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Details of Demands for Grants and Appropriations - Vol-II (Current Expenditure)

FY 2025-26Details of demandsPages 1 to 100 of 904

The Details of Demands for Grants and Appropriations - Vol-II (Current Expenditure) is part of the federal budget for FY 2025-26. This page reproduces the text of its 904 PDF pages, extracted automatically from the official PDF published by the Finance Division, Government of Pakistan.

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Page 1

                         For Departmental use only

 FEDERAL
BUDGET
   2025-2026
DETAILS OF DEMANDS
  FOR GRANTS AND
  APPROPRIATIONS
    VOLUME II
  Current Expenditure

    Government of Pakistan
       Finance Division
          Islamabad

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                  PREFACE

       This publication, “Details of Demands for Grants and Appropriations 2025-26” has
been prepared for facilitating accounts offices and budget utilizing entities. The revised
estimates for FY2024-25 are based on the information available in AGPR system as of 16th
May, 2025, while budget estimates for FY2025-26 is a collection of budget orders/new item
statements. The budget estimates for FY2025-26 provide for salary increase, reflected in
separate cost centres under each demand. This will be utilized in consultation with Finance
Division.

             This budget document provides complete details of current expenditures, with
a clear distinction between expenditures on revenue and expenditures on capital account.
Estimated expenditures are reported on gross basis, and where any receipt or recovery is
expected, the estimated reduction in expenditure is reflected below the relevant demand. The
classification system adopted in this publication allows for viewing information from several
perspectives. The functional classification provides information on the purpose for which the
money will be spent e.g. public service, while the object classification gives expenditures like
employees related expenses, utilities etc. The publication covers subdetail-level information
of functional classification and minor heads-level for object classification.

      The accounting offices, which process payments against budgeted amounts, are also
identified with each Demands for Grants and Appropriations. This book, therefore, is a
reference point for expenditure management and control for Ministries, Divisions and PAOs.

                                  IMDAD ULLAH BOSAL
                                                   Secretary to the Government of Pakistan

Finance Division
Islamabad, June, 2025

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PART I. CURRENT EXPENDITURE :
X - FINANCE AND REVENUE, MINISTRY OF-                     Pages
    43  Finance Division                                        949
    44  Other Expenditure of Finance Division                       958
    45  Controller General of Accounts                            999
    46  Superannuation Allowances and Pensions                   1057
    47  Grants, Subsidies and Miscellaneous Expenditure             1066
    48  Revenue Division                                      1085
    49  Federal Board of Revenue                               1088

XI - FOREIGN AFFAIRS, MINISTRY OF -
    50  Foreign Affairs Division                                  1245
    51  Foreign Missions                                       1257

XII - HOUSING AND WORKS, MINISTRY OF  -
    52  Housing and Works Division                              1365

XIII - HUMAN RIGHTS, MINISTRY OF  -
    53  Human Rights Division                                  1415
    54  National Commission for Human Rights                     1434
    55  National Commission on the Rights of Child                  1436
    56  National Commission on the Status of Women                1438

XIV- INDUSTRIES AND PRODUCTION, MINISTRY OF -
    57  Industries and Production Division                         1443

XV - INFORMATION AND BROADCASTING, MINISTRY OF-
    58  Information and Broadcasting Division                      1455
    59  Miscellaneous Expenditure of Information and
         Broadcasting Division                                   1501

                                                         (i)

Page 6

XVI - INFORMATION TECHNOLOGY AND TELECOMMUNICATION,    Pages
    MINISTRY OF-
    60  Information Technology and Telecommunication Division       1509

XVII - INTERIOR AND NARCOTICS CONTROL, MINISTRY OF-
    61   Interior & Narcotics Control Division                        1519
    62  Other Expenditure of Interior Division                       1623
    63  Islamabad Capital Territory (ICT)                          1680
    64  Combined Civil Armed Forces                             1729
    65  National Counter Terrorism Authority                       1803

XVIII - INTER - PROVINCIAL COORDINATION, MINISTRY OF-
    66   Inter - Provincial Coordination Division                      1807

XIX - KASHMIR AFFAIRS, GILGIT - BALTISTAN AND STATE,
    AND FRONTIER REGIONS, MINISTRY OF -
    67  Kashmir Affairs, Gilgit - Baltistan and States and Frontier
        Regions Division                                       1821

                                                          (ii)

Page 7

                                SECTION X
                       MINISTRY OF FINANCE AND REVENUE
                                                       **********

                                                                          2025-2026
                                                                      Budget
                                                                            Estimate
                                                                (Rupees in Thousand)
Demands Presented on behalf of the Ministry of
Finance and Revenue
Current Expenditure on Revenue Account.
       43  Finance Division                                                       4,821,789
       44  Other Expenditure of Finance Division                                   8,690,682

       45   Controller General of Accounts                                        13,811,965
       46  Superannuation Allowances And Pensions                           1,055,000,000
       47  Grants Subsidies and Miscellanious Expenditure                     1,896,345,000

       48  Revenue Division                                                      101,517
       49  Federal Board of Revenue                                             83,099,626

                                                                      Total:           3,061,870,579

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NO. 043.- FINANCE DIVISION                                         DEMANDS FOR GRANTS
                                DEMAND NO. 043
                                                                            ( FC21F05 )
                                    FINANCE DIVISION

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2026 to defray the Salaries and Other
Expenses of the FINANCE DIVISION.

                                Voted           Rs. 4,821,789,000

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

                                                           2024-2025         2024-2025         2025-2026
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
011    Executive & Legislative Organs,Financial and Fiscal         4,391,619,000         3,738,775,000         4,821,789,000
         Affairs, External Affairs
               Total                                               4,391,619,000         3,738,775,000         4,821,789,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                        3,076,549,000       2,714,096,000       3,150,610,000
A011  Pay                                                        1,178,392,000         1,039,823,000         1,227,031,000
A011-1 Pay of Officers                                               (665,578,000)         (672,446,000)         (760,055,000)
A011-2 Pay of Other Staff                                            (512,814,000)         (367,377,000)         (466,976,000)
A012  Allowances                                                 1,898,157,000         1,674,273,000         1,923,579,000
A012-1 Regular Allowances                                         (1,438,137,000)        (1,215,222,000)        (1,484,937,000)
A012-2 Other Allowances (Excluding TA)                             (460,020,000)         (459,051,000)         (438,642,000)
A03   Operating Expenses                                  860,660,000        676,485,000       1,089,913,000
A04   Employees Retirement Benefits                         75,274,000         86,274,000         94,395,000
A05   Grants, Subsidies and Write off Loans                   43,700,000         43,600,000         38,900,000
A09   Physical Assets                                      272,943,000         81,580,000        301,802,000
A13   Repairs and Maintenance                               62,493,000        136,740,000        146,169,000
               Total                                         4,391,619,000       3,738,775,000       4,821,789,000

Page 10

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2024-2025         2024-2025       2025-2026
                                       2024-25 2025-26       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES
01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
IB2451 CAPACITY BUILDING AND TECHNICAL ASSISTANCE
011204- A03    Operating Expenses                               26,000,000
011204- A037   Consultancy and Contractual Work                  26,000,000
        Total- CAPACITY BUILDING AND TECHNICAL          26,000,000
           ASSISTANCE
IB3808 MEDICAL EMERGENCY
011204- A03    Operating Expenses                                                                           50,000,000
011204- A039   General                                                                                        50,000,000
        Total- MEDICAL EMERGENCY                                                                50,000,000
IB3814 INSTITUTIONAL STRENGTHEN OF FINANCE DIVISION
011204- A03    Operating Expenses                                                                           20,000,000
011204- A039   General                                                                                        20,000,000
        Total- INSTITUTIONAL STRENGTHEN OF                                                      20,000,000
           FINANCE DIVISION
IB5237 CAPACITY BUILDING TRAINING AND IT IMPROVEMENT
011204- A03    Operating Expenses                              200,000,000            67,640,000          200,000,000
011204- A039   General                                           200,000,000            67,640,000          200,000,000
        Total- CAPACITY BUILDING TRAINING AND IT         200,000,000         67,640,000        200,000,000
          IMPROVEMENT
IB9248 PROVISION FOR INCREASE IN PAY AND ALLOWANCES (FINANCE DIVISION)
011204- A01    Employees Related Expenses                    341,237,000                                 92,296,000
011204- A012   Allowances                                        341,237,000                                 92,296,000
011204- A012-1  Regular Allowances                            (341,237,000)                             (92,296,000)
        Total- PROVISION FOR INCREASE IN PAY AND        341,237,000                             92,296,000
          ALLOWANCES (FINANCE DIVISION)
ID1013 FINANCE DIVISION ( MAIN)
011204- A01    Employees Related Expenses                   2,136,535,000         2,136,535,000         2,419,141,000
011204- A011   Pay                    1419   1319          925,094,000          800,884,000          958,012,000
011204- A011-1 Pay of Officers             (493)   (505)       (555,051,000)       (572,812,000)       (643,193,000)

Page 11

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011204- A011-2 Pay of Other Staff          (926)   (814)       (370,043,000)       (228,072,000)       (314,819,000)
011204- A012   Allowances                                       1,211,441,000         1,335,651,000         1,461,129,000
011204- A012-1  Regular Allowances                            (836,441,000)       (960,440,000)      (1,112,129,000)
011204- A012-2  Other Allowances (Excluding TA)                (375,000,000)       (375,211,000)       (349,000,000)
011204- A03    Operating Expenses                              474,000,000          474,175,000          641,643,000
011204- A032   Communications                                    28,000,000            27,800,000            31,000,000
011204- A033     Utilities                                             42,400,000            28,000,000            39,000,000
011204- A034   Occupancy Costs                                  180,700,000          180,200,000          251,000,000
011204- A038    Travel & Transportation                             83,400,000            80,780,000            94,000,000
011204- A039   General                                           139,500,000          157,395,000          226,643,000
011204- A04    Employees Retirement Benefits                    61,000,000            73,000,000            82,000,000
011204- A041   Pension                                            61,000,000            73,000,000            82,000,000
011204- A05    Grants, Subsidies and Write off Loans             31,600,000            31,600,000            31,600,000
011204- A052   Grants Domestic                                    31,600,000            31,600,000            31,600,000
011204- A09    Physical Assets                                   233,323,000            69,299,000          285,187,000
011204- A092   Computer Equipment                              180,000,000            48,299,000          216,000,000
011204- A095   Purchase of Transport                              23,000,000                                 30,000,000
011204- A096   Purchase of Plant and Machinery                    24,323,000                                 29,187,000
011204- A097   Purchase of Furniture and Fixture                     6,000,000            21,000,000            10,000,000
011204- A13    Repairs and Maintenance                          33,200,000          110,613,000          120,400,000
011204- A130    Transport                                             5,000,000             4,713,000             7,000,000
011204- A131   Machinery and Equipment                            5,600,000            11,600,000            67,200,000
011204- A132    Furniture and Fixture                                 3,600,000             7,600,000             6,000,000
011204- A133    Buildings and Structure                             15,000,000            73,200,000            30,000,000
011204- A137   Computer Equipment                                 4,000,000            13,500,000            10,200,000
        Total- FINANCE DIVISION ( MAIN)                    2,969,658,000       2,895,222,000       3,579,971,000
ID1028 FINANCE DIVISION (MILITARY) RAWALPINDI
011204- A01    Employees Related Expenses                    354,567,000          344,472,000          362,019,000
011204- A011   Pay                     286    287          139,884,000          129,789,000          131,937,000
011204- A011-1 Pay of Officers               (70)    (71)         (91,051,000)         (80,956,000)         (93,130,000)
011204- A011-2 Pay of Other Staff          (216)   (216)         (48,833,000)         (48,833,000)         (38,807,000)
011204- A012   Allowances                                        214,683,000          214,683,000          230,082,000
011204- A012-1  Regular Allowances                            (150,733,000)       (150,733,000)       (166,032,000)

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NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011204- A012-2  Other Allowances (Excluding TA)                 (63,950,000)         (63,950,000)         (64,050,000)
011204- A03    Operating Expenses                               58,030,000            47,762,000            62,050,000
011204- A032   Communications                                     2,830,000             2,800,000             2,850,000
011204- A034   Occupancy Costs                                   45,000,000            33,837,000            45,000,000
011204- A038    Travel & Transportation                               5,400,000             4,500,000             7,100,000
011204- A039   General                                              4,800,000             6,625,000             7,100,000
011204- A04    Employees Retirement Benefits                    13,624,000            12,624,000             9,500,000
011204- A041   Pension                                            13,624,000            12,624,000             9,500,000
011204- A05    Grants, Subsidies and Write off Loans             12,100,000            12,000,000             7,300,000
011204- A052   Grants Domestic                                    12,100,000            12,000,000             7,300,000
011204- A09    Physical Assets                                      2,100,000             1,355,000             2,300,000
011204- A092   Computer Equipment                                 800,000              855,000             1,000,000
011204- A096   Purchase of Plant and Machinery                      800,000              500,000              800,000
011204- A097   Purchase of Furniture and Fixture                     500,000                                   500,000
011204- A13    Repairs and Maintenance                            1,750,000             1,800,000             2,250,000
011204- A130    Transport                                            450,000              450,000              450,000
011204- A131   Machinery and Equipment                             500,000              500,000              600,000
011204- A132    Furniture and Fixture                                  500,000              250,000              600,000
011204- A137   Computer Equipment                                 300,000              600,000              600,000
        Total- FINANCE DIVISION (MILITARY)                 442,171,000        420,013,000        445,419,000
           RAWALPINDI
     011204   Total-  Administration of Financial Affairs         3,979,066,000       3,382,875,000       4,387,686,000
     0112     Total-  Financial and Fiscal Affairs              3,979,066,000       3,382,875,000       4,387,686,000
     011      Total-  Executive & Legislative                  3,979,066,000       3,382,875,000       4,387,686,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  3,979,066,000       3,382,875,000       4,387,686,000
               Total- ACCOUNTANT GENERAL                 3,979,066,000         3,382,875,000         4,387,686,000
                PAKISTAN REVENUES

Page 13

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
PR0078 FINANCIAL ADVISOR AIR FORCE PESHAWAR
011204- A01    Employees Related Expenses                      35,826,000            34,426,000            36,350,000
011204- A011   Pay                      26     26           15,629,000            14,229,000            16,863,000
011204- A011-1 Pay of Officers                  (7)      (7)          (8,941,000)          (8,941,000)         (11,113,000)
011204- A011-2 Pay of Other Staff            (19)    (19)          (6,688,000)          (5,288,000)          (5,750,000)
011204- A012   Allowances                                         20,197,000            20,197,000            19,487,000
011204- A012-1  Regular Allowances                             (19,347,000)         (19,347,000)         (18,637,000)
011204- A012-2  Other Allowances (Excluding TA)                    (850,000)            (850,000)            (850,000)
011204- A03    Operating Expenses                                 6,712,000             4,812,000             6,925,000
011204- A032   Communications                                     143,000              143,000              144,000
011204- A034   Occupancy Costs                                     4,000,000             2,100,000             4,000,000
011204- A038    Travel & Transportation                               2,069,000             2,069,000             2,070,000
011204- A039   General                                              500,000              500,000              711,000
011204- A04    Employees Retirement Benefits                      450,000              450,000             1,400,000
011204- A041   Pension                                              450,000              450,000             1,400,000
011204- A13    Repairs and Maintenance                            150,000              150,000              150,000
011204- A131   Machinery and Equipment                             150,000              150,000              150,000
        Total- FINANCIAL ADVISOR AIR FORCE                43,138,000         39,838,000          44,825,000
          PESHAWAR
     011204   Total-  Administration of Financial Affairs           43,138,000         39,838,000         44,825,000
     0112     Total-  Financial and Fiscal Affairs                 43,138,000         39,838,000         44,825,000
     011      Total-  Executive & Legislative                    43,138,000         39,838,000         44,825,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                    43,138,000         39,838,000         44,825,000
               Total- ACCOUNTANT GENERAL                    43,138,000            39,838,000            44,825,000
                PAKISTAN REVENUES
                  SUB-OFFICE, PESHAWAR

Page 14

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011204 Administration of Financial Affairs  :
HQ0387 ECONOMIC MINISTER AND FINANCIAL ADVISER WASHINGTON USA
011204- A01    Employees Related Expenses                      81,486,000            78,416,000            84,436,000
011204- A011   Pay                       4      4           50,700,000            48,860,000            52,700,000
011204- A011-1 Pay of Officers                  (1)      (1)          (2,700,000)          (2,310,000)          (4,200,000)
011204- A011-2 Pay of Other Staff               (3)      (3)         (48,000,000)         (46,550,000)         (48,500,000)
011204- A012   Allowances                                         30,786,000            29,556,000            31,736,000
011204- A012-1  Regular Allowances                             (22,286,000)         (19,956,000)         (22,336,000)
011204- A012-2  Other Allowances (Excluding TA)                  (8,500,000)          (9,600,000)          (9,400,000)
011204- A03    Operating Expenses                               13,915,000            16,666,000            20,030,000
011204- A032   Communications                                     1,820,000             3,571,000             4,450,000
011204- A033     Utilities                                               3,650,000             3,850,000             4,000,000
011204- A034   Occupancy Costs                                      25,000                 1,000               30,000
011204- A035   Operating Leases                                     170,000              290,000              300,000
011204- A036   Motor Vehicles                                       750,000             1,250,000              900,000
011204- A038    Travel & Transportation                               2,500,000             2,651,000             4,050,000
011204- A039   General                                              5,000,000             5,053,000             6,300,000
011204- A09    Physical Assets                                    14,655,000             6,650,000             5,000,000
011204- A092   Computer Equipment                                 655,000                 2,000             1,000,000
011204- A095   Purchase of Transport                              12,000,000             1,001,000
011204- A096   Purchase of Plant and Machinery                     1,900,000                 1,000             2,500,000
011204- A097   Purchase of Furniture and Fixture                     100,000             5,646,000             1,500,000
011204- A13    Repairs and Maintenance                          18,050,000            16,501,000            13,100,000
011204- A130    Transport                                             2,500,000              724,000             1,600,000
011204- A131   Machinery and Equipment                            3,500,000             2,067,000             2,500,000
011204- A132    Furniture and Fixture                                  150,000              150,000              600,000
011204- A133    Buildings and Structure                             11,600,000            13,360,000             8,000,000
011204- A137   Computer Equipment                                 300,000              200,000              400,000
        Total- ECONOMIC MINISTER AND FINANCIAL         128,106,000        118,233,000        122,566,000
           ADVISER WASHINGTON USA

Page 15

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

HQ3305 ECONOMIC MINISTER/COUNSELLOR EMBASSY OF PAKISTAN TOKYO JAPAN
011204- A01    Employees Related Expenses                      48,120,000            35,487,000            54,140,000
011204- A011   Pay                       3      3           22,500,000            13,251,000            27,520,000
011204- A011-1 Pay of Officers                  (1)      (1)          (2,500,000)          (2,267,000)          (2,520,000)
011204- A011-2 Pay of Other Staff               (2)      (2)         (20,000,000)         (10,984,000)         (25,000,000)
011204- A012   Allowances                                         25,620,000            22,236,000            26,620,000
011204- A012-1  Regular Allowances                             (21,020,000)         (19,323,000)         (21,020,000)
011204- A012-2  Other Allowances (Excluding TA)                  (4,600,000)          (2,913,000)          (5,600,000)
011204- A03    Operating Expenses                               20,470,000            10,971,000            20,370,000
011204- A032   Communications                                     2,550,000             1,599,000             2,650,000
011204- A033     Utilities                                               2,050,000             1,605,000             2,100,000
011204- A034   Occupancy Costs                                                           25,000
011204- A036   Motor Vehicles                                       700,000              374,000              700,000
011204- A038    Travel & Transportation                               3,820,000              828,000             3,320,000
011204- A039   General                                             11,350,000             6,540,000            11,600,000
011204- A09    Physical Assets                                    14,500,000             3,500,000             1,500,000
011204- A095   Purchase of Transport                              10,000,000
011204- A096   Purchase of Plant and Machinery                     1,000,000                                   1,000,000
011204- A097   Purchase of Furniture and Fixture                     3,500,000             3,500,000              500,000
011204- A13    Repairs and Maintenance                            3,525,000             2,100,000             3,520,000
011204- A130    Transport                                             1,000,000                                   1,000,000
011204- A131   Machinery and Equipment                             300,000              100,000              300,000
011204- A132    Furniture and Fixture                                  225,000                                   220,000
011204- A133    Buildings and Structure                               2,000,000             2,000,000             2,000,000
        Total- ECONOMIC MINISTER/COUNSELLOR            86,615,000         52,058,000          79,530,000
          EMBASSY OF PAKISTAN TOKYO JAPAN

