay of Other Staff            (38)    (38)          (5,670,000)          (4,980,000)          (4,613,000)
042501- A012   Allowances                                           4,706,000             8,223,000             6,994,000
042501- A012-1  Regular Allowances                               (3,506,000)          (6,447,000)          (5,794,000)
042501- A012-2  Other Allowances (Excluding TA)                  (1,200,000)          (1,776,000)          (1,200,000)
042501- A03    Operating Expenses                                 3,264,000             4,604,000             4,214,000
042501- A032   Communications                                     100,000              100,000              187,000
042501- A033     Utilities                                               250,000              620,000              542,000
042501- A034   Occupancy Costs                                     1,244,000             2,356,000             1,920,000
042501- A038    Travel & Transportation                               1,305,000             1,019,000             1,262,000
042501- A039   General                                              365,000              509,000              303,000
042501- A04    Employees Retirement Benefits                      252,000              795,000             1,151,000
042501- A041   Pension                                              252,000              795,000             1,151,000
042501- A05    Grants, Subsidies and Write off Loans                20,000               14,000               20,000
042501- A052   Grants Domestic                                       20,000               14,000               20,000
042501- A09    Physical Assets                                      1,960,000              424,000              185,000
042501- A092   Computer Equipment                                 310,000              204,000               56,000
042501- A096   Purchase of Plant and Machinery                      800,000              190,000               93,000
042501- A097   Purchase of Furniture and Fixture                     700,000               10,000                 9,000
042501- A098   Purchase of Other Assets                             150,000               20,000               27,000
042501- A13    Repairs and Maintenance                            1,750,000             1,409,000             1,276,000
042501- A130    Transport                                            400,000              530,000              187,000
042501- A131   Machinery and Equipment                              50,000               50,000               47,000
042501- A132    Furniture and Fixture                                   50,000               50,000               93,000
042501- A133    Buildings and Structure                               600,000              364,000              111,000
042501- A137   Computer Equipment                                   50,000               50,000               47,000
042501- A138   General                                              600,000              365,000              791,000
       Total- FISHERIES DEPARTMENT ISLAMABAD          19,342,000         22,277,000          20,090,000

Page 825

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

     042501   Total-  Administration                            19,342,000         22,277,000         20,090,000
     0425     Total-  Fishing                                  19,342,000         22,277,000         20,090,000
     042      Total-  Agriculture,Food,Irrigation,Forestry         112,529,000        115,464,000        116,937,000
                   and Fishing
044    Mining and Manufacturing:
0443   Administration:
044301 Administration  :
ID1453 INDUSTRIAL AND MINERAL DEVELOPMENT DEPAR TMENT ISLAMABAD
044301- A01    Employees Related Expenses                       4,064,000             4,064,000             4,786,000
044301- A011   Pay                       7      7            2,247,000             2,247,000             2,530,000
044301- A011-1 Pay of Officers                  (1)      (1)            (947,000)            (947,000)            (980,000)
044301- A011-2 Pay of Other Staff               (6)      (6)          (1,300,000)          (1,300,000)          (1,550,000)
044301- A012   Allowances                                           1,817,000             1,817,000             2,256,000
044301- A012-1  Regular Allowances                               (1,487,000)          (1,487,000)          (1,780,000)
044301- A012-2  Other Allowances (Excluding TA)                    (330,000)            (330,000)            (476,000)
044301- A03    Operating Expenses                                 1,490,000             1,490,000             1,570,000
044301- A032   Communications                                     200,000              200,000               56,000
044301- A034   Occupancy Costs                                     500,000              500,000              654,000
044301- A038    Travel & Transportation                               120,000              120,000               93,000
044301- A039   General                                              670,000              670,000              767,000
044301- A04    Employees Retirement Benefits                                                                  10,000
044301- A041   Pension                                                                                          10,000
044301- A05    Grants, Subsidies and Write off Loans               250,000              250,000               40,000
044301- A052   Grants Domestic                                     250,000              250,000               40,000
044301- A06    Transfers                                                                                        10,000
044301- A063    Entertainment & Gifts                                                                             10,000
        Total- INDUSTRIAL AND MINERAL                       5,804,000           5,804,000           6,416,000
          DEVELOPMENT DEPAR TMENT
           ISLAMABAD
     044301   Total-  Administration                              5,804,000           5,804,000           6,416,000
     0443     Total-  Administration                              5,804,000           5,804,000           6,416,000
     044      Total-  Mining and Manufacturing                   5,804,000           5,804,000           6,416,000
     04        Total-  Economic Affairs                        123,304,000        126,239,000        129,014,000

Page 826

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

06     Housing And Community Amenities:
062    Community Development:
0622   Rural Development:
062203 integrated rural development programme  :
ID1450 BHARA KAU MARKAZ ISLAMABAD
062203- A01    Employees Related Expenses                       2,688,000             3,281,000             6,527,000
062203- A011   Pay                       7      7            1,536,000             1,871,000             1,860,000
062203- A011-1 Pay of Officers                  (1)      (1)            (620,000)            (820,000)            (835,000)
062203- A011-2 Pay of Other Staff               (6)      (6)            (916,000)          (1,051,000)          (1,025,000)
062203- A012   Allowances                                           1,152,000             1,410,000             4,667,000
062203- A012-1  Regular Allowances                                (852,000)          (1,260,000)          (2,767,000)
062203- A012-2  Other Allowances (Excluding TA)                    (300,000)            (150,000)          (1,900,000)
062203- A03    Operating Expenses                                 866,000              866,000             1,253,000
062203- A033     Utilities                                                20,000               20,000               84,000
062203- A034   Occupancy Costs                                     486,000              486,000              477,000
062203- A038    Travel & Transportation                               320,000              320,000              654,000
062203- A039   General                                                40,000               40,000               38,000
062203- A04    Employees Retirement Benefits                       15,000               15,000             1,000,000
062203- A041   Pension                                               15,000               15,000             1,000,000
062203- A05    Grants, Subsidies and Write off Loans               860,000              860,000               70,000
062203- A052   Grants Domestic                                     860,000              860,000               70,000
062203- A13    Repairs and Maintenance                              94,000               94,000              692,000
062203- A130    Transport                                              30,000               30,000              140,000
062203- A132    Furniture and Fixture                                   30,000               30,000              234,000
062203- A133    Buildings and Structure                                 34,000               34,000              318,000
        Total- BHARA KAU MARKAZ ISLAMABAD               4,523,000           5,116,000           9,542,000
ID1451 SIHALA MARKAZ ISLAMABAD
062203- A01    Employees Related Expenses                       2,657,000             3,467,000             3,476,000
062203- A011   Pay                       8      8            1,382,000             1,692,000             1,672,000
062203- A011-1 Pay of Officers                  (1)      (1)            (420,000)            (420,000)            (530,000)
062203- A011-2 Pay of Other Staff               (7)      (7)            (962,000)          (1,272,000)          (1,142,000)
062203- A012   Allowances                                           1,275,000             1,775,000             1,804,000
062203- A012-1  Regular Allowances                               (1,075,000)          (1,575,000)          (1,457,000)

Page 827

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

062203- A012-2  Other Allowances (Excluding TA)                    (200,000)            (200,000)            (347,000)
062203- A03    Operating Expenses                                 555,000              555,000             1,388,000
062203- A033     Utilities                                                10,000               10,000               47,000
062203- A034   Occupancy Costs                                     400,000              400,000              561,000
062203- A038    Travel & Transportation                               105,000              105,000              650,000
062203- A039   General                                                40,000               40,000              130,000
062203- A04    Employees Retirement Benefits                       15,000               15,000               15,000
062203- A041   Pension                                               15,000               15,000               15,000
062203- A05    Grants, Subsidies and Write off Loans                70,000               70,000               70,000
062203- A052   Grants Domestic                                       70,000               70,000               70,000
062203- A13    Repairs and Maintenance                              31,000               31,000              186,000
062203- A132    Furniture and Fixture                                   15,000               15,000               93,000
062203- A133    Buildings and Structure                                 16,000               16,000               93,000
        Total- SIHALA MARKAZ ISLAMABAD                    3,328,000           4,138,000           5,135,000
ID1452 TARLAI MARKAZ ISLAMABAD
062203- A01    Employees Related Expenses                       5,091,000             5,184,000             6,557,000
062203- A011   Pay                      11     11            3,014,000             3,014,000             3,250,000
062203- A011-1 Pay of Officers                  (3)      (3)          (1,139,000)          (1,139,000)          (1,275,000)
062203- A011-2 Pay of Other Staff               (8)      (8)          (1,875,000)          (1,875,000)          (1,975,000)
062203- A012   Allowances                                           2,077,000             2,170,000             3,307,000
062203- A012-1  Regular Allowances                               (1,797,000)          (1,890,000)          (2,927,000)
062203- A012-2  Other Allowances (Excluding TA)                    (280,000)            (280,000)            (380,000)
062203- A03    Operating Expenses                                 440,000              440,000             1,637,000
062203- A033     Utilities                                                30,000               30,000               61,000
062203- A034   Occupancy Costs                                     260,000              260,000              290,000
062203- A038    Travel & Transportation                               110,000              110,000              505,000
062203- A039   General                                                40,000               40,000              781,000
062203- A04    Employees Retirement Benefits                      270,000              270,000             1,000,000
062203- A041   Pension                                              270,000              270,000             1,000,000
062203- A05    Grants, Subsidies and Write off Loans                95,000              104,000              105,000
062203- A052   Grants Domestic                                       95,000              104,000              105,000
062203- A13    Repairs and Maintenance                            103,000              103,000              183,000
062203- A130    Transport                                              65,000               65,000               61,000

Page 828

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

062203- A132    Furniture and Fixture                                   19,000               19,000               75,000
062203- A133    Buildings and Structure                                 19,000               19,000               47,000
        Total- TARLAI MARKAZ ISLAMABAD                    5,999,000           6,101,000           9,482,000
     062203   Total-  integrated rural development               13,850,000         15,355,000         24,159,000
                   programme
     0622     Total-  Rural Development                        13,850,000         15,355,000         24,159,000
     062      Total-  Community Development                  13,850,000         15,355,000         24,159,000
     06        Total-  Housing And Community Amenities         13,850,000         15,355,000         24,159,000
08     Recreation, Culture and Religion:
084    Religious Affairs:
0841   Religious Affairs:
084103 Auqaf  :
ID1459 DIRECTORATE OF AUQAF ISLAMABAD
084103- A01    Employees Related Expenses                      65,596,000            65,596,000            66,246,000
084103- A011   Pay                     193    193           39,966,000            39,966,000            33,170,000
084103- A011-1 Pay of Officers                  (5)      (5)          (1,800,000)          (1,800,000)          (1,100,000)
084103- A011-2 Pay of Other Staff          (188)   (188)         (38,166,000)         (38,166,000)         (32,070,000)
084103- A012   Allowances                                         25,630,000            25,630,000            33,076,000
084103- A012-1  Regular Allowances                             (21,980,000)         (21,980,000)         (30,066,000)
084103- A012-2  Other Allowances (Excluding TA)                  (3,650,000)          (3,650,000)          (3,010,000)
084103- A03    Operating Expenses                               18,353,000            18,353,000            21,026,000
084103- A032   Communications                                       95,000               95,000               98,000
084103- A033     Utilities                                             14,505,000            14,505,000            16,982,000
084103- A034   Occupancy Costs                                     2,500,000             2,500,000             2,618,000
084103- A038    Travel & Transportation                               450,000              450,000              513,000
084103- A039   General                                              803,000              803,000              815,000
084103- A04    Employees Retirement Benefits                     2,600,000             2,600,000             2,700,000
084103- A041   Pension                                              2,600,000             2,600,000             2,700,000
084103- A05    Grants, Subsidies and Write off Loans              6,300,000             7,900,000             3,800,000
084103- A052   Grants Domestic                                     6,300,000             7,900,000             3,800,000
084103- A09    Physical Assets                                      500,000              500,000              205,000
084103- A092   Computer Equipment                                 250,000              250,000               56,000
084103- A095   Purchase of Transport                                150,000              150,000                 9,000
084103- A096   Purchase of Plant and Machinery                       50,000               50,000               93,000

Page 829

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

084103- A097   Purchase of Furniture and Fixture                       50,000               50,000               47,000
084103- A12     Civil works                                           1,600,000                                   467,000
084103- A124    Building and Structures                               1,600,000                                   467,000
084103- A13    Repairs and Maintenance                            560,000              560,000              186,000
084103- A130    Transport                                              40,000               40,000               37,000
084103- A131   Machinery and Equipment                              25,000               25,000               19,000
084103- A132    Furniture and Fixture                                   30,000               30,000               19,000
084103- A133    Buildings and Structure                               445,000              445,000               93,000
084103- A137   Computer Equipment                                   20,000               20,000               18,000
        Total- DIRECTORATE OF AUQAF ISLAMABAD          95,509,000         95,509,000          94,630,000
     084103   Total-  Auqaf                                    95,509,000         95,509,000         94,630,000
084105 Religious and other charitable institut  :
ID1431 DISTRICT ZAKAT & USHR COMMITTEE ISLAMABA D
084105- A01    Employees Related Expenses                       3,642,000             3,642,000             4,289,000
084105- A011   Pay                       9      9            2,000,000             2,000,000             2,150,000
084105- A011-1 Pay of Officers                  (2)      (2)            (700,000)            (700,000)            (750,000)
084105- A011-2 Pay of Other Staff               (7)      (7)          (1,300,000)          (1,300,000)          (1,400,000)
084105- A012   Allowances                                           1,642,000             1,642,000             2,139,000
084105- A012-1  Regular Allowances                               (1,447,000)          (1,447,000)          (1,739,000)
084105- A012-2  Other Allowances (Excluding TA)                    (195,000)            (195,000)            (400,000)
084105- A03    Operating Expenses                                 3,625,000             3,625,000             2,577,000
084105- A032   Communications                                     130,000              130,000               56,000
084105- A033     Utilities                                               150,000              150,000               27,000
084105- A034   Occupancy Costs                                     2,230,000             2,230,000             1,412,000
084105- A038    Travel & Transportation                               785,000              785,000              841,000
084105- A039   General                                              330,000              330,000              241,000
084105- A05    Grants, Subsidies and Write off Loans               800,000              800,000             2,000,000
084105- A052   Grants Domestic                                     800,000              800,000             2,000,000
084105- A09    Physical Assets                                      200,000              200,000               56,000
084105- A096   Purchase of Plant and Machinery                       50,000               50,000               28,000
084105- A097   Purchase of Furniture and Fixture                     150,000              150,000               28,000
084105- A13    Repairs and Maintenance                            335,000              335,000              131,000

Page 830

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

084105- A130    Transport                                            270,000              270,000               47,000
084105- A131   Machinery and Equipment                              30,000               30,000               28,000
084105- A132    Furniture and Fixture                                   10,000               10,000                 9,000
084105- A133    Buildings and Structure                                 25,000               25,000               19,000
084105- A137   Computer Equipment                                                                             28,000
        Total- DISTRICT ZAKAT & USHR COMMITTEE            8,602,000           8,602,000           9,053,000
           ISLAMABA D
     084105   Total-  Religious and other charitable                8,602,000           8,602,000           9,053,000
                             institut
     0841     Total-  Religious Affairs                         104,111,000        104,111,000        103,683,000
     084      Total-  Religious Affairs                         104,111,000        104,111,000        103,683,000
     08        Total-  Recreation, Culture and Religion           104,111,000        104,111,000        103,683,000
09     Education Affairs and Services:
096    Administration:
0961   Administration:
096101 Secretariat/Policy/Curriculum  :
IB5125 DEPARTMENT OF LIBRARIES ISLAMABAD
096101- A01    Employees Related Expenses                      46,906,000            46,906,000            47,237,000
096101- A011   Pay                     103    103           26,412,000            26,412,000            22,060,000
096101- A011-1 Pay of Officers               (29)    (29)         (12,210,000)         (12,210,000)         (11,110,000)
096101- A011-2 Pay of Other Staff            (74)    (74)         (14,202,000)         (14,202,000)         (10,950,000)
096101- A012   Allowances                                         20,494,000            20,494,000            25,177,000
096101- A012-1  Regular Allowances                             (18,244,000)         (18,244,000)         (23,177,000)
096101- A012-2  Other Allowances (Excluding TA)                  (2,250,000)          (2,250,000)          (2,000,000)
096101- A03    Operating Expenses                               10,115,000            10,115,000             8,905,000
096101- A032   Communications                                     1,070,000             1,070,000              860,000
096101- A033     Utilities                                               960,000              960,000              943,000
096101- A034   Occupancy Costs                                     4,600,000             4,600,000             4,675,000
096101- A038    Travel & Transportation                               705,000              705,000              439,000
096101- A039   General                                              2,780,000             2,780,000             1,988,000
096101- A04    Employees Retirement Benefits                     1,300,000             1,300,000             2,300,000
096101- A041   Pension                                              1,300,000             1,300,000             2,300,000
096101- A05    Grants, Subsidies and Write off Loans               150,000              150,000              100,000
096101- A052   Grants Domestic                                     150,000              150,000              100,000

Page 831

NO. 059.- FC21J04 ISLAMABAD CAPITAL TERRITORY (ICT)                     DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

096101- A09    Physical Assets                                      1,713,000             1,713,000             1,300,000
096101- A092   Computer Equipment                                   80,000               80,000               93,000
096101- A096   Purchase of Plant and Machinery                      550,000              550,000              234,000
096101- A097   Purchase of Furniture and Fixture                     1,083,000             1,083,000              973,000
096101- A13    Repairs and Maintenance                            813,000              813,000              719,000
096101- A130    Transport                                              60,000               60,000               47,000
096101- A131   Machinery and Equipment                              60,000               60,000               47,000
096101- A132    Furniture and Fixture                                  100,000              100,000               65,000
096101- A133    Buildings and Structure                               500,000              500,000              467,000
096101- A137   Computer Equipment                                   93,000               93,000               93,000
        Total- DEPARTMENT OF LIBRARIES                   60,997,000         60,997,000          60,561,000
           ISLAMABAD
     096101   Total-  Secretariat/Policy/Curriculum               60,997,000         60,997,000         60,561,000
     0961     Total-  Administration                            60,997,000         60,997,000         60,561,000
     096      Total-  Administration                            60,997,000         60,997,000         60,561,000
     09        Total-  Education Affairs and Services              60,997,000         60,997,000         60,561,000
               Total- ACCOUNTANT GENERAL                11,430,000,000        12,401,010,000        13,978,592,000
                PAKISTAN REVENUES
          TOTAL - DEMAND                           11,430,000,000      12,401,010,000      13,978,592,000

Page 832

NO. 060.- COMBINED CIVIL ARMED FORCES                               DEMANDS FOR GRANTS
                                DEMAND NO. 060
                                                                            ( FC21C07 )
                             COMBINED CIVIL ARMED FORCES

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2023 to defray the Salaries and Other
Expenses of the COMBINED CIVIL ARMED FORCES.