HQ3355 ECONOMIC MINISTER EMBASSY OF PAKISTAN BEIJING CHINA
011204- A01    Employees Related Expenses                      40,394,000            37,069,000            44,300,000
011204- A011   Pay                       5      5           15,044,000            14,869,000            18,650,000
011204- A011-1 Pay of Officers                  (1)      (1)          (2,544,000)          (2,369,000)          (2,550,000)
011204- A011-2 Pay of Other Staff               (4)      (4)         (12,500,000)         (12,500,000)         (16,100,000)
011204- A012   Allowances                                         25,350,000            22,200,000            25,650,000

Page 16

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

011204- A012-1  Regular Allowances                             (20,000,000)         (19,100,000)         (20,000,000)
011204- A012-2  Other Allowances (Excluding TA)                  (5,350,000)          (3,100,000)          (5,650,000)
011204- A03    Operating Expenses                               22,688,000            19,438,000            23,028,000
011204- A032   Communications                                     914,000              833,000             1,084,000
011204- A033     Utilities                                               2,336,000             1,680,000             2,336,000
011204- A034   Occupancy Costs                                   12,500,000            10,870,000            12,660,000
011204- A036   Motor Vehicles                                       150,000              104,000              150,000
011204- A038    Travel & Transportation                               3,476,000             3,150,000             3,476,000
011204- A039   General                                              3,312,000             2,801,000             3,322,000
011204- A09    Physical Assets                                      450,000              450,000              450,000
011204- A096   Purchase of Plant and Machinery                      350,000              350,000              350,000
011204- A097   Purchase of Furniture and Fixture                     100,000              100,000              100,000
011204- A13    Repairs and Maintenance                            1,663,000             1,421,000             1,763,000
011204- A130    Transport                                            350,000              350,000              450,000
011204- A131   Machinery and Equipment                             300,000              300,000              300,000
011204- A132    Furniture and Fixture                                  300,000              205,000              300,000
011204- A133    Buildings and Structure                               511,000              500,000              511,000
011204- A137   Computer Equipment                                 202,000               66,000              202,000
        Total- ECONOMIC MINISTER EMBASSY OF             65,195,000         58,378,000          69,541,000
           PAKISTAN BEIJING CHINA
HQ3680 ECONOMIC MINISTER EMBASSY OF PAKISTAN LONDON UK
011204- A01    Employees Related Expenses                      38,384,000            47,691,000            57,928,000
011204- A011   Pay                       3      3            9,541,000            17,941,000            21,349,000
011204- A011-1 Pay of Officers                  (1)      (1)          (2,791,000)          (2,791,000)          (3,349,000)
011204- A011-2 Pay of Other Staff               (2)      (2)          (6,750,000)         (15,150,000)         (18,000,000)
011204- A012   Allowances                                         28,843,000            29,750,000            36,579,000
011204- A012-1  Regular Allowances                             (27,073,000)         (26,323,000)         (32,487,000)
011204- A012-2  Other Allowances (Excluding TA)                  (1,770,000)          (3,427,000)          (4,092,000)
011204- A03    Operating Expenses                               38,845,000            35,021,000            45,867,000
011204- A032   Communications                                     2,990,000             2,495,000             3,588,000
011204- A033     Utilities                                               685,000             1,485,000             1,204,000
011204- A034   Occupancy Costs                                   16,330,000            15,230,000            16,526,000
011204- A036   Motor Vehicles                                       900,000              700,000             1,080,000

Page 17

NO. 043.- FC21F05 FINANCE DIVISION                                   DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                     CHIEF ACCOUNTS OFFICER (MINISTRY OF FOREIGN AFFAIRS)

011204- A038    Travel & Transportation                             13,700,000             5,339,000            11,660,000
011204- A039   General                                              4,240,000             9,772,000            11,809,000
011204- A04    Employees Retirement Benefits                      200,000              200,000             1,495,000
011204- A041   Pension                                              200,000              200,000             1,495,000
011204- A09    Physical Assets                                      7,915,000              326,000             7,365,000
011204- A092   Computer Equipment                                 3,315,000              114,000             3,315,000
011204- A096   Purchase of Plant and Machinery                     2,300,000               81,000             2,050,000
011204- A097   Purchase of Furniture and Fixture                     2,300,000              131,000             2,000,000
011204- A13    Repairs and Maintenance                            4,155,000             4,155,000             4,986,000
011204- A130    Transport                                            500,000              500,000              600,000
011204- A131   Machinery and Equipment                            1,200,000             1,200,000             1,440,000
011204- A132    Furniture and Fixture                                  115,000              115,000              138,000
011204- A133    Buildings and Structure                               2,115,000             2,115,000             2,538,000
011204- A137   Computer Equipment                                 225,000              225,000              270,000
        Total- ECONOMIC MINISTER EMBASSY OF             89,499,000         87,393,000        117,641,000
           PAKISTAN LONDON UK
     011204   Total-  Administration of Financial Affairs          369,415,000        316,062,000        389,278,000
     0112     Total-  Financial and Fiscal Affairs                369,415,000        316,062,000        389,278,000
     011      Total-  Executive & Legislative                   369,415,000        316,062,000        389,278,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                   369,415,000        316,062,000        389,278,000
               Total- CHIEF ACCOUNTS OFFICER               369,415,000          316,062,000          389,278,000
                  (MINISTRY OF FOREIGN
                  AFFAIRS)
          TOTAL - DEMAND                             4,391,619,000       3,738,775,000       4,821,789,000

Page 18

NO. 044.- OTHER EXPENDITURE OF FINANCE DIVISION                       DEMANDS FOR GRANTS
                                DEMAND NO. 044
                                                                            ( FC21Y07 )
                        OTHER EXPENDITURE OF FINANCE DIVISION

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2026 to defray the Salaries and Other
Expenses of the OTHER EXPENDITURE OF FINANCE DIVISION.

                                Voted           Rs. 8,690,682,000

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

                                                           2024-2025         2024-2025         2025-2026
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
011    Executive & Legislative Organs,Financial and Fiscal         7,027,644,000         6,823,541,000         8,637,003,000
         Affairs, External Affairs
019    General Public Service Not Elsewhere Defined                48,696,000            39,456,000            53,679,000
               Total                                               7,076,340,000         6,862,997,000         8,690,682,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                        3,500,379,000       3,381,080,000       4,240,393,000
A011  Pay                                                        1,759,323,000         1,558,813,000         1,937,551,000
A011-1 Pay of Officers                                               (553,761,000)         (466,453,000)         (624,716,000)
A011-2 Pay of Other Staff                                           (1,205,562,000)        (1,092,360,000)        (1,312,835,000)
A012  Allowances                                                 1,741,056,000         1,822,267,000         2,302,842,000
A012-1 Regular Allowances                                         (1,551,329,000)        (1,638,299,000)        (2,088,056,000)
A012-2 Other Allowances (Excluding TA)                             (189,727,000)         (183,968,000)         (214,786,000)
A03   Operating Expenses                                 3,253,809,000       3,136,527,000       4,070,978,000
A04   Employees Retirement Benefits                         94,311,000        125,314,000         99,898,000
A05   Grants, Subsidies and Write off Loans                  142,450,000        152,616,000        174,051,000
A06   Transfers                                               100,000            100,000            100,000
A09   Physical Assets                                        31,664,000         10,702,000         33,664,000
A13   Repairs and Maintenance                               53,627,000         56,658,000         71,598,000
               Total                                         7,076,340,000       6,862,997,000       8,690,682,000

Page 19

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2024-2025         2024-2025       2025-2026
                                       2024-25 2025-26       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES
01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011203 National Savings  :
IB4100 CENTRAL DIRECTORATE OF NATIONAL SAVINGS ISLAMABAD (PUBLICITY)
011203- A03    Operating Expenses                               97,500,000            36,582,000          117,500,000
011203- A039   General                                             97,500,000            36,582,000          117,500,000
        Total- CENTRAL DIRECTORATE OF NATIONAL         97,500,000         36,582,000        117,500,000
           SAVINGS ISLAMABAD (PUBLICITY)
IB4101 DIRECTORATE OF INSPECTION & ACCOUNTS OFFICE ISLAMABAD
011203- A01    Employees Related Expenses                      31,609,000            29,545,000            45,219,000
011203- A011   Pay                      26     26           17,930,000            13,756,000            22,830,000
011203- A011-1 Pay of Officers               (10)    (10)         (11,581,000)          (8,349,000)         (15,188,000)
011203- A011-2 Pay of Other Staff            (16)    (16)          (6,349,000)          (5,407,000)          (7,642,000)
011203- A012   Allowances                                         13,679,000            15,789,000            22,389,000
011203- A012-1  Regular Allowances                             (12,029,000)         (14,170,000)         (20,339,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,650,000)          (1,619,000)          (2,050,000)
011203- A03    Operating Expenses                               15,342,000             8,815,000          255,814,000
011203- A032   Communications                                     232,000              252,000              245,000
011203- A033     Utilities                                               1,663,000             1,707,000             1,677,000
011203- A034   Occupancy Costs                                   12,300,000             5,146,000            12,300,000
011203- A038    Travel & Transportation                               637,000             1,197,000              932,000
011203- A039   General                                              510,000              513,000          240,660,000
011203- A04    Employees Retirement Benefits                     3,004,000             3,238,000              300,000
011203- A041   Pension                                              3,004,000             3,238,000              300,000
011203- A05    Grants, Subsidies and Write off Loans              8,200,000             7,842,000             8,200,000
011203- A052   Grants Domestic                                     8,200,000             7,842,000             8,200,000
011203- A13    Repairs and Maintenance                            300,000              350,000              300,000
011203- A130    Transport                                            100,000              100,000              100,000
011203- A131   Machinery and Equipment                             100,000              150,000              100,000
011203- A132    Furniture and Fixture                                  100,000              100,000              100,000
        Total- DIRECTORATE OF INSPECTION &               58,455,000         49,790,000        309,833,000
          ACCOUNTS OFFICE ISLAMABAD

Page 20

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

IB4102 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS ISLAMABAD
011203- A01    Employees Related Expenses                       3,688,000             3,677,000             7,808,000
011203- A011   Pay                       7      7            2,050,000             1,806,000             4,011,000
011203- A011-1 Pay of Officers                  (1)      (1)          (1,050,000)          (1,071,000)          (2,056,000)
011203- A011-2 Pay of Other Staff               (6)      (6)          (1,000,000)            (735,000)          (1,955,000)
011203- A012   Allowances                                           1,638,000             1,871,000             3,797,000
011203- A012-1  Regular Allowances                               (1,396,000)          (1,679,000)          (3,545,000)
011203- A012-2  Other Allowances (Excluding TA)                    (242,000)            (192,000)            (252,000)
011203- A03    Operating Expenses                                 1,324,000             1,267,000             1,606,000
011203- A032   Communications                                       76,000               93,000               82,000
011203- A034   Occupancy Costs                                     1,088,000              999,000             1,288,000
011203- A038    Travel & Transportation                                 81,000               56,000              131,000
011203- A039   General                                                79,000              119,000              105,000
011203- A04    Employees Retirement Benefits                       10,000                                     10,000
011203- A041   Pension                                               10,000                                     10,000
011203- A13    Repairs and Maintenance                              50,000              100,000               50,000
011203- A131   Machinery and Equipment                              25,000               50,000               25,000
011203- A132    Furniture and Fixture                                   25,000               50,000               25,000
        Total- REGIONAL ACCOUNTS OFFICE                   5,072,000           5,044,000           9,474,000
           NATIONAL SAVINGS ISLAMABAD
IB4103 CENTRAL DIRECTORATE OF NATIONAL SAVINGS ISLAMABAD
011203- A01    Employees Related Expenses                    181,696,000          202,133,000          223,006,000
011203- A011   Pay                     170    170           97,005,000            95,918,000          107,311,000
011203- A011-1 Pay of Officers               (55)    (55)         (60,977,000)         (59,739,000)         (64,626,000)
011203- A011-2 Pay of Other Staff          (115)   (115)         (36,028,000)         (36,179,000)         (42,685,000)
011203- A012   Allowances                                         84,691,000          106,215,000          115,695,000
011203- A012-1  Regular Allowances                             (74,691,000)         (96,269,000)       (104,895,000)
011203- A012-2  Other Allowances (Excluding TA)                 (10,000,000)          (9,946,000)         (10,800,000)
011203- A03    Operating Expenses                             1,007,427,000          694,455,000         1,937,318,000
011203- A032   Communications                                  154,117,000          133,105,000          148,240,000
011203- A033     Utilities                                             11,100,000            11,114,000            21,900,000
011203- A034   Occupancy Costs                                  124,500,000            98,188,000          192,000,000
011203- A036   Motor Vehicles                                       200,000              129,000              200,000

Page 21

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011203- A038    Travel & Transportation                               6,620,000             8,199,000             9,120,000
011203- A039   General                                           710,890,000          443,720,000         1,565,858,000
011203- A04    Employees Retirement Benefits                     1,500,000             2,767,000            19,423,000
011203- A041   Pension                                              1,500,000             2,767,000            19,423,000
011203- A05    Grants, Subsidies and Write off Loans             21,550,000             2,550,000            30,651,000
011203- A052   Grants Domestic                                    21,550,000             2,550,000            30,651,000
011203- A13    Repairs and Maintenance                            3,400,000             2,870,000             9,500,000
011203- A130    Transport                                             1,200,000              696,000             1,200,000
011203- A131   Machinery and Equipment                            1,400,000             1,774,000             1,500,000
011203- A132    Furniture and Fixture                                  800,000              400,000             6,800,000
        Total- CENTRAL DIRECTORATE OF NATIONAL      1,215,573,000        904,775,000       2,219,898,000
           SAVINGS ISLAMABAD
IB4104 REGIONAL DIRECTORATE OF NATIONAL SAVINGS RAWALPINDI
011203- A01    Employees Related Expenses                      30,330,000            28,155,000            29,482,000
011203- A011   Pay                      38     38           18,685,000            12,798,000            14,444,000
011203- A011-1 Pay of Officers               (11)    (11)         (11,382,000)          (9,467,000)          (9,007,000)
011203- A011-2 Pay of Other Staff            (27)    (27)          (7,303,000)          (3,331,000)          (5,437,000)
011203- A012   Allowances                                         11,645,000            15,357,000            15,038,000
011203- A012-1  Regular Allowances                               (9,255,000)         (12,297,000)         (12,548,000)
011203- A012-2  Other Allowances (Excluding TA)                  (2,390,000)          (3,060,000)          (2,490,000)
011203- A03    Operating Expenses                              108,717,000          109,189,000            39,858,000
011203- A032   Communications                                     825,000              794,000              841,000
011203- A033     Utilities                                               5,371,000             4,421,000             5,440,000
011203- A034   Occupancy Costs                                   29,045,000            32,045,000            28,698,000
011203- A038    Travel & Transportation                               3,038,000             2,538,000             3,038,000
011203- A039   General                                             70,438,000            69,391,000             1,841,000
011203- A04    Employees Retirement Benefits                     1,150,000             1,150,000             6,576,000
011203- A041   Pension                                              1,150,000             1,150,000             6,576,000
011203- A05    Grants, Subsidies and Write off Loans             10,200,000            36,824,000            10,200,000
011203- A052   Grants Domestic                                    10,200,000            36,824,000            10,200,000
011203- A13    Repairs and Maintenance                            1,890,000             3,752,000             1,890,000
011203- A130    Transport                                            430,000              592,000              430,000
011203- A131   Machinery and Equipment                            1,200,000             2,500,000             1,200,000

Page 22

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011203- A132    Furniture and Fixture                                  260,000              660,000              260,000
        Total- REGIONAL DIRECTORATE OF                  152,287,000        179,070,000          88,006,000
           NATIONAL SAVINGS RAWALPINDI
IB4106 FIELD ORGANISATION RAWALPINDI
011203- A01    Employees Related Expenses                    211,107,000          245,387,000          255,086,000
011203- A011   Pay                     304    304          125,840,000          115,997,000          125,301,000
011203- A011-1 Pay of Officers               (35)    (35)         (34,347,000)         (34,035,000)         (35,043,000)
011203- A011-2 Pay of Other Staff          (269)   (269)         (91,493,000)         (81,962,000)         (90,258,000)
011203- A012   Allowances                                         85,267,000          129,390,000          129,785,000
011203- A012-1  Regular Allowances                             (75,217,000)       (117,822,000)       (119,535,000)
011203- A012-2  Other Allowances (Excluding TA)                 (10,050,000)         (11,568,000)         (10,250,000)
011203- A03    Operating Expenses                              139,908,000          146,809,000          140,265,000
011203- A032   Communications                                     1,798,000             1,799,000             1,798,000
011203- A033     Utilities                                             27,805,000            29,905,000            27,145,000
011203- A034   Occupancy Costs                                  100,326,000          100,326,000          101,326,000
011203- A038    Travel & Transportation                               4,837,000             4,837,000             4,837,000
011203- A039   General                                              5,142,000             9,942,000             5,159,000
011203- A04    Employees Retirement Benefits                     7,000,000             4,353,000
011203- A041   Pension                                              7,000,000             4,353,000
        Total- FIELD ORGANISATION RAWALPINDI           358,015,000        396,549,000        395,351,000
IB5131 ZONAL INSPECTION AND AUDIT OFFICE ISLAMABAD
011203- A01    Employees Related Expenses                      25,758,000            23,156,000            30,380,000
011203- A011   Pay                      26     26           16,418,000            11,080,000            14,995,000
011203- A011-1 Pay of Officers               (18)    (18)         (13,476,000)          (8,727,000)         (12,267,000)
011203- A011-2 Pay of Other Staff               (8)      (8)          (2,942,000)          (2,353,000)          (2,728,000)
011203- A012   Allowances                                           9,340,000            12,076,000            15,385,000
011203- A012-1  Regular Allowances                               (7,937,000)         (11,074,000)         (13,785,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,403,000)          (1,002,000)          (1,600,000)
011203- A03    Operating Expenses                               11,935,000             8,909,000            13,211,000
011203- A032   Communications                                     109,000              103,000              110,000
011203- A033     Utilities                                               605,000              588,000              685,000
011203- A034   Occupancy Costs                                     7,200,000             5,604,000             8,200,000
011203- A038    Travel & Transportation                               3,462,000             2,236,000             3,607,000