                                Voted           Rs. 162,669,539,000

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

                                                           2021-2022         2021-2022         2022-2023
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
032    Police                                                   136,377,566,000       147,803,533,000       159,753,797,000
036    Administration Of Public Order                                                                          2,477,457,000
045    Construction and Transport                                  388,119,000          388,119,000          383,350,000
074    Public Health Services                                        61,315,000            42,010,000            54,935,000
               Total                                            136,827,000,000       148,233,662,000       162,669,539,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                       98,279,547,000    111,370,974,000    111,942,770,000
A011  Pay                                                       46,050,286,000        50,078,152,000        48,857,540,000
A011-1 Pay of Officers                                              (2,313,980,000)        (2,494,785,000)        (2,574,374,000)
A011-2 Pay of Other Staff                                          (43,736,306,000)       (47,583,367,000)       (46,283,166,000)
A012  Allowances                                               52,229,261,000        61,292,822,000        63,085,230,000
A012-1 Regular Allowances                                       (45,929,553,000)       (54,829,242,000)       (56,598,063,000)
A012-2 Other Allowances (Excluding TA)                           (6,299,708,000)        (6,463,580,000)        (6,487,167,000)
A03   Operating Expenses                                30,537,413,000      28,868,560,000      38,540,007,000
A04   Employees Retirement Benefits                        166,531,000        127,236,000        192,331,000
A05   Grants, Subsidies and Write off Loans                  939,294,000       1,549,422,000       1,844,301,000
A06   Transfers                                                7,926,000           5,816,000         22,480,000
A09   Physical Assets                                      5,330,763,000       4,952,335,000       7,740,793,000
A12    Civil works                                           331,840,000        331,840,000        314,376,000
A13   Repairs and Maintenance                             1,233,686,000       1,027,479,000       2,072,481,000
               Total                                      136,827,000,000    148,233,662,000    162,669,539,000

Page 833

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2021-2022         2021-2022       2022-2023
                                       2021-22 2022-23       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES
03     Public Order And Safety Affairs:
032     Police:
0321   Police:
032106 Frontier Watch and Ward  :
IB4211 DISTRICT OFFICER FRONTIER CONSTABULARY ISLAMABAD
032106- A01    Employees Related Expenses                    351,295,000          340,333,000          357,695,000
032106- A011   Pay                     738    700          144,520,000          140,855,000          143,020,000
032106- A011-1 Pay of Officers                  (7)      (4)          (4,510,000)          (2,933,000)          (3,010,000)
032106- A011-2 Pay of Other Staff          (731)   (696)       (140,010,000)       (137,922,000)       (140,010,000)
032106- A012   Allowances                                        206,775,000          199,478,000          214,675,000
032106- A012-1  Regular Allowances                            (206,330,000)       (199,208,000)       (214,125,000)
032106- A012-2  Other Allowances (Excluding TA)                    (445,000)            (270,000)            (550,000)
032106- A03    Operating Expenses                                 8,947,000            11,341,000            10,753,000
032106- A032   Communications                                     428,000              618,000              444,000
032106- A033     Utilities                                               3,540,000             5,341,000             4,628,000
032106- A038    Travel & Transportation                               3,778,000             4,316,000             4,357,000
032106- A039   General                                              1,201,000             1,066,000             1,324,000
032106- A04    Employees Retirement Benefits                       10,000                                     10,000
032106- A041   Pension                                               10,000                                     10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000              150,000               20,000
032106- A052   Grants Domestic                                       20,000              150,000               20,000
032106- A06    Transfers                                            120,000               65,000              120,000
032106- A061    Scholarship                                          120,000               65,000              120,000
032106- A09    Physical Assets                                       20,000               20,000              112,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               75,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A13    Repairs and Maintenance                            964,000              953,000              935,000
032106- A130    Transport                                            640,000              640,000              561,000
032106- A131   Machinery and Equipment                             140,000              140,000              187,000
032106- A132    Furniture and Fixture                                   80,000               80,000               75,000
032106- A137   Computer Equipment                                   24,000               27,000               19,000
032106- A138   General                                                80,000               66,000               93,000
        Total- DISTRICT OFFICER FRONTIER                 361,376,000        352,862,000        369,645,000
          CONSTABULARY ISLAMABAD

Page 834

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

     032106   Total-  Frontier Watch and Ward                 361,376,000        352,862,000        369,645,000
     0321     Total-  Police                                  361,376,000        352,862,000        369,645,000
     032      Total-  Police                                  361,376,000        352,862,000        369,645,000
036    Administration Of Public Order:
0361   Administration:
036101 Secretariat / Administration  :
IB5151 FINANCE AND ACCOUNT WING MOI-IV
036101- A03    Operating Expenses                                                                         1,139,631,000
036101- A034   Occupancy Costs                                                                             1,139,631,000
036101- A09    Physical Assets                                                                             867,109,000
036101- A098   Purchase of Other Assets                                                                     867,109,000
036101- A13    Repairs and Maintenance                                                                    470,717,000
036101- A130    Transport                                                                                    247,994,000
036101- A131   Machinery and Equipment                                                                    123,873,000
036101- A137   Computer Equipment                                                                           98,850,000
        Total- FINANCE AND ACCOUNT WING MOI-IV                                                2,477,457,000
     036101   Total-  Secretariat / Administration                                                      2,477,457,000
     0361     Total-  Administration                                                                  2,477,457,000
     036      Total-  Administration Of Public Order                                                   2,477,457,000
     03        Total-  Public Order And Safety Affairs            361,376,000        352,862,000       2,847,102,000
               Total- ACCOUNTANT GENERAL                  361,376,000          352,862,000         2,847,102,000
                PAKISTAN REVENUES

Page 835

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

03     Public Order And Safety Affairs:
032     Police:
0321   Police:
032105 Provincial Border Forces  :
LO1531 HQ PAKISTAN RANGERS (PUNJAB).
032105- A01    Employees Related Expenses                  12,236,199,000        12,404,005,000        12,424,005,000
032105- A011   Pay                                               5,548,606,000         5,373,156,000         5,336,219,000
032105- A011-1 Pay of Officers                                 (381,414,000)       (378,925,000)       (380,796,000)
032105- A011-2 Pay of Other Staff                            (5,167,192,000)      (4,994,231,000)      (4,955,423,000)
032105- A012   Allowances                                       6,687,593,000         7,030,849,000         7,087,786,000
032105- A012-1  Regular Allowances                          (6,628,482,000)      (6,962,584,000)      (7,004,580,000)
032105- A012-2  Other Allowances (Excluding TA)                 (59,111,000)         (68,265,000)         (83,206,000)
032105- A03    Operating Expenses                              952,806,000         1,277,038,000         1,390,882,000
032105- A032   Communications                                    15,800,000            15,546,000            15,564,000
032105- A033     Utilities                                            225,550,000          389,425,000          297,377,000
032105- A034   Occupancy Costs                                   15,200,000            13,140,000            18,887,000
032105- A038    Travel & Transportation                            354,906,000          520,222,000          556,511,000
032105- A039   General                                           341,350,000          338,705,000          502,543,000
032105- A04    Employees Retirement Benefits                    37,500,000            37,500,000            49,000,000
032105- A041   Pension                                            37,500,000            37,500,000            49,000,000
032105- A05    Grants, Subsidies and Write off Loans            126,000,000          155,899,000          168,000,000
032105- A052   Grants Domestic                                  126,000,000          155,899,000          168,000,000
032105- A09    Physical Assets                                   258,768,000          247,467,000          365,367,000
032105- A092   Computer Equipment                                 2,000,000             1,600,000             1,496,000
032105- A094   Other Stores and Stocks                            55,000,000            45,000,000            84,150,000
032105- A096   Purchase of Plant and Machinery                    31,368,000            31,367,000            84,617,000
032105- A097   Purchase of Furniture and Fixture                     3,800,000             2,900,000             2,805,000
032105- A098   Purchase of Other Assets                          166,600,000          166,600,000          192,299,000
032105- A13    Repairs and Maintenance                          80,850,000            77,790,000            85,449,000
032105- A130    Transport                                           74,650,000            74,650,000            76,857,000
032105- A131   Machinery and Equipment                            3,500,000             1,500,000             7,106,000
032105- A132    Furniture and Fixture                                  500,000                                   467,000

Page 836

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

032105- A137   Computer Equipment                                 2,200,000             1,640,000             1,019,000
        Total- HQ PAKISTAN RANGERS (PUNJAB).         13,692,123,000      14,199,699,000      14,482,703,000
     032105   Total-  Provincial Border Forces               13,692,123,000      14,199,699,000      14,482,703,000
     0321     Total-  Police                                13,692,123,000      14,199,699,000      14,482,703,000
     032      Total-  Police                                13,692,123,000      14,199,699,000      14,482,703,000
     03        Total-  Public Order And Safety Affairs         13,692,123,000      14,199,699,000      14,482,703,000
               Total- ACCOUNTANT GENERAL                13,692,123,000        14,199,699,000        14,482,703,000
                PAKISTAN REVENUES
                  SUB-OFFICE, LAHORE

Page 837

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

03     Public Order And Safety Affairs:
032     Police:
0321   Police:
032106 Frontier Watch and Ward  :
BJ0013 FRONTIER CORPS
032106- A01    Employees Related Expenses                   1,876,640,000         2,191,791,000         2,435,661,000
032106- A011   Pay                                               1,020,144,000         1,020,144,000         1,210,711,000
032106- A011-1 Pay of Officers                                  (39,338,000)         (39,338,000)         (39,781,000)
032106- A011-2 Pay of Other Staff                              (980,806,000)       (980,806,000)      (1,170,930,000)
032106- A012   Allowances                                        856,496,000         1,171,647,000         1,224,950,000
032106- A012-1  Regular Allowances                            (854,381,000)       (854,381,000)      (1,222,835,000)
032106- A012-2  Other Allowances (Excluding TA)                  (2,115,000)       (317,266,000)          (2,115,000)
032106- A03    Operating Expenses                              733,431,000          762,817,000          779,617,000
032106- A032   Communications                                     417,000              617,000              395,000
032106- A033     Utilities                                             20,955,000            36,055,000            24,268,000
032106- A034   Occupancy Costs                                     1,100,000             1,100,000             1,870,000
032106- A038    Travel & Transportation                             49,689,000            63,775,000            54,499,000
032106- A039   General                                           661,270,000          661,270,000          698,585,000
032106- A05    Grants, Subsidies and Write off Loans              3,513,000             8,313,000             4,373,000
032106- A052   Grants Domestic                                     3,513,000             8,313,000             4,373,000
032106- A13    Repairs and Maintenance                            1,909,000             1,909,000             2,351,000
032106- A130    Transport                                             1,580,000             1,580,000             1,920,000
032106- A131   Machinery and Equipment                             329,000              329,000              431,000
        Total- FRONTIER CORPS                            2,615,493,000       2,964,830,000       3,222,002,000
BU0232 DOFC DARYOBA (FOLLOWER)
032106- A01    Employees Related Expenses                    496,812,000          503,609,000          505,450,000
032106- A011   Pay                    1130   1065          201,523,000          203,227,000          203,420,000
032106- A011-1 Pay of Officers                  (1)      (2)          (1,513,000)            (687,000)          (1,410,000)
032106- A011-2 Pay of Other Staff         (1129) (1063)       (200,010,000)       (202,540,000)       (202,010,000)
032106- A012   Allowances                                        295,289,000          300,382,000          302,030,000
032106- A012-1  Regular Allowances                            (294,944,000)       (299,427,000)       (301,580,000)
032106- A012-2  Other Allowances (Excluding TA)                    (345,000)            (955,000)            (450,000)
032106- A03    Operating Expenses                                 4,987,000             6,047,000             5,482,000

Page 838

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A032   Communications                                     138,000              158,000              136,000
032106- A033     Utilities                                               1,300,000             1,540,000             1,337,000
032106- A038    Travel & Transportation                               2,338,000             3,138,000             2,712,000
032106- A039   General                                              1,211,000             1,211,000             1,297,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             1,167,000               20,000
032106- A052   Grants Domestic                                       20,000             1,167,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       30,000               30,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            840,000              845,000              766,000
032106- A130    Transport                                            560,000              560,000              467,000
032106- A131   Machinery and Equipment                             120,000              120,000              140,000
032106- A132    Furniture and Fixture                                   70,000               70,000               75,000
032106- A137   Computer Equipment                                   20,000               25,000               19,000
032106- A138   General                                                70,000               70,000               65,000
        Total- DOFC DARYOBA (FOLLOWER)                 502,819,000        511,828,000        511,950,000
BU0233 DOFC BANNU (FORCE)
032106- A01    Employees Related Expenses                    899,275,000          901,712,000          906,450,000
032106- A011   Pay                    1986   1866          371,560,000          367,017,000          364,620,000
032106- A011-1 Pay of Officers                  (2)      (2)          (1,550,000)          (1,295,000)          (1,610,000)
032106- A011-2 Pay of Other Staff         (1984) (1864)       (370,010,000)       (365,722,000)       (363,010,000)
032106- A012   Allowances                                        527,715,000          534,695,000          541,830,000
032106- A012-1  Regular Allowances                            (527,270,000)       (534,050,000)       (541,380,000)
032106- A012-2  Other Allowances (Excluding TA)                    (445,000)            (645,000)            (450,000)
032106- A03    Operating Expenses                                 6,447,000             7,877,000             7,071,000
032106- A032   Communications                                     188,000              348,000              294,000
032106- A033     Utilities                                               1,710,000             2,350,000             1,992,000
032106- A038    Travel & Transportation                               3,078,000             3,708,000             3,338,000

Page 839

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A039   General                                              1,471,000             1,471,000             1,447,000
032106- A04    Employees Retirement Benefits                       10,000                                     10,000
032106- A041   Pension                                               10,000                                     10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             3,278,000               20,000
032106- A052   Grants Domestic                                       20,000             3,278,000               20,000
032106- A06    Transfers                                            140,000              140,000              140,000
032106- A061    Scholarship                                          140,000              140,000              140,000
032106- A09    Physical Assets                                       30,000               30,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            1,064,000             1,064,000              910,000
032106- A130    Transport                                            720,000              720,000              561,000
032106- A131   Machinery and Equipment                             160,000              160,000              168,000
032106- A132    Furniture and Fixture                                   80,000               80,000               84,000
032106- A137   Computer Equipment                                   24,000               24,000               22,000
032106- A138   General                                                80,000               80,000               75,000
        Total- DOFC BANNU (FORCE)                        906,986,000        914,101,000        914,703,000
BU1137 COMMANDER SECTOR HQ SOUTH WEST BANU
032106- A01    Employees Related Expenses                      26,593,000            30,938,000            41,855,000
032106- A011   Pay                                                 14,856,000            14,856,000            21,515,000
032106- A011-1 Pay of Officers                                    (5,260,000)          (5,260,000)          (7,465,000)
032106- A011-2 Pay of Other Staff                                 (9,596,000)          (9,596,000)         (14,050,000)
032106- A012   Allowances                                         11,737,000            16,082,000            20,340,000
032106- A012-1  Regular Allowances                             (11,305,000)         (11,305,000)         (19,909,000)
032106- A012-2  Other Allowances (Excluding TA)                    (432,000)          (4,777,000)            (431,000)
032106- A03    Operating Expenses                                 3,559,000             5,059,000             3,328,000
032106- A032   Communications                                     149,000              149,000              139,000
032106- A033     Utilities                                               561,000              561,000              525,000
032106- A034   Occupancy Costs                                     283,000              283,000              265,000
032106- A038    Travel & Transportation                               2,384,000             3,884,000             2,229,000
032106- A039   General                                              182,000              182,000              170,000
032106- A13    Repairs and Maintenance                            243,000              243,000              227,000

Page 840

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A130    Transport                                            187,000              187,000              175,000
032106- A131   Machinery and Equipment                              56,000               56,000               52,000
        Total- COMMANDER SECTOR HQ SOUTH              30,395,000         36,240,000          45,410,000
          WEST BANU
CL0001 COMMANDANT CHITRAL SCOUTS
032106- A01    Employees Related Expenses                   1,569,748,000         1,776,127,000         1,714,084,000
032106- A011   Pay                                               884,046,000          884,046,000          876,968,000
032106- A011-1 Pay of Officers                                  (31,565,000)         (31,565,000)         (35,568,000)
032106- A011-2 Pay of Other Staff                              (852,481,000)       (852,481,000)       (841,400,000)
032106- A012   Allowances                                        685,702,000          892,081,000          837,116,000
032106- A012-1  Regular Allowances                            (684,007,000)       (684,007,000)       (835,421,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,695,000)       (208,074,000)          (1,695,000)
032106- A03    Operating Expenses                              593,346,000          630,439,000          611,446,000
032106- A032   Communications                                     316,000              316,000              297,000
032106- A033     Utilities                                             18,810,000            49,143,000            34,417,000
032106- A034   Occupancy Costs                                     1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                             42,780,000            49,540,000            46,671,000
032106- A039   General                                           530,440,000          530,440,000          528,659,000
032106- A05    Grants, Subsidies and Write off Loans              2,245,000             2,895,000             2,393,000
032106- A052   Grants Domestic                                     2,245,000             2,895,000             2,393,000
032106- A13    Repairs and Maintenance                            1,431,000             1,431,000             1,750,000
032106- A130    Transport                                             1,150,000             1,150,000             1,398,000
032106- A131   Machinery and Equipment                             281,000              281,000              352,000
        Total- COMMANDANT CHITRAL SCOUTS            2,166,770,000       2,410,892,000       2,329,673,000
DA0044 COMMANDANT DIR SCOUTS
032106- A01    Employees Related Expenses                   1,655,371,000         1,891,347,000         1,969,276,000
032106- A011   Pay                                               907,278,000          907,278,000          988,452,000
032106- A011-1 Pay of Officers                                  (29,809,000)         (29,809,000)         (37,628,000)
032106- A011-2 Pay of Other Staff                              (877,469,000)       (877,469,000)       (950,824,000)
032106- A012   Allowances                                        748,093,000          984,069,000          980,824,000
032106- A012-1  Regular Allowances                            (746,398,000)       (746,398,000)       (979,129,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,695,000)       (237,671,000)          (1,695,000)
032106- A03    Operating Expenses                              582,102,000          601,970,000          673,303,000

Page 841

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A032   Communications                                     416,000              416,000              391,000
032106- A033     Utilities                                             26,810,000            40,410,000            34,473,000
032106- A034   Occupancy Costs                                     1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                             41,525,000            47,793,000            43,661,000
032106- A039   General                                           512,351,000          512,351,000          593,376,000
032106- A05    Grants, Subsidies and Write off Loans              2,210,000             4,410,000             3,076,000
032106- A052   Grants Domestic                                     2,210,000             4,410,000             3,076,000
032106- A13    Repairs and Maintenance                            1,430,000             1,430,000              360,000
032106- A130    Transport                                             1,150,000             1,150,000
032106- A131   Machinery and Equipment                             280,000              280,000              360,000
        Total- COMMANDANT DIR SCOUTS                  2,241,113,000       2,499,157,000       2,646,015,000
DA5000 SECTOR HQ NORTH
032106- A01    Employees Related Expenses                      19,102,000            22,934,000            30,773,000
032106- A011   Pay                                                 10,813,000            10,813,000            15,770,000
032106- A011-1 Pay of Officers                                    (5,559,000)          (5,559,000)          (8,942,000)
032106- A011-2 Pay of Other Staff                                 (5,254,000)          (5,254,000)          (6,828,000)
032106- A012   Allowances                                           8,289,000            12,121,000            15,003,000
032106- A012-1  Regular Allowances                               (8,164,000)          (8,164,000)         (14,878,000)
032106- A012-2  Other Allowances (Excluding TA)                    (125,000)          (3,957,000)            (125,000)
032106- A03    Operating Expenses                                 3,170,000             4,470,000             3,341,000
032106- A032   Communications                                     211,000              211,000              197,000
032106- A033     Utilities                                               240,000              240,000              224,000
032106- A034   Occupancy Costs                                     500,000              500,000              654,000
032106- A038    Travel & Transportation                               2,115,000             3,415,000             1,977,000
032106- A039   General                                              104,000              104,000              289,000
032106- A13    Repairs and Maintenance                            387,000              387,000              440,000
032106- A130    Transport                                            280,000              280,000              340,000
032106- A131   Machinery and Equipment                             107,000              107,000              100,000
        Total- SECTOR HQ NORTH                            22,659,000         27,791,000          34,554,000
DI0209 DOFC DRAZINDA
032106- A01    Employees Related Expenses                    566,298,000          560,813,000          565,645,000
032106- A011   Pay                    1262   1188          241,426,000          222,670,000          223,420,000
032106- A011-1 Pay of Officers                  (1)      (2)          (1,416,000)            (930,000)          (1,410,000)
032106- A011-2 Pay of Other Staff         (1261) (1186)       (240,010,000)       (221,740,000)       (222,010,000)

Page 842

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A012   Allowances                                        324,872,000          338,143,000          342,225,000
032106- A012-1  Regular Allowances                            (324,527,000)       (337,543,000)       (341,775,000)
032106- A012-2  Other Allowances (Excluding TA)                    (345,000)            (600,000)            (450,000)
032106- A03    Operating Expenses                                 5,215,000             6,856,000             5,696,000
032106- A032   Communications                                     138,000              144,000              126,000
032106- A033     Utilities                                               1,450,000             1,950,000             1,543,000
032106- A038    Travel & Transportation                               2,418,000             3,553,000             2,730,000
032106- A039   General                                              1,209,000             1,209,000             1,297,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             2,574,000               20,000
032106- A052   Grants Domestic                                       20,000             2,574,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       30,000               30,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            890,000              895,000              786,000
032106- A130    Transport                                            600,000              600,000              467,000
032106- A131   Machinery and Equipment                             120,000              120,000              150,000
032106- A132    Furniture and Fixture                                   80,000               80,000               75,000
032106- A137   Computer Equipment                                   20,000               25,000               19,000
032106- A138   General                                                70,000               70,000               75,000
        Total- DOFC DRAZINDA                              572,583,000        571,298,000        572,379,000
DI1221 FRONTIER CORPS KPK(SOUTH)DI KHAN
032106- A01    Employees Related Expenses                   1,217,661,000         1,262,146,000          405,855,000
032106- A011   Pay                                               155,161,000          155,161,000          200,825,000
032106- A011-1 Pay of Officers                                  (47,370,000)         (47,370,000)         (56,715,000)
032106- A011-2 Pay of Other Staff                              (107,791,000)       (107,791,000)       (144,110,000)
032106- A012   Allowances                                       1,062,500,000         1,106,985,000          205,030,000
032106- A012-1  Regular Allowances                          (1,060,680,000)      (1,060,684,000)       (203,210,000)

Page 843

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A012-2  Other Allowances (Excluding TA)                  (1,820,000)         (46,301,000)          (1,820,000)
032106- A03    Operating Expenses                              458,920,000         1,343,370,000          288,683,000
032106- A032   Communications                                     1,713,000             3,343,000             1,602,000
032106- A033     Utilities                                               9,854,000          194,253,000            12,892,000
032106- A034   Occupancy Costs                                   14,935,000            14,935,000            13,964,000
032106- A038    Travel & Transportation                             30,387,000          738,567,000            28,412,000
032106- A039   General                                           402,031,000          392,272,000          231,813,000
032106- A05    Grants, Subsidies and Write off Loans            192,667,000          322,501,000          449,725,000
032106- A052   Grants Domestic                                  192,667,000          322,501,000          449,725,000
032106- A06    Transfers                                             2,016,000              996,000             2,016,000
032106- A061    Scholarship                                          2,016,000              996,000             2,016,000
032106- A09    Physical Assets                                   637,544,000          579,444,000          467,009,000
032106- A092   Computer Equipment                                 1,400,000                                   1,308,000
032106- A095   Purchase of Transport                             100,805,000            89,006,000            93,500,000
032106- A096   Purchase of Plant and Machinery                    53,351,000            16,150,000            49,883,000
032106- A097   Purchase of Furniture and Fixture                   26,245,000            26,245,000            24,539,000
032106- A098   Purchase of Other Assets                          455,743,000          448,043,000          297,779,000
032106- A13    Repairs and Maintenance                          17,246,000             9,228,000             6,509,000
032106- A130    Transport                                           10,285,000             5,014,000
032106- A131   Machinery and Equipment                            3,727,000             1,214,000             3,485,000
032106- A132    Furniture and Fixture                                 3,000,000             3,000,000             2,805,000
032106- A137   Computer Equipment                                 234,000                                   219,000
        Total- FRONTIER CORPS KPK(SOUTH)DI            2,526,054,000       3,517,685,000       1,619,797,000
          KHAN
HG0041 THALL SCOUTS THALL HANGU
032106- A01    Employees Related Expenses                   1,457,548,000         1,721,899,000         2,109,752,000
032106- A011   Pay                                               769,981,000          769,981,000         1,068,370,000
032106- A011-1 Pay of Officers                                  (24,379,000)         (24,379,000)         (39,123,000)
032106- A011-2 Pay of Other Staff                              (745,602,000)       (745,602,000)      (1,029,247,000)
032106- A012   Allowances                                        687,567,000          951,918,000         1,041,382,000
032106- A012-1  Regular Allowances                            (686,369,000)       (686,369,000)      (1,040,184,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,198,000)       (265,549,000)          (1,198,000)
032106- A03    Operating Expenses                              422,254,000          470,350,000          121,270,000

Page 844

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A032   Communications                                     463,000              463,000              392,000
032106- A033     Utilities                                             11,220,000            11,220,000            11,220,000
032106- A034   Occupancy Costs                                     551,000              551,000              935,000
032106- A038    Travel & Transportation                             14,959,000            63,055,000            12,011,000
032106- A039   General                                           395,061,000          395,061,000            96,712,000
032106- A13    Repairs and Maintenance                            917,000              917,000              451,000
032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             216,000              216,000              171,000
        Total- THALL SCOUTS THALL HANGU               1,880,719,000       2,193,166,000       2,231,473,000
HG0049 DO FC HANGU
032106- A01    Employees Related Expenses                    966,092,000          972,818,000          981,350,000
032106- A011   Pay                    2057   1960          392,559,000          395,283,000          394,820,000
032106- A011-1 Pay of Officers                  (2)      (2)          (2,549,000)          (1,273,000)          (1,810,000)
032106- A011-2 Pay of Other Staff         (2055) (1958)       (390,010,000)       (394,010,000)       (393,010,000)
032106- A012   Allowances                                        573,533,000          577,535,000          586,530,000
032106- A012-1  Regular Allowances                            (573,088,000)       (575,590,000)       (586,080,000)
032106- A012-2  Other Allowances (Excluding TA)                    (445,000)          (1,945,000)            (450,000)
032106- A03    Operating Expenses                               11,537,000            17,979,000            14,317,000
032106- A032   Communications                                     188,000              270,000              201,000
032106- A033     Utilities                                               6,180,000            10,450,000             8,836,000
032106- A038    Travel & Transportation                               3,578,000             5,668,000             3,712,000
032106- A039   General                                              1,591,000             1,591,000             1,568,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             3,223,000               20,000
032106- A052   Grants Domestic                                       20,000             3,223,000               20,000
032106- A06    Transfers                                            140,000              140,000              140,000
032106- A061    Scholarship                                          140,000              140,000              140,000
032106- A09    Physical Assets                                       30,000               30,000              121,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               75,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            1,104,000             1,104,000             1,021,000

Page 845

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A130    Transport                                            720,000              720,000              654,000
032106- A131   Machinery and Equipment                             180,000              180,000              168,000
032106- A132    Furniture and Fixture                                   80,000               80,000               93,000
032106- A137   Computer Equipment                                   24,000               24,000               22,000
032106- A138   General                                              100,000              100,000               84,000
        Total- DO FC HANGU                                978,933,000        995,304,000        996,979,000
KD0033 F. C. DASSU
032106- A01    Employees Related Expenses                    441,329,000          438,336,000          441,945,000
032106- A011   Pay                     927    876          190,918,000          170,868,000          171,420,000
032106- A011-1 Pay of Officers                  (1)      (2)            (908,000)          (1,033,000)          (1,410,000)
032106- A011-2 Pay of Other Staff          (926)   (874)       (190,010,000)       (169,835,000)       (170,010,000)
032106- A012   Allowances                                        250,411,000          267,468,000          270,525,000
032106- A012-1  Regular Allowances                            (250,066,000)       (266,273,000)       (270,075,000)
032106- A012-2  Other Allowances (Excluding TA)                    (345,000)          (1,195,000)            (450,000)
032106- A03    Operating Expenses                                 5,127,000             7,726,000             5,518,000
032106- A032   Communications                                     198,000              207,000              182,000
032106- A033     Utilities                                               1,600,000             3,050,000             1,776,000
032106- A038    Travel & Transportation                               2,198,000             3,338,000             2,338,000
032106- A039   General                                              1,131,000             1,131,000             1,222,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000              186,000               20,000
032106- A052   Grants Domestic                                       20,000              186,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       20,000               20,000               93,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A13    Repairs and Maintenance                            850,000              855,000              740,000
032106- A130    Transport                                            560,000              560,000              421,000
032106- A131   Machinery and Equipment                             130,000              130,000              150,000
032106- A132    Furniture and Fixture                                   70,000               70,000               75,000
032106- A137   Computer Equipment                                   20,000               25,000               19,000
032106- A138   General                                               70,000               70,000               75,000
          Total- F. C. DASSU                                 447,476,000        447,253,000        448,446,000

Page 846

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

KH0001 COMMANDANT KHYBER RIFLES
032106- A01    Employees Related Expenses                   1,528,345,000         1,770,112,000         1,933,842,000
032106- A011   Pay                                               848,540,000          848,540,000          962,883,000
032106- A011-1 Pay of Officers                                  (31,093,000)         (31,093,000)         (37,080,000)
032106- A011-2 Pay of Other Staff                              (817,447,000)       (817,447,000)       (925,803,000)
032106- A012   Allowances                                        679,805,000          921,572,000          970,959,000
032106- A012-1  Regular Allowances                            (677,900,000)       (677,900,000)       (969,054,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,905,000)       (243,672,000)          (1,905,000)
032106- A03    Operating Expenses                              616,996,000          621,604,000          663,614,000
032106- A032   Communications                                     416,000              416,000              393,000
032106- A033     Utilities                                             41,286,000            39,886,000            32,057,000
032106- A034   Occupancy Costs                                     1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                             44,817,000            50,825,000            49,074,000
032106- A039   General                                           529,477,000          529,477,000          580,688,000
032106- A05    Grants, Subsidies and Write off Loans              4,162,000             5,162,000             3,814,000
032106- A052   Grants Domestic                                     4,162,000             5,162,000             3,814,000
032106- A13    Repairs and Maintenance                            1,737,000             1,737,000             2,134,000
032106- A130    Transport                                             1,430,000             1,430,000             1,738,000
032106- A131   Machinery and Equipment                             307,000              307,000              396,000
        Total- COMMANDANT KHYBER RIFLES              2,151,240,000       2,398,615,000       2,603,404,000
KH0002 COMMANDANT TIRAH RIFLES
032106- A01    Employees Related Expenses                   1,701,322,000         1,941,259,000         1,924,551,000
032106- A011   Pay                                               916,590,000          916,590,000          933,980,000
032106- A011-1 Pay of Officers                                  (36,608,000)         (36,608,000)         (38,350,000)
032106- A011-2 Pay of Other Staff                              (879,982,000)       (879,982,000)       (895,630,000)
032106- A012   Allowances                                        784,732,000         1,024,669,000          990,571,000
032106- A012-1  Regular Allowances                            (783,037,000)       (783,037,000)       (988,876,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,695,000)       (241,632,000)          (1,695,000)
032106- A03    Operating Expenses                              667,446,000          607,632,000          596,384,000
032106- A032   Communications                                     316,000              516,000              298,000
032106- A033     Utilities                                             89,508,000            22,258,000             5,150,000

Page 847

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A034   Occupancy Costs                                     1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                             39,080,000            46,316,000            43,203,000
032106- A039   General                                           537,542,000          537,542,000          546,331,000
032106- A05    Grants, Subsidies and Write off Loans              4,028,000            11,628,000             4,125,000
032106- A052   Grants Domestic                                     4,028,000            11,628,000             4,125,000
032106- A13    Repairs and Maintenance                            1,565,000             1,417,000             1,848,000
032106- A130    Transport                                             1,280,000             1,280,000             1,556,000
032106- A131   Machinery and Equipment                             285,000              137,000              292,000
        Total- COMMANDANT TIRAH RIFLES                2,374,361,000       2,561,936,000       2,526,908,000
KH0003 COL. COMMANDANT BARA RIFLES
032106- A01    Employees Related Expenses                   1,588,398,000         1,828,746,000         2,319,513,000
032106- A011   Pay                                               863,984,000          863,984,000          956,547,000
032106- A011-1 Pay of Officers                                  (31,636,000)         (31,636,000)         (35,247,000)
032106- A011-2 Pay of Other Staff                              (832,348,000)       (832,348,000)       (921,300,000)
032106- A012   Allowances                                        724,414,000          964,762,000         1,362,966,000
032106- A012-1  Regular Allowances                            (722,719,000)       (722,719,000)      (1,361,271,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,695,000)       (242,043,000)          (1,695,000)
032106- A03    Operating Expenses                              617,844,000          638,955,000          624,198,000
032106- A032   Communications                                     416,000              416,000              391,000
032106- A033     Utilities                                             41,189,000            53,589,000            52,537,000
032106- A034   Occupancy Costs                                     1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                             37,466,000            46,177,000            41,716,000
032106- A039   General                                           537,773,000          537,773,000          528,152,000
032106- A05    Grants, Subsidies and Write off Loans              2,115,000             6,315,000             2,218,000
032106- A052   Grants Domestic                                     2,115,000             6,315,000             2,218,000
032106- A13    Repairs and Maintenance                            1,565,000             1,565,000             1,916,000
032106- A130    Transport                                             1,280,000             1,280,000             1,556,000
032106- A131   Machinery and Equipment                             285,000              285,000              360,000
        Total- COL. COMMANDANT BARA RIFLES           2,209,922,000       2,475,581,000       2,947,845,000
KH5000 SECTOR HQ CENTRE
032106- A01    Employees Related Expenses                       9,541,000            12,213,000            10,945,000
032106- A011   Pay                                                  5,476,000             5,476,000             5,535,000
032106- A011-1 Pay of Officers                                    (2,986,000)          (2,986,000)          (3,340,000)

Page 848

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A011-2 Pay of Other Staff                                 (2,490,000)          (2,490,000)          (2,195,000)
032106- A012   Allowances                                           4,065,000             6,737,000             5,410,000
032106- A012-1  Regular Allowances                               (3,940,000)          (3,940,000)          (5,285,000)
032106- A012-2  Other Allowances (Excluding TA)                    (125,000)          (2,797,000)            (125,000)
032106- A03    Operating Expenses                                 5,215,000             6,515,000             5,301,000
032106- A032   Communications                                     211,000              211,000              197,000
032106- A033     Utilities                                               1,240,000             1,240,000             1,159,000
032106- A034   Occupancy Costs                                     500,000              500,000              654,000
032106- A038    Travel & Transportation                               3,115,000             4,415,000             2,912,000
032106- A039   General                                              149,000              149,000              379,000
032106- A13    Repairs and Maintenance                            1,135,000             1,135,000              991,000
032106- A130    Transport                                            935,000              935,000              874,000
032106- A131   Machinery and Equipment                             200,000              200,000              117,000
        Total- SECTOR HQ CENTRE                           15,891,000         19,863,000          17,237,000
KM1205 KHURUM MILITIA PARACHINAR KURAM AGENCY
032106- A01    Employees Related Expenses                   1,334,428,000         1,538,457,000         1,701,722,000
032106- A011   Pay                                               697,168,000          697,168,000          853,556,000
032106- A011-1 Pay of Officers                                  (24,346,000)         (24,346,000)         (35,226,000)
032106- A011-2 Pay of Other Staff                              (672,822,000)       (672,822,000)       (818,330,000)
032106- A012   Allowances                                        637,260,000          841,289,000          848,166,000
032106- A012-1  Regular Allowances                            (636,064,000)       (636,064,000)       (846,970,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,196,000)       (205,225,000)          (1,196,000)
032106- A03    Operating Expenses                              417,086,000          484,882,000          124,075,000
032106- A032   Communications                                     463,000              463,000              392,000
032106- A033     Utilities                                             10,285,000            25,285,000            11,220,000
032106- A034   Occupancy Costs                                     1,928,000             1,928,000              935,000
032106- A038    Travel & Transportation                             14,959,000            67,755,000            12,011,000
032106- A039   General                                           389,451,000          389,451,000            99,517,000
032106- A13    Repairs and Maintenance                            916,000              916,000              451,000
032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             215,000              215,000              171,000
        Total- KHURUM MILITIA PARACHINAR KURAM      1,752,430,000       2,024,255,000       1,826,248,000
          AGENCY

Page 849

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

MA0060 D. O. F. C. OGHI
032106- A01    Employees Related Expenses                    580,742,000          616,586,000          620,050,000
032106- A011   Pay                    1359   1321          242,310,000          253,436,000          247,520,000
032106- A011-1 Pay of Officers                  (2)      (3)          (2,300,000)          (1,926,000)          (2,510,000)
032106- A011-2 Pay of Other Staff         (1357) (1318)       (240,010,000)       (251,510,000)       (245,010,000)
032106- A012   Allowances                                        338,432,000          363,150,000          372,530,000
032106- A012-1  Regular Allowances                            (338,087,000)       (362,695,000)       (372,080,000)
032106- A012-2  Other Allowances (Excluding TA)                    (345,000)            (455,000)            (450,000)
032106- A03    Operating Expenses                                 6,837,000             9,636,000             9,024,000
032106- A032   Communications                                     188,000              228,000              201,000
032106- A033     Utilities                                               2,940,000             4,334,000             4,244,000
032106- A038    Travel & Transportation                               2,578,000             3,943,000             3,245,000
032106- A039   General                                              1,131,000             1,131,000             1,334,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             1,396,000               20,000
032106- A052   Grants Domestic                                       20,000             1,396,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       20,000               20,000               93,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A13    Repairs and Maintenance                            870,000              875,000              795,000
032106- A130    Transport                                            560,000              560,000              467,000
032106- A131   Machinery and Equipment                             130,000              130,000              150,000
032106- A132    Furniture and Fixture                                   80,000               80,000               75,000
032106- A137   Computer Equipment                                   20,000               25,000               19,000
032106- A138   General                                                80,000               80,000               84,000
        Total-  D. O. F. C. OGHI                               588,619,000        628,643,000        630,112,000
MD0064 DOFC MALAKAND AT BATKHELA
032106- A01    Employees Related Expenses                    849,743,000          871,528,000          879,250,000
032106- A011   Pay                    1872   1827          341,323,000          337,813,000          343,620,000
032106- A011-1 Pay of Officers                  (1)      (2)          (1,313,000)          (1,303,000)          (1,610,000)

Page 850

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A011-2 Pay of Other Staff         (1871) (1825)       (340,010,000)       (336,510,000)       (342,010,000)
032106- A012   Allowances                                        508,420,000          533,715,000          535,630,000
032106- A012-1  Regular Allowances                            (507,975,000)       (533,270,000)       (535,080,000)
032106- A012-2  Other Allowances (Excluding TA)                    (445,000)            (445,000)            (550,000)
032106- A03    Operating Expenses                                 8,357,000            10,147,000             9,829,000
032106- A032   Communications                                     208,000              263,000              210,000
032106- A033     Utilities                                               4,240,000             5,340,000             4,909,000
032106- A038    Travel & Transportation                               2,618,000             3,253,000             3,291,000
032106- A039   General                                              1,291,000             1,291,000             1,419,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             6,943,000               20,000
032106- A052   Grants Domestic                                       20,000             6,943,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       30,000               40,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               15,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               15,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            900,000              905,000              907,000
032106- A130    Transport                                            600,000              600,000              561,000
032106- A131   Machinery and Equipment                             130,000              130,000              168,000
032106- A132    Furniture and Fixture                                   70,000               70,000               75,000
032106- A137   Computer Equipment                                   20,000               25,000               19,000
032106- A138   General                                                80,000               80,000               84,000
        Total- DOFC MALAKAND AT BATKHELA              859,180,000        889,693,000        890,238,000
MG0020 COMDT MOHMAND RIFLES
032106- A01    Employees Related Expenses                   1,723,720,000         1,969,720,000         2,002,050,000
032106- A011   Pay                                               949,498,000          949,498,000         1,017,809,000
032106- A011-1 Pay of Officers                                  (30,475,000)         (30,475,000)         (36,859,000)
032106- A011-2 Pay of Other Staff                              (919,023,000)       (919,023,000)       (980,950,000)
032106- A012   Allowances                                        774,222,000         1,020,222,000          984,241,000
032106- A012-1  Regular Allowances                            (772,317,000)       (772,317,000)       (982,336,000)