Page 23

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011203- A039   General                                              559,000              378,000              609,000
011203- A04    Employees Retirement Benefits                      100,000             1,772,000              100,000
011203- A041   Pension                                              100,000             1,772,000              100,000
011203- A13    Repairs and Maintenance                            300,000              300,000              300,000
011203- A130    Transport                                            100,000              100,000              100,000
011203- A131   Machinery and Equipment                             100,000              100,000              100,000
011203- A132    Furniture and Fixture                                  100,000              100,000              100,000
        Total- ZONAL INSPECTION AND AUDIT                 38,093,000         34,137,000          43,991,000
            OFFICE ISLAMABAD
     011203   Total-  National Savings                       1,924,995,000       1,605,947,000       3,184,053,000
011204 Administration of Financial Affairs  :
IB9249 PROVISION FOR INCREASE IN PAY AND ALLOWANCES (OTHER EXPENDITURE OF FINANCE DIVISION)
011204- A01    Employees Related Expenses                    388,246,000            19,318,000          105,011,000
011204- A012   Allowances                                        388,246,000            19,318,000          105,011,000
011204- A012-1  Regular Allowances                            (388,246,000)         (19,318,000)       (105,011,000)
        Total- PROVISION FOR INCREASE IN PAY AND        388,246,000         19,318,000        105,011,000
          ALLOWANCES (OTHER EXPENDITURE
          OF FINANCE DIVISION)
     011204   Total-  Administration of Financial Affairs          388,246,000         19,318,000        105,011,000
011206 Accounting services  :
IB8750 CASH FORECASTING UNIT (FTO)
011206- A03    Operating Expenses                                 4,360,000                                   4,360,000
011206- A032   Communications                                     457,000                                   457,000
011206- A033     Utilities                                                93,000                                     93,000
011206- A038    Travel & Transportation                               1,855,000                                   1,855,000
011206- A039   General                                              1,955,000                                   1,955,000
011206- A09    Physical Assets                                      6,067,000                                   6,067,000
011206- A092   Computer Equipment                                 2,337,000                                   2,337,000
011206- A093   Commodity Purchases                                 93,000                                     93,000
011206- A095   Purchase of Transport                                3,077,000                                   3,077,000
011206- A096   Purchase of Plant and Machinery                      280,000                                   280,000
011206- A097   Purchase of Furniture and Fixture                     280,000                                   280,000
011206- A13    Repairs and Maintenance                            2,054,000                                   2,054,000
011206- A131   Machinery and Equipment                             467,000                                   467,000

Page 24

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A132    Furniture and Fixture                                  467,000                                   467,000
011206- A133    Buildings and Structure                               514,000                                   514,000
011206- A137   Computer Equipment                                 513,000                                   513,000
011206- A138   General                                                93,000                                     93,000
        Total- CASH FORECASTING UNIT (FTO)                12,481,000                             12,481,000
IB8751 CASH MANAGEMENT UNIT (FTO)
011206- A03    Operating Expenses                                 4,360,000                                   4,360,000
011206- A032   Communications                                     457,000                                   457,000
011206- A033     Utilities                                                93,000                                     93,000
011206- A038    Travel & Transportation                               1,855,000                                   1,855,000
011206- A039   General                                              1,955,000                                   1,955,000
011206- A09    Physical Assets                                      6,067,000                                   6,067,000
011206- A092   Computer Equipment                                 2,337,000                                   2,337,000
011206- A093   Commodity Purchases                                 93,000                                     93,000
011206- A095   Purchase of Transport                                3,077,000                                   3,077,000
011206- A096   Purchase of Plant and Machinery                      280,000                                   280,000
011206- A097   Purchase of Furniture and Fixture                     280,000                                   280,000
011206- A13    Repairs and Maintenance                            2,054,000                                   2,054,000
011206- A131   Machinery and Equipment                             467,000                                   467,000
011206- A132    Furniture and Fixture                                  467,000                                   467,000
011206- A133    Buildings and Structure                               514,000                                   514,000
011206- A137   Computer Equipment                                 513,000                                   513,000
011206- A138   General                                                93,000                                     93,000
        Total- CASH MANAGEMENT UNIT (FTO)                12,481,000                             12,481,000
ID1166 FEDERAL TREASURY OFFICE ISLAMABAD
011206- A01    Employees Related Expenses                      46,209,000            49,518,000            66,151,000
011206- A011   Pay                      56     56           22,358,000            20,334,000            26,815,000
011206- A011-1 Pay of Officers               (14)      (9)          (4,690,000)          (5,652,000)          (8,400,000)
011206- A011-2 Pay of Other Staff            (42)    (47)         (17,668,000)         (14,682,000)         (18,415,000)
011206- A012   Allowances                                         23,851,000            29,184,000            39,336,000
011206- A012-1  Regular Allowances                             (15,651,000)         (21,582,000)         (24,836,000)
011206- A012-2  Other Allowances (Excluding TA)                  (8,200,000)          (7,602,000)         (14,500,000)
011206- A03    Operating Expenses                               74,284,000            52,989,000            80,350,000

Page 25

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A032   Communications                                     950,000              287,000              420,000
011206- A033     Utilities                                               2,970,000             1,825,000             3,280,000
011206- A034   Occupancy Costs                                   13,000,000             8,779,000            21,000,000
011206- A038    Travel & Transportation                               2,950,000             1,437,000             1,635,000
011206- A039   General                                             54,414,000            40,661,000            54,015,000
011206- A04    Employees Retirement Benefits                     3,500,000             1,490,000             2,600,000
011206- A041   Pension                                              3,500,000             1,490,000             2,600,000
011206- A05    Grants, Subsidies and Write off Loans             28,700,000                                 28,700,000
011206- A052   Grants Domestic                                    28,700,000                                 28,700,000
011206- A09    Physical Assets                                    10,000,000             1,172,000            10,000,000
011206- A092   Computer Equipment                                 3,000,000              700,000             3,000,000
011206- A095   Purchase of Transport                                3,000,000                                   3,000,000
011206- A096   Purchase of Plant and Machinery                     2,000,000                                   2,000,000
011206- A097   Purchase of Furniture and Fixture                     2,000,000              472,000             2,000,000
011206- A13    Repairs and Maintenance                            6,105,000             1,415,000            12,929,000
011206- A130    Transport                                             1,000,000              703,000             1,000,000
011206- A131   Machinery and Equipment                             400,000              464,000              400,000
011206- A132    Furniture and Fixture                                  100,000               50,000              100,000
011206- A133    Buildings and Structure                               4,000,000                                 10,509,000
011206- A137   Computer Equipment                                 600,000              198,000              620,000
011206- A138   General                                                  5,000                                   300,000
        Total- FEDERAL TREASURY OFFICE                  168,798,000        106,584,000        200,730,000
           ISLAMABAD
     011206   Total-  Accounting services                      193,760,000        106,584,000        225,692,000
     0112     Total-  Financial and Fiscal Affairs              2,507,001,000       1,731,849,000       3,514,756,000
     011      Total-  Executive & Legislative                  2,507,001,000       1,731,849,000       3,514,756,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
019    General Public Service Not Elsewhere Defined:
0191  Gen Public Service Not Elsewhere Defined:
019101 Administrative Training  :
IB4105 TRAINING INSTITUTE OF NATIONAL SAVINGS ISLAMABAD
019101- A01    Employees Related Expenses                      13,699,000            12,339,000            15,905,000
019101- A011   Pay                      11     11            6,203,000             5,145,000             6,801,000

Page 26

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

019101- A011-1 Pay of Officers                  (4)      (4)          (4,228,000)          (3,216,000)          (4,592,000)
019101- A011-2 Pay of Other Staff               (7)      (7)          (1,975,000)          (1,929,000)          (2,209,000)
019101- A012   Allowances                                           7,496,000             7,194,000             9,104,000
019101- A012-1  Regular Allowances                               (6,236,000)          (6,115,000)          (7,794,000)
019101- A012-2  Other Allowances (Excluding TA)                  (1,260,000)          (1,079,000)          (1,310,000)
019101- A03    Operating Expenses                               21,939,000            14,919,000            22,352,000
019101- A032   Communications                                     212,000              131,000              220,000
019101- A033     Utilities                                               1,685,000             1,745,000             1,985,000
019101- A034   Occupancy Costs                                   18,827,000            12,078,000            18,827,000
019101- A038    Travel & Transportation                               595,000              522,000              650,000
019101- A039   General                                              620,000              443,000              670,000
019101- A04    Employees Retirement Benefits                       36,000              118,000              150,000
019101- A041   Pension                                               36,000              118,000              150,000
019101- A13    Repairs and Maintenance                            360,000              420,000              360,000
019101- A130    Transport                                            100,000              160,000              100,000
019101- A131   Machinery and Equipment                             200,000              200,000              200,000
019101- A132    Furniture and Fixture                                   60,000               60,000               60,000
        Total- TRAINING INSTITUTE OF NATIONAL             36,034,000         27,796,000          38,767,000
           SAVINGS ISLAMABAD
     019101   Total-  Administrative Training                    36,034,000         27,796,000         38,767,000
     0191     Total-  Gen Public Service Not Elsewhere          36,034,000         27,796,000         38,767,000
                      Defined
     019      Total-  General Public Service Not                 36,034,000         27,796,000         38,767,000
                    Elsewhere Defined
     01        Total-  General Public Service                  2,543,035,000       1,759,645,000       3,553,523,000
               Total- ACCOUNTANT GENERAL                 2,543,035,000         1,759,645,000         3,553,523,000
                PAKISTAN REVENUES

Page 27

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011202 Mint  :
LO1460 PAKISTAN MINT LAHORE
011202- A01    Employees Related Expenses                    421,269,000          471,964,000          546,681,000
011202- A011   Pay                     942    798          218,978,000          218,978,000          274,887,000
011202- A011-1 Pay of Officers               (23)    (22)         (14,078,000)         (14,078,000)         (16,870,000)
011202- A011-2 Pay of Other Staff          (919)   (776)       (204,900,000)       (204,900,000)       (258,017,000)
011202- A012   Allowances                                        202,291,000          252,986,000          271,794,000
011202- A012-1  Regular Allowances                            (170,891,000)       (222,540,000)       (238,213,000)
011202- A012-2  Other Allowances (Excluding TA)                 (31,400,000)         (30,446,000)         (33,581,000)
011202- A03    Operating Expenses                              329,275,000          328,776,000          380,924,000
011202- A032   Communications                                     1,230,000             1,290,000             1,300,000
011202- A033     Utilities                                            160,000,000          176,100,000          180,000,000
011202- A034   Occupancy Costs                                   45,060,000            42,012,000              160,000
011202- A038    Travel & Transportation                               8,000,000             8,540,000             8,700,000
011202- A039   General                                           114,985,000          100,834,000          190,764,000
011202- A04    Employees Retirement Benefits                    10,600,000            10,600,000            13,076,000
011202- A041   Pension                                            10,600,000            10,600,000            13,076,000
011202- A05    Grants, Subsidies and Write off Loans               100,000              100,000              100,000
011202- A052   Grants Domestic                                     100,000              100,000              100,000
011202- A06    Transfers                                            100,000              100,000              100,000
011202- A061    Scholarship                                          100,000              100,000              100,000
011202- A13    Repairs and Maintenance                          16,278,000            16,778,000            19,525,000
011202- A130    Transport                                             1,200,000             1,200,000             1,500,000
011202- A131   Machinery and Equipment                            7,500,000             7,500,000             7,500,000
011202- A132    Furniture and Fixture                                  650,000              650,000              650,000
011202- A133    Buildings and Structure                               6,500,000             7,000,000             9,500,000
011202- A137   Computer Equipment                                 428,000              428,000              375,000
        Total- PAKISTAN MINT LAHORE                      777,622,000        828,318,000        960,406,000
     011202   Total-  Mint                                    777,622,000        828,318,000        960,406,000

Page 28

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203 National Savings  :
LO1461 SUB-ZONAL INSPECTION & ACCOUNTS OFFICE FAISALABAD
011203- A01    Employees Related Expenses                      12,411,000             8,708,000            16,578,000
011203- A011   Pay                       9      9            8,646,000             4,277,000             9,328,000
011203- A011-1 Pay of Officers                  (6)      (6)          (7,710,000)          (3,341,000)          (8,359,000)
011203- A011-2 Pay of Other Staff               (3)      (3)            (936,000)            (936,000)            (969,000)
011203- A012   Allowances                                           3,765,000             4,431,000             7,250,000
011203- A012-1  Regular Allowances                               (3,165,000)          (4,176,000)          (6,650,000)
011203- A012-2  Other Allowances (Excluding TA)                    (600,000)            (255,000)            (600,000)
011203- A03    Operating Expenses                                 1,224,000             2,068,000             1,226,000
011203- A032   Communications                                         8,000                 8,000               10,000
011203- A038    Travel & Transportation                               1,182,000             2,032,000             1,182,000
011203- A039   General                                                34,000               28,000               34,000
011203- A04    Employees Retirement Benefits                       15,000                                     15,000
011203- A041   Pension                                               15,000                                     15,000
011203- A13    Repairs and Maintenance                              24,000               12,000               24,000
011203- A131   Machinery and Equipment                              12,000               12,000               12,000
011203- A132    Furniture and Fixture                                   12,000                                     12,000
        Total- SUB-ZONAL INSPECTION & ACCOUNTS         13,674,000         10,788,000          17,843,000
            OFFICE FAISALABAD
LO1462 REGIONAL DIRECTORATE OF NATIONAL SAVINGS BAHAWALPUR
011203- A01    Employees Related Expenses                      27,683,000            38,712,000            29,093,000
011203- A011   Pay                      29     29           17,615,000             8,786,000            13,176,000
011203- A011-1 Pay of Officers                  (9)      (9)         (10,870,000)          (3,384,000)          (6,954,000)
011203- A011-2 Pay of Other Staff            (20)    (20)          (6,745,000)          (5,402,000)          (6,222,000)
011203- A012   Allowances                                         10,068,000            29,926,000            15,917,000
011203- A012-1  Regular Allowances                               (8,778,000)         (28,774,000)         (14,477,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,290,000)          (1,152,000)          (1,440,000)
011203- A03    Operating Expenses                               37,779,000            38,865,000             7,558,000
011203- A032   Communications                                     319,000              343,000              332,000
011203- A033     Utilities                                               1,754,000             1,865,000             1,901,000
011203- A034   Occupancy Costs                                     1,656,000             1,750,000             3,000,000
011203- A038    Travel & Transportation                               1,288,000             1,698,000             1,288,000
011203- A039   General                                             32,762,000            33,209,000             1,037,000

Page 29

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A04    Employees Retirement Benefits                      120,000                                   120,000
011203- A041   Pension                                              120,000                                   120,000
011203- A05    Grants, Subsidies and Write off Loans              8,200,000            13,600,000             8,200,000
011203- A052   Grants Domestic                                     8,200,000            13,600,000             8,200,000
011203- A13    Repairs and Maintenance                            700,000             1,525,000              700,000
011203- A130    Transport                                            250,000              325,000              250,000
011203- A131   Machinery and Equipment                             250,000              950,000              250,000
011203- A132    Furniture and Fixture                                  200,000              250,000              200,000
        Total- REGIONAL DIRECTORATE OF                   74,482,000         92,702,000          45,671,000
           NATIONAL SAVINGS BAHAWALPUR
LO1463 ZONAL INSPECTION & ACCOUNTS OFFICE GUJRANWALA
011203- A01    Employees Related Expenses                      11,936,000             8,436,000            24,912,000
011203- A011   Pay                      16     16            6,656,000             3,915,000            14,299,000
011203- A011-1 Pay of Officers               (10)    (10)          (4,976,000)          (2,474,000)         (11,589,000)
011203- A011-2 Pay of Other Staff               (6)      (6)          (1,680,000)          (1,441,000)          (2,710,000)
011203- A012   Allowances                                           5,280,000             4,521,000            10,613,000
011203- A012-1  Regular Allowances                               (4,460,000)          (4,238,000)          (9,743,000)
011203- A012-2  Other Allowances (Excluding TA)                    (820,000)            (283,000)            (870,000)
011203- A03    Operating Expenses                                 1,451,000             1,457,000             1,464,000
011203- A032   Communications                                       74,000               74,000               82,000
011203- A038    Travel & Transportation                               1,313,000             1,309,000             1,313,000
011203- A039   General                                                64,000               74,000               69,000
011203- A04    Employees Retirement Benefits                       20,000              340,000               50,000
011203- A041   Pension                                               20,000              340,000               50,000
011203- A13    Repairs and Maintenance                              85,000              155,000               85,000
011203- A130    Transport                                              50,000              120,000               50,000
011203- A131   Machinery and Equipment                              25,000               25,000               25,000
011203- A132    Furniture and Fixture                                   10,000               10,000               10,000
        Total- ZONAL INSPECTION & ACCOUNTS              13,492,000         10,388,000          26,511,000
            OFFICE GUJRANWALA
LO1464 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS GUJRANWALA
011203- A01    Employees Related Expenses                       2,072,000              128,000             2,890,000
011203- A011   Pay                       4      4            1,342,000                                   1,070,000

Page 30

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A011-1 Pay of Officers                  (1)      (1)            (613,000)                                (683,000)
011203- A011-2 Pay of Other Staff               (3)      (3)            (729,000)                                (387,000)
011203- A012   Allowances                                           730,000              128,000             1,820,000
011203- A012-1  Regular Allowances                                (560,000)                               (1,625,000)
011203- A012-2  Other Allowances (Excluding TA)                    (170,000)            (128,000)            (195,000)
011203- A03    Operating Expenses                                   84,000               60,000               97,000
011203- A032   Communications                                       30,000               39,000               40,000
011203- A033     Utilities                                                  2,000                                      2,000
011203- A038    Travel & Transportation                                 25,000                 5,000               25,000
011203- A039   General                                                27,000               16,000               30,000
011203- A04    Employees Retirement Benefits                       10,000                                     10,000
011203- A041   Pension                                               10,000                                     10,000
011203- A13    Repairs and Maintenance                              20,000               20,000               20,000
011203- A131   Machinery and Equipment                              10,000               10,000               10,000
011203- A132    Furniture and Fixture                                   10,000               10,000               10,000
        Total- REGIONAL ACCOUNTS OFFICE                   2,186,000            208,000           3,017,000
           NATIONAL SAVINGS GUJRANWALA
LO1465 FIELD ORGANIZATION GUJRANWALA
011203- A01    Employees Related Expenses                    120,408,000          124,835,000          162,516,000
011203- A011   Pay                     204    204           71,319,000            56,708,000            75,629,000
011203- A011-1 Pay of Officers               (19)    (19)         (10,312,000)          (6,395,000)         (13,922,000)
011203- A011-2 Pay of Other Staff          (185)   (185)         (61,007,000)         (50,313,000)         (61,707,000)
011203- A012   Allowances                                         49,089,000            68,127,000            86,887,000
011203- A012-1  Regular Allowances                             (42,905,000)         (62,749,000)         (80,587,000)
011203- A012-2  Other Allowances (Excluding TA)                  (6,184,000)          (5,378,000)          (6,300,000)
011203- A03    Operating Expenses                               61,312,000            64,023,000            59,454,000
011203- A032   Communications                                     1,095,000             1,152,000             1,195,000
011203- A033     Utilities                                             15,654,000            17,258,000            16,643,000
011203- A034   Occupancy Costs                                   38,191,000            36,543,000            35,191,000
011203- A038    Travel & Transportation                               3,896,000             6,296,000             3,896,000
011203- A039   General                                              2,476,000             2,774,000             2,529,000
011203- A04    Employees Retirement Benefits                     4,584,000             4,797,000             3,475,000
011203- A041   Pension                                              4,584,000             4,797,000             3,475,000
        Total- FIELD ORGANIZATION GUJRANWALA          186,304,000        193,655,000        225,445,000