Page 851

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A012-2  Other Allowances (Excluding TA)                  (1,905,000)       (247,905,000)          (1,905,000)
032106- A03    Operating Expenses                              625,231,000          644,012,000          686,537,000
032106- A032   Communications                                     417,000              417,000              393,000
032106- A033     Utilities                                             11,508,000            21,808,000            14,500,000
032106- A034   Occupancy Costs                                     1,100,000             1,100,000             1,402,000
032106- A038    Travel & Transportation                             43,992,000            52,494,000            48,607,000
032106- A039   General                                           568,214,000          568,193,000          621,635,000
032106- A05    Grants, Subsidies and Write off Loans              4,416,000            10,416,000             4,524,000
032106- A052   Grants Domestic                                     4,416,000            10,416,000             4,524,000
032106- A13    Repairs and Maintenance                            1,737,000             1,737,000             2,134,000
032106- A130    Transport                                             1,430,000             1,430,000             1,738,000
032106- A131   Machinery and Equipment                             307,000              307,000              396,000
        Total- COMDT MOHMAND RIFLES                   2,355,104,000       2,625,885,000       2,695,245,000
MW2023 COMDT TOCHI SCOUTS
032106- A01    Employees Related Expenses                   1,197,854,000         1,439,001,000         1,965,324,000
032106- A011   Pay                                               717,666,000          717,666,000          997,486,000
032106- A011-1 Pay of Officers                                  (24,057,000)         (24,057,000)         (39,167,000)
032106- A011-2 Pay of Other Staff                              (693,609,000)       (693,609,000)       (958,319,000)
032106- A012   Allowances                                        480,188,000          721,335,000          967,838,000
032106- A012-1  Regular Allowances                            (478,998,000)       (478,998,000)       (966,648,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,190,000)       (242,337,000)          (1,190,000)
032106- A03    Operating Expenses                              411,396,000          464,992,000          121,270,000
032106- A032   Communications                                     463,000              463,000              392,000
032106- A033     Utilities                                             12,435,000            12,435,000            11,220,000
032106- A034   Occupancy Costs                                     1,568,000             1,568,000              935,000
032106- A038    Travel & Transportation                             14,959,000            68,555,000            12,011,000
032106- A039   General                                           381,971,000          381,971,000            96,712,000
032106- A13    Repairs and Maintenance                            916,000              916,000              451,000
032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             215,000              215,000              171,000
        Total- COMDT TOCHI SCOUTS                      1,610,166,000       1,904,909,000       2,087,045,000

Page 852

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

MW2078 COMDT SHAWAL RIFLES
032106- A01    Employees Related Expenses                   1,459,513,000         1,686,485,000         1,872,801,000
032106- A011   Pay                                               762,620,000          762,620,000          943,529,000
032106- A011-1 Pay of Officers                                  (23,205,000)         (23,205,000)         (35,558,000)
032106- A011-2 Pay of Other Staff                              (739,415,000)       (739,415,000)       (907,971,000)
032106- A012   Allowances                                        696,893,000          923,865,000          929,272,000
032106- A012-1  Regular Allowances                            (695,695,000)       (695,695,000)       (928,074,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,198,000)       (228,170,000)          (1,198,000)
032106- A03    Operating Expenses                              409,164,000          473,960,000          121,270,000
032106- A032   Communications                                     463,000              663,000              392,000
032106- A033     Utilities                                             10,752,000            23,752,000            11,220,000
032106- A034   Occupancy Costs                                     1,019,000             1,019,000              935,000
032106- A038    Travel & Transportation                             14,959,000            66,555,000            12,011,000
032106- A039   General                                           381,971,000          381,971,000            96,712,000
032106- A13    Repairs and Maintenance                            917,000              917,000              451,000
032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             216,000              216,000              171,000
        Total- COMDT SHAWAL RIFLES                     1,869,594,000       2,161,362,000       1,994,522,000
MW6000 COMMANDANT BHITTANI RIFLES
032106- A01    Employees Related Expenses                   1,507,385,000         1,752,452,000         1,961,320,000
032106- A011   Pay                                               790,728,000          790,728,000          988,255,000
032106- A011-1 Pay of Officers                                  (27,709,000)         (27,709,000)         (39,199,000)
032106- A011-2 Pay of Other Staff                              (763,019,000)       (763,019,000)       (949,056,000)
032106- A012   Allowances                                        716,657,000          961,724,000          973,065,000
032106- A012-1  Regular Allowances                            (715,457,000)       (715,457,000)       (971,865,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,200,000)       (246,267,000)          (1,200,000)
032106- A03    Operating Expenses                              402,505,000          453,806,000          121,265,000
032106- A032   Communications                                     393,000             1,201,000              392,000
032106- A033     Utilities                                               8,415,000             6,312,000            11,220,000
032106- A034   Occupancy Costs                                     1,476,000             1,476,000              935,000
032106- A038    Travel & Transportation                             14,491,000            67,087,000            12,011,000
032106- A039   General                                           377,730,000          377,730,000            96,707,000
032106- A05    Grants, Subsidies and Write off Loans                                    216,000
032106- A052   Grants Domestic                                                          216,000
032106- A13    Repairs and Maintenance                            913,000              913,000              446,000

Page 853

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             212,000              212,000              166,000
        Total- COMMANDANT BHITTANI RIFLES             1,910,803,000       2,207,387,000       2,083,031,000
OI1117 COMMANDANT ORAKZAI SCOUTS (FRONTIERWATCH & WARD)
032106- A01    Employees Related Expenses                   1,592,924,000         1,809,032,000         1,805,575,000
032106- A011   Pay                                               865,309,000          865,309,000          902,485,000
032106- A011-1 Pay of Officers                                  (23,788,000)         (23,788,000)         (26,800,000)
032106- A011-2 Pay of Other Staff                              (841,521,000)       (841,521,000)       (875,685,000)
032106- A012   Allowances                                        727,615,000          943,723,000          903,090,000
032106- A012-1  Regular Allowances                            (726,130,000)       (726,130,000)       (901,605,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,485,000)       (217,593,000)          (1,485,000)
032106- A03    Operating Expenses                              509,393,000          531,140,000          523,192,000
032106- A032   Communications                                     313,000              313,000              292,000
032106- A033     Utilities                                             10,189,000            25,289,000            21,682,000
032106- A034   Occupancy Costs                                     900,000              900,000              935,000
032106- A038    Travel & Transportation                             34,668,000            41,315,000            38,246,000
032106- A039   General                                           463,323,000          463,323,000          462,037,000
032106- A05    Grants, Subsidies and Write off Loans              1,145,000             1,795,000             1,279,000
032106- A052   Grants Domestic                                     1,145,000             1,795,000             1,279,000
032106- A13    Repairs and Maintenance                            1,400,000             1,400,000             1,698,000
032106- A130    Transport                                             1,130,000             1,130,000             1,374,000
032106- A131   Machinery and Equipment                             270,000              270,000              324,000
        Total- COMMANDANT ORAKZAI SCOUTS            2,104,862,000       2,343,367,000       2,331,744,000
           (FRONTIERWATCH & WARD)
PR0161 FRONTIER CORPS KPK PESHAWAR
032106- A01    Employees Related Expenses                   3,063,792,000         3,958,145,000         3,078,045,000
032106- A011   Pay                                               240,669,000         1,091,951,000          195,819,000
032106- A011-1 Pay of Officers                                  (52,915,000)       (123,900,000)         (53,075,000)
032106- A011-2 Pay of Other Staff                              (187,754,000)       (968,051,000)       (142,744,000)
032106- A012   Allowances                                       2,823,123,000         2,866,194,000         2,882,226,000
032106- A012-1  Regular Allowances                            (145,713,000)      (2,136,954,000)       (187,117,000)
032106- A012-2  Other Allowances (Excluding TA)              (2,677,410,000)       (729,240,000)      (2,695,109,000)
032106- A03    Operating Expenses                             3,328,163,000         2,503,467,000         3,358,787,000

Page 854

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A032   Communications                                     6,198,000             5,848,000             6,016,000
032106- A033     Utilities                                            755,327,000          332,417,000          800,739,000
032106- A034   Occupancy Costs                                   16,340,000            16,340,000            16,923,000
032106- A038    Travel & Transportation                            702,469,000          334,338,000          605,552,000
032106- A039   General                                          1,847,829,000         1,814,524,000         1,929,557,000
032106- A04    Employees Retirement Benefits                     5,500,000             3,569,000             5,300,000
032106- A041   Pension                                              5,500,000             3,569,000             5,300,000
032106- A05    Grants, Subsidies and Write off Loans             27,727,000            56,627,000            36,398,000
032106- A052   Grants Domestic                                    27,727,000            56,627,000            36,398,000
032106- A06    Transfers                                             1,300,000              650,000            12,250,000
032106- A061    Scholarship                                          1,300,000              650,000            12,250,000
032106- A09    Physical Assets                                   700,813,000          700,813,000          814,731,000
032106- A092   Computer Equipment                                 1,000,000             1,000,000             1,309,000
032106- A094   Other Stores and Stocks                              4,328,000             4,328,000             4,675,000
032106- A095   Purchase of Transport                             250,000,000          250,000,000          187,000,000
032106- A096   Purchase of Plant and Machinery                  174,270,000          174,270,000          310,420,000
032106- A097   Purchase of Furniture and Fixture                   15,000,000            15,000,000            14,960,000
032106- A098   Purchase of Other Assets                          256,215,000          256,215,000          296,367,000
032106- A13    Repairs and Maintenance                         173,370,000          169,118,000          163,995,000
032106- A130    Transport                                         164,655,000          160,403,000          155,806,000
032106- A131   Machinery and Equipment                            7,580,000             7,580,000             7,114,000
032106- A132    Furniture and Fixture                                  946,000              946,000              888,000
032106- A137   Computer Equipment                                 189,000              189,000              187,000
        Total- FRONTIER CORPS KPK PESHAWAR          7,300,665,000       7,392,389,000       7,469,506,000
PR1068 FRONTIER CORPS KPK PESHAWAR(SOUTH)
032106- A01    Employees Related Expenses                   3,054,715,000         4,503,264,000         3,054,769,000
032106- A011   Pay                                                                     1,680,998,000
032106- A011-1 Pay of Officers                                                         (675,000)
032106- A011-2 Pay of Other Staff                                                 (1,680,323,000)
032106- A012   Allowances                                       3,054,715,000         2,822,266,000         3,054,769,000
032106- A012-1  Regular Allowances                                               (1,741,721,000)
032106- A012-2  Other Allowances (Excluding TA)              (3,054,715,000)      (1,080,545,000)      (3,054,769,000)
032106- A03    Operating Expenses                             4,503,700,000         1,289,469,000         7,533,870,000

Page 855

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A032   Communications                                     4,505,000             1,347,000             4,378,000
032106- A033     Utilities                                            248,884,000          335,383,000          380,978,000
032106- A034   Occupancy Costs                                   27,106,000             8,100,000            67,448,000
032106- A038    Travel & Transportation                           1,210,520,000          809,323,000         1,972,784,000
032106- A039   General                                          3,012,685,000          135,316,000         5,108,282,000
032106- A04    Employees Retirement Benefits                     6,497,000              315,000             6,497,000
032106- A041   Pension                                              6,497,000              315,000             6,497,000
032106- A05    Grants, Subsidies and Write off Loans                                 170,000,000
032106- A052   Grants Domestic                                                        170,000,000
032106- A06    Transfers                                                                                        3,004,000
032106- A061    Scholarship                                                                                      3,004,000
032106- A09    Physical Assets                                                                             245,162,000
032106- A092   Computer Equipment                                                                           467,000
032106- A095   Purchase of Transport                                                                          93,500,000
032106- A097   Purchase of Furniture and Fixture                                                               21,230,000
032106- A098   Purchase of Other Assets                                                                     129,965,000
032106- A13    Repairs and Maintenance                          39,066,000                                 68,604,000
032106- A130    Transport                                           39,066,000                                 57,341,000
032106- A131   Machinery and Equipment                                                                      683,000
032106- A132    Furniture and Fixture                                                                           10,518,000
032106- A137   Computer Equipment                                                                             62,000
        Total- FRONTIER CORPS KPK                       7,603,978,000       5,963,048,000      10,911,906,000
           PESHAWAR(SOUTH)
PR1339 BUILDINGS AND COMMUNICATIONS FRONTIER CONSTABULARY
032106- A13    Repairs and Maintenance                          30,228,000            30,228,000            37,400,000
032106- A133    Buildings and Structure                             30,228,000            30,228,000            37,400,000
        Total- BUILDINGS AND COMMUNICATIONS             30,228,000         30,228,000          37,400,000
           FRONTIER CONSTABULARY
PR1340 FRONTIER CONSTABULARY BORDER OUT POSTS.
032106- A12     Civil works                                            10,000               10,000                 9,000
032106- A124    Building and Structures                                 10,000               10,000                 9,000
        Total- FRONTIER CONSTABULARY BORDER               10,000             10,000               9,000
          OUT POSTS.

Page 856

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

PR1341 DDO FOR COMMANADANT F CON. PESHAWAR
032106- A01    Employees Related Expenses                   1,144,785,000          887,429,000          823,825,000
032106- A011   Pay                    2762   1579          431,825,000          255,043,000          333,930,000
032106- A011-1 Pay of Officers               (53)    (40)         (17,195,000)         (14,623,000)         (12,750,000)
032106- A011-2 Pay of Other Staff         (2709) (1539)       (414,630,000)       (240,420,000)       (321,180,000)
032106- A012   Allowances                                        712,960,000          632,386,000          489,895,000
032106- A012-1  Regular Allowances                            (695,835,000)       (620,911,000)       (472,190,000)
032106- A012-2  Other Allowances (Excluding TA)                 (17,125,000)         (11,475,000)         (17,705,000)
032106- A03    Operating Expenses                              244,115,000          268,881,000          327,918,000
032106- A031   Fees                                                 500,000              500,000              935,000
032106- A032   Communications                                     2,590,000             2,228,000             3,296,000
032106- A033     Utilities                                             35,990,000            48,065,000            40,531,000
032106- A034   Occupancy Costs                                     150,000                                   141,000
032106- A036   Motor Vehicles                                       7,500,000             7,500,000             7,480,000
032106- A038    Travel & Transportation                             50,756,000            67,858,000            66,170,000
032106- A039   General                                           146,629,000          142,730,000          209,365,000
032106- A04    Employees Retirement Benefits                     5,950,000             2,006,000              950,000
032106- A041   Pension                                              5,950,000             2,006,000              950,000
032106- A05    Grants, Subsidies and Write off Loans             34,720,000          158,594,000            64,740,000
032106- A052   Grants Domestic                                    34,720,000          158,594,000            64,740,000
032106- A06    Transfers                                             2,280,000             1,895,000             2,880,000
032106- A061    Scholarship                                          2,280,000             1,895,000             2,880,000
032106- A09    Physical Assets                                    96,850,000            96,530,000          501,750,000
032106- A092   Computer Equipment                                 330,000              330,000              748,000
032106- A095   Purchase of Transport                              18,000,000            18,000,000          336,600,000
032106- A096   Purchase of Plant and Machinery                     8,850,000             8,850,000            10,304,000
032106- A097   Purchase of Furniture and Fixture                     7,350,000             7,350,000             8,780,000
032106- A098   Purchase of Other Assets                           62,320,000            62,000,000          145,318,000
032106- A13    Repairs and Maintenance                          24,762,000            24,368,000            34,754,000
032106- A130    Transport                                           18,440,000            18,292,000            25,572,000
032106- A131   Machinery and Equipment                            2,320,000             2,320,000             3,179,000
032106- A132    Furniture and Fixture                                 2,040,000             2,040,000             3,413,000
032106- A137   Computer Equipment                                 472,000              472,000              823,000
032106- A138   General                                              1,490,000             1,244,000             1,767,000
        Total- DDO FOR COMMANADANT F CON.            1,553,462,000       1,439,703,000       1,756,817,000
          PESHAWAR

Page 857

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

PR1342 D O F C SHABQADAR
032106- A01    Employees Related Expenses                   1,016,337,000         1,163,006,000         1,173,210,000
032106- A011   Pay                    2087   4070          419,110,000          451,750,000          451,560,000
032106- A011-1 Pay of Officers                  (3)      (4)          (3,010,000)          (2,126,000)          (2,510,000)
032106- A011-2 Pay of Other Staff         (2084) (4066)       (416,100,000)       (449,624,000)       (449,050,000)
032106- A012   Allowances                                        597,227,000          711,256,000          721,650,000
032106- A012-1  Regular Allowances                            (596,782,000)       (709,891,000)       (721,000,000)
032106- A012-2  Other Allowances (Excluding TA)                    (445,000)          (1,365,000)            (650,000)
032106- A03    Operating Expenses                               11,487,000            13,992,000            13,017,000
032106- A032   Communications                                     268,000              358,000              332,000
032106- A033     Utilities                                               6,050,000             6,200,000             6,732,000
032106- A038    Travel & Transportation                               3,578,000             5,843,000             4,086,000
032106- A039   General                                              1,591,000             1,591,000             1,867,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             6,486,000               20,000
032106- A052   Grants Domestic                                       20,000             6,486,000               20,000
032106- A06    Transfers                                            140,000              140,000              140,000
032106- A061    Scholarship                                          140,000              140,000              140,000
032106- A09    Physical Assets                                       20,000               20,000              122,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               75,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               47,000
032106- A13    Repairs and Maintenance                            1,104,000             1,104,000             1,219,000
032106- A130    Transport                                            720,000              720,000              748,000
032106- A131   Machinery and Equipment                             180,000              180,000              206,000
032106- A132    Furniture and Fixture                                   80,000               80,000              131,000
032106- A137   Computer Equipment                                   24,000               24,000               22,000
032106- A138   General                                              100,000              100,000              112,000
        Total- D O F C SHABQADAR                         1,029,118,000       1,184,758,000       1,187,738,000

Page 858

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

PR1343 D O F C PESHAWAR AT BARA
032106- A01    Employees Related Expenses                   1,034,661,000         1,064,928,000         1,065,250,000
032106- A011   Pay                    2307   2222          427,020,000          433,983,000          432,520,000
032106- A011-1 Pay of Officers                  (1)      (4)          (2,010,000)          (2,137,000)          (2,510,000)
032106- A011-2 Pay of Other Staff         (2306) (2218)       (425,010,000)       (431,846,000)       (430,010,000)
032106- A012   Allowances                                        607,641,000          630,945,000          632,730,000
032106- A012-1  Regular Allowances                            (607,096,000)       (630,240,000)       (632,080,000)
032106- A012-2  Other Allowances (Excluding TA)                    (545,000)            (705,000)            (650,000)
032106- A03    Operating Expenses                                 9,367,000            11,800,000            12,970,000
032106- A032   Communications                                     188,000              196,000              182,000
032106- A033     Utilities                                               4,850,000             6,050,000             7,527,000
032106- A038    Travel & Transportation                               2,878,000             4,118,000             3,712,000
032106- A039   General                                              1,451,000             1,436,000             1,549,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             1,185,000               20,000
032106- A052   Grants Domestic                                       20,000             1,185,000               20,000
032106- A06    Transfers                                            140,000              140,000              140,000
032106- A061    Scholarship                                          140,000              140,000              140,000
032106- A09    Physical Assets                                       20,000               20,000               93,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A13    Repairs and Maintenance                            1,084,000             1,089,000             1,021,000
032106- A130    Transport                                            720,000              720,000              654,000
032106- A131   Machinery and Equipment                             180,000              180,000              168,000
032106- A132    Furniture and Fixture                                   80,000               80,000               93,000
032106- A137   Computer Equipment                                   24,000               29,000               22,000
032106- A138   General                                                80,000               80,000               84,000
        Total- D O F C PESHAWAR AT BARA                1,045,302,000       1,079,172,000       1,079,504,000
PR1344 D O F C HAYATABAD
032106- A01    Employees Related Expenses                   1,083,957,000         1,119,591,000         1,123,860,000
032106- A011   Pay                    2379   2408          447,270,000          458,434,000          457,020,000
032106- A011-1 Pay of Officers                  (2)      (3)          (2,260,000)          (1,685,000)          (2,010,000)
032106- A011-2 Pay of Other Staff         (2377) (2405)       (445,010,000)       (456,749,000)       (455,010,000)