Page 31

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

LO1466 REGIONAL DIRECTORATE OF NATIONAL SAVINGS GUJRANWALA
011203- A01    Employees Related Expenses                      32,510,000            28,118,000            39,903,000
011203- A011   Pay                      34     34           18,178,000            13,299,000            18,414,000
011203- A011-1 Pay of Officers                  (9)      (9)         (10,467,000)          (7,501,000)         (10,660,000)
011203- A011-2 Pay of Other Staff            (25)    (25)          (7,711,000)          (5,798,000)          (7,754,000)
011203- A012   Allowances                                         14,332,000            14,819,000            21,489,000
011203- A012-1  Regular Allowances                             (12,784,000)         (13,369,000)         (19,919,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,548,000)          (1,450,000)          (1,570,000)
011203- A03    Operating Expenses                               40,158,000            40,759,000             9,187,000
011203- A032   Communications                                     397,000              417,000              422,000
011203- A033     Utilities                                               2,325,000             2,317,000             2,344,000
011203- A034   Occupancy Costs                                     3,843,000             3,779,000             3,807,000
011203- A038    Travel & Transportation                               1,333,000             2,272,000             1,333,000
011203- A039   General                                             32,260,000            31,974,000             1,281,000
011203- A04    Employees Retirement Benefits                     2,602,000             2,551,000              453,000
011203- A041   Pension                                              2,602,000             2,551,000              453,000
011203- A05    Grants, Subsidies and Write off Loans              6,200,000             5,000,000             6,200,000
011203- A052   Grants Domestic                                     6,200,000             5,000,000             6,200,000
011203- A13    Repairs and Maintenance                            1,000,000             1,613,000             1,000,000
011203- A130    Transport                                            250,000              350,000              250,000
011203- A131   Machinery and Equipment                             500,000              963,000              500,000
011203- A132    Furniture and Fixture                                  250,000              300,000              250,000
        Total- REGIONAL DIRECTORATE OF                   82,470,000         78,041,000          56,743,000
           NATIONAL SAVINGS GUJRANWALA
LO1467 ZONAL INSPECTION & ACCOUNTS OFFICE MULTAN
011203- A01    Employees Related Expenses                      19,700,000            22,730,000            28,353,000
011203- A011   Pay                      17     17           10,788,000            10,753,000            13,114,000
011203- A011-1 Pay of Officers               (10)    (10)          (8,217,000)          (8,544,000)          (9,930,000)
011203- A011-2 Pay of Other Staff               (7)      (7)          (2,571,000)          (2,209,000)          (3,184,000)
011203- A012   Allowances                                           8,912,000            11,977,000            15,239,000
011203- A012-1  Regular Allowances                               (7,932,000)         (11,117,000)         (14,129,000)
011203- A012-2  Other Allowances (Excluding TA)                    (980,000)            (860,000)          (1,110,000)

Page 32

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A03    Operating Expenses                                 4,713,000             8,319,000             4,718,000
011203- A032   Communications                                       65,000               33,000               70,000
011203- A038    Travel & Transportation                               4,501,000             8,221,000             4,501,000
011203- A039   General                                              147,000               65,000              147,000
011203- A04    Employees Retirement Benefits                       20,000              775,000               20,000
011203- A041   Pension                                               20,000              775,000               20,000
011203- A13    Repairs and Maintenance                            190,000               76,000              190,000
011203- A130    Transport                                              90,000               40,000               90,000
011203- A131   Machinery and Equipment                              80,000               36,000               80,000
011203- A132    Furniture and Fixture                                   20,000                                     20,000
        Total- ZONAL INSPECTION & ACCOUNTS              24,623,000         31,900,000          33,281,000
            OFFICE MULTAN
LO1468 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS FAISALABAD
011203- A01    Employees Related Expenses                       4,736,000             2,997,000             6,488,000
011203- A011   Pay                       6      6            2,787,000             1,364,000             3,190,000
011203- A011-1 Pay of Officers                  (2)      (2)          (1,387,000)            (401,000)          (1,790,000)
011203- A011-2 Pay of Other Staff               (4)      (4)          (1,400,000)            (963,000)          (1,400,000)
011203- A012   Allowances                                           1,949,000             1,633,000             3,298,000
011203- A012-1  Regular Allowances                               (1,679,000)          (1,461,000)          (3,018,000)
011203- A012-2  Other Allowances (Excluding TA)                    (270,000)            (172,000)            (280,000)
011203- A03    Operating Expenses                                 113,000              136,000              122,000
011203- A032   Communications                                       44,000               55,000               50,000
011203- A033     Utilities                                                  2,000                 2,000                 2,000
011203- A038    Travel & Transportation                                 25,000               25,000               25,000
011203- A039   General                                                42,000               54,000               45,000
011203- A04    Employees Retirement Benefits                         5,000                                      5,000
011203- A041   Pension                                                 5,000                                      5,000
011203- A13    Repairs and Maintenance                              20,000               25,000               20,000
011203- A131   Machinery and Equipment                              10,000               15,000               10,000
011203- A132    Furniture and Fixture                                   10,000               10,000               10,000
        Total- REGIONAL ACCOUNTS OFFICE                   4,874,000           3,158,000           6,635,000
           NATIONAL SAVINGS FAISALABAD

Page 33

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

LO1469 REGIONAL DIRECTORATE OF NATIONAL SAVINGS LAHORE
011203- A01    Employees Related Expenses                      45,513,000            47,845,000            57,347,000
011203- A011   Pay                      55     55           25,842,000            22,256,000            26,858,000
011203- A011-1 Pay of Officers               (15)    (15)         (13,557,000)         (11,455,000)         (14,372,000)
011203- A011-2 Pay of Other Staff            (40)    (40)         (12,285,000)         (10,801,000)         (12,486,000)
011203- A012   Allowances                                         19,671,000            25,589,000            30,489,000
011203- A012-1  Regular Allowances                             (16,161,000)         (22,346,000)         (26,674,000)
011203- A012-2  Other Allowances (Excluding TA)                  (3,510,000)          (3,243,000)          (3,815,000)
011203- A03    Operating Expenses                               67,924,000            74,739,000            27,805,000
011203- A032   Communications                                     482,000              676,000              538,000
011203- A033     Utilities                                               2,469,000             2,594,000             2,523,000
011203- A034   Occupancy Costs                                   18,298,000            21,858,000            20,355,000
011203- A038    Travel & Transportation                               2,508,000             3,173,000             2,508,000
011203- A039   General                                             44,167,000            46,438,000             1,881,000
011203- A04    Employees Retirement Benefits                     9,958,000            16,594,000             5,817,000
011203- A041   Pension                                              9,958,000            16,594,000             5,817,000
011203- A05    Grants, Subsidies and Write off Loans              7,200,000             6,000,000             7,200,000
011203- A052   Grants Domestic                                     7,200,000             6,000,000             7,200,000
011203- A13    Repairs and Maintenance                            2,350,000             2,650,000             2,350,000
011203- A130    Transport                                            450,000              650,000              450,000
011203- A131   Machinery and Equipment                            1,420,000             1,520,000             1,420,000
011203- A132    Furniture and Fixture                                  480,000              480,000              480,000
        Total- REGIONAL DIRECTORATE OF                  132,945,000        147,828,000        100,519,000
           NATIONAL SAVINGS LAHORE
LO1470 FIELD ORGANISATION LAHORE
011203- A01    Employees Related Expenses                    197,132,000          217,314,000          247,922,000
011203- A011   Pay                     302    302          114,023,000          101,389,000          114,812,000
011203- A011-1 Pay of Officers               (37)    (37)         (28,266,000)         (26,258,000)         (29,055,000)
011203- A011-2 Pay of Other Staff          (265)   (265)         (85,757,000)         (75,131,000)         (85,757,000)
011203- A012   Allowances                                         83,109,000          115,925,000          133,110,000
011203- A012-1  Regular Allowances                             (71,422,000)       (104,806,000)       (121,223,000)
011203- A012-2  Other Allowances (Excluding TA)                 (11,687,000)         (11,119,000)         (11,887,000)
011203- A03    Operating Expenses                              132,638,000          171,241,000          134,332,000
011203- A032   Communications                                     1,070,000             2,070,000             1,250,000

Page 34

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A033     Utilities                                             24,723,000            32,180,000            24,887,000
011203- A034   Occupancy Costs                                   97,588,000          126,179,000            98,588,000
011203- A038    Travel & Transportation                               4,613,000             5,633,000             4,613,000
011203- A039   General                                              4,644,000             5,179,000             4,994,000
        Total- FIELD ORGANISATION LAHORE                329,770,000        388,555,000        382,254,000
LO1471 REGIONAL DIRECTORATE OF NATIONAL SAVINGS MULTAN
011203- A01    Employees Related Expenses                      37,852,000            34,655,000            59,909,000
011203- A011   Pay                      47     47           20,665,000            15,734,000            28,940,000
011203- A011-1 Pay of Officers               (13)    (13)         (11,311,000)          (9,148,000)         (14,633,000)
011203- A011-2 Pay of Other Staff            (34)    (34)          (9,354,000)          (6,586,000)         (14,307,000)
011203- A012   Allowances                                         17,187,000            18,921,000            30,969,000
011203- A012-1  Regular Allowances                             (14,797,000)         (17,055,000)         (28,329,000)
011203- A012-2  Other Allowances (Excluding TA)                  (2,390,000)          (1,866,000)          (2,640,000)
011203- A03    Operating Expenses                               79,139,000            76,565,000            13,859,000
011203- A032   Communications                                     707,000              727,000              850,000
011203- A033     Utilities                                               2,326,000             2,640,000             2,661,000
011203- A034   Occupancy Costs                                     6,090,000             5,429,000             6,525,000
011203- A038    Travel & Transportation                               1,949,000             2,462,000             1,949,000
011203- A039   General                                             68,067,000            65,307,000             1,874,000
011203- A04    Employees Retirement Benefits                     7,350,000             4,981,000              680,000
011203- A041   Pension                                              7,350,000             4,981,000              680,000
011203- A05    Grants, Subsidies and Write off Loans              5,200,000            11,600,000             9,200,000
011203- A052   Grants Domestic                                     5,200,000            11,600,000             9,200,000
011203- A13    Repairs and Maintenance                            1,980,000             5,262,000             1,980,000
011203- A130    Transport                                            280,000              530,000              280,000
011203- A131   Machinery and Equipment                            1,200,000             3,382,000             1,200,000
011203- A132    Furniture and Fixture                                  500,000             1,350,000              500,000
        Total- REGIONAL DIRECTORATE OF                  131,521,000        133,063,000          85,628,000
           NATIONAL SAVINGS MULTAN
LO1472 FIELD ORGANISATION MULTAN
011203- A01    Employees Related Expenses                    171,813,000          185,826,000          256,045,000
011203- A011   Pay                     247    247           98,654,000            85,516,000          113,693,000
011203- A011-1 Pay of Officers               (29)    (29)         (23,848,000)         (15,944,000)         (28,887,000)

Page 35

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A011-2 Pay of Other Staff          (218)   (218)         (74,806,000)         (69,572,000)         (84,806,000)
011203- A012   Allowances                                         73,159,000          100,310,000          142,352,000
011203- A012-1  Regular Allowances                             (63,369,000)         (91,008,000)       (132,152,000)
011203- A012-2  Other Allowances (Excluding TA)                  (9,790,000)          (9,302,000)         (10,200,000)
011203- A03    Operating Expenses                               84,024,000          112,819,000            99,852,000
011203- A032   Communications                                     1,568,000             2,318,000             2,068,000
011203- A033     Utilities                                             24,297,000            39,109,000            27,018,000
011203- A034   Occupancy Costs                                   48,246,000            55,947,000            60,753,000
011203- A038    Travel & Transportation                               5,009,000             8,051,000             5,009,000
011203- A039   General                                              4,904,000             7,394,000             5,004,000
011203- A04    Employees Retirement Benefits                     4,050,000             3,970,000             4,169,000
011203- A041   Pension                                              4,050,000             3,970,000             4,169,000
        Total- FIELD ORGANISATION MULTAN                259,887,000        302,615,000        360,066,000
LO1473 FIELD ORGANISATION FAISALABAD
011203- A01    Employees Related Expenses                    164,110,000          167,539,000          214,840,000
011203- A011   Pay                     286    286           94,156,000            75,643,000            96,958,000
011203- A011-1 Pay of Officers               (22)    (22)         (14,026,000)          (6,766,000)         (16,828,000)
011203- A011-2 Pay of Other Staff          (264)   (264)         (80,130,000)         (68,877,000)         (80,130,000)
011203- A012   Allowances                                         69,954,000            91,896,000          117,882,000
011203- A012-1  Regular Allowances                             (61,734,000)         (84,144,000)       (109,162,000)
011203- A012-2  Other Allowances (Excluding TA)                  (8,220,000)          (7,752,000)          (8,720,000)
011203- A03    Operating Expenses                               54,055,000            85,870,000            54,692,000
011203- A032   Communications                                     891,000             2,141,000             1,250,000
011203- A033     Utilities                                             14,522,000            33,857,000            15,253,000
011203- A034   Occupancy Costs                                   30,945,000            33,805,000            30,492,000
011203- A038    Travel & Transportation                               4,453,000            10,123,000             4,453,000
011203- A039   General                                              3,244,000             5,944,000             3,244,000
011203- A04    Employees Retirement Benefits                     5,051,000             7,501,000             6,000,000
011203- A041   Pension                                              5,051,000             7,501,000             6,000,000
        Total- FIELD ORGANISATION FAISALABAD           223,216,000        260,910,000        275,532,000
LO1474 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS MULTAN
011203- A01    Employees Related Expenses                       5,755,000             3,386,000             5,712,000
011203- A011   Pay                       7      7            2,916,000             1,502,000             2,648,000

Page 36

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A011-1 Pay of Officers                  (2)      (2)          (1,540,000)            (126,000)          (1,224,000)
011203- A011-2 Pay of Other Staff               (5)      (5)          (1,376,000)          (1,376,000)          (1,424,000)
011203- A012   Allowances                                           2,839,000             1,884,000             3,064,000
011203- A012-1  Regular Allowances                               (2,309,000)          (1,625,000)          (2,689,000)
011203- A012-2  Other Allowances (Excluding TA)                    (530,000)            (259,000)            (375,000)
011203- A03    Operating Expenses                                 134,000              145,000              155,000
011203- A032   Communications                                       38,000               48,000               45,000
011203- A038    Travel & Transportation                                 50,000                 9,000               50,000
011203- A039   General                                                46,000               88,000               60,000
011203- A04    Employees Retirement Benefits                       50,000              174,000               80,000
011203- A041   Pension                                               50,000              174,000               80,000
011203- A13    Repairs and Maintenance                              35,000               65,000               35,000
011203- A131   Machinery and Equipment                              20,000               40,000               20,000
011203- A132    Furniture and Fixture                                   15,000               25,000               15,000
        Total- REGIONAL ACCOUNTS OFFICE                   5,974,000           3,770,000           5,982,000
           NATIONAL SAVINGS MULTAN
LO1475 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS LAHORE
011203- A01    Employees Related Expenses                       4,090,000             4,782,000             5,364,000
011203- A011   Pay                       5      5            2,114,000             2,133,000             2,689,000
011203- A011-1 Pay of Officers                  (1)      (1)          (1,168,000)          (1,071,000)          (1,687,000)
011203- A011-2 Pay of Other Staff               (4)      (4)            (946,000)          (1,062,000)          (1,002,000)
011203- A012   Allowances                                           1,976,000             2,649,000             2,675,000
011203- A012-1  Regular Allowances                               (1,326,000)          (2,011,000)          (2,100,000)
011203- A012-2  Other Allowances (Excluding TA)                    (650,000)            (638,000)            (575,000)
011203- A03    Operating Expenses                                 923,000             1,541,000             1,138,000
011203- A032   Communications                                       51,000               62,000               60,000
011203- A033     Utilities                                                17,000               24,000               23,000
011203- A034   Occupancy Costs                                     690,000             1,187,000              890,000
011203- A038    Travel & Transportation                                 75,000              116,000               75,000
011203- A039   General                                                90,000              152,000               90,000
011203- A04    Employees Retirement Benefits                      200,000               92,000              200,000
011203- A041   Pension                                              200,000               92,000              200,000
011203- A13    Repairs and Maintenance                              55,000               95,000               55,000

Page 37

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A131   Machinery and Equipment                              40,000               70,000               40,000
011203- A132    Furniture and Fixture                                   15,000               25,000               15,000
        Total- REGIONAL ACCOUNTS OFFICE                   5,268,000           6,510,000           6,757,000
           NATIONAL SAVINGS LAHORE
LO1476 FIELD ORGANIZATION BAHAWALPUR
011203- A01    Employees Related Expenses                      95,224,000            93,837,000          118,294,000
011203- A011   Pay                     137    137           59,717,000            43,554,000            55,628,000
011203- A011-1 Pay of Officers               (37)    (37)         (15,646,000)          (9,144,000)         (12,396,000)
011203- A011-2 Pay of Other Staff          (100)   (100)         (44,071,000)         (34,410,000)         (43,232,000)
011203- A012   Allowances                                         35,507,000            50,283,000            62,666,000
011203- A012-1  Regular Allowances                             (30,807,000)         (46,374,000)         (57,546,000)
011203- A012-2  Other Allowances (Excluding TA)                  (4,700,000)          (3,909,000)          (5,120,000)
011203- A03    Operating Expenses                               40,139,000            47,862,000            37,547,000
011203- A032   Communications                                     866,000             1,236,000              970,000
011203- A033     Utilities                                               9,327,000            10,292,000            10,411,000
011203- A034   Occupancy Costs                                   24,818,000            26,396,000            20,818,000
011203- A038    Travel & Transportation                               3,039,000             6,754,000             3,039,000
011203- A039   General                                              2,089,000             3,184,000             2,309,000
011203- A04    Employees Retirement Benefits                     1,386,000             1,779,000             2,055,000
011203- A041   Pension                                              1,386,000             1,779,000             2,055,000
        Total- FIELD ORGANIZATION BAHAWALPUR          136,749,000        143,478,000        157,896,000
LO1477 REGIONAL DIRECTORATE OF NATIONAL SAVINGS FAISALABAD
011203- A01    Employees Related Expenses                      36,913,000            29,117,000            45,817,000
011203- A011   Pay                      45     45           21,006,000            13,248,000            21,751,000
011203- A011-1 Pay of Officers               (10)    (10)         (10,312,000)          (6,234,000)         (11,979,000)
011203- A011-2 Pay of Other Staff            (35)    (35)         (10,694,000)          (7,014,000)          (9,772,000)
011203- A012   Allowances                                         15,907,000            15,869,000            24,066,000
011203- A012-1  Regular Allowances                             (13,917,000)         (14,275,000)         (22,001,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,990,000)          (1,594,000)          (2,065,000)
011203- A03    Operating Expenses                               51,159,000            54,188,000             9,073,000
011203- A032   Communications                                     448,000              428,000              480,000
011203- A033     Utilities                                               2,133,000             2,170,000             2,265,000
011203- A034   Occupancy Costs                                     3,000,000             2,880,000             3,600,000

Page 38

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A038    Travel & Transportation                               1,428,000             1,803,000             1,428,000
011203- A039   General                                             44,150,000            46,907,000             1,300,000
011203- A04    Employees Retirement Benefits                     1,702,000             2,345,000              250,000
011203- A041   Pension                                              1,702,000             2,345,000              250,000
011203- A05    Grants, Subsidies and Write off Loans              9,200,000            15,000,000             9,200,000
011203- A052   Grants Domestic                                     9,200,000            15,000,000             9,200,000
011203- A13    Repairs and Maintenance                            1,120,000             1,560,000             1,120,000
011203- A130    Transport                                            170,000              210,000              170,000
011203- A131   Machinery and Equipment                             800,000             1,200,000              800,000
011203- A132    Furniture and Fixture                                  150,000              150,000              150,000
        Total- REGIONAL DIRECTORATE OF                  100,094,000        102,210,000          65,460,000
           NATIONAL SAVINGS FAISALABAD
LO1478 ZONAL INSPECTION & ACCOUNTS OFFICE BAHAWALPUR
011203- A01    Employees Related Expenses                       8,076,000             9,186,000             9,585,000
011203- A011   Pay                       7      7            4,515,000             4,533,000             4,695,000
011203- A011-1 Pay of Officers                  (5)      (5)          (3,687,000)          (3,792,000)          (3,800,000)
011203- A011-2 Pay of Other Staff               (2)      (2)            (828,000)            (741,000)            (895,000)
011203- A012   Allowances                                           3,561,000             4,653,000             4,890,000
011203- A012-1  Regular Allowances                               (3,241,000)          (4,428,000)          (4,565,000)
011203- A012-2  Other Allowances (Excluding TA)                    (320,000)            (225,000)            (325,000)
011203- A03    Operating Expenses                                 2,214,000             1,729,000             2,214,000
011203- A032   Communications                                       10,000                 2,000               10,000
011203- A033     Utilities                                                  2,000                                      2,000
011203- A038    Travel & Transportation                               2,187,000             1,712,000             2,187,000
011203- A039   General                                                15,000               15,000               15,000
011203- A04    Employees Retirement Benefits                       10,000                 7,000               10,000
011203- A041   Pension                                               10,000                 7,000               10,000
011203- A13    Repairs and Maintenance                               4,000                 4,000                 4,000
011203- A131   Machinery and Equipment                                2,000                 2,000                 2,000
011203- A132    Furniture and Fixture                                     2,000                 2,000                 2,000
        Total- ZONAL INSPECTION & ACCOUNTS              10,304,000         10,926,000          11,813,000
            OFFICE BAHAWALPUR