Page 859

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A012   Allowances                                        636,687,000          661,157,000          666,840,000
032106- A012-1  Regular Allowances                            (636,142,000)       (658,162,000)       (666,190,000)
032106- A012-2  Other Allowances (Excluding TA)                    (545,000)          (2,995,000)            (650,000)
032106- A03    Operating Expenses                               13,937,000            15,994,000            15,298,000
032106- A032   Communications                                     268,000              325,000              294,000
032106- A033     Utilities                                               8,600,000            10,100,000             9,911,000
032106- A038    Travel & Transportation                               3,478,000             3,978,000             3,525,000
032106- A039   General                                              1,591,000             1,591,000             1,568,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000             3,856,000               20,000
032106- A052   Grants Domestic                                       20,000             3,856,000               20,000
032106- A06    Transfers                                            140,000              140,000              140,000
032106- A061    Scholarship                                          140,000              140,000              140,000
032106- A09    Physical Assets                                       20,000               20,000              112,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               75,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A13    Repairs and Maintenance                            1,084,000             1,084,000             1,021,000
032106- A130    Transport                                            720,000              720,000              654,000
032106- A131   Machinery and Equipment                             180,000              180,000              168,000
032106- A132    Furniture and Fixture                                   80,000               80,000               93,000
032106- A137   Computer Equipment                                   24,000               24,000               22,000
032106- A138   General                                                80,000               80,000               84,000
        Total- D O F C HAYATABAD                         1,099,168,000       1,140,695,000       1,140,461,000
SW0094 D.O.F.C. SWAT
032106- A01    Employees Related Expenses                    805,050,000          830,160,000          833,010,000
032106- A011   Pay                    1791   1687          331,474,000          331,473,000          326,820,000
032106- A011-1 Pay of Officers                  (2)      (3)          (1,464,000)          (1,454,000)          (1,810,000)
032106- A011-2 Pay of Other Staff         (1789) (1684)       (330,010,000)       (330,019,000)       (325,010,000)
032106- A012   Allowances                                        473,576,000          498,687,000          506,190,000
032106- A012-1  Regular Allowances                            (473,131,000)       (498,152,000)       (505,640,000)
032106- A012-2  Other Allowances (Excluding TA)                    (445,000)            (535,000)            (550,000)
032106- A03    Operating Expenses                               12,867,000            14,852,000            13,672,000

Page 860

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A032   Communications                                     218,000              253,000              220,000
032106- A033     Utilities                                               8,300,000             9,480,000             8,695,000
032106- A038    Travel & Transportation                               2,838,000             3,623,000             3,291,000
032106- A039   General                                              1,511,000             1,496,000             1,466,000
032106- A04    Employees Retirement Benefits                       10,000                                     10,000
032106- A041   Pension                                               10,000                                     10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000              998,000               20,000
032106- A052   Grants Domestic                                       20,000              998,000               20,000
032106- A06    Transfers                                            140,000              140,000              140,000
032106- A061    Scholarship                                          140,000              140,000              140,000
032106- A09    Physical Assets                                       30,000               30,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            984,000              989,000              934,000
032106- A130    Transport                                            640,000              640,000              561,000
032106- A131   Machinery and Equipment                             140,000              140,000              168,000
032106- A132    Furniture and Fixture                                   80,000               80,000               93,000
032106- A137   Computer Equipment                                   24,000               29,000               19,000
032106- A138   General                                              100,000              100,000               93,000
        Total-  D.O.F.C. SWAT                                819,101,000        847,169,000        847,888,000
TK0079 DOFC MANZAI
032106- A01    Employees Related Expenses                    640,817,000          697,189,000          699,645,000
032106- A011   Pay                    1518   1464          281,056,000          279,285,000          279,620,000
032106- A011-1 Pay of Officers                  (2)      (2)          (1,046,000)          (1,175,000)          (1,610,000)
032106- A011-2 Pay of Other Staff         (1516) (1462)       (280,010,000)       (278,110,000)       (278,010,000)
032106- A012   Allowances                                        359,761,000          417,904,000          420,025,000
032106- A012-1  Regular Allowances                            (359,366,000)       (417,209,000)       (419,575,000)
032106- A012-2  Other Allowances (Excluding TA)                    (395,000)            (695,000)            (450,000)
032106- A03    Operating Expenses                                 5,455,000             7,645,000             6,677,000
032106- A032   Communications                                     158,000              188,000              163,000
032106- A033     Utilities                                               1,650,000             3,150,000             2,384,000
032106- A038    Travel & Transportation                               2,378,000             3,038,000             2,730,000

Page 861

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A039   General                                              1,269,000             1,269,000             1,400,000
032106- A04    Employees Retirement Benefits                       10,000                                     10,000
032106- A041   Pension                                               10,000                                     10,000
032106- A05    Grants, Subsidies and Write off Loans                20,000              900,000               20,000
032106- A052   Grants Domestic                                       20,000              900,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       30,000               30,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            900,000              905,000              804,000
032106- A130    Transport                                            600,000              600,000              467,000
032106- A131   Machinery and Equipment                             130,000              130,000              150,000
032106- A132    Furniture and Fixture                                   80,000               80,000               93,000
032106- A137   Computer Equipment                                   20,000               25,000               19,000
032106- A138   General                                                70,000               70,000               75,000
        Total- DOFC MANZAI                                647,352,000        706,789,000        707,378,000
TK0080 DOFC TANK
032106- A01    Employees Related Expenses                    524,696,000          558,220,000          559,945,000
032106- A011   Pay                    1218   1174          221,089,000          227,453,000          227,420,000
032106- A011-1 Pay of Officers                  (2)      (2)          (1,079,000)            (943,000)          (1,410,000)
032106- A011-2 Pay of Other Staff         (1216) (1172)       (220,010,000)       (226,510,000)       (226,010,000)
032106- A012   Allowances                                        303,607,000          330,767,000          332,525,000
032106- A012-1  Regular Allowances                            (303,262,000)       (330,262,000)       (332,075,000)
032106- A012-2  Other Allowances (Excluding TA)                    (345,000)            (505,000)            (450,000)
032106- A03    Operating Expenses                                 5,097,000             5,807,000             5,397,000
032106- A032   Communications                                     138,000              168,000              154,000
032106- A033     Utilities                                               1,250,000             1,250,000             1,169,000
032106- A038    Travel & Transportation                               2,378,000             3,058,000             2,712,000
032106- A039   General                                              1,331,000             1,331,000             1,362,000
032106- A04    Employees Retirement Benefits                       10,000               10,000               10,000
032106- A041   Pension                                               10,000               10,000               10,000

Page 862

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A05    Grants, Subsidies and Write off Loans                20,000               99,000               20,000
032106- A052   Grants Domestic                                       20,000               99,000               20,000
032106- A06    Transfers                                            120,000              120,000              120,000
032106- A061    Scholarship                                          120,000              120,000              120,000
032106- A09    Physical Assets                                       30,000               30,000              102,000
032106- A096   Purchase of Plant and Machinery                       10,000               10,000               56,000
032106- A097   Purchase of Furniture and Fixture                       10,000               10,000               37,000
032106- A098   Purchase of Other Assets                              10,000               10,000                 9,000
032106- A13    Repairs and Maintenance                            900,000              904,000              786,000
032106- A130    Transport                                            600,000              600,000              467,000
032106- A131   Machinery and Equipment                             130,000              130,000              150,000
032106- A132    Furniture and Fixture                                   80,000               80,000               75,000
032106- A137   Computer Equipment                                   20,000               24,000               19,000
032106- A138   General                                                70,000               70,000               75,000
        Total- DOFC TANK                                   530,873,000        565,190,000        566,380,000
TW2000 COMDR SEC HQ SOUTH
032106- A01    Employees Related Expenses                      15,014,000            17,607,000            24,749,000
032106- A011   Pay                                                  9,446,000             9,446,000            12,838,000
032106- A011-1 Pay of Officers                                    (4,868,000)          (4,868,000)          (6,673,000)
032106- A011-2 Pay of Other Staff                                 (4,578,000)          (4,578,000)          (6,165,000)
032106- A012   Allowances                                           5,568,000             8,161,000            11,911,000
032106- A012-1  Regular Allowances                               (5,136,000)          (5,136,000)         (11,479,000)
032106- A012-2  Other Allowances (Excluding TA)                    (432,000)          (3,025,000)            (432,000)
032106- A03    Operating Expenses                                 3,732,000             6,332,000             3,489,000
032106- A032   Communications                                     149,000              149,000              139,000
032106- A033     Utilities                                               561,000              561,000              525,000
032106- A034   Occupancy Costs                                     456,000              456,000              426,000
032106- A038    Travel & Transportation                               2,384,000             4,984,000             2,229,000
032106- A039   General                                              182,000              182,000              170,000
032106- A13    Repairs and Maintenance                            243,000              243,000              227,000
032106- A130    Transport                                            187,000              187,000              175,000
032106- A131   Machinery and Equipment                              56,000               56,000               52,000
        Total- COMDR SEC HQ SOUTH                        18,989,000         24,182,000          28,465,000

Page 863

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

TW2043 COMDT SOUTH WAZIRISTAN SCOUTS
032106- A01    Employees Related Expenses                   1,489,776,000         1,812,347,000         2,340,876,000
032106- A011   Pay                                               872,652,000          872,652,000         1,178,005,000
032106- A011-1 Pay of Officers                                  (36,844,000)         (36,844,000)         (52,271,000)
032106- A011-2 Pay of Other Staff                              (835,808,000)       (835,808,000)      (1,125,734,000)
032106- A012   Allowances                                        617,124,000          939,695,000         1,162,871,000
032106- A012-1  Regular Allowances                            (615,929,000)       (615,925,000)      (1,161,676,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,195,000)       (323,770,000)          (1,195,000)
032106- A03    Operating Expenses                              418,072,000          472,768,000          124,075,000
032106- A032   Communications                                     463,000              963,000              392,000
032106- A033     Utilities                                             13,089,000            13,089,000            11,220,000
032106- A034   Occupancy Costs                                     1,045,000             1,045,000              935,000
032106- A038    Travel & Transportation                             14,959,000            69,155,000            12,011,000
032106- A039   General                                           388,516,000          388,516,000            99,517,000
032106- A13    Repairs and Maintenance                            916,000              916,000              451,000
032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             215,000              215,000              171,000
        Total- COMDT SOUTH WAZIRISTAN SCOUTS        1,908,764,000       2,286,031,000       2,465,402,000
TW2081 COMDT KHATAK SCOUTS
032106- A01    Employees Related Expenses                   1,987,861,000         2,406,468,000         2,742,091,000
032106- A011   Pay                                               1,026,277,000         1,026,277,000         1,234,413,000
032106- A011-1 Pay of Officers                                  (33,384,000)         (33,384,000)         (56,131,000)
032106- A011-2 Pay of Other Staff                              (992,893,000)       (992,893,000)      (1,178,282,000)
032106- A012   Allowances                                        961,584,000         1,380,191,000         1,507,678,000
032106- A012-1  Regular Allowances                            (960,378,000)       (960,378,000)      (1,506,472,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,206,000)       (419,813,000)          (1,206,000)
032106- A03    Operating Expenses                              418,435,000          477,531,000          121,265,000
032106- A032   Communications                                     393,000              393,000              392,000
032106- A033     Utilities                                             10,284,000            10,284,000            11,220,000
032106- A034   Occupancy Costs                                     1,512,000             1,512,000              935,000
032106- A038    Travel & Transportation                             14,491,000            73,587,000            12,011,000
032106- A039   General                                           391,755,000          391,755,000            96,707,000
032106- A13    Repairs and Maintenance                            914,000              914,000              437,000

Page 864

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032106- A130    Transport                                            701,000              701,000              280,000
032106- A131   Machinery and Equipment                             213,000              213,000              157,000
        Total- COMDT KHATAK SCOUTS                    2,407,210,000       2,884,913,000       2,863,793,000
     032106   Total-  Frontier Watch and Ward               60,688,392,000      64,875,318,000      69,269,607,000
032111 TRAINING  :
KH1006 TRAINING CENTER FC KPK
032111- A01    Employees Related Expenses                      47,050,000            47,050,000            44,181,000
032111- A011   Pay                                                 22,500,000            22,500,000            19,635,000
032111- A011-1 Pay of Officers                                    (6,500,000)          (6,500,000)          (4,118,000)
032111- A011-2 Pay of Other Staff                               (16,000,000)         (16,000,000)         (15,517,000)
032111- A012   Allowances                                         24,550,000            24,550,000            24,546,000
032111- A012-1  Regular Allowances                             (16,000,000)         (16,000,000)         (15,996,000)
032111- A012-2  Other Allowances (Excluding TA)                  (8,550,000)          (8,550,000)          (8,550,000)
032111- A03    Operating Expenses                              173,703,000          335,503,000          372,193,000
032111- A032   Communications                                     243,000              243,000              229,000
032111- A033     Utilities                                               709,000          162,209,000            91,022,000
032111- A038    Travel & Transportation                             11,056,000            11,356,000            10,705,000
032111- A039   General                                           161,695,000          161,695,000          270,237,000
032111- A09    Physical Assets                                      168,000              168,000              160,000
032111- A096   Purchase of Plant and Machinery                       84,000               84,000               80,000
032111- A098   Purchase of Other Assets                              84,000               84,000               80,000
032111- A13    Repairs and Maintenance                            1,052,000             1,052,000             1,224,000
032111- A130    Transport                                            800,000              800,000              841,000
032111- A131   Machinery and Equipment                              84,000               84,000              219,000
032111- A132    Furniture and Fixture                                  112,000              112,000              108,000
032111- A137   Computer Equipment                                   56,000               56,000               56,000
        Total- TRAINING CENTER FC KPK                    221,973,000        383,773,000        417,758,000
MW0123 TAINING CENTRE FC KP(SOUTH) MIRANSHAH
032111- A01    Employees Related Expenses                      12,000,000            12,000,000            12,000,000
032111- A011   Pay                                                  6,020,000             6,020,000             6,020,000
032111- A011-1 Pay of Officers                                    (3,010,000)          (3,010,000)          (3,010,000)
032111- A011-2 Pay of Other Staff                                 (3,010,000)          (3,010,000)          (3,010,000)
032111- A012   Allowances                                           5,980,000             5,980,000             5,980,000

Page 865

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

032111- A012-1  Regular Allowances                               (3,546,000)          (3,546,000)          (3,546,000)
032111- A012-2  Other Allowances (Excluding TA)                  (2,434,000)          (2,434,000)          (2,434,000)
032111- A03    Operating Expenses                              317,550,000          271,291,000          296,907,000
032111- A032   Communications                                     117,000              117,000              109,000
032111- A033     Utilities                                               4,000,000             4,000,000             3,740,000
032111- A038    Travel & Transportation                             25,850,000            16,530,000            14,819,000
032111- A039   General                                           287,583,000          250,644,000          278,239,000
032111- A09    Physical Assets                                      600,000              600,000              560,000
032111- A092   Computer Equipment                                 600,000              600,000              560,000
032111- A13    Repairs and Maintenance                            850,000              850,000              794,000
032111- A130    Transport                                            200,000              200,000              187,000
032111- A131   Machinery and Equipment                             100,000              100,000               93,000
032111- A132    Furniture and Fixture                                  500,000              500,000              467,000
032111- A137   Computer Equipment                                   50,000               50,000               47,000
        Total- TAINING CENTRE FC KP(SOUTH)               331,000,000        284,741,000        310,261,000
          MIRANSHAH
     032111   Total-  TRAINING                              552,973,000        668,514,000        728,019,000
     0321     Total-  Police                                61,241,365,000      65,543,832,000      69,997,626,000
     032      Total-  Police                                61,241,365,000      65,543,832,000      69,997,626,000
     03        Total-  Public Order And Safety Affairs         61,241,365,000      65,543,832,000      69,997,626,000
07      Health:
074    Public Health Services:
0741   Public Health Services:
074120 Others(other health facilities & prevent  :
BU0222 MEDICAL ESTABLISHMENT SECTOR COMMANDER SECTOR HQ SOUTH WEST BANNU
074120- A03    Operating Expenses                                 100,000              100,000               93,000
074120- A039   General                                              100,000              100,000               93,000
        Total- MEDICAL ESTABLISHMENT SECTOR               100,000            100,000             93,000
         COMMANDER SECTOR HQ SOUTH
          WEST BANNU
DI0176 MEDICAL ESTABLISHMENT (HQ FRONTIER CORPS KP(SOUTH)D.I KHAN
074120- A01    Employees Related Expenses                         15,000               15,000
074120- A012   Allowances                                            15,000               15,000
074120- A012-2  Other Allowances (Excluding TA)                     (15,000)             (15,000)

Page 866

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

074120- A03    Operating Expenses                                 2,150,000             2,150,000             7,744,000
074120- A039   General                                              2,150,000             2,150,000             7,744,000
074120- A09    Physical Assets                                      6,900,000             6,900,000              841,000
074120- A094   Other Stores and Stocks                              5,000,000             5,000,000
074120- A097   Purchase of Furniture and Fixture                     1,900,000             1,900,000              841,000
074120- A13    Repairs and Maintenance                            1,051,000             1,051,000              983,000
074120- A131   Machinery and Equipment                             800,000              800,000              748,000
074120- A132    Furniture and Fixture                                  251,000              251,000              235,000
        Total- MEDICAL ESTABLISHMENT (HQ                 10,116,000         10,116,000           9,568,000
           FRONTIER CORPS KP(SOUTH)D.I KHAN
HG0042 MEDICAL ESTABLISHMENT COMMANDAT THALL SCOUTS
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL ESTABLISHMENT                       705,000            705,000            654,000
          COMMANDAT THALL SCOUTS
KM0129 MEDICAL ESTABLISHMENT COMMANDANT KHURRUIM AGENCY
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL ESTABLISHMENT                       705,000            705,000            654,000
          COMMANDANT KHURRUIM AGENCY
MW0124 MEDICAL ESTABLISHMENT COMMANDAT SHAWAL RIFLES
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL ESTABLISHMENT                       705,000            705,000            654,000
         COMMANDAT SHAWAL RIFLES

Page 867

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

MW0125 MEDICAL BUDGET BHITTANI RIFLES (HQ FRONTIER CORPS KP(SOUTH)
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL BUDGET BHITTANI RIFLES              705,000            705,000            654,000
            (HQ FRONTIER CORPS KP(SOUTH)
MW0127 MEDICAL ESTABLISHMENT COMMANDANT TOCHI SCOUTS
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL ESTABLISHMENT                       705,000            705,000            654,000
          COMMANDANT TOCHI SCOUTS
PR0162 MEDICAL ESTABLISHMENT (HQ FRONTIER CROPS KPK
074120- A01    Employees Related Expenses                         50,000               50,000               30,000
074120- A012   Allowances                                            50,000               50,000               30,000
074120- A012-2  Other Allowances (Excluding TA)                     (50,000)             (50,000)             (30,000)
074120- A03    Operating Expenses                                 8,604,000             8,604,000             8,227,000
074120- A039   General                                              8,604,000             8,604,000             8,227,000
074120- A09    Physical Assets                                      3,697,000             3,697,000             3,739,000
074120- A094   Other Stores and Stocks                              3,202,000             3,202,000             3,272,000
074120- A097   Purchase of Furniture and Fixture                     495,000              495,000              467,000
074120- A13    Repairs and Maintenance                            1,460,000             1,460,000             1,449,000
074120- A131   Machinery and Equipment                             946,000              946,000              935,000
074120- A132    Furniture and Fixture                                  514,000              514,000              514,000
        Total- MEDICAL ESTABLISHMENT (HQ                 13,811,000         13,811,000          13,445,000
           FRONTIER CROPS KPK
PR3120 MEDICAL ESTABLISHMENT (HQ FRONTIER CORPS KP(SOUTH)
074120- A03    Operating Expenses                                 6,100,000                                   1,402,000