Page 39

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

LO1479 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS BAHAWALPUR
011203- A01    Employees Related Expenses                       4,502,000             6,269,000             4,775,000
011203- A011   Pay                       5      5            1,965,000             3,016,000             2,127,000
011203- A011-1 Pay of Officers                  (2)      (2)          (1,062,000)          (2,318,000)          (1,122,000)
011203- A011-2 Pay of Other Staff               (3)      (3)            (903,000)            (698,000)          (1,005,000)
011203- A012   Allowances                                           2,537,000             3,253,000             2,648,000
011203- A012-1  Regular Allowances                               (2,307,000)          (3,103,000)          (2,344,000)
011203- A012-2  Other Allowances (Excluding TA)                    (230,000)            (150,000)            (304,000)
011203- A03    Operating Expenses                                 166,000              107,000              175,000
011203- A032   Communications                                       65,000               64,000               70,000
011203- A038    Travel & Transportation                                 70,000               12,000               70,000
011203- A039   General                                                31,000               31,000               35,000
011203- A04    Employees Retirement Benefits                       10,000                                     10,000
011203- A041   Pension                                               10,000                                     10,000
011203- A13    Repairs and Maintenance                              15,000               15,000               15,000
011203- A131   Machinery and Equipment                              10,000               10,000               10,000
011203- A132    Furniture and Fixture                                     5,000                 5,000                 5,000
        Total- REGIONAL ACCOUNTS OFFICE                   4,693,000           6,391,000           4,975,000
           NATIONAL SAVINGS BAHAWALPUR
LO1656 ZONAL INSPECTION AND AUDIT OFFICE LAHORE
011203- A01    Employees Related Expenses                      33,714,000            32,251,000            44,712,000
011203- A011   Pay                      27     27           19,248,000            15,329,000            22,781,000
011203- A011-1 Pay of Officers               (19)    (19)         (14,516,000)         (12,117,000)         (17,881,000)
011203- A011-2 Pay of Other Staff               (8)      (8)          (4,732,000)          (3,212,000)          (4,900,000)
011203- A012   Allowances                                         14,466,000            16,922,000            21,931,000
011203- A012-1  Regular Allowances                             (12,886,000)         (14,979,000)         (20,051,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,580,000)          (1,943,000)          (1,880,000)
011203- A03    Operating Expenses                                 6,164,000            13,532,000             9,205,000
011203- A032   Communications                                       67,000               78,000               70,000
011203- A033     Utilities                                               242,000              276,000              280,000
011203- A034   Occupancy Costs                                     4,860,000            11,751,000             7,860,000
011203- A038    Travel & Transportation                               826,000             1,190,000              826,000
011203- A039   General                                              169,000              237,000              169,000
011203- A04    Employees Retirement Benefits                      400,000             2,860,000             1,575,000

Page 40

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011203- A041   Pension                                              400,000             2,860,000             1,575,000
011203- A13    Repairs and Maintenance                            180,000              180,000              180,000
011203- A130    Transport                                            100,000              100,000              100,000
011203- A131   Machinery and Equipment                              60,000               60,000               60,000
011203- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- ZONAL INSPECTION AND AUDIT                 40,458,000         48,823,000          55,672,000
            OFFICE LAHORE
     011203   Total-  National Savings                       1,782,984,000       1,975,919,000       1,927,700,000
     0112     Total-  Financial and Fiscal Affairs              2,560,606,000       2,804,237,000       2,888,106,000
     011      Total-  Executive & Legislative                  2,560,606,000       2,804,237,000       2,888,106,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  2,560,606,000       2,804,237,000       2,888,106,000
               Total- ACCOUNTANT GENERAL                 2,560,606,000         2,804,237,000         2,888,106,000
                PAKISTAN REVENUES
                  SUB-OFFICE, LAHORE

Page 41

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011203 National Savings  :
PR1307 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS PESHAWAR
011203- A01    Employees Related Expenses                       4,123,000             5,409,000             6,364,000
011203- A011   Pay                       6      6            2,100,000             2,644,000             3,043,000
011203- A011-1 Pay of Officers                  (2)      (2)            (900,000)          (1,476,000)          (1,530,000)
011203- A011-2 Pay of Other Staff               (4)      (4)          (1,200,000)          (1,168,000)          (1,513,000)
011203- A012   Allowances                                           2,023,000             2,765,000             3,321,000
011203- A012-1  Regular Allowances                               (1,653,000)          (2,566,000)          (2,921,000)
011203- A012-2  Other Allowances (Excluding TA)                    (370,000)            (199,000)            (400,000)
011203- A03    Operating Expenses                                 945,000             1,170,000             1,158,000
011203- A032   Communications                                       53,000               49,000               60,000
011203- A034   Occupancy Costs                                     744,000             1,028,000              944,000
011203- A038    Travel & Transportation                                 67,000               10,000               67,000
011203- A039   General                                                81,000               83,000               87,000
011203- A04    Employees Retirement Benefits                      200,000              706,000              200,000
011203- A041   Pension                                              200,000              706,000              200,000
011203- A13    Repairs and Maintenance                              30,000               25,000               30,000
011203- A131   Machinery and Equipment                              20,000               20,000               20,000
011203- A132    Furniture and Fixture                                   10,000                 5,000               10,000
        Total- REGIONAL ACCOUNTS OFFICE                   5,298,000           7,310,000           7,752,000
           NATIONAL SAVINGS PESHAWAR
PR1308 FIELD ORGANISTION PESHAWAR
011203- A01    Employees Related Expenses                    131,511,000          157,520,000          199,744,000
011203- A011   Pay                     196    196           75,940,000            73,616,000            89,175,000
011203- A011-1 Pay of Officers               (24)    (24)         (17,212,000)         (15,438,000)         (20,260,000)
011203- A011-2 Pay of Other Staff          (172)   (172)         (58,728,000)         (58,178,000)         (68,915,000)
011203- A012   Allowances                                         55,571,000            83,904,000          110,569,000
011203- A012-1  Regular Allowances                             (48,371,000)         (76,563,000)       (102,869,000)
011203- A012-2  Other Allowances (Excluding TA)                  (7,200,000)          (7,341,000)          (7,700,000)
011203- A03    Operating Expenses                               66,943,000            79,371,000            70,490,000

Page 42

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011203- A032   Communications                                     1,016,000             1,076,000             1,116,000
011203- A033     Utilities                                               9,805,000            13,779,000            10,623,000
011203- A034   Occupancy Costs                                   50,205,000            54,725,000            52,705,000
011203- A038    Travel & Transportation                               3,787,000             7,815,000             3,787,000
011203- A039   General                                              2,130,000             1,976,000             2,259,000
        Total- FIELD ORGANISTION PESHAWAR              198,454,000        236,891,000        270,234,000
PR1309 REGIONAL DIRECTORATE OF NATIONAL SAVINGS ABBOTTABAD
011203- A01    Employees Related Expenses                      26,812,000            25,453,000            39,568,000
011203- A011   Pay                      26     26           15,317,000            12,261,000            18,104,000
011203- A011-1 Pay of Officers                  (9)      (9)          (7,501,000)          (4,759,000)          (7,918,000)
011203- A011-2 Pay of Other Staff            (17)    (17)          (7,816,000)          (7,502,000)         (10,186,000)
011203- A012   Allowances                                         11,495,000            13,192,000            21,464,000
011203- A012-1  Regular Allowances                               (9,655,000)         (12,001,000)         (19,019,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,840,000)          (1,191,000)          (2,445,000)
011203- A03    Operating Expenses                               44,298,000            43,545,000             9,055,000
011203- A032   Communications                                     480,000              617,000              634,000
011203- A033     Utilities                                               1,132,000             1,072,000             1,452,000
011203- A034   Occupancy Costs                                     3,780,000             2,520,000             4,500,000
011203- A038    Travel & Transportation                               1,146,000             1,586,000             1,146,000
011203- A039   General                                             37,760,000            37,750,000             1,323,000
011203- A04    Employees Retirement Benefits                     5,619,000             6,502,000             5,100,000
011203- A041   Pension                                              5,619,000             6,502,000             5,100,000
011203- A05    Grants, Subsidies and Write off Loans              1,200,000                                   8,200,000
011203- A052   Grants Domestic                                     1,200,000                                   8,200,000
011203- A13    Repairs and Maintenance                            1,050,000             1,880,000             1,050,000
011203- A130    Transport                                            350,000              200,000              350,000
011203- A131   Machinery and Equipment                             500,000             1,300,000              500,000
011203- A132    Furniture and Fixture                                  200,000              380,000              200,000
        Total- REGIONAL DIRECTORATE OF                   78,979,000         77,380,000          62,973,000
           NATIONAL SAVINGS ABBOTTABAD
PR1310 FIELD ORGANIZATION ABBOTTABAD
011203- A01    Employees Related Expenses                    118,661,000          139,754,000          178,302,000
011203- A011   Pay                     187    187           69,900,000            72,530,000            88,468,000

Page 43

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011203- A011-1 Pay of Officers               (22)    (22)         (18,114,000)         (19,164,000)         (20,671,000)
011203- A011-2 Pay of Other Staff          (165)   (165)         (51,786,000)         (53,366,000)         (67,797,000)
011203- A012   Allowances                                         48,761,000            67,224,000            89,834,000
011203- A012-1  Regular Allowances                             (42,561,000)         (60,762,000)         (82,934,000)
011203- A012-2  Other Allowances (Excluding TA)                  (6,200,000)          (6,462,000)          (6,900,000)
011203- A03    Operating Expenses                               59,798,000            82,023,000            62,519,000
011203- A032   Communications                                     1,034,000             1,914,000             1,500,000
011203- A033     Utilities                                               9,137,000            21,769,000            11,090,000
011203- A034   Occupancy Costs                                   43,008,000            43,008,000            43,008,000
011203- A038    Travel & Transportation                               3,912,000             9,432,000             3,912,000
011203- A039   General                                              2,707,000             5,900,000             3,009,000
        Total- FIELD ORGANIZATION ABBOTTABAD          178,459,000        221,777,000        240,821,000
PR1311 REGIONAL DIRECTORATE OF NATIONAL SAVINGS PESHAWAR
011203- A01    Employees Related Expenses                      29,688,000            31,854,000            47,310,000
011203- A011   Pay                      44     44           16,400,000            14,800,000            22,926,000
011203- A011-1 Pay of Officers               (11)    (11)          (8,812,000)          (9,369,000)         (13,383,000)
011203- A011-2 Pay of Other Staff            (33)    (33)          (7,588,000)          (5,431,000)          (9,543,000)
011203- A012   Allowances                                         13,288,000            17,054,000            24,384,000
011203- A012-1  Regular Allowances                             (11,618,000)         (15,200,000)         (22,364,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,670,000)          (1,854,000)          (2,020,000)
011203- A03    Operating Expenses                               43,637,000            41,566,000            15,681,000
011203- A032   Communications                                     441,000              373,000              502,000
011203- A033     Utilities                                               1,841,000             1,591,000             2,145,000
011203- A034   Occupancy Costs                                     8,413,000             9,413,000            10,550,000
011203- A038    Travel & Transportation                               1,107,000             1,257,000             1,107,000
011203- A039   General                                             31,835,000            28,932,000             1,377,000
011203- A04    Employees Retirement Benefits                     3,229,000             6,402,000             9,321,000
011203- A041   Pension                                              3,229,000             6,402,000             9,321,000
011203- A05    Grants, Subsidies and Write off Loans              1,200,000                                   6,200,000
011203- A052   Grants Domestic                                     1,200,000                                   6,200,000
011203- A13    Repairs and Maintenance                            950,000             1,490,000              950,000
011203- A130    Transport                                            290,000              230,000              290,000
011203- A131   Machinery and Equipment                             510,000             1,110,000              510,000

Page 44

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                              Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011203- A132    Furniture and Fixture                                  150,000              150,000              150,000
        Total- REGIONAL DIRECTORATE OF                   78,704,000         81,312,000          79,462,000
           NATIONAL SAVINGS PESHAWAR
PR1312 ZONAL INSPECTION AND ACCOUNTS OFFICE ABBOTTABAD
011203- A01    Employees Related Expenses                       3,726,000             3,753,000             9,776,000
011203- A011   Pay                       7      7            2,204,000             1,768,000             5,045,000
011203- A011-1 Pay of Officers                  (5)      (5)          (1,440,000)          (1,260,000)          (4,043,000)
011203- A011-2 Pay of Other Staff               (2)      (2)            (764,000)            (508,000)          (1,002,000)
011203- A012   Allowances                                           1,522,000             1,985,000             4,731,000
011203- A012-1  Regular Allowances                               (1,172,000)          (1,650,000)          (4,351,000)
011203- A012-2  Other Allowances (Excluding TA)                    (350,000)            (335,000)            (380,000)
011203- A03    Operating Expenses                                 652,000              649,000              653,000
011203- A032   Communications                                         8,000                 8,000                 9,000
011203- A033     Utilities                                                  3,000                                      3,000
011203- A038    Travel & Transportation                               618,000              618,000              618,000
011203- A039   General                                                23,000               23,000               23,000
011203- A04    Employees Retirement Benefits                       20,000             1,239,000               20,000
011203- A041   Pension                                               20,000             1,239,000               20,000
011203- A13    Repairs and Maintenance                               8,000                 8,000                 8,000
011203- A131   Machinery and Equipment                                8,000                 8,000                 8,000
        Total- ZONAL INSPECTION AND ACCOUNTS             4,406,000           5,649,000          10,457,000
            OFFICE ABBOTTABAD
PR1313 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS ABBOTTABAD
011203- A01    Employees Related Expenses                       5,722,000             5,323,000             6,850,000
011203- A011   Pay                       5      5            3,276,000             2,583,000             3,080,000
011203- A011-1 Pay of Officers                  (2)      (2)          (1,437,000)            (932,000)          (1,180,000)
011203- A011-2 Pay of Other Staff               (3)      (3)          (1,839,000)          (1,651,000)          (1,900,000)
011203- A012   Allowances                                           2,446,000             2,740,000             3,770,000
011203- A012-1  Regular Allowances                               (2,016,000)          (2,401,000)          (3,340,000)
011203- A012-2  Other Allowances (Excluding TA)                    (430,000)            (339,000)            (430,000)
011203- A03    Operating Expenses                                 149,000              143,000              159,000
011203- A032   Communications                                       46,000               59,000               55,000
011203- A038    Travel & Transportation                                 51,000               34,000               51,000
011203- A039   General                                                52,000               50,000               53,000
011203- A04    Employees Retirement Benefits                      100,000              217,000              100,000
011203- A041   Pension                                              100,000              217,000              100,000

Page 45

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011203- A13    Repairs and Maintenance                              15,000               15,000               15,000
011203- A131   Machinery and Equipment                                9,000                 9,000                 9,000
011203- A132    Furniture and Fixture                                     6,000                 6,000                 6,000
        Total- REGIONAL ACCOUNTS OFFICE                   5,986,000           5,698,000           7,124,000
           NATIONAL SAVINGS ABBOTTABAD
PR1314 ZONAL INSPECTION & ACCOUNTS OFFICE PESHAWAR
011203- A01    Employees Related Expenses                      20,664,000            21,922,000            26,195,000
011203- A011   Pay                      19     19           10,925,000             9,847,000            12,163,000
011203- A011-1 Pay of Officers               (14)    (14)          (9,455,000)          (8,145,000)         (10,436,000)
011203- A011-2 Pay of Other Staff               (5)      (5)          (1,470,000)          (1,702,000)          (1,727,000)
011203- A012   Allowances                                           9,739,000            12,075,000            14,032,000
011203- A012-1  Regular Allowances                               (8,539,000)         (10,611,000)         (12,812,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,200,000)          (1,464,000)          (1,220,000)
011203- A03    Operating Expenses                                 5,836,000            12,645,000             6,165,000
011203- A032   Communications                                     100,000              112,000              110,000
011203- A033     Utilities                                                11,000                 6,000               13,000
011203- A034   Occupancy Costs                                     2,575,000             3,502,000             2,875,000
011203- A038    Travel & Transportation                               2,643,000             8,876,000             2,643,000
011203- A039   General                                              507,000              149,000              524,000
011203- A04    Employees Retirement Benefits                     1,474,000             1,382,000              140,000
011203- A041   Pension                                              1,474,000             1,382,000              140,000
011203- A13    Repairs and Maintenance                            170,000              170,000              170,000
011203- A130    Transport                                            100,000              100,000              100,000
011203- A131   Machinery and Equipment                              50,000               50,000               50,000
011203- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- ZONAL INSPECTION & ACCOUNTS              28,144,000         36,119,000          32,670,000
            OFFICE PESHAWAR
     011203   Total-  National Savings                        578,430,000        672,136,000        711,493,000
     0112     Total-  Financial and Fiscal Affairs                578,430,000        672,136,000        711,493,000
     011      Total-  Executive & Legislative                   578,430,000        672,136,000        711,493,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                   578,430,000        672,136,000        711,493,000
               Total- ACCOUNTANT GENERAL                  578,430,000          672,136,000          711,493,000
                PAKISTAN REVENUES
                  SUB-OFFICE, PESHAWAR

Page 46

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011203 National Savings  :
KA3219 ZONAL INSPECTION & ACCOUNTS OFFICE HYDERABAD
011203- A01    Employees Related Expenses                      13,393,000            12,316,000            22,598,000
011203- A011   Pay                      21     21            7,602,000             5,772,000            10,416,000
011203- A011-1 Pay of Officers                  (8)      (8)          (4,930,000)          (4,334,000)          (7,710,000)
011203- A011-2 Pay of Other Staff            (13)    (13)          (2,672,000)          (1,438,000)          (2,706,000)
011203- A012   Allowances                                           5,791,000             6,544,000            12,182,000
011203- A012-1  Regular Allowances                               (5,041,000)          (5,841,000)         (11,382,000)
011203- A012-2  Other Allowances (Excluding TA)                    (750,000)            (703,000)            (800,000)
011203- A03    Operating Expenses                                 2,097,000             2,172,000             2,100,000
011203- A032   Communications                                       87,000               77,000               90,000
011203- A038    Travel & Transportation                               1,689,000             1,926,000             1,689,000
011203- A039   General                                              321,000              169,000              321,000
011203- A04    Employees Retirement Benefits                      100,000              230,000              100,000
011203- A041   Pension                                              100,000              230,000              100,000
011203- A13    Repairs and Maintenance                            180,000              310,000              180,000
011203- A130    Transport                                              90,000              190,000               90,000
011203- A131   Machinery and Equipment                              60,000               80,000               60,000
011203- A132    Furniture and Fixture                                   30,000               40,000               30,000
        Total- ZONAL INSPECTION & ACCOUNTS              15,770,000         15,028,000          24,978,000
            OFFICE HYDERABAD
KA3220 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS HYDERABAD
011203- A01    Employees Related Expenses                       6,343,000             6,771,000             7,494,000
011203- A011   Pay                       5      5            3,352,000             3,207,000             3,556,000
011203- A011-1 Pay of Officers                  (1)      (1)          (1,275,000)          (1,377,000)          (1,429,000)
011203- A011-2 Pay of Other Staff               (4)      (4)          (2,077,000)          (1,830,000)          (2,127,000)
011203- A012   Allowances                                           2,991,000             3,564,000             3,938,000
011203- A012-1  Regular Allowances                               (2,651,000)          (3,243,000)          (3,583,000)
011203- A012-2  Other Allowances (Excluding TA)                    (340,000)            (321,000)            (355,000)
011203- A03    Operating Expenses                                 175,000              241,000              183,000

Page 47

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A032   Communications                                       50,000               58,000               51,000
011203- A038    Travel & Transportation                                 77,000              135,000               77,000
011203- A039   General                                                48,000               48,000               55,000
011203- A04    Employees Retirement Benefits                         5,000                                      5,000
011203- A041   Pension                                                 5,000                                      5,000
011203- A13    Repairs and Maintenance                              25,000               60,000               25,000
011203- A131   Machinery and Equipment                              15,000               40,000               15,000
011203- A132    Furniture and Fixture                                   10,000               20,000               10,000
        Total- REGIONAL ACCOUNTS OFFICE                   6,548,000           7,072,000           7,707,000
           NATIONAL SAVINGS HYDERABAD
KA3221 ZONAL INSPECTION & ACCOUNTS OFFICE SUKKUR
011203- A01    Employees Related Expenses                       5,752,000             6,577,000            11,896,000
011203- A011   Pay                       9      9            3,076,000             3,103,000             5,653,000
011203- A011-1 Pay of Officers                  (7)      (7)          (1,880,000)          (1,983,000)          (4,423,000)
011203- A011-2 Pay of Other Staff               (2)      (2)          (1,196,000)          (1,120,000)          (1,230,000)
011203- A012   Allowances                                           2,676,000             3,474,000             6,243,000
011203- A012-1  Regular Allowances                               (2,316,000)          (3,181,000)          (5,873,000)
011203- A012-2  Other Allowances (Excluding TA)                    (360,000)            (293,000)            (370,000)
011203- A03    Operating Expenses                                 1,214,000             1,219,000             1,219,000
011203- A038    Travel & Transportation                               1,054,000             1,159,000             1,054,000
011203- A039   General                                              160,000               60,000              165,000
011203- A04    Employees Retirement Benefits                       15,000                                     15,000
011203- A041   Pension                                               15,000                                     15,000
011203- A13    Repairs and Maintenance                              30,000               25,000               30,000
011203- A131   Machinery and Equipment                              20,000               15,000               20,000
011203- A132    Furniture and Fixture                                   10,000               10,000               10,000
        Total- ZONAL INSPECTION & ACCOUNTS                7,011,000           7,821,000          13,160,000
            OFFICE SUKKUR
KA3222 FIELD ORGANISTION HYDERABAD
011203- A01    Employees Related Expenses                    114,880,000          117,432,000          140,347,000
011203- A011   Pay                     190    190           65,720,000            52,952,000            59,237,000
011203- A011-1 Pay of Officers               (44)    (44)         (12,019,000)          (8,254,000)          (9,192,000)
011203- A011-2 Pay of Other Staff          (146)   (146)         (53,701,000)         (44,698,000)         (50,045,000)

Page 48

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A012   Allowances                                         49,160,000            64,480,000            81,110,000
011203- A012-1  Regular Allowances                             (43,192,000)         (58,208,000)         (75,110,000)
011203- A012-2  Other Allowances (Excluding TA)                  (5,968,000)          (6,272,000)          (6,000,000)
011203- A03    Operating Expenses                               39,015,000            47,587,000            31,903,000
011203- A032   Communications                                     610,000             1,360,000              650,000
011203- A033     Utilities                                               5,114,000             8,436,000             4,984,000
011203- A034   Occupancy Costs                                   29,170,000            31,670,000            22,133,000
011203- A038    Travel & Transportation                               3,047,000             5,047,000             3,047,000
011203- A039   General                                              1,074,000             1,074,000             1,089,000
011203- A04    Employees Retirement Benefits                     3,180,000             3,180,000             1,662,000
011203- A041   Pension                                              3,180,000             3,180,000             1,662,000
        Total- FIELD ORGANISTION HYDERABAD             157,075,000        168,199,000        173,912,000
KA3223 REGIONAL DIRECTORATE OF NATIONAL SAVINGS HYDERABAD
011203- A01    Employees Related Expenses                      37,382,000            32,834,000            41,376,000
011203- A011   Pay                      36     36           18,940,000            14,960,000            17,936,000
011203- A011-1 Pay of Officers               (11)    (11)         (11,957,000)          (8,542,000)         (10,647,000)
011203- A011-2 Pay of Other Staff            (25)    (25)          (6,983,000)          (6,418,000)          (7,289,000)
011203- A012   Allowances                                         18,442,000            17,874,000            23,440,000
011203- A012-1  Regular Allowances                             (16,747,000)         (16,735,000)         (21,655,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,695,000)          (1,139,000)          (1,785,000)
011203- A03    Operating Expenses                               36,468,000            38,635,000            11,139,000
011203- A032   Communications                                     331,000              411,000              440,000
011203- A033     Utilities                                               4,958,000             5,365,000             3,270,000
011203- A034   Occupancy Costs                                     5,050,000             6,050,000             5,448,000
011203- A038    Travel & Transportation                               1,039,000             1,727,000             1,039,000
011203- A039   General                                             25,090,000            25,082,000              942,000
011203- A04    Employees Retirement Benefits                     5,621,000             3,767,000              519,000
011203- A041   Pension                                              5,621,000             3,767,000              519,000
011203- A05    Grants, Subsidies and Write off Loans              3,200,000             2,800,000             3,200,000
011203- A052   Grants Domestic                                     3,200,000             2,800,000             3,200,000
011203- A13    Repairs and Maintenance                            910,000              910,000              910,000
011203- A130    Transport                                            260,000              260,000              260,000
011203- A131   Machinery and Equipment                             400,000              400,000              400,000

Page 49

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A132    Furniture and Fixture                                  250,000              250,000              250,000
        Total- REGIONAL DIRECTORATE OF                   83,581,000         78,946,000          57,144,000
           NATIONAL SAVINGS HYDERABAD
KA3224 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS KARACHI
011203- A01    Employees Related Expenses                       3,245,000             4,712,000             5,963,000
011203- A011   Pay                       3      3            1,930,000             2,363,000             2,700,000
011203- A011-1 Pay of Officers                  (1)      (1)          (1,280,000)          (2,012,000)          (2,000,000)
011203- A011-2 Pay of Other Staff               (2)      (2)            (650,000)            (351,000)            (700,000)
011203- A012   Allowances                                           1,315,000             2,349,000             3,263,000
011203- A012-1  Regular Allowances                               (1,045,000)          (2,152,000)          (2,853,000)
011203- A012-2  Other Allowances (Excluding TA)                    (270,000)            (197,000)            (410,000)
011203- A03    Operating Expenses                                 1,668,000             1,293,000             1,724,000
011203- A032   Communications                                       62,000               50,000               68,000
011203- A033     Utilities                                                  9,000               15,000                 9,000
011203- A034   Occupancy Costs                                     1,250,000              871,000             1,300,000
011203- A038    Travel & Transportation                               202,000              160,000              202,000
011203- A039   General                                              145,000              197,000              145,000
011203- A04    Employees Retirement Benefits                                                                 1,280,000
011203- A041   Pension                                                                                          1,280,000
011203- A13    Repairs and Maintenance                              60,000               80,000               60,000
011203- A131   Machinery and Equipment                              30,000               50,000               30,000
011203- A132    Furniture and Fixture                                   30,000               30,000               30,000
        Total- REGIONAL ACCOUNTS OFFICE                   4,973,000           6,085,000           9,027,000
           NATIONAL SAVINGS KARACHI
KA3225 REGIONAL DIRECTORATE OF NATIONAL SAVINGS KARACHI
011203- A01    Employees Related Expenses                      47,206,000            50,108,000            66,407,000
011203- A011   Pay                      46     46           25,532,000            22,893,000            30,566,000
011203- A011-1 Pay of Officers               (12)    (12)         (11,033,000)         (10,712,000)         (15,028,000)
011203- A011-2 Pay of Other Staff            (34)    (34)         (14,499,000)         (12,181,000)         (15,538,000)
011203- A012   Allowances                                         21,674,000            27,215,000            35,841,000
011203- A012-1  Regular Allowances                             (18,074,000)         (23,095,000)         (31,091,000)
011203- A012-2  Other Allowances (Excluding TA)                  (3,600,000)          (4,120,000)          (4,750,000)
011203- A03    Operating Expenses                               83,458,000            94,816,000            41,478,000

Page 50

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A032   Communications                                     3,382,000             4,131,000             3,778,000
011203- A033     Utilities                                               4,807,000             5,323,000             5,875,000
011203- A034   Occupancy Costs                                   24,458,000            38,682,000            25,458,000
011203- A038    Travel & Transportation                               4,489,000             7,019,000             4,489,000
011203- A039   General                                             46,322,000            39,661,000             1,878,000
011203- A04    Employees Retirement Benefits                     1,711,000             3,781,000             2,700,000
011203- A041   Pension                                              1,711,000             3,781,000             2,700,000
011203- A05    Grants, Subsidies and Write off Loans              8,200,000            23,200,000             9,200,000
011203- A052   Grants Domestic                                     8,200,000            23,200,000             9,200,000
011203- A13    Repairs and Maintenance                            2,190,000             4,395,000             2,190,000
011203- A130    Transport                                            610,000             1,609,000              610,000
011203- A131   Machinery and Equipment                            1,100,000             1,594,000             1,100,000
011203- A132    Furniture and Fixture                                  480,000             1,192,000              480,000
        Total- REGIONAL DIRECTORATE OF                  142,765,000        176,300,000        121,975,000
           NATIONAL SAVINGS KARACHI
KA3226 FIELD ORGANIZATION SUKKUR
011203- A01    Employees Related Expenses                    117,547,000          136,440,000          148,996,000
011203- A011   Pay                     163    163           67,310,000            63,510,000            68,553,000
011203- A011-1 Pay of Officers               (16)    (16)         (13,328,000)         (14,628,000)         (13,458,000)
011203- A011-2 Pay of Other Staff          (147)   (147)         (53,982,000)         (48,882,000)         (55,095,000)
011203- A012   Allowances                                         50,237,000            72,930,000            80,443,000
011203- A012-1  Regular Allowances                             (45,112,000)         (67,717,000)         (74,293,000)
011203- A012-2  Other Allowances (Excluding TA)                  (5,125,000)          (5,213,000)          (6,150,000)
011203- A03    Operating Expenses                               42,842,000            64,654,000            48,575,000
011203- A032   Communications                                     811,000             1,651,000              900,000
011203- A033     Utilities                                             11,485,000            21,102,000            12,056,000
011203- A034   Occupancy Costs                                   25,381,000            30,570,000            30,381,000
011203- A038    Travel & Transportation                               3,379,000             9,045,000             3,379,000
011203- A039   General                                              1,786,000             2,286,000             1,859,000
        Total- FIELD ORGANIZATION SUKKUR                160,389,000        201,094,000        197,571,000
KA3227 FIELD ORGANISATION KARACHI
011203- A01    Employees Related Expenses                    206,636,000          235,658,000          273,191,000
011203- A011   Pay                     326    326          123,552,000          110,970,000          126,742,000

Page 51

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A011-1 Pay of Officers               (36)    (36)         (32,000,000)         (28,688,000)         (32,975,000)
011203- A011-2 Pay of Other Staff          (290)   (290)         (91,552,000)         (82,282,000)         (93,767,000)
011203- A012   Allowances                                         83,084,000          124,688,000          146,449,000
011203- A012-1  Regular Allowances                             (71,484,000)       (111,608,000)       (132,649,000)
011203- A012-2  Other Allowances (Excluding TA)                 (11,600,000)         (13,080,000)         (13,800,000)
011203- A03    Operating Expenses                              154,541,000          225,921,000          158,368,000
011203- A032   Communications                                     709,000             2,335,000             1,580,000
011203- A033     Utilities                                             31,080,000            49,950,000            32,544,000
011203- A034   Occupancy Costs                                  113,676,000          157,581,000          114,676,000
011203- A038    Travel & Transportation                               4,939,000            11,690,000             4,939,000
011203- A039   General                                              4,137,000             4,365,000             4,629,000
011203- A04    Employees Retirement Benefits                     5,054,000             9,229,000             2,500,000
011203- A041   Pension                                              5,054,000             9,229,000             2,500,000
        Total- FIELD ORGANISATION KARACHI               366,231,000        470,808,000        434,059,000
KA3228 REGIONAL DIRECTORATE OF NATIONAL SAVINGS SUKKUR
011203- A01    Employees Related Expenses                      31,621,000            33,840,000            41,824,000
011203- A011   Pay                      42     42           16,633,000            15,533,000            19,383,000
011203- A011-1 Pay of Officers               (10)    (10)          (8,200,000)          (7,950,000)         (11,162,000)
011203- A011-2 Pay of Other Staff            (32)    (32)          (8,433,000)          (7,583,000)          (8,221,000)
011203- A012   Allowances                                         14,988,000            18,307,000            22,441,000
011203- A012-1  Regular Allowances                             (13,308,000)         (16,446,000)         (20,501,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,680,000)          (1,861,000)          (1,940,000)
011203- A03    Operating Expenses                               47,262,000            48,892,000             8,985,000
011203- A032   Communications                                     413,000              688,000              468,000
011203- A033     Utilities                                               2,085,000             2,200,000             2,090,000
011203- A034   Occupancy Costs                                     3,964,000             3,552,000             3,854,000
011203- A038    Travel & Transportation                               1,336,000             1,191,000             1,336,000
011203- A039   General                                             39,464,000            41,261,000             1,237,000
011203- A04    Employees Retirement Benefits                      100,000             8,055,000             1,536,000
011203- A041   Pension                                              100,000             8,055,000             1,536,000
011203- A05    Grants, Subsidies and Write off Loans              8,200,000            11,000,000             8,200,000
011203- A052   Grants Domestic                                     8,200,000            11,000,000             8,200,000
011203- A13    Repairs and Maintenance                            970,000              970,000              970,000

Page 52

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A130    Transport                                            200,000              200,000              200,000
011203- A131   Machinery and Equipment                             480,000              480,000              480,000
011203- A132    Furniture and Fixture                                  290,000              290,000              290,000
        Total- REGIONAL DIRECTORATE OF                   88,153,000        102,757,000          61,515,000
           NATIONAL SAVINGS SUKKUR
KA3230 REGIONAL ACCOUNT OFFICE NATIONAL SAVINGS SUKKUR
011203- A01    Employees Related Expenses                       3,880,000             4,213,000             4,675,000
011203- A011   Pay                       4      4            2,083,000             1,947,000             2,036,000
011203- A011-1 Pay of Officers                  (1)      (1)          (1,024,000)            (894,000)            (935,000)
011203- A011-2 Pay of Other Staff               (3)      (3)          (1,059,000)          (1,053,000)          (1,101,000)
011203- A012   Allowances                                           1,797,000             2,266,000             2,639,000
011203- A012-1  Regular Allowances                               (1,557,000)          (2,058,000)          (2,379,000)
011203- A012-2  Other Allowances (Excluding TA)                    (240,000)            (208,000)            (260,000)
011203- A03    Operating Expenses                                 218,000              171,000              231,000
011203- A032   Communications                                       38,000               54,000               42,000
011203- A033     Utilities                                                  4,000                 4,000                 4,000
011203- A038    Travel & Transportation                               126,000               46,000              126,000
011203- A039   General                                                50,000               67,000               59,000
011203- A13    Repairs and Maintenance                              30,000               38,000               30,000
011203- A131   Machinery and Equipment                              20,000               28,000               20,000
011203- A132    Furniture and Fixture                                   10,000               10,000               10,000
        Total- REGIONAL ACCOUNT OFFICE                    4,128,000           4,422,000           4,936,000
           NATIONAL SAVINGS SUKKUR
KA9634 ZONAL INSPECTION AND AUDIT OFFICE KARACHI
011203- A01    Employees Related Expenses                      32,330,000            29,968,000            55,053,000
011203- A011   Pay                      30     30           18,606,000            14,514,000            24,510,000
011203- A011-1 Pay of Officers                  (8)      (8)         (14,240,000)         (12,526,000)         (20,300,000)
011203- A011-2 Pay of Other Staff            (22)    (22)          (4,366,000)          (1,988,000)          (4,210,000)
011203- A012   Allowances                                         13,724,000            15,454,000            30,543,000
011203- A012-1  Regular Allowances                             (11,824,000)         (14,149,000)         (28,243,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,900,000)          (1,305,000)          (2,300,000)
011203- A03    Operating Expenses                                 6,468,000             7,224,000             8,474,000
011203- A032   Communications                                     102,000               77,000              108,000

Page 53

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011203- A033     Utilities                                                14,000               14,000               14,000
011203- A034   Occupancy Costs                                     5,000,000             5,308,000             7,000,000
011203- A038    Travel & Transportation                               1,069,000             1,617,000             1,069,000
011203- A039   General                                              283,000              208,000              283,000
011203- A04    Employees Retirement Benefits                      100,000             2,734,000             3,933,000
011203- A041   Pension                                              100,000             2,734,000             3,933,000
011203- A13    Repairs and Maintenance                            275,000              275,000              275,000
011203- A130    Transport                                            150,000              150,000              150,000
011203- A131   Machinery and Equipment                             100,000              100,000              100,000
011203- A132    Furniture and Fixture                                   25,000               25,000               25,000
        Total- ZONAL INSPECTION AND AUDIT                 39,173,000         40,201,000          67,735,000
            OFFICE KARACHI
     011203   Total-  National Savings                       1,075,797,000       1,278,733,000       1,173,719,000
011206 Accounting services  :
KA0091 FEDERAL TREASURY OFFICE KARACHI
011206- A01    Employees Related Expenses                      46,000,000            49,560,000            56,980,000
011206- A011   Pay                      66     66           23,141,000            23,141,000            19,918,000
011206- A011-1 Pay of Officers                  (9)      (9)          (4,438,000)          (4,438,000)          (5,653,000)
011206- A011-2 Pay of Other Staff            (57)    (57)         (18,703,000)         (18,703,000)         (14,265,000)
011206- A012   Allowances                                         22,859,000            26,419,000            37,062,000
011206- A012-1  Regular Allowances                             (17,159,000)         (20,719,000)         (28,062,000)
011206- A012-2  Other Allowances (Excluding TA)                  (5,700,000)          (5,700,000)          (9,000,000)
011206- A03    Operating Expenses                               40,280,000            36,720,000            40,329,000
011206- A032   Communications                                     550,000              550,000              450,000
011206- A033     Utilities                                               4,950,000             4,950,000             4,950,000
011206- A034   Occupancy Costs                                   25,000,000            21,440,000            26,000,000
011206- A038    Travel & Transportation                               2,050,000             2,050,000             1,800,000
011206- A039   General                                              7,730,000             7,730,000             7,129,000
011206- A04    Employees Retirement Benefits                     3,200,000             3,200,000             2,501,000
011206- A041   Pension                                              3,200,000             3,200,000             2,501,000
011206- A05    Grants, Subsidies and Write off Loans             12,500,000            12,500,000            18,000,000
011206- A052   Grants Domestic                                    12,500,000            12,500,000            18,000,000
011206- A09    Physical Assets                                      9,530,000             9,530,000            11,530,000

Page 54

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

011206- A092   Computer Equipment                                 3,500,000             3,500,000             4,000,000
011206- A093   Commodity Purchases                                 30,000               30,000               30,000
011206- A095   Purchase of Transport                                3,500,000             3,500,000             4,000,000
011206- A096   Purchase of Plant and Machinery                     1,500,000             1,500,000             2,000,000
011206- A097   Purchase of Furniture and Fixture                     1,000,000             1,000,000             1,500,000
011206- A13    Repairs and Maintenance                            5,200,000             5,200,000             7,000,000
011206- A130    Transport                                            600,000              600,000             1,000,000
011206- A131   Machinery and Equipment                            1,500,000             1,500,000             1,500,000
011206- A132    Furniture and Fixture                                 1,000,000             1,000,000             1,000,000
011206- A137   Computer Equipment                                 2,100,000             2,100,000             3,500,000
        Total- FEDERAL TREASURY OFFICE KARACHI        116,710,000        116,710,000        136,340,000