Page 868

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

074120- A039   General                                              6,100,000                                   1,402,000
074120- A09    Physical Assets                                                                                 7,012,000
074120- A094   Other Stores and Stocks                                                                          6,077,000
074120- A097   Purchase of Furniture and Fixture                                                               935,000
        Total- MEDICAL ESTABLISHMENT (HQ                  6,100,000                               8,414,000
           FRONTIER CORPS KP(SOUTH)
TW0111 MEDICAL ESTABLISHMENT COMMANDANT KHATTAK SCOUTS TANK
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL ESTABLISHMENT                       705,000            705,000            654,000
          COMMANDANT KHATTAK SCOUTS
          TANK
TW0112 MEDICAL ESTABLISHMENT SECTOR COMMANDER SECTOR HQ SOUTH
074120- A03    Operating Expenses                                 100,000              100,000               93,000
074120- A039   General                                              100,000              100,000               93,000
        Total- MEDICAL ESTABLISHMENT SECTOR               100,000            100,000             93,000
         COMMANDER SECTOR HQ SOUTH
TW0113 MEDICAL ESTABLISHMENT COMMANDANT SOUTH WAZIRISTAN SCOUTS TANK
074120- A01    Employees Related Expenses                           5,000                 5,000
074120- A012   Allowances                                              5,000                 5,000
074120- A012-2  Other Allowances (Excluding TA)                       (5,000)               (5,000)
074120- A03    Operating Expenses                                 700,000              700,000              654,000
074120- A039   General                                              700,000              700,000              654,000
        Total- MEDICAL ESTABLISHMENT                       705,000            705,000            654,000
          COMMANDANT SOUTH WAZIRISTAN
          SCOUTS TANK
     074120   Total-  Others(other health facilities &              35,162,000         29,062,000         36,191,000
                      prevent
     0741     Total-  Public Health Services                     35,162,000         29,062,000         36,191,000
     074      Total-  Public Health Services                     35,162,000         29,062,000         36,191,000
     07        Total-  Health                                   35,162,000         29,062,000         36,191,000
               Total- ACCOUNTANT GENERAL                61,276,527,000        65,572,894,000        70,033,817,000
                PAKISTAN REVENUES
                  SUB-OFFICE, PESHAWAR

Page 869

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

03     Public Order And Safety Affairs:
032     Police:
0321   Police:
032105 Provincial Border Forces  :
KA3296 PAKISTAN RANGERS (SINDH) KARACHI
032105- A01    Employees Related Expenses                  13,211,814,000        13,415,245,000        13,435,245,000
032105- A011   Pay                                               6,202,233,000         6,106,991,000         6,088,042,000
032105- A011-1 Pay of Officers                                 (516,928,000)       (533,184,000)       (516,498,000)
032105- A011-2 Pay of Other Staff                            (5,685,305,000)      (5,573,807,000)      (5,571,544,000)
032105- A012   Allowances                                       7,009,581,000         7,308,254,000         7,347,203,000
032105- A012-1  Regular Allowances                          (6,945,202,000)      (7,219,978,000)      (7,282,824,000)
032105- A012-2  Other Allowances (Excluding TA)                 (64,379,000)         (88,276,000)         (64,379,000)
032105- A03    Operating Expenses                              729,809,000          688,843,000         1,164,418,000
032105- A032   Communications                                     2,931,000             3,170,000             2,741,000
032105- A033     Utilities                                             46,514,000            73,782,000            43,491,000
032105- A034   Occupancy Costs                                   29,677,000            28,821,000            27,748,000
032105- A038    Travel & Transportation                            333,970,000          315,534,000          607,478,000
032105- A039   General                                           316,717,000          267,536,000          482,960,000
032105- A04    Employees Retirement Benefits                    48,434,000            33,003,000            73,434,000
032105- A041   Pension                                            48,434,000            33,003,000            73,434,000
032105- A05    Grants, Subsidies and Write off Loans             31,536,000          357,050,000          111,536,000
032105- A052   Grants Domestic                                    31,536,000          357,050,000          111,536,000
032105- A09    Physical Assets                                   416,864,000          415,364,000          609,496,000
032105- A095   Purchase of Transport                             100,000,000          100,000,000          187,000,000
032105- A096   Purchase of Plant and Machinery                  182,578,000          182,578,000          296,935,000
032105- A097   Purchase of Furniture and Fixture                   15,527,000            15,527,000            14,090,000
032105- A098   Purchase of Other Assets                          118,759,000          117,259,000          111,471,000
032105- A13    Repairs and Maintenance                          77,312,000            77,312,000            72,283,000
032105- A130    Transport                                           67,818,000            67,818,000            63,410,000
032105- A131   Machinery and Equipment                            4,864,000             4,864,000             4,543,000
032105- A132    Furniture and Fixture                                     5,000                 5,000                 5,000
032105- A137   Computer Equipment                                 4,625,000             4,625,000             4,325,000
        Total- PAKISTAN RANGERS (SINDH) KARACHI     14,515,769,000      14,986,817,000      15,466,412,000
      032105 Total- Provincial Border Forces                14,515,769,000      14,986,817,000      15,466,412,000

Page 870

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

032107 Coast Gaurds  :
KA3295 PAKISTAN COAST GUARDS KARACHI
032107- A01    Employees Related Expenses                   1,835,146,000         2,716,926,000         2,816,926,000
032107- A011   Pay                                               846,695,000         1,157,008,000         1,148,310,000
032107- A011-1 Pay of Officers                                  (52,390,000)         (56,642,000)         (61,810,000)
032107- A011-2 Pay of Other Staff                              (794,305,000)      (1,100,366,000)      (1,086,500,000)
032107- A012   Allowances                                        988,451,000         1,559,918,000         1,668,616,000
032107- A012-1  Regular Allowances                            (964,421,000)      (1,535,256,000)      (1,605,954,000)
032107- A012-2  Other Allowances (Excluding TA)                 (24,030,000)         (24,662,000)         (62,662,000)
032107- A03    Operating Expenses                              313,931,000          404,163,000          482,376,000
032107- A032   Communications                                     2,110,000             2,110,000             2,617,000
032107- A033     Utilities                                            100,500,000          100,500,000          120,615,000
032107- A034   Occupancy Costs                                     510,000              510,000             5,619,000
032107- A038    Travel & Transportation                            127,110,000          217,342,000          244,698,000
032107- A039   General                                             83,701,000            83,701,000          108,827,000
032107- A04    Employees Retirement Benefits                    30,000,000            30,000,000            35,000,000
032107- A041   Pension                                                                      30,000,000            30,000,000            35,000,000
032107- A05    Grants, Subsidies and Write off Loans              7,010,000             7,010,000             8,000,000
032107- A052   Grants Domestic                                     7,010,000             7,010,000             8,000,000
032107- A06    Transfers                                            410,000              410,000              410,000
032107- A061    Scholarship                                          400,000              400,000              400,000
032107- A063    Entertainment & Gifts                                   10,000               10,000               10,000
032107- A09    Physical Assets                                   119,010,000          119,010,000          435,571,000
032107- A091   Purchase of Building                                   10,000               10,000                 9,000
032107- A092   Computer Equipment                                 1,000,000             1,000,000              935,000
032107- A094   Other Stores and Stocks                              2,000,000             2,000,000            12,155,000
032107- A095   Purchase of Transport                              15,000,000            15,000,000          317,752,000
032107- A096   Purchase of Plant and Machinery                    10,000,000            10,000,000             9,350,000
032107- A097   Purchase of Furniture and Fixture                     1,000,000             1,000,000             1,870,000
032107- A098   Purchase of Other Assets                           90,000,000            90,000,000            93,500,000

Page 871

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

032107- A13    Repairs and Maintenance                          27,000,000            27,000,000          143,990,000
032107- A130    Transport                                           25,000,000            25,000,000          140,250,000
032107- A131   Machinery and Equipment                            1,000,000             1,000,000             1,870,000
032107- A132    Furniture and Fixture                                 1,000,000             1,000,000             1,870,000
        Total- PAKISTAN COAST GUARDS KARACHI        2,332,507,000       3,304,519,000       3,922,273,000
     032107   Total-  Coast Gaurds                          2,332,507,000       3,304,519,000       3,922,273,000
     0321     Total-  Police                                16,848,276,000      18,291,336,000      19,388,685,000
     032      Total-  Police                                16,848,276,000      18,291,336,000      19,388,685,000
     03        Total-  Public Order And Safety Affairs         16,848,276,000      18,291,336,000      19,388,685,000
               Total- ACCOUNTANT GENERAL                16,848,276,000        18,291,336,000        19,388,685,000
                PAKISTAN REVENUES
                  SUB-OFFICE, KARACHI

Page 872

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

03     Public Order And Safety Affairs:
032     Police:
0321   Police:
032106 Frontier Watch and Ward  :
AW9084 112 WING COMMAND AWARAN
032106- A03    Operating Expenses                                 1,745,000             1,745,000             9,701,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                                                                           7,947,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 112 WING COMMAND AWARAN                   1,785,000           1,785,000           9,738,000
DB3907 COMMANDING OFFICER FRONTIER CORPS DERA
032106- A01    Employees Related Expenses                   1,387,393,000         1,305,547,000         1,384,529,000
032106- A011   Pay                                               752,021,000          702,379,000          626,051,000
032106- A011-1 Pay of Officers                                  (27,636,000)         (27,001,000)         (25,651,000)
032106- A011-2 Pay of Other Staff                              (724,385,000)       (675,378,000)       (600,400,000)
032106- A012   Allowances                                        635,372,000          603,168,000          758,478,000
032106- A012-1  Regular Allowances                            (633,695,000)       (600,491,000)       (754,883,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,677,000)          (2,677,000)          (3,595,000)
032106- A03    Operating Expenses                              257,570,000          262,733,000            81,742,000
032106- A032   Communications                                     601,000              601,000              720,000
032106- A033     Utilities                                             10,850,000            13,850,000            16,362,000
032106- A038    Travel & Transportation                             54,888,000            57,051,000            57,269,000
032106- A039   General                                           191,231,000          191,231,000             7,391,000
032106- A13    Repairs and Maintenance                            1,497,000             1,497,000             1,439,000
032106- A130    Transport                                             1,440,000             1,440,000             1,402,000
032106- A132    Furniture and Fixture                                   23,000               23,000               14,000
032106- A137   Computer Equipment                                   34,000               34,000               23,000
        Total- COMMANDING OFFICER FRONTIER           1,646,460,000       1,569,777,000       1,467,710,000
          CORPS DERA

Page 873

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

DB3908 COMMANDANT SUI RIFLES DERA BUGTI
032106- A01    Employees Related Expenses                   1,424,374,000         1,381,839,000         1,383,928,000
032106- A011   Pay                                               775,457,000          745,547,000          625,920,000
032106- A011-1 Pay of Officers                                  (25,937,000)         (26,017,000)         (25,620,000)
032106- A011-2 Pay of Other Staff                              (749,520,000)       (719,530,000)       (600,300,000)
032106- A012   Allowances                                        648,917,000          636,292,000          758,008,000
032106- A012-1  Regular Allowances                            (645,280,000)       (632,905,000)       (754,913,000)
032106- A012-2  Other Allowances (Excluding TA)                  (3,637,000)          (3,387,000)          (3,095,000)
032106- A03    Operating Expenses                              255,031,000          281,042,000          103,376,000
032106- A032   Communications                                     390,000              390,000              849,000
032106- A033     Utilities                                             14,053,000            36,664,000            39,737,000
032106- A038    Travel & Transportation                             51,290,000            54,690,000            56,334,000
032106- A039   General                                           189,298,000          189,298,000             6,456,000
032106- A13    Repairs and Maintenance                            1,396,000             1,396,000             1,439,000
032106- A130    Transport                                             1,360,000             1,360,000             1,402,000
032106- A132    Furniture and Fixture                                   12,000               12,000               14,000
032106- A137   Computer Equipment                                   24,000               24,000               23,000
        Total- COMMANDANT SUI RIFLES DERA             1,680,801,000       1,664,277,000       1,488,743,000
           BUGTI
DB3909 SECTOR COMMANDER (EAST) DERA BUGTI
032106- A01    Employees Related Expenses                      34,591,000            27,965,000            39,134,000
032106- A011   Pay                                                 18,945,000            14,377,000            18,177,000
032106- A011-1 Pay of Officers                                    (5,223,000)          (5,155,000)          (5,164,000)
032106- A011-2 Pay of Other Staff                               (13,722,000)          (9,222,000)         (13,013,000)
032106- A012   Allowances                                         15,646,000            13,588,000            20,957,000
032106- A012-1  Regular Allowances                             (15,349,000)         (13,491,000)         (20,852,000)
032106- A012-2  Other Allowances (Excluding TA)                    (297,000)             (97,000)            (105,000)
032106- A03    Operating Expenses                                 4,842,000             5,139,000             3,675,000
032106- A032   Communications                                     325,000              274,000              235,000
032106- A033     Utilities                                               210,000              158,000              187,000
032106- A038    Travel & Transportation                               3,890,000             4,290,000             2,824,000
032106- A039   General                                              417,000              417,000              429,000
032106- A13    Repairs and Maintenance                            211,000              211,000              204,000
032106- A130    Transport                                            183,000              183,000              187,000

Page 874

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A132    Furniture and Fixture                                     9,000                 9,000                 8,000
032106- A137   Computer Equipment                                   19,000               19,000                 9,000
        Total- SECTOR COMMANDER (EAST) DERA            39,644,000         33,315,000          43,013,000
           BUGTI
DL0008 58 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 58 WING COMMAND DALBADIN                   1,785,000           1,785,000           1,791,000
DL0009 56 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 2,745,000             2,745,000             4,559,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             2,805,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 56 WING COMMAND DALBADIN                   2,785,000           2,785,000           4,596,000
DL0010 167 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 2,745,000             2,745,000             5,961,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             4,207,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 167 WING COMMAND DALBADIN                  2,785,000           2,785,000           5,998,000
DL0011 148 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000

Page 875

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 148 WING COMMAND DALBADIN                  1,785,000           1,785,000           1,791,000
DL0012 109 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 2,745,000             2,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 109 WING COMMAND DALBADIN                  2,785,000           2,785,000           1,791,000
DL0014 75 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 75 WING COMMAND DALBADIN                   1,785,000           1,785,000           1,791,000
DL0015 73 WING COMMAND DALBADIN
032106- A03    Operating Expenses                                 2,745,000             2,745,000            10,169,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             8,415,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 73 WING COMMAND DALBADIN                   2,785,000           2,785,000          10,206,000
DL0016 170 WING COMMAND DALBANDIN
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000

Page 876

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 170 WING COMMAND DALBANDIN                1,785,000           1,785,000           1,791,000
DL3907 COMMANDING OFFICER DALBANDIN RIFLES DALBADIN
032106- A03    Operating Expenses                               15,256,000            15,256,000            32,506,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000            18,700,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000
032106- A039   General                                              3,850,000             3,850,000             4,451,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDING OFFICER DALBANDIN            15,296,000         15,296,000          32,543,000
            RIFLES DALBADIN
DL3908 COMMANDING OFFICER TAFTAH RIFLES AT NOKUNDI
032106- A03    Operating Expenses                               16,856,000            16,856,000            46,531,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000            32,725,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000
032106- A039   General                                              5,450,000             5,450,000             4,451,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDING OFFICER TAFTAH                16,896,000         16,896,000          46,568,000
            RIFLES AT NOKUNDI
GR0105 133 WING COMMAND GAWADAR
032106- A03    Operating Expenses                                 1,745,000             1,745,000             2,221,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                                                                         467,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
         Total- 133 WING COMMAND GAWADAR                 1,785,000           1,785,000           2,258,000

Page 877

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

GR0106 88 WING COMMAND GAWADAR
032106- A03    Operating Expenses                                 2,745,000             2,745,000             2,408,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000              654,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                                                       602,000              602,000              664,000
032106- A13    Repairs and Maintenance                                                                         40,000               40,000               37,000
032106- A137   Computer Equipment                                                                         40,000               40,000               37,000
        Total- 88 WING COMMAND GAWADAR                   2,785,000           2,785,000           2,445,000
KN0203 145 WING COMMAND KHARAN
032106- A03    Operating Expenses                                 1,745,000
032106- A032   Communications                                     343,000
032106- A038    Travel & Transportation                               800,000
032106- A039   General                                              602,000
032106- A13    Repairs and Maintenance                              40,000
032106- A137   Computer Equipment                                   40,000
        Total- 145 WING COMMAND KHARAN                   1,785,000
KN0204 60 WING COMMAND KHARAN
032106- A03    Operating Expenses                                 2,745,000             2,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 60 WING COMMAND KHARAN                     2,785,000           2,785,000           1,791,000
KN0205 COMMANDANT KHARAN RIFLES WING COMMAND KHARAN
032106- A03    Operating Expenses                               15,256,000            15,256,000            17,546,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000             3,740,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000

Page 878

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A039   General                                              3,850,000             3,850,000             4,451,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDANT KHARAN RIFLES WING          15,296,000         15,296,000          17,583,000
         COMMAND KHARAN
KR0210 111 WING COMMAND KHUZDAR
032106- A03    Operating Expenses                                 2,945,000             2,945,000             5,494,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,200,000             1,200,000             3,740,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 111 WING COMMAND KHUZDAR                  2,985,000           2,985,000           5,531,000
KR0211 132 WING COMMAND KHUZDAR
032106- A03    Operating Expenses                                 2,745,000             2,745,000             9,701,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             7,947,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 132 WING COMMAND KHUZDAR                  2,785,000           2,785,000           9,738,000
KR3001 COMMANDANT FC BATTLE SCHOOL KHUZDAR
032106- A03    Operating Expenses                                 1,385,000             1,385,000             1,420,000
032106- A032   Communications                                     335,000              335,000              335,000
032106- A038    Travel & Transportation                               400,000              400,000              374,000
032106- A039   General                                              650,000              650,000              711,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDANT FC BATTLE SCHOOL              1,425,000           1,425,000           1,457,000
          KHUZDAR

Page 879

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

KR3907 COMMANDING OFFICER FRONTIER CORPS KhuzdarFR
032106- A03    Operating Expenses                               14,556,000            14,556,000            17,592,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000             3,740,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000
032106- A039   General                                              3,150,000             3,150,000             4,497,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDING OFFICER FRONTIER             14,596,000         14,596,000          17,629,000
          CORPS Khuzdar
KR3909 SECTOR COMMANDER (WEST) KHUZDAR
032106- A03    Operating Expenses                                 1,750,000             1,750,000             1,832,000
032106- A032   Communications                                     400,000              400,000              374,000
032106- A038    Travel & Transportation                               600,000              600,000              654,000
032106- A039   General                                              750,000              750,000              804,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- SECTOR COMMANDER (WEST)                   1,790,000           1,790,000           1,869,000
          KHUZDAR
KU3907 COMMANDING OFFICER FRONTIER CORPS KOHLU
032106- A01    Employees Related Expenses                   1,408,373,000         1,423,880,000         1,644,324,000
032106- A011   Pay                                               752,257,000          773,202,000          751,095,000
032106- A011-1 Pay of Officers                                  (27,527,000)         (28,497,000)         (30,695,000)
032106- A011-2 Pay of Other Staff                              (724,730,000)       (744,705,000)       (720,400,000)
032106- A012   Allowances                                        656,116,000          650,678,000          893,229,000
032106- A012-1  Regular Allowances                            (653,113,000)       (647,275,000)       (889,524,000)
032106- A012-2  Other Allowances (Excluding TA)                  (3,003,000)          (3,403,000)          (3,705,000)
032106- A03    Operating Expenses                              279,967,000          291,343,000          121,090,000
032106- A032   Communications                                     562,000              562,000              863,000
032106- A033     Utilities                                             36,648,000            39,850,000            40,205,000
032106- A038    Travel & Transportation                             51,293,000            59,467,000            69,470,000
032106- A039   General                                           191,464,000          191,464,000            10,552,000
032106- A13    Repairs and Maintenance                            1,537,000             1,537,000             1,728,000
032106- A130    Transport                                             1,466,000             1,466,000             1,683,000

Page 880

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A132    Furniture and Fixture                                   23,000               23,000               17,000
032106- A137   Computer Equipment                                   48,000               48,000               28,000
        Total- COMMANDING OFFICER FRONTIER           1,689,877,000       1,716,760,000       1,767,142,000
          CORPS KOHLU
LI3907 COMMANDING OFFICER FRONTIER CORPS LORALA
032106- A01    Employees Related Expenses                   1,538,709,000         1,231,521,000         1,108,390,000
032106- A011   Pay                                               915,873,000          709,650,000          500,819,000
032106- A011-1 Pay of Officers                                  (29,840,000)         (25,322,000)         (20,543,000)
032106- A011-2 Pay of Other Staff                              (886,033,000)       (684,328,000)       (480,276,000)
032106- A012   Allowances                                        622,836,000          521,871,000          607,571,000
032106- A012-1  Regular Allowances                            (618,767,000)       (518,253,000)       (605,096,000)
032106- A012-2  Other Allowances (Excluding TA)                  (4,069,000)          (3,618,000)          (2,475,000)
032106- A03    Operating Expenses                              280,123,000          276,418,000            73,247,000
032106- A032   Communications                                     761,000              545,000              576,000
032106- A033     Utilities                                             21,948,000            19,583,000            20,570,000
032106- A038    Travel & Transportation                             50,060,000            49,587,000            45,067,000
032106- A039   General                                           207,354,000          206,703,000             7,034,000
032106- A13    Repairs and Maintenance                            1,147,000              900,000             1,152,000
032106- A130    Transport                                             1,111,000              864,000             1,122,000
032106- A132    Furniture and Fixture                                   14,000               14,000               11,000
032106- A137   Computer Equipment                                   22,000               22,000               19,000
        Total- COMMANDING OFFICER FRONTIER           1,819,979,000       1,508,839,000       1,182,789,000
          CORPS LORALA
NI3907 COMMADING OFFICER FRONTIER CORPS NUSHKI
032106- A01    Employees Related Expenses                    889,035,000         1,208,935,000         1,629,264,000
032106- A011   Pay                                               490,943,000          664,487,000          750,889,000
032106- A011-1 Pay of Officers                                  (18,923,000)         (23,446,000)         (30,649,000)
032106- A011-2 Pay of Other Staff                              (472,020,000)       (641,041,000)       (720,240,000)
032106- A012   Allowances                                        398,092,000          544,448,000          878,375,000
032106- A012-1  Regular Allowances                            (397,574,000)       (542,627,000)       (874,670,000)
032106- A012-2  Other Allowances (Excluding TA)                    (518,000)          (1,821,000)          (3,705,000)
032106- A03    Operating Expenses                              167,144,000          197,709,000          101,455,000
032106- A032   Communications                                     415,000              700,000              863,000

Page 881

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A033     Utilities                                             10,615,000            18,243,000            21,505,000
032106- A038    Travel & Transportation                             21,375,000            44,057,000            69,470,000
032106- A039   General                                           134,739,000          134,709,000             9,617,000
032106- A13    Repairs and Maintenance                            946,000              936,000             1,728,000
032106- A130    Transport                                            900,000              900,000             1,683,000
032106- A132    Furniture and Fixture                                   10,000                                     17,000
032106- A137   Computer Equipment                                   36,000               36,000               28,000
        Total- COMMADING OFFICER FRONTIER            1,057,125,000       1,407,580,000       1,732,447,000
          CORPS NUSHKI
PI3907 COMMANDING OFFICER FC
032106- A01    Employees Related Expenses                      35,292,000            33,170,000            40,385,000
032106- A011   Pay                                                 20,055,000            18,176,000            19,181,000
032106- A011-1 Pay of Officers                                    (5,280,000)          (5,401,000)          (6,168,000)
032106- A011-2 Pay of Other Staff                               (14,775,000)         (12,775,000)         (13,013,000)
032106- A012   Allowances                                         15,237,000            14,994,000            21,204,000
032106- A012-1  Regular Allowances                             (15,105,000)         (14,884,000)         (21,102,000)
032106- A012-2  Other Allowances (Excluding TA)                    (132,000)            (110,000)            (102,000)
032106- A03    Operating Expenses                               13,412,000            14,501,000            13,025,000
032106- A032   Communications                                     142,000              142,000              235,000
032106- A033     Utilities                                               9,210,000             9,899,000             9,537,000
032106- A038    Travel & Transportation                               3,642,000             4,042,000             2,824,000
032106- A039   General                                              418,000              418,000              429,000
032106- A13    Repairs and Maintenance                            216,000              216,000              204,000
032106- A130    Transport                                            197,000              197,000              187,000
032106- A132    Furniture and Fixture                                     9,000                 9,000                 8,000
032106- A137   Computer Equipment                                   10,000               10,000                 9,000
        Total- COMMANDING OFFICER FC                     48,920,000         47,887,000          53,614,000
PJ0016 169 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 2,745,000             2,745,000             4,091,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             2,337,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000

Page 882

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 169 WING COMMAND PANJGUR                  2,785,000           2,785,000           4,128,000
PJ0017 166 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 166 WING COMMAND PANJGUR                  1,785,000           1,785,000           1,791,000
PJ0018 164 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 164 WING COMMAND PANJGUR                  1,785,000           1,785,000           1,791,000
PJ0019 137 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               36,000
032106- A137   Computer Equipment                                   40,000               40,000               36,000
        Total- 137 WING COMMAND PANJGUR                  1,785,000           1,785,000           1,790,000
PJ0020 127 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 3,145,000             3,145,000             3,250,000
032106- A032   Communications                                     743,000              743,000              716,000
032106- A033     Utilities                                               1,000,000             1,000,000             1,122,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000

Page 883

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 127 WING COMMAND PANJGUR                  3,185,000           3,185,000           3,287,000
PJ0021 108 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 2,745,000             2,745,000             4,091,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             2,337,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 108 WING COMMAND PANJGUR                  2,785,000           2,785,000           4,128,000
PJ0022 68 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 68 WING COMMAND PANJGUR                   1,785,000           1,785,000           1,791,000
PJ0023 59 WING COMMAND PANJGUR
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 59 WING COMMAND PANJGUR                   1,785,000           1,785,000           1,791,000
PJ0024 SECTOR COMMANDDER SECTOR HQ CENTER PANJGUR
032106- A03    Operating Expenses                                 1,750,000
032106- A032   Communications                                     400,000
032106- A038    Travel & Transportation                               600,000
032106- A039   General                                              750,000

Page 884

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A13    Repairs and Maintenance                              40,000
032106- A137   Computer Equipment                                   40,000
        Total- SECTOR COMMANDDER SECTOR HQ             1,790,000
          CENTER PANJGUR
PJ3907 COMMANDING OFFICER FRONTIER CORPS PANJGOR
032106- A03    Operating Expenses                               17,656,000            17,656,000            23,156,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000             9,350,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000
032106- A039   General                                              6,250,000             6,250,000             4,451,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDING OFFICER FRONTIER             17,696,000         17,696,000          23,193,000
          CORPS PANJGOR
QA0057 HEAD QUARTER FRONTIER CORPS BALOCHISTAN
032106- A01    Employees Related Expenses                      16,500,000         1,351,304,000            24,000,000
032106- A011   Pay                                                                    155,919,000
032106- A011-2 Pay of Other Staff                                                  (155,919,000)
032106- A012   Allowances                                         16,500,000         1,195,385,000            24,000,000
032106- A012-1  Regular Allowances                                               (1,179,393,000)
032106- A012-2  Other Allowances (Excluding TA)                 (16,500,000)         (15,992,000)         (24,000,000)
032106- A03    Operating Expenses                              677,544,000          880,937,000         2,262,628,000
032106- A032   Communications                                     3,036,000             1,087,000             2,805,000
032106- A033     Utilities                                             96,000,000          228,464,000            76,670,000
032106- A034   Occupancy Costs                                   20,570,000            17,768,000            56,100,000
032106- A038    Travel & Transportation                            180,000,000          274,477,000          243,100,000
032106- A039   General                                           377,938,000          359,141,000         1,883,953,000
032106- A04    Employees Retirement Benefits                    15,000,000             3,243,000            15,000,000
032106- A041   Pension                                            15,000,000             3,243,000            15,000,000
032106- A05    Grants, Subsidies and Write off Loans            270,000,000            12,650,000          565,000,000
032106- A052   Grants Domestic                                  270,000,000            12,650,000          565,000,000
032106- A13    Repairs and Maintenance                         150,000,000                                308,550,000
032106- A130    Transport                                         150,000,000                                308,550,000
        Total- HEAD QUARTER FRONTIER CORPS           1,129,044,000       2,248,134,000       3,175,178,000
          BALOCHISTAN

Page 885

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

QA0617 FRONTIER CROPS HOSPITAL BALOCHISTAN QUETTA
032106- A01    Employees Related Expenses                    148,760,000          148,760,000          168,118,000
032106- A011   Pay                                                 76,705,000            76,705,000            80,623,000
032106- A011-1 Pay of Officers                                  (15,910,000)         (15,910,000)         (19,555,000)
032106- A011-2 Pay of Other Staff                               (60,795,000)         (60,795,000)         (61,068,000)
032106- A012   Allowances                                         72,055,000            72,055,000            87,495,000
032106- A012-1  Regular Allowances                             (71,865,000)         (71,865,000)         (87,260,000)
032106- A012-2  Other Allowances (Excluding TA)                    (190,000)            (190,000)            (235,000)
032106- A03    Operating Expenses                              103,208,000          103,208,000          152,512,000
032106- A032   Communications                                     771,000              771,000              388,000
032106- A033     Utilities                                             21,457,000            21,457,000            21,645,000
032106- A038    Travel & Transportation                               2,963,000             2,963,000             4,768,000
032106- A039   General                                             78,017,000            78,017,000          125,711,000
032106- A09    Physical Assets                                      2,207,000             2,207,000             4,815,000
032106- A096   Purchase of Plant and Machinery                     2,067,000             2,067,000             4,675,000
032106- A097   Purchase of Furniture and Fixture                     140,000              140,000              140,000
032106- A13    Repairs and Maintenance                            1,080,000             1,080,000             3,834,000
032106- A131   Machinery and Equipment                            500,000              500,000             1,870,000
032106- A132    Furniture and Fixture                                   40,000               40,000               47,000
032106- A133    Buildings and Structure                               500,000              500,000             1,870,000
032106- A137   Computer Equipment                                   40,000               40,000               47,000
        Total- FRONTIER CROPS HOSPITAL                  255,255,000        255,255,000        329,279,000
           BALOCHISTAN QUETTA
QA2018 I.G.F.C (H.Q) QTA
032106- A01    Employees Related Expenses                    434,148,000          385,057,000          449,140,000
032106- A011   Pay                                               231,464,000          208,995,000          212,824,000
032106- A011-1 Pay of Officers                                  (74,141,000)         (71,887,000)         (72,104,000)
032106- A011-2 Pay of Other Staff                              (157,323,000)       (137,108,000)       (140,720,000)
032106- A012   Allowances                                        202,684,000          176,062,000          236,316,000
032106- A012-1  Regular Allowances                            (198,443,000)       (171,609,000)       (232,084,000)
032106- A012-2  Other Allowances (Excluding TA)                  (4,241,000)          (4,453,000)          (4,232,000)

Page 886

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A03    Operating Expenses                             1,127,702,000         1,309,406,000         4,865,657,000
032106- A032   Communications                                     6,317,000             6,317,000             6,033,000
032106- A033     Utilities                                            103,680,000          138,962,000          122,578,000
032106- A038    Travel & Transportation                            106,732,000          254,473,000          185,784,000
032106- A039   General                                           910,973,000          909,654,000         4,551,262,000
032106- A09    Physical Assets                                   662,375,000          355,158,000         1,205,429,000
032106- A092   Computer Equipment                                                                             1,870,000
032106- A095   Purchase of Transport                             202,000,000                                260,023,000
032106- A096   Purchase of Plant and Machinery                    85,831,000            80,614,000          314,028,000
032106- A097   Purchase of Furniture and Fixture                     6,544,000             6,544,000             5,632,000
032106- A098   Purchase of Other Assets                          368,000,000          268,000,000          623,876,000
032106- A13    Repairs and Maintenance                          84,374,000            84,374,000          113,795,000
032106- A130    Transport                                           75,000,000            75,000,000            93,780,000
032106- A131   Machinery and Equipment                            3,665,000             3,665,000             7,527,000
032106- A132    Furniture and Fixture                                 5,429,000             5,429,000            12,301,000
032106- A137   Computer Equipment                                 280,000              280,000              187,000
        Total-  I.G.F.C (H.Q) QTA                             2,308,599,000       2,133,995,000       6,634,021,000
QA2025 H.Q. GHAZABAND SCOUTS
032106- A01    Employees Related Expenses                   3,232,526,000         2,376,660,000         2,170,831,000
032106- A011   Pay                                               1,811,553,000         1,291,284,000         1,001,672,000
032106- A011-1 Pay of Officers                                  (72,837,000)         (54,183,000)         (40,820,000)
032106- A011-2 Pay of Other Staff                            (1,738,716,000)      (1,237,101,000)       (960,852,000)
032106- A012   Allowances                                       1,420,973,000         1,085,376,000         1,169,159,000
032106- A012-1  Regular Allowances                          (1,412,281,000)      (1,069,649,000)      (1,164,244,000)
032106- A012-2  Other Allowances (Excluding TA)                  (8,692,000)         (15,727,000)          (4,915,000)
032106- A03    Operating Expenses                              681,532,000          620,167,000          171,813,000
032106- A032   Communications                                     1,180,000              997,000             1,152,000
032106- A033     Utilities                                             71,029,000            85,132,000            69,190,000
032106- A038    Travel & Transportation                             91,335,000            75,126,000            87,422,000
032106- A039   General                                           517,988,000          458,912,000            14,049,000
032106- A13    Repairs and Maintenance                            3,865,000             3,217,000             2,303,000
032106- A130    Transport                                             3,742,000             3,115,000             2,244,000
032106- A132    Furniture and Fixture                                   23,000               20,000               22,000
032106- A137   Computer Equipment                                 100,000               82,000               37,000
         Total- H.Q. GHAZABAND SCOUTS                   3,917,923,000       3,000,044,000       2,344,947,000

Page 887

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

QA2119 IGFC SIGNAL COMPANY
032106- A01    Employees Related Expenses                      57,144,000            42,258,000            54,174,000
032106- A011   Pay                                                 34,045,000            24,925,000            26,590,000
032106- A011-1 Pay of Officers                                    (3,400,000)          (3,300,000)          (3,580,000)
032106- A011-2 Pay of Other Staff                               (30,645,000)         (21,625,000)         (23,010,000)
032106- A012   Allowances                                         23,099,000            17,333,000            27,584,000
032106- A012-1  Regular Allowances                             (23,064,000)         (17,298,000)         (27,547,000)
032106- A012-2  Other Allowances (Excluding TA)                                                                      (35,000)             (35,000)             (37,000)
032106- A03    Operating Expenses                                                                       427,000              427,000              598,000
032106- A032   Communications                                                                         22,000               22,000               23,000
032106- A039   General                                                                       405,000              405,000              575,000
032106- A04    Employees Retirement Benefits                                                                         1,500,000             1,500,000             1,000,000
032106- A041   Pension                                                                        1,500,000             1,500,000             1,000,000
        Total- IGFC SIGNAL COMPANY                        59,071,000         44,185,000          55,772,000
QA3058 HQ FRONTIER CORPS BLN- SOUTH
032106- A03    Operating Expenses                             1,327,149,000         1,327,149,000          480,849,000
032106- A032   Communications                                     7,251,000             7,251,000             7,255,000
032106- A033     Utilities                                            166,800,000          166,800,000          168,402,000
032106- A034   Occupancy Costs                                   58,000,000            58,000,000          126,225,000
032106- A038    Travel & Transportation                            240,500,000          240,500,000          140,811,000
032106- A039   General                                           854,598,000          854,598,000            38,156,000
032106- A04    Employees Retirement Benefits                    15,000,000            15,000,000             5,000,000
032106- A041   Pension                                            15,000,000            15,000,000             5,000,000
032106- A13    Repairs and Maintenance                         200,000,000          200,000,000          233,937,000
032106- A130    Transport                                         200,000,000          200,000,000          233,750,000
032106- A137   Computer Equipment                                                                           187,000
        Total- HQ FRONTIER CORPS BLN- SOUTH           1,542,149,000       1,542,149,000        719,786,000
QA7777 COMMANDANT CHILTAN RIFLES
032106- A01    Employees Related Expenses                                         1,108,205,000         1,619,285,000
032106- A011   Pay                                                                    677,811,000          750,940,000
032106- A011-1 Pay of Officers                                                       (21,317,000)         (30,640,000)

Page 888

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A011-2 Pay of Other Staff                                                  (656,494,000)       (720,300,000)
032106- A012   Allowances                                                             430,394,000          868,345,000
032106- A012-1  Regular Allowances                                                (428,409,000)       (864,640,000)
032106- A012-2  Other Allowances (Excluding TA)                                       (1,985,000)          (3,705,000)
032106- A03    Operating Expenses                                                     36,460,000          109,677,000
032106- A032   Communications                                                          292,000              863,000
032106- A033     Utilities                                                                   13,193,000            36,465,000
032106- A038    Travel & Transportation                                                   22,975,000            64,608,000
032106- A039   General                                                                                          7,741,000
032106- A13    Repairs and Maintenance                                                     3,000             1,728,000
032106- A130    Transport                                                                                        1,683,000
032106- A132    Furniture and Fixture                                                          3,000               17,000
032106- A137   Computer Equipment                                                                             28,000
        Total- COMMANDANT CHILTAN RIFLES                                 1,144,668,000       1,730,690,000
QD3907 COMMANDING OFFICER FRONTIER CORPS
032106- A01    Employees Related Expenses                   1,403,779,000         1,393,493,000         1,626,819,000
032106- A011   Pay                                               764,860,000          764,441,000          750,989,000
032106- A011-1 Pay of Officers                                  (28,368,000)         (28,796,000)         (30,679,000)
032106- A011-2 Pay of Other Staff                              (736,492,000)       (735,645,000)       (720,310,000)
032106- A012   Allowances                                        638,919,000          629,052,000          875,830,000
032106- A012-1  Regular Allowances                            (634,752,000)       (625,069,000)       (872,125,000)
032106- A012-2  Other Allowances (Excluding TA)                  (4,167,000)          (3,983,000)          (3,705,000)
032106- A03    Operating Expenses                              302,506,000          289,282,000          147,643,000
032106- A032   Communications                                     709,000              659,000              863,000
032106- A033     Utilities                                             46,518,000            42,329,000            68,722,000
032106- A038    Travel & Transportation                             49,642,000            40,974,000            69,470,000
032106- A039   General                                           205,637,000          205,320,000             8,588,000
032106- A13    Repairs and Maintenance                            1,653,000             1,585,000             1,728,000
032106- A130    Transport                                             1,609,000             1,541,000             1,683,000
032106- A132    Furniture and Fixture                                   15,000               15,000               17,000
032106- A137   Computer Equipment                                   29,000               29,000               28,000
        Total- COMMANDING OFFICER FRONTIER           1,707,938,000       1,684,360,000       1,776,190,000
          CORPS