     011206   Total-  Accounting services                      116,710,000        116,710,000        136,340,000
     0112     Total-  Financial and Fiscal Affairs              1,192,507,000       1,395,443,000       1,310,059,000
     011      Total-  Executive & Legislative                  1,192,507,000       1,395,443,000       1,310,059,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
019    General Public Service Not Elsewhere Defined:
0191  Gen Public Service Not Elsewhere Defined:
019101 Administrative Training  :
KA3229 SUB-TRAINING INSTITUTE OF NATIONAL SAVINGS KARACHI
019101- A01    Employees Related Expenses                       5,312,000             3,833,000             6,550,000
019101- A011   Pay                       5      5            2,400,000             1,558,000             2,665,000
019101- A011-1 Pay of Officers                  (2)      (2)          (1,225,000)            (229,000)          (1,305,000)
019101- A011-2 Pay of Other Staff               (3)      (3)          (1,175,000)          (1,329,000)          (1,360,000)
019101- A012   Allowances                                           2,912,000             2,275,000             3,885,000
019101- A012-1  Regular Allowances                               (1,912,000)          (1,664,000)          (2,885,000)
019101- A012-2  Other Allowances (Excluding TA)                  (1,000,000)            (611,000)          (1,000,000)
019101- A03    Operating Expenses                                 7,040,000             7,567,000             7,155,000
019101- A032   Communications                                       90,000               90,000              100,000
019101- A033     Utilities                                               1,160,000             1,126,000             1,260,000
019101- A034   Occupancy Costs                                     5,160,000             5,681,000             5,160,000
019101- A038    Travel & Transportation                               270,000              350,000              270,000
019101- A039   General                                              360,000              320,000              365,000

Page 55

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, KARACHI

019101- A04    Employees Retirement Benefits                       20,000                                   917,000
019101- A041   Pension                                               20,000                                   917,000
019101- A13    Repairs and Maintenance                            290,000              260,000              290,000
019101- A130    Transport                                            100,000               70,000              100,000
019101- A131   Machinery and Equipment                             150,000              150,000              150,000
019101- A132    Furniture and Fixture                                   40,000               40,000               40,000
        Total- SUB-TRAINING INSTITUTE OF                   12,662,000         11,660,000          14,912,000
           NATIONAL SAVINGS KARACHI
     019101   Total-  Administrative Training                    12,662,000         11,660,000         14,912,000
     0191     Total-  Gen Public Service Not Elsewhere          12,662,000         11,660,000         14,912,000
                      Defined
     019      Total-  General Public Service Not                 12,662,000         11,660,000         14,912,000
                    Elsewhere Defined
     01        Total-  General Public Service                  1,205,169,000       1,407,103,000       1,324,971,000
               Total- ACCOUNTANT GENERAL                 1,205,169,000         1,407,103,000         1,324,971,000
                PAKISTAN REVENUES
                  SUB-OFFICE, KARACHI

Page 56

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011203 National Savings  :
QA0687 SUB-ZONAL INSPECTION & ACCOUNTS OFFICE QUETTA
011203- A01    Employees Related Expenses                       5,825,000             6,760,000             6,750,000
011203- A011   Pay                       5      5            3,178,000             3,294,000             3,452,000
011203- A011-1 Pay of Officers                  (3)      (3)          (2,495,000)          (2,611,000)          (2,744,000)
011203- A011-2 Pay of Other Staff               (2)      (2)            (683,000)            (683,000)            (708,000)
011203- A012   Allowances                                           2,647,000             3,466,000             3,298,000
011203- A012-1  Regular Allowances                               (2,287,000)          (3,011,000)          (2,894,000)
011203- A012-2  Other Allowances (Excluding TA)                    (360,000)            (455,000)            (404,000)
011203- A03    Operating Expenses                                 1,926,000             3,037,000             1,936,000
011203- A032   Communications                                         5,000                 5,000                 5,000
011203- A034   Occupancy Costs                                     1,734,000             2,795,000             1,734,000
011203- A038    Travel & Transportation                               150,000              200,000              150,000
011203- A039   General                                                37,000               37,000               47,000
011203- A04    Employees Retirement Benefits                       10,000               10,000               10,000
011203- A041   Pension                                               10,000               10,000               10,000
011203- A13    Repairs and Maintenance                              20,000               20,000               20,000
011203- A131   Machinery and Equipment                              10,000               10,000               10,000
011203- A132    Furniture and Fixture                                   10,000               10,000               10,000
        Total- SUB-ZONAL INSPECTION & ACCOUNTS           7,781,000           9,827,000           8,716,000
            OFFICE QUETTA
QA0688 REGIONAL DIRECTORATE OF NATIONAL SAVINGS QUETTA
011203- A01    Employees Related Expenses                      24,849,000            25,229,000            36,308,000
011203- A011   Pay                      33     33           14,028,000            11,971,000            16,301,000
011203- A011-1 Pay of Officers               (11)    (11)          (7,374,000)          (6,553,000)         (10,040,000)
011203- A011-2 Pay of Other Staff            (22)    (22)          (6,654,000)          (5,418,000)          (6,261,000)
011203- A012   Allowances                                         10,821,000            13,258,000            20,007,000
011203- A012-1  Regular Allowances                               (8,959,000)         (11,796,000)         (17,737,000)
011203- A012-2  Other Allowances (Excluding TA)                  (1,862,000)          (1,462,000)          (2,270,000)
011203- A03    Operating Expenses                               40,325,000            42,762,000            23,547,000

Page 57

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

011203- A032   Communications                                     410,000              530,000              438,000
011203- A033     Utilities                                               2,006,000             7,700,000             2,800,000
011203- A034   Occupancy Costs                                   16,486,000            16,652,000            17,486,000
011203- A038    Travel & Transportation                               1,352,000             2,161,000             1,352,000
011203- A039   General                                             20,071,000            15,719,000             1,471,000
011203- A04    Employees Retirement Benefits                      100,000              426,000              100,000
011203- A041   Pension                                              100,000              426,000              100,000
011203- A05    Grants, Subsidies and Write off Loans              3,200,000             4,600,000             3,200,000
011203- A052   Grants Domestic                                     3,200,000             4,600,000             3,200,000
011203- A13    Repairs and Maintenance                            625,000             1,225,000              625,000
011203- A130    Transport                                            210,000              510,000              210,000
011203- A131   Machinery and Equipment                             300,000              550,000              300,000
011203- A132    Furniture and Fixture                                  115,000              165,000              115,000
        Total- REGIONAL DIRECTORATE OF                   69,099,000         74,242,000          63,780,000
           NATIONAL SAVINGS QUETTA
QA0689 FIELD ORGANISATION QUETTA
011203- A01    Employees Related Expenses                      64,065,000            78,005,000            89,874,000
011203- A011   Pay                      93     93           36,689,000            36,435,000            40,701,000
011203- A011-1 Pay of Officers               (24)    (24)         (10,002,000)          (8,610,000)          (9,563,000)
011203- A011-2 Pay of Other Staff            (69)    (69)         (26,687,000)         (27,825,000)         (31,138,000)
011203- A012   Allowances                                         27,376,000            41,570,000            49,173,000
011203- A012-1  Regular Allowances                             (23,678,000)         (38,213,000)         (44,875,000)
011203- A012-2  Other Allowances (Excluding TA)                  (3,698,000)          (3,357,000)          (4,298,000)
011203- A03    Operating Expenses                               43,376,000            51,855,000            44,558,000
011203- A032   Communications                                     361,000              886,000              465,000
011203- A033     Utilities                                               2,825,000             7,525,000             3,830,000
011203- A034   Occupancy Costs                                   36,357,000            34,361,000            36,299,000
011203- A038    Travel & Transportation                               1,900,000             7,150,000             1,900,000
011203- A039   General                                              1,933,000             1,933,000             2,064,000
        Total- FIELD ORGANISATION QUETTA                107,441,000        129,860,000        134,432,000
QA0690 REGIONAL ACCOUNTS OFFICE NATIONAL SAVINGS QUETTA
011203- A01    Employees Related Expenses                       3,445,000             3,973,000             4,218,000
011203- A011   Pay                       5      5            1,870,000             1,874,000             2,027,000

Page 58

NO. 044.- FC21Y07 OTHER EXPENDITURE OF FINANCE DIVISION                 DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, QUETTA

011203- A011-1 Pay of Officers                  (1)      (1)            (890,000)            (822,000)            (931,000)
011203- A011-2 Pay of Other Staff               (4)      (4)            (980,000)          (1,052,000)          (1,096,000)
011203- A012   Allowances                                           1,575,000             2,099,000             2,191,000
011203- A012-1  Regular Allowances                               (1,310,000)          (1,805,000)          (1,896,000)
011203- A012-2  Other Allowances (Excluding TA)                    (265,000)            (294,000)            (295,000)
011203- A03    Operating Expenses                                 1,294,000             1,914,000             1,403,000
011203- A032   Communications                                       55,000               55,000               57,000
011203- A033     Utilities                                                  2,000                 2,000                 2,000
011203- A034   Occupancy Costs                                     1,130,000             1,628,000             1,230,000
011203- A038    Travel & Transportation                                 60,000              162,000               60,000
011203- A039   General                                                47,000               67,000               54,000
011203- A04    Employees Retirement Benefits                       10,000                                     10,000
011203- A041   Pension                                               10,000                                     10,000
011203- A13    Repairs and Maintenance                              30,000               60,000               30,000
011203- A131   Machinery and Equipment                              15,000               30,000               15,000
011203- A132    Furniture and Fixture                                   15,000               30,000               15,000
        Total- REGIONAL ACCOUNTS OFFICE                   4,779,000           5,947,000           5,661,000
           NATIONAL SAVINGS QUETTA
     011203   Total-  National Savings                        189,100,000        219,876,000        212,589,000
     0112     Total-  Financial and Fiscal Affairs                189,100,000        219,876,000        212,589,000
     011      Total-  Executive & Legislative                   189,100,000        219,876,000        212,589,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                   189,100,000        219,876,000        212,589,000
               Total- ACCOUNTANT GENERAL                  189,100,000          219,876,000          212,589,000
                PAKISTAN REVENUES
                  SUB-OFFICE, QUETTA
          TOTAL - DEMAND                             7,076,340,000       6,862,997,000       8,690,682,000

Page 59

NO. 045.- CONTROLLER GENERAL OF ACCOUNTS                          DEMANDS FOR GRANTS
                                DEMAND NO. 045
                                                                            ( FC21C42 )
                          CONTROLLER GENERAL OF ACCOUNTS

             I.     ESTIMATES of the Amount required in the year ending 30 June , 2026 to defray the Salaries and Other
Expenses of the CONTROLLER GENERAL OF ACCOUNTS.

                                Voted           Rs. 13,811,965,000

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

                                                           2024-2025         2024-2025         2025-2026
                                                       Budget           Revised           Budget
                                                             Estimate          Estimate           Estimate
                                                    Rs             Rs             Rs
     FUNCTIONAL CLASSIFICATION
011    Executive & Legislative Organs,Financial and Fiscal       13,268,115,000        12,313,508,000        13,811,965,000
         Affairs, External Affairs
               Total                                              13,268,115,000        12,313,508,000        13,811,965,000
     OBJECT CLASSIFICATION
A01   Employees Related Expenses                        8,344,868,000       7,995,027,000       8,648,710,000
A011  Pay                                                        3,810,565,000         3,654,857,000         3,784,185,000
A011-1 Pay of Officers                                              (3,278,556,000)        (3,122,655,000)        (3,245,889,000)
A011-2 Pay of Other Staff                                            (532,009,000)         (532,202,000)         (538,296,000)
A012  Allowances                                                 4,534,303,000         4,340,170,000         4,864,525,000
A012-1 Regular Allowances                                         (4,024,875,000)        (3,652,107,000)        (4,199,017,000)
A012-2 Other Allowances (Excluding TA)                             (509,428,000)         (688,063,000)         (665,508,000)
A03   Operating Expenses                                 2,725,984,000       2,396,992,000       2,978,550,000
A04   Employees Retirement Benefits                        403,286,000        304,044,000        303,530,000
A05   Grants, Subsidies and Write off Loans                  265,305,000        134,481,000        215,931,000
A09   Physical Assets                                      1,389,700,000       1,288,616,000       1,482,169,000
A13   Repairs and Maintenance                             138,972,000        194,348,000        183,075,000
               Total                                        13,268,115,000      12,313,508,000      13,811,965,000

Page 60

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS

III.  - DETAILS are as follows :-
                                 No of Posts        2024-2025         2024-2025       2025-2026
                                       2024-25 2025-26       Budget           Revised         Budget
                                                             Estimate           Estimate        Estimate
                                                    Rs             Rs           Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
IB0488 SAP SYSTEM EXPENDITURE OF FABS
011206- A03    Operating Expenses                                 7,240,000            35,551,000          100,200,000
011206- A039   General                                              7,240,000            35,551,000          100,200,000
011206- A09    Physical Assets                                  1,323,460,000         1,205,616,000         1,449,169,000
011206- A092   Computer Equipment                             1,323,460,000         1,205,616,000         1,449,169,000
        Total- SAP SYSTEM EXPENDITURE OF FABS        1,330,700,000       1,241,167,000       1,549,369,000
IB3520 CHIEF ACCOUNTS OFFICER PAK POST ISLAMABAD
011206- A01    Employees Related Expenses                      46,000,000            55,863,000            59,283,000
011206- A011   Pay                      30     30           25,281,000            26,787,000            29,667,000
011206- A011-1 Pay of Officers               (30)    (30)         (25,281,000)         (26,787,000)         (29,667,000)
011206- A012   Allowances                                         20,719,000            29,076,000            29,616,000
011206- A012-1  Regular Allowances                             (19,437,000)         (26,344,000)         (28,334,000)
011206- A012-2  Other Allowances (Excluding TA)                  (1,282,000)          (2,732,000)          (1,282,000)
011206- A03    Operating Expenses                               36,147,000            16,970,000            19,085,000
011206- A032   Communications                                     300,000              130,000              300,000
011206- A033     Utilities                                                50,000               50,000               50,000
011206- A034   Occupancy Costs                                   15,287,000             3,900,000             6,000,000
011206- A038    Travel & Transportation                             16,850,000            11,915,000            10,150,000
011206- A039   General                                              3,660,000              975,000             2,585,000
011206- A04    Employees Retirement Benefits                     2,403,000             1,854,000             9,246,000
011206- A041   Pension                                              2,403,000             1,854,000             9,246,000
011206- A05    Grants, Subsidies and Write off Loans             10,400,000
011206- A052   Grants Domestic                                    10,400,000
011206- A09    Physical Assets                                                            4,500,000
011206- A095   Purchase of Transport                                                      4,500,000
011206- A13    Repairs and Maintenance                            1,610,000              600,000             1,810,000
011206- A130    Transport                                            700,000              267,000              900,000
011206- A131   Machinery and Equipment                             200,000               40,000              200,000

Page 61

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A132    Furniture and Fixture                                  200,000               78,000              200,000
011206- A137   Computer Equipment                                 510,000              215,000              510,000
        Total- CHIEF ACCOUNTS OFFICER PAK POST          96,560,000         79,787,000          89,424,000
           ISLAMABAD
IB3753 CONTROLLER GENERAL OF ACCOUNTS (BUDGET)
011206- A03    Operating Expenses                                                                         270,200,000
011206- A033     Utilities                                                                                         14,000,000
011206- A034   Occupancy Costs                                                                              80,000,000
011206- A039   General                                                                                      176,200,000
011206- A04    Employees Retirement Benefits                                                               25,000,000
011206- A041   Pension                                                                                        25,000,000
011206- A05    Grants, Subsidies and Write off Loans                                                      133,181,000
011206- A052   Grants Domestic                                                                             133,181,000
        Total- CONTROLLER GENERAL OF                                                          428,381,000
          ACCOUNTS (BUDGET)
IB9250 PROVISION FOR INCREASE IN PAY AND ALLOWANCES (CONTROLLER GENERALOF ACCOUNTS)
011206- A01    Employees Related Expenses                    925,575,000              460,000          249,482,000
011206- A012   Allowances                                        925,575,000              460,000          249,482,000
011206- A012-1  Regular Allowances                            (925,575,000)            (460,000)       (249,482,000)
        Total- PROVISION FOR INCREASE IN PAY AND        925,575,000            460,000        249,482,000
          ALLOWANCES (CONTROLLER
          GENERALOF ACCOUNTS)
ID1162 CONTROLLER GENERAL OF ACCOUNTS ISLAMABAD
011206- A01    Employees Related Expenses                    586,000,000          303,827,000          745,867,000
011206- A011   Pay                     194    191          111,924,000          116,421,000          128,802,000
011206- A011-1 Pay of Officers             (122)   (122)         (90,648,000)         (95,739,000)       (105,398,000)
011206- A011-2 Pay of Other Staff            (72)    (69)         (21,276,000)         (20,682,000)         (23,404,000)
011206- A012   Allowances                                        474,076,000          187,406,000          617,065,000
011206- A012-1  Regular Allowances                             (93,076,000)       (119,039,000)       (130,865,000)
011206- A012-2  Other Allowances (Excluding TA)                (381,000,000)         (68,367,000)       (486,200,000)
011206- A03    Operating Expenses                              490,150,000          125,802,000          245,024,000
011206- A032   Communications                                     5,300,000             3,475,000             5,830,000
011206- A033     Utilities                                             25,000,000            14,031,000            25,700,000

Page 62

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A034   Occupancy Costs                                  150,066,000            40,100,000            70,073,000
011206- A036   Motor Vehicles                                       148,000               51,000              154,000
011206- A038    Travel & Transportation                            104,200,000            34,515,000          106,820,000
011206- A039   General                                           205,436,000            33,630,000            36,447,000
011206- A04    Employees Retirement Benefits                  140,000,000             4,555,000            13,100,000
011206- A041   Pension                                           140,000,000             4,555,000            13,100,000
011206- A05    Grants, Subsidies and Write off Loans            200,000,000                                 11,000,000
011206- A052   Grants Domestic                                  200,000,000                                 11,000,000
011206- A09    Physical Assets                                                          19,000,000
011206- A092   Computer Equipment                                                     18,000,000
011206- A096   Purchase of Plant and Machinery                                           1,000,000
011206- A13    Repairs and Maintenance                            8,000,000             8,095,000             9,205,000
011206- A130    Transport                                             3,500,000             2,700,000             4,200,000
011206- A131   Machinery and Equipment                            1,150,000             1,500,000             1,430,000
011206- A132    Furniture and Fixture                                 1,150,000             1,500,000             1,265,000
011206- A133    Buildings and Structure                               600,000              600,000              660,000
011206- A137   Computer Equipment                                 1,200,000             1,795,000             1,430,000
011206- A138   General                                              400,000                                   220,000
        Total- CONTROLLER GENERAL OF                  1,424,150,000        461,279,000       1,024,196,000
          ACCOUNTS ISLAMABAD
ID1164 DIRECTOR GENERAL MANAGEMENT & INFORMATION SERVICES ISLAMABAD (MIS)
011206- A01    Employees Related Expenses                    180,695,000          155,395,000            69,275,000
011206- A011   Pay                      35    116          163,640,000          135,070,000            38,340,000
011206- A011-1 Pay of Officers               (21)    (90)       (157,371,000)       (128,460,000)         (32,876,000)
011206- A011-2 Pay of Other Staff            (14)    (26)          (6,269,000)          (6,610,000)          (5,464,000)
011206- A012   Allowances                                         17,055,000            20,325,000            30,935,000
011206- A012-1  Regular Allowances                             (14,965,000)         (17,826,000)         (28,635,000)
011206- A012-2  Other Allowances (Excluding TA)                  (2,090,000)          (2,499,000)          (2,300,000)
011206- A03    Operating Expenses                              192,110,000          229,365,000          264,507,000
011206- A032   Communications                                    53,383,000            72,606,000            81,106,000
011206- A033     Utilities                                             21,543,000             9,359,000            24,925,000
011206- A034   Occupancy Costs                                     9,000,000             6,308,000             8,500,000
011206- A038    Travel & Transportation                               2,360,000             5,808,000             7,620,000