Page 889

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

QS3907 COMMANDING OFFICER FRONTIER CORPS KILLA
032106- A01    Employees Related Expenses                    903,751,000          938,795,000         1,367,300,000
032106- A011   Pay                                               494,954,000          510,714,000          625,790,000
032106- A011-1 Pay of Officers                                  (19,960,000)         (19,825,000)         (25,550,000)
032106- A011-2 Pay of Other Staff                              (474,994,000)       (490,889,000)       (600,240,000)
032106- A012   Allowances                                        408,797,000          428,081,000          741,510,000
032106- A012-1  Regular Allowances                            (407,008,000)       (426,235,000)       (738,415,000)
032106- A012-2  Other Allowances (Excluding TA)                  (1,789,000)          (1,846,000)          (3,095,000)
032106- A03    Operating Expenses                              180,606,000          188,718,000            87,539,000
032106- A032   Communications                                     289,000              316,000              907,000
032106- A033     Utilities                                             13,854,000            17,829,000            21,972,000
032106- A038    Travel & Transportation                             33,331,000            37,434,000            56,334,000
032106- A039   General                                           133,132,000          133,139,000             8,326,000
032106- A13    Repairs and Maintenance                            925,000              912,000             1,439,000
032106- A130    Transport                                            900,000              887,000             1,402,000
032106- A132    Furniture and Fixture                                     8,000                 8,000               14,000
032106- A137   Computer Equipment                                   17,000               17,000               23,000
        Total- COMMANDING OFFICER FRONTIER           1,085,282,000       1,128,425,000       1,456,278,000
          CORPS KILLA
SI3907 COMMANDING OFFICER FRONTIER CORPS SIBBI
032106- A01    Employees Related Expenses                   1,509,347,000         1,552,692,000         1,385,002,000
032106- A011   Pay                                               843,217,000          876,340,000          626,045,000
032106- A011-1 Pay of Officers                                  (30,309,000)         (32,496,000)         (25,660,000)
032106- A011-2 Pay of Other Staff                              (812,908,000)       (843,844,000)       (600,385,000)
032106- A012   Allowances                                        666,130,000          676,352,000          758,957,000
032106- A012-1  Regular Allowances                            (662,582,000)       (672,053,000)       (755,862,000)
032106- A012-2  Other Allowances (Excluding TA)                  (3,548,000)          (4,299,000)          (3,095,000)
032106- A03    Operating Expenses                              303,619,000          315,502,000          106,986,000
032106- A032   Communications                                     738,000              776,000              720,000
032106- A033     Utilities                                             38,140,000            47,030,000            41,139,000
032106- A038    Travel & Transportation                             57,834,000            60,789,000            57,269,000
032106- A039   General                                           206,907,000          206,907,000             7,858,000
032106- A13    Repairs and Maintenance                            1,426,000             1,409,000             2,374,000

Page 890

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A130    Transport                                             1,371,000             1,354,000             2,337,000
032106- A132    Furniture and Fixture                                   16,000               16,000               14,000
032106- A137   Computer Equipment                                   39,000               39,000               23,000
        Total- COMMANDING OFFICER FRONTIER           1,814,392,000       1,869,603,000       1,494,362,000
          CORPS SIBBI
TB0046 147 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 147 WING COMMAND TURBAT                    1,785,000           1,785,000           1,791,000
TB0047 125 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 125 WING COMMAND TURBAT                    1,785,000           1,785,000           1,791,000
TB0048 82 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 82 WING COMMAND TURBAT                     1,785,000           1,785,000           1,791,000
TB0049 141 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 2,745,000             2,745,000             3,624,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             1,870,000

Page 891

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 141 WING COMMAND TURBAT                    2,785,000           2,785,000           3,661,000
TB0050 140 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 2,745,000             2,745,000             3,156,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 140 WING COMMAND TURBAT                    2,785,000           2,785,000           3,193,000
TB0051 146 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 146 WING COMMAND TURBAT                    1,785,000           1,785,000           1,791,000
TB0052 126 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 126 WING COMMAND TURBAT                    1,785,000           1,785,000           1,791,000
TB0053 113 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 3,145,000             3,145,000             3,530,000
032106- A032   Communications                                     743,000              743,000              716,000

Page 892

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A033     Utilities                                               1,000,000             1,000,000             1,402,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 113 WING COMMAND TURBAT                    3,185,000           3,185,000           3,567,000
TB0054 168 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 2,145,000             2,145,000             1,988,000
032106- A032   Communications                                     743,000              743,000              576,000
032106- A033     Utilities                                               800,000
032106- A038    Travel & Transportation                                                    800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 168 WING COMMAND TURBAT                    2,185,000           2,185,000           2,025,000
TB0055 165 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 165 WING COMMAND TURBAT                    1,785,000           1,785,000           1,791,000
TB0056 106 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 1,745,000             1,745,000             3,624,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                                                                           1,870,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 106 WING COMMAND TURBAT                    1,785,000           1,785,000           3,661,000

Page 893

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

TB0057 142 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 2,745,000             2,745,000             5,494,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             3,740,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 142 WING COMMAND TURBAT                    2,785,000           2,785,000           5,531,000
TB0060 COMMANDANT DASHT SCOUTS WING COMMAND TURBAT
032106- A03    Operating Expenses                               15,256,000            15,256,000            17,172,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000             3,366,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000
032106- A039   General                                              3,850,000             3,850,000             4,451,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDANT DASHT SCOUTS WING           15,296,000         15,296,000          17,209,000
         COMMAND TURBAT
TB0061 OC HQ WING TURBAT
032106- A03    Operating Expenses                               88,972,000            88,972,000            83,471,000
032106- A033     Utilities                                             80,000,000            80,000,000            74,800,000
032106- A039   General                                              8,972,000             8,972,000             8,671,000
        Total- OC HQ WING TURBAT                           88,972,000         88,972,000          83,471,000
TB0062 CO FCIU TURBAT
032106- A03    Operating Expenses                                 1,916,000             1,916,000             2,681,000
032106- A032   Communications                                     766,000              766,000             1,465,000
032106- A039   General                                              1,150,000             1,150,000             1,216,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- CO FCIU TURBAT                                1,956,000           1,956,000           2,718,000
TB0063 105 WING COMMANDER TURBAT
032106- A03    Operating Expenses                                 2,745,000             2,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000

Page 894

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A033     Utilities                                               1,000,000             1,000,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 105 WING COMMANDER TURBAT                 2,785,000           2,785,000           1,791,000
TB0077 145 WING COMMAND WASHUK
032106- A03    Operating Expenses                                                                             1,754,000
032106- A032   Communications                                                                               342,000
032106- A038    Travel & Transportation                                                                         748,000
032106- A039   General                                                                                        664,000
032106- A13    Repairs and Maintenance                                                                        37,000
032106- A137   Computer Equipment                                                                             37,000
        Total- 145 WING COMMAND WASHUK                                                           1,791,000
TB2001 83 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 2,745,000             2,745,000             6,429,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             4,675,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 83 WING COMMAND TURBAT                     2,785,000           2,785,000           6,466,000
TB3001 61 WING COMMAND TURBAT
032106- A03    Operating Expenses                                 2,745,000             2,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 61 WING COMMAND TURBAT                     2,785,000           2,785,000           1,791,000

Page 895

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

TB3906 HQ FRONTIER CORPS BALOCHISTAN SOUTHBAL
032106- A01    Employees Related Expenses                  10,348,378,000        14,344,756,000        14,344,906,000
032106- A011   Pay                                               5,496,714,000         6,963,450,000         6,963,600,000
032106- A011-1 Pay of Officers                                 (255,752,000)       (357,500,000)       (357,500,000)
032106- A011-2 Pay of Other Staff                            (5,240,962,000)      (6,605,950,000)      (6,606,100,000)
032106- A012   Allowances                                       4,851,664,000         7,381,306,000         7,381,306,000
032106- A012-1  Regular Allowances                          (4,675,026,000)      (7,087,537,000)      (7,087,537,000)
032106- A012-2  Other Allowances (Excluding TA)                (176,638,000)       (293,769,000)       (293,769,000)
032106- A03    Operating Expenses                             4,344,580,000         4,344,580,000         5,897,913,000
032106- A032   Communications                                    10,680,000            10,680,000             9,799,000
032106- A033     Utilities                                             54,800,000            54,800,000             5,376,000
032106- A034   Occupancy Costs                                                                                3,740,000
032106- A038    Travel & Transportation                            711,100,000          711,100,000         1,144,581,000
032106- A039   General                                          3,568,000,000         3,568,000,000         4,734,417,000
032106- A05    Grants, Subsidies and Write off Loans            215,000,000          215,000,000          404,000,000
032106- A052   Grants Domestic                                  215,000,000          215,000,000          404,000,000
032106- A09    Physical Assets                                  2,397,167,000         2,397,167,000         2,184,850,000
032106- A092   Computer Equipment                                 7,000,000             7,000,000             7,527,000
032106- A094   Other Stores and Stocks                              1,000,000             1,000,000              935,000
032106- A095   Purchase of Transport                             200,000,000          200,000,000          215,050,000
032106- A096   Purchase of Plant and Machinery                  260,100,000          260,100,000          360,876,000
032106- A097   Purchase of Furniture and Fixture                   30,000,000            30,000,000            27,348,000
032106- A098   Purchase of Other Assets                         1,899,067,000         1,899,067,000         1,573,114,000
032106- A13    Repairs and Maintenance                          13,600,000            13,600,000            13,768,000
032106- A131   Machinery and Equipment                            9,200,000             9,200,000             9,654,000
032106- A132    Furniture and Fixture                                 4,000,000             4,000,000             3,740,000
032106- A137   Computer Equipment                                 400,000              400,000              374,000
        Total- HQ FRONTIER CORPS BALOCHISTAN       17,318,725,000      21,315,103,000      22,845,437,000
          SOUTH
TB3907 COMMANDING OFFICER FRONTIER CORPS MAKRAN SCOUT TURBAT
032106- A03    Operating Expenses                               19,456,000            19,456,000            62,145,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000            46,750,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000

Page 896

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032106- A039   General                                              8,050,000             8,050,000             6,040,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDING OFFICER FRONTIER             19,496,000         19,496,000          62,182,000
          CORPS MAKRAN SCOUT TURBAT
TB3908 SECTOR COMMANDANT HQ SOUTH AT TURBAT
032106- A03    Operating Expenses                                 1,750,000             1,750,000             1,832,000
032106- A032   Communications                                     400,000              400,000              374,000
032106- A038    Travel & Transportation                               600,000              600,000              654,000
032106- A039   General                                              750,000              750,000              804,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- SECTOR COMMANDANT HQ SOUTH AT           1,790,000           1,790,000           1,869,000
          TURBAT
TB5000 COMMANDANT AWARAN MILITIA TURBAT
032106- A03    Operating Expenses                               15,256,000            15,256,000            16,376,000
032106- A032   Communications                                     606,000              606,000              566,000
032106- A033     Utilities                                               2,400,000             2,400,000             2,337,000
032106- A038    Travel & Transportation                               8,400,000             8,400,000             8,789,000
032106- A039   General                                              3,850,000             3,850,000             4,684,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- COMMANDANT AWARAN MILITIA                15,296,000         15,296,000          16,413,000
          TURBAT
TB8500 116-WING COMMAND
032106- A03    Operating Expenses                                                                             4,559,000
032106- A032   Communications                                                                               342,000
032106- A033     Utilities                                                                                           2,805,000
032106- A038    Travel & Transportation                                                                         748,000
032106- A039   General                                                                                        664,000
032106- A13    Repairs and Maintenance                                                                        37,000
032106- A137   Computer Equipment                                                                             37,000
        Total- 116-WING COMMAND                                                                    4,596,000

Page 897

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

TB8503 119-WING COMMANDANT
032106- A03    Operating Expenses                                                                             1,754,000
032106- A032   Communications                                                                               342,000
032106- A038    Travel & Transportation                                                                         748,000
032106- A039   General                                                                                        664,000
032106- A13    Repairs and Maintenance                                                                        37,000
032106- A137   Computer Equipment                                                                             37,000
        Total- 119-WING COMMANDANT                                                                1,791,000
UL0013 128 WING COMMAND UTHAL
032106- A03    Operating Expenses                                 1,745,000             1,745,000             1,754,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 128 WING COMMAND UTHAL                     1,785,000           1,785,000           1,791,000
UL3001 54 WING COMMAND UTHAL
032106- A03    Operating Expenses                                 2,745,000             2,745,000             8,766,000
032106- A032   Communications                                     343,000              343,000              342,000
032106- A033     Utilities                                               1,000,000             1,000,000             7,012,000
032106- A038    Travel & Transportation                               800,000              800,000              748,000
032106- A039   General                                              602,000              602,000              664,000
032106- A13    Repairs and Maintenance                              40,000               40,000               37,000
032106- A137   Computer Equipment                                   40,000               40,000               37,000
        Total- 54 WING COMMAND UTHAL                      2,785,000           2,785,000           8,803,000
WS0013 145 WING COMMAND WASHUK
032106- A03    Operating Expenses                                                       1,143,000             1,754,000
032106- A032   Communications                                                          343,000              342,000
032106- A038    Travel & Transportation                                                    800,000              748,000
032106- A039   General                                                                                        664,000
032106- A13    Repairs and Maintenance                                                                        37,000
032106- A137   Computer Equipment                                                                             37,000
        Total- 145 WING COMMAND WASHUK                                       1,143,000           1,791,000

Page 898

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

ZB3907 COMMANDING OFFICER FRONTIER CORPS ZHOB
032106- A01    Employees Related Expenses                   1,622,840,000         1,420,469,000         1,390,988,000
032106- A011   Pay                                               888,751,000          782,947,000          626,431,000
032106- A011-1 Pay of Officers                                  (32,243,000)         (28,881,000)         (25,704,000)
032106- A011-2 Pay of Other Staff                              (856,508,000)       (754,066,000)       (600,727,000)
032106- A012   Allowances                                        734,089,000          637,522,000          764,557,000
032106- A012-1  Regular Allowances                            (728,162,000)       (632,162,000)       (761,462,000)
032106- A012-2  Other Allowances (Excluding TA)                  (5,927,000)          (5,360,000)          (3,095,000)
032106- A03    Operating Expenses                              282,962,000          282,514,000            88,287,000
032106- A032   Communications                                     787,000              678,000              720,000
032106- A033     Utilities                                             24,165,000            21,751,000            21,972,000
032106- A038    Travel & Transportation                             50,642,000            53,256,000            57,269,000
032106- A039   General                                           207,368,000          206,829,000             8,326,000
032106- A13    Repairs and Maintenance                            1,671,000             1,444,000             1,439,000
032106- A130    Transport                                             1,609,000             1,382,000             1,402,000
032106- A132    Furniture and Fixture                                   19,000               19,000               14,000
032106- A137   Computer Equipment                                   43,000               43,000               23,000
        Total- COMMANDING OFFICER FRONTIER           1,907,473,000       1,704,427,000       1,480,714,000
          CORPS ZHOB
     032106   Total-  Frontier Watch and Ward               41,348,048,000      46,335,742,000      52,247,564,000
032111 Training  :
LI3908 COMMADING FC TRINING CENTER LORALAI
032111- A01    Employees Related Expenses                    195,182,000          267,133,000          407,922,000
032111- A011   Pay                                               108,245,000          137,365,000          213,195,000
032111- A011-1 Pay of Officers                                    (7,855,000)          (7,955,000)         (13,115,000)
032111- A011-2 Pay of Other Staff                              (100,390,000)       (129,410,000)       (200,080,000)
032111- A012   Allowances                                         86,937,000          129,768,000          194,727,000
032111- A012-1  Regular Allowances                             (85,670,000)       (128,501,000)       (193,920,000)
032111- A012-2  Other Allowances (Excluding TA)                  (1,267,000)          (1,267,000)            (807,000)
032111- A03    Operating Expenses                              194,048,000          194,048,000            59,088,000
032111- A032   Communications                                     173,000              173,000              257,000
032111- A033     Utilities                                             10,000,000            10,000,000            15,427,000
032111- A038    Travel & Transportation                             11,689,000            11,689,000            29,078,000

Page 899

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

032111- A039   General                                           172,186,000          172,186,000            14,326,000
032111- A04    Employees Retirement Benefits                     1,000,000             1,000,000             1,000,000
032111- A041   Pension                                              1,000,000             1,000,000             1,000,000
032111- A13    Repairs and Maintenance                            2,115,000             2,115,000             2,936,000
032111- A130    Transport                                             2,000,000             2,000,000             2,805,000
032111- A131   Machinery and Equipment                              75,000               75,000               84,000
032111- A132    Furniture and Fixture                                   40,000               40,000               47,000
        Total- COMMADING FC TRINING CENTER             392,345,000        464,296,000        470,946,000
           LORALAI
     032111   Total-  TRAINING                              392,345,000        464,296,000        470,946,000
     0321     Total-  Police                                41,740,393,000      46,800,038,000      52,718,510,000
     032      Total-  Police                                41,740,393,000      46,800,038,000      52,718,510,000
     03        Total-  Public Order And Safety Affairs         41,740,393,000      46,800,038,000      52,718,510,000
07      Health:
074    Public Health Services:
0741   Public Health Services:
074120 Others (other Health Facilities and Preventive Measures) :
KR3923 ACCOUNTS OFFICER F.C BALOCHISTAN
074120- A01    Employees Related Expenses                       4,750,000
074120- A011   Pay                                                  2,500,000
074120- A011-2 Pay of Other Staff                                 (2,500,000)
074120- A012   Allowances                                           2,250,000
074120- A012-1  Regular Allowances                               (2,250,000)
074120- A03    Operating Expenses                                 265,000
074120- A038    Travel & Transportation                               100,000
074120- A039   General                                              165,000
        Total- ACCOUNTS OFFICER F.C                         5,015,000
           BALOCHISTAN
KU3923 ACCOUNTS OFFICER F.C BALOCHISTAN
074120- A01    Employees Related Expenses                       1,491,000              761,000              965,000
074120- A011   Pay                                                  821,000              321,000              500,000
074120- A011-2 Pay of Other Staff                                  (821,000)            (321,000)            (500,000)
074120- A012   Allowances                                           670,000              440,000              465,000
074120- A012-1  Regular Allowances                                (670,000)            (440,000)            (465,000)

Page 900

NO. 060.- FC21C07 COMBINED CIVIL ARMED FORCES                         DEMANDS FOR GRANTS
                                 No of Posts        2021-2022         2021-2022        2022-2023
                                       2021-22 2022-23       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

074120- A03    Operating Expenses                                 165,000
074120- A038    Travel & Transportation                               100,000
074120- A039   General                                                65,000
        Total- ACCOUNTS OFFICER F.C                         1,656,000            761,000            965,000
           BALOCHISTAN
NI3923 ACCOUNTS OFFICER F.C BALOCHISTAN
074120- A01    Employees Related Expenses                       4,740,000             2,554,000             3,868,000
074120- A011   Pay                                                  3,000,000             1,300,000             2,000,000
074120- A011-2 Pay of Other Staff                                 (3,000,000)          (1,300,000)          (2,000,000)
074120- A012   Allowances                                           1,740,000             1,254,000             1,868,000
074120- A012-1  Regular Allowances                               (1,740,000)          (1,254,000)          (1,868,000)
074120- A03    Operating Expenses                                 265,000
074120- A038    Travel & Transportation                               100,000
074120- A039   General                                              165,000
        Total- ACCOUNTS OFFICER F.C                         5,005,000           2,554,000           3,868,000
           BALOCHISTAN
QA3103 ADMS FC BALOCHISTAN (NORTH)
074120- A01    Employees Related Expenses                       1,270,000             1,029,000             1,268,000
074120- A011   Pay                                                  500,000              480,000              600,000
074120- A011-2 Pay of Other Staff                                  (500,000)            (480,000)            (600,000)
074120- A012   Allowances                                           770,000              549,000              668,000
074120- A012-1  Regular Allowances                                (770,000)            (549,000)            (668,000)
074120- A03    Operating Expenses                                 267,000
074120- A038    Travel & Transportation                               100,000
074120- A039   General                                              167,000
        Total- ADMS FC BALOCHISTAN (NORTH)                1,537,000           1,029,000           1,268,000
QD3923 ACCOUNTS OFFICER F.C BALOCHISTAN
074120- A01    Employees Related Expenses                       2,730,000             1,812,000             2,285,000
074120- A011   Pay                                                  1,500,000              800,000             1,000,000
074120- A011-2 Pay of Other Staff                                 (1,500,000)            (800,000)          (1,000,000)
074120- A012   Allowances                                           1,230,000             1,012,000             1,285,000
074120- A012-1  Regular Allowances                               (1,230,000)          (1,012,000)          (1,285,000)
074120- A03    Operating Expenses                                 265,000