Page 63

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A039   General                                           105,824,000          135,284,000          142,356,000
011206- A04    Employees Retirement Benefits                     1,150,000             1,266,000              200,000
011206- A041   Pension                                              1,150,000             1,266,000              200,000
011206- A05    Grants, Subsidies and Write off Loans                                    2,600,000
011206- A052   Grants Domestic                                                           2,600,000
011206- A13    Repairs and Maintenance                          13,200,000             6,374,000            11,600,000
011206- A130    Transport                                            500,000              500,000             1,000,000
011206- A131   Machinery and Equipment                           12,000,000             4,574,000             8,000,000
011206- A132    Furniture and Fixture                                  100,000              300,000              600,000
011206- A133    Buildings and Structure                               100,000              500,000              600,000
011206- A137   Computer Equipment                                 500,000              500,000             1,400,000
        Total- DIRECTOR GENERAL MANAGEMENT &         387,155,000        395,000,000        345,582,000
           INFORMATION SERVICES ISLAMABAD
               (MIS)
ID1165 ACCOUNTANT GENERAL PAKISTAN REVENUES ISLAMABAD
011206- A01    Employees Related Expenses                    689,661,000          932,522,000          883,757,000
011206- A011   Pay                     724    654          395,197,000          361,141,000          399,122,000
011206- A011-1 Pay of Officers             (524)   (464)       (352,745,000)       (305,710,000)       (358,222,000)
011206- A011-2 Pay of Other Staff          (200)   (190)         (42,452,000)         (55,431,000)         (40,900,000)
011206- A012   Allowances                                        294,464,000          571,381,000          484,635,000
011206- A012-1  Regular Allowances                            (278,931,000)       (362,211,000)       (459,035,000)
011206- A012-2  Other Allowances (Excluding TA)                 (15,533,000)       (209,170,000)         (25,600,000)
011206- A03    Operating Expenses                              300,346,000          316,321,000          355,250,000
011206- A032   Communications                                     4,931,000             5,341,000             5,800,000
011206- A033     Utilities                                             44,945,000            58,215,000            59,300,000
011206- A034   Occupancy Costs                                  169,873,000          159,549,000          180,200,000
011206- A038    Travel & Transportation                             24,816,000            30,762,000            35,700,000
011206- A039   General                                             55,781,000            62,454,000            74,250,000
011206- A04    Employees Retirement Benefits                    23,000,000            30,894,000            29,100,000
011206- A041   Pension                                            23,000,000            30,894,000            29,100,000
011206- A05    Grants, Subsidies and Write off Loans                                    9,781,000             8,750,000
011206- A052   Grants Domestic                                                           9,781,000             8,750,000
011206- A09    Physical Assets                                    66,240,000            42,000,000            33,000,000

Page 64

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

011206- A092   Computer Equipment                                                       2,000,000
011206- A096   Purchase of Plant and Machinery                    66,240,000            40,000,000            33,000,000
011206- A13    Repairs and Maintenance                            9,924,000            67,369,000            32,150,000
011206- A130    Transport                                             3,115,000             7,115,000             3,700,000
011206- A131   Machinery and Equipment                            3,026,000             4,026,000             3,500,000
011206- A132    Furniture and Fixture                                 1,602,000             4,102,000             2,700,000
011206- A133    Buildings and Structure                               401,000            50,346,000            20,000,000
011206- A137   Computer Equipment                                 1,424,000             1,424,000             1,750,000
011206- A138   General                                              356,000              356,000              500,000
        Total- ACCOUNTANT GENERAL PAKISTAN          1,089,171,000       1,398,887,000       1,342,007,000
          REVENUES ISLAMABAD
ID3053 DIRECTORATE OF BUDGET AND ACCOUNTS PAK PWD ISLAMABAD
011206- A01    Employees Related Expenses                      57,590,000            62,286,000            64,464,000
011206- A011   Pay                      97     90           33,548,000            29,519,000            32,220,000
011206- A011-1 Pay of Officers               (77)    (71)         (27,448,000)         (26,531,000)         (29,086,000)
011206- A011-2 Pay of Other Staff            (20)    (19)          (6,100,000)          (2,988,000)          (3,134,000)
011206- A012   Allowances                                         24,042,000            32,767,000            32,244,000
011206- A012-1  Regular Allowances                             (23,442,000)         (28,840,000)         (31,244,000)
011206- A012-2  Other Allowances (Excluding TA)                    (600,000)          (3,927,000)          (1,000,000)
011206- A03    Operating Expenses                               30,907,000            16,453,000            19,700,000
011206- A032   Communications                                     710,000              400,000              650,000
011206- A034   Occupancy Costs                                   18,000,000            12,321,000            12,000,000
011206- A038    Travel & Transportation                               6,650,000             2,793,000             3,600,000
011206- A039   General                                              5,547,000              939,000             3,450,000
011206- A04    Employees Retirement Benefits                      900,000              702,000              300,000
011206- A041   Pension                                              900,000              702,000              300,000
011206- A13    Repairs and Maintenance                            1,050,000              531,000             1,250,000
011206- A130    Transport                                            200,000               31,000              250,000
011206- A131   Machinery and Equipment                             300,000              150,000              350,000
011206- A132    Furniture and Fixture                                  200,000                                   200,000
011206- A137   Computer Equipment                                 350,000              350,000              400,000
011206- A138   General                                                                                          50,000
        Total- DIRECTORATE OF BUDGET AND               90,447,000         79,972,000          85,714,000
          ACCOUNTS PAK PWD ISLAMABAD

Page 65

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

                       ACCOUNTANT GENERAL PAKISTAN REVENUES

     011206   Total-  Accounting services                     5,343,758,000       3,656,552,000       5,114,155,000
     0112     Total-  Financial and Fiscal Affairs              5,343,758,000       3,656,552,000       5,114,155,000
     011      Total-  Executive & Legislative                  5,343,758,000       3,656,552,000       5,114,155,000
                      Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  5,343,758,000       3,656,552,000       5,114,155,000
               Total- ACCOUNTANT GENERAL                 5,343,758,000         3,656,552,000         5,114,155,000
                PAKISTAN REVENUES

Page 66

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
AK0001 AG (PB) - DAO ATTOCK
011206- A01    Employees Related Expenses                      20,247,000            20,532,000            24,599,000
011206- A011   Pay                      28     25           10,929,000            10,929,000            12,134,000
011206- A011-1 Pay of Officers               (21)    (21)          (9,784,000)          (9,784,000)         (10,930,000)
011206- A011-2 Pay of Other Staff               (7)      (4)          (1,145,000)          (1,145,000)          (1,204,000)
011206- A012   Allowances                                           9,318,000             9,603,000            12,465,000
011206- A012-1  Regular Allowances                               (9,318,000)          (9,603,000)         (12,465,000)
011206- A03    Operating Expenses                                                      187,000
011206- A038    Travel & Transportation                                                    187,000
        Total- AG (PB) - DAO ATTOCK                         20,247,000         20,719,000          24,599,000
BH0001 AG (PB) - DAO BAHAWALNAGAR
011206- A01    Employees Related Expenses                      28,689,000            28,688,000            28,992,000
011206- A011   Pay                      35     27           15,617,000            15,616,000            14,119,000
011206- A011-1 Pay of Officers               (24)    (24)         (13,468,000)         (13,468,000)         (13,256,000)
011206- A011-2 Pay of Other Staff            (11)      (3)          (2,149,000)          (2,148,000)            (863,000)
011206- A012   Allowances                                         13,072,000            13,072,000            14,873,000
011206- A012-1  Regular Allowances                             (13,072,000)         (13,072,000)         (14,873,000)
011206- A03    Operating Expenses                                                      123,000
011206- A038    Travel & Transportation                                                    123,000
011206- A04    Employees Retirement Benefits                                           453,000
011206- A041   Pension                                                                   453,000
        Total- AG (PB) - DAO BAHAWALNAGAR                28,689,000         29,264,000          28,992,000
BK0001 AG (PB) - DAO BHAKKAR
011206- A01    Employees Related Expenses                      17,759,000            17,759,000            20,753,000
011206- A011   Pay                      18     17            9,557,000             9,557,000            10,159,000
011206- A011-1 Pay of Officers               (13)    (13)          (8,389,000)          (8,389,000)          (8,944,000)
011206- A011-2 Pay of Other Staff               (5)      (4)          (1,168,000)          (1,168,000)          (1,215,000)
011206- A012   Allowances                                           8,202,000             8,202,000            10,594,000
011206- A012-1  Regular Allowances                               (8,202,000)          (8,202,000)         (10,594,000)
        Total- AG (PB) - DAO BHAKKAR                       17,759,000         17,759,000          20,753,000

Page 67

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

BR0001 DISTRICT ACCOUNTS OFFICER BAHAWALPUR
011206- A01    Employees Related Expenses                      47,199,000            47,199,000            53,560,000
011206- A011   Pay                      65     52           25,230,000            25,230,000            25,940,000
011206- A011-1 Pay of Officers               (51)    (49)         (24,701,000)         (24,701,000)         (25,380,000)
011206- A011-2 Pay of Other Staff            (14)      (3)            (529,000)            (529,000)            (560,000)
011206- A012   Allowances                                         21,969,000            21,969,000            27,620,000
011206- A012-1  Regular Allowances                             (21,969,000)         (21,969,000)         (27,620,000)
011206- A03    Operating Expenses                                                      290,000
011206- A038    Travel & Transportation                                                    290,000
        Total- DISTRICT ACCOUNTS OFFICER                 47,199,000         47,489,000          53,560,000
          BAHAWALPUR
CH0001 AG (PB) - DAO CHAKWAL
011206- A01    Employees Related Expenses                      14,387,000            14,387,000            16,188,000
011206- A011   Pay                      19     17            8,065,000             8,065,000             8,223,000
011206- A011-1 Pay of Officers               (19)    (16)          (8,065,000)          (8,065,000)          (8,045,000)
011206- A011-2 Pay of Other Staff                       (1)                                                     (178,000)
011206- A012   Allowances                                           6,322,000             6,322,000             7,965,000
011206- A012-1  Regular Allowances                               (6,322,000)          (6,322,000)          (7,965,000)
011206- A03    Operating Expenses                                                          7,000
011206- A038    Travel & Transportation                                                        7,000
        Total- AG (PB) - DAO CHAKWAL                       14,387,000         14,394,000          16,188,000
CT0001 DISTRICT ACCOUNT OFFICER CHINIOT
011206- A01    Employees Related Expenses                       9,325,000             9,325,000            11,349,000
011206- A011   Pay                      17     16            5,049,000             5,049,000             5,582,000
011206- A011-1 Pay of Officers               (14)    (13)          (4,520,000)          (4,520,000)          (5,022,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (529,000)            (529,000)            (560,000)
011206- A012   Allowances                                           4,276,000             4,276,000             5,767,000
011206- A012-1  Regular Allowances                               (4,276,000)          (4,276,000)          (5,767,000)
011206- A03    Operating Expenses                                                      132,000
011206- A038    Travel & Transportation                                                    132,000
        Total- DISTRICT ACCOUNT OFFICER CHINIOT           9,325,000           9,457,000          11,349,000

Page 68

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

DG0001 AG (PB) - DAO DERA GHAZI KHKHAN
011206- A01    Employees Related Expenses                      29,747,000            29,747,000            35,597,000
011206- A011   Pay                      34     32           15,828,000            15,828,000            17,289,000
011206- A011-1 Pay of Officers               (26)    (24)         (14,068,000)         (14,068,000)         (15,707,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (1,760,000)          (1,760,000)          (1,582,000)
011206- A012   Allowances                                         13,919,000            13,919,000            18,308,000
011206- A012-1  Regular Allowances                             (13,919,000)         (13,919,000)         (18,308,000)
011206- A03    Operating Expenses                                                      173,000
011206- A038    Travel & Transportation                                                    173,000
        Total- AG (PB) - DAO DERA GHAZI KHAN               29,747,000         29,920,000          35,597,000
FD0168 DISTRICT ACCOUNTS OFFICE FAISALABAD
011206- A01    Employees Related Expenses                      79,468,000            78,529,000            89,233,000
011206- A011   Pay                      86     85           42,223,000            41,898,000            43,007,000
011206- A011-1 Pay of Officers               (65)    (64)         (36,040,000)         (36,038,000)         (38,006,000)
011206- A011-2 Pay of Other Staff            (21)    (21)          (6,183,000)          (5,860,000)          (5,001,000)
011206- A012   Allowances                                         37,245,000            36,631,000            46,226,000
011206- A012-1  Regular Allowances                             (37,245,000)         (36,631,000)         (46,226,000)
011206- A03    Operating Expenses                                                        90,000
011206- A038    Travel & Transportation                                                      90,000
011206- A04    Employees Retirement Benefits                                           3,296,000
011206- A041   Pension                                                                    3,296,000
        Total- DISTRICT ACCOUNTS OFFICE                   79,468,000         81,915,000          89,233,000
           FAISALABAD
GA0035 AG (PB) - DAO GUJRANWALA
011206- A01    Employees Related Expenses                      46,353,000            46,216,000            47,782,000
011206- A011   Pay                      60     60           24,850,000            24,850,000            23,264,000
011206- A011-1 Pay of Officers               (47)    (47)         (21,214,000)         (21,214,000)         (19,788,000)
011206- A011-2 Pay of Other Staff            (13)    (13)          (3,636,000)          (3,636,000)          (3,476,000)
011206- A012   Allowances                                         21,503,000            21,366,000            24,518,000
011206- A012-1  Regular Allowances                             (21,503,000)         (21,366,000)         (24,518,000)
011206- A03    Operating Expenses                                                        34,000
011206- A038    Travel & Transportation                                                      34,000
011206- A04    Employees Retirement Benefits                                           1,074,000
011206- A041   Pension                                                                    1,074,000
        Total- AG (PB) - DAO GUJRANWALA                   46,353,000         47,324,000          47,782,000

Page 69

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

GT0001 AG (PB) - DAO GUJRAT
011206- A01    Employees Related Expenses                      23,081,000            23,081,000            27,107,000
011206- A011   Pay                      45     45           12,569,000            12,569,000            13,379,000
011206- A011-1 Pay of Officers               (39)    (39)         (10,928,000)         (10,928,000)         (11,676,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,641,000)          (1,641,000)          (1,703,000)
011206- A012   Allowances                                         10,512,000            10,512,000            13,728,000
011206- A012-1  Regular Allowances                             (10,512,000)         (10,512,000)         (13,728,000)
        Total- AG (PB) - DAO GUJRAT                         23,081,000         23,081,000          27,107,000
HF0001 AG (PB) - DAO HAFIZABAD
011206- A01    Employees Related Expenses                      17,747,000            17,747,000            20,483,000
011206- A011   Pay                      17     17            9,841,000             9,841,000            10,219,000
011206- A011-1 Pay of Officers               (14)    (14)          (9,456,000)          (9,456,000)          (9,569,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (385,000)            (385,000)            (650,000)
011206- A012   Allowances                                           7,906,000             7,906,000            10,264,000
011206- A012-1  Regular Allowances                               (7,906,000)          (7,906,000)         (10,264,000)
011206- A03    Operating Expenses                                                      281,000
011206- A038    Travel & Transportation                                                    281,000
011206- A04    Employees Retirement Benefits                                           1,115,000
011206- A041   Pension                                                                    1,115,000
        Total- AG (PB) - DAO HAFIZABAD                      17,747,000         19,143,000          20,483,000
JG0001 AG (PB) - DAO JHANG
011206- A01    Employees Related Expenses                      39,593,000            39,559,000            51,698,000
011206- A011   Pay                      45     44           21,306,000            21,272,000            25,586,000
011206- A011-1 Pay of Officers               (30)    (29)         (16,591,000)         (16,591,000)         (21,680,000)
011206- A011-2 Pay of Other Staff            (15)    (15)          (4,715,000)          (4,681,000)          (3,906,000)
011206- A012   Allowances                                         18,287,000            18,287,000            26,112,000
011206- A012-1  Regular Allowances                             (18,287,000)         (18,287,000)         (26,112,000)
011206- A03    Operating Expenses                                                      264,000
011206- A038    Travel & Transportation                                                    264,000
011206- A04    Employees Retirement Benefits                                           426,000
011206- A041   Pension                                                                   426,000
        Total- AG (PB) - DAO JHANG                          39,593,000         40,249,000          51,698,000

Page 70

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

JM0001 DISTRICT ACCOUNTS OFFICE JHELUM
011206- A01    Employees Related Expenses                      17,566,000            17,564,000            16,122,000
011206- A011   Pay                      33     32            9,634,000             9,632,000             7,900,000
011206- A011-1 Pay of Officers               (25)    (24)          (8,201,000)          (8,199,000)          (6,405,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (1,433,000)          (1,433,000)          (1,495,000)
011206- A012   Allowances                                           7,932,000             7,932,000             8,222,000
011206- A012-1  Regular Allowances                               (7,932,000)          (7,932,000)          (8,222,000)
011206- A03    Operating Expenses                                                        18,000
011206- A038    Travel & Transportation                                                      18,000
011206- A04    Employees Retirement Benefits                                           825,000
011206- A041   Pension                                                                   825,000
        Total- DISTRICT ACCOUNTS OFFICE JHELUM          17,566,000         18,407,000          16,122,000
KB0001 AG (PB) - DAO KHUSHAB
011206- A01    Employees Related Expenses                      22,726,000            22,726,000            26,031,000
011206- A011   Pay                      24     24           11,065,000            11,065,000            13,029,000
011206- A011-1 Pay of Officers               (19)    (19)         (10,565,000)         (10,565,000)         (12,506,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (500,000)            (500,000)            (523,000)
011206- A012   Allowances                                         11,661,000            11,661,000            13,002,000
011206- A012-1  Regular Allowances                             (11,661,000)         (11,661,000)         (13,002,000)
011206- A03    Operating Expenses                                                      172,000
011206- A038    Travel & Transportation                                                    172,000
011206- A04    Employees Retirement Benefits                                           1,199,000
011206- A041   Pension                                                                    1,199,000
        Total- AG (PB) - DAO KHUSHAB                       22,726,000         24,097,000          26,031,000
KS0001 AG (PB) - DAO KASUR
011206- A01    Employees Related Expenses                      25,463,000            25,461,000            28,475,000
011206- A011   Pay                      26     25           13,869,000            13,867,000            14,114,000
011206- A011-1 Pay of Officers               (17)    (16)         (12,129,000)         (12,127,000)         (12,313,000)
011206- A011-2 Pay of Other Staff               (9)      (9)          (1,740,000)          (1,740,000)          (1,801,000)
011206- A012   Allowances                                         11,594,000            11,594,000            14,361,000
011206- A012-1  Regular Allowances                             (11,594,000)         (11,594,000)         (14,361,000)
011206- A04    Employees Retirement Benefits                                           1,158,000
011206- A041   Pension                                                                    1,158,000
        Total- AG (PB) - DAO KASUR                          25,463,000         26,619,000          28,475,000

Page 71

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

KW0001 AG (PB) - DAO KHANEWAL
011206- A01    Employees Related Expenses                      28,546,000            28,544,000            26,658,000
011206- A011   Pay                      27     26           15,579,000            15,577,000            13,222,000
011206- A011-1 Pay of Officers               (20)    (19)         (13,781,000)         (13,779,000)         (11,996,000)
011206- A011-2 Pay of Other Staff               (7)      (7)          (1,798,000)          (1,798,000)          (1,226,000)
011206- A012   Allowances                                         12,967,000            12,967,000            13,436,000
011206- A012-1  Regular Allowances                             (12,967,000)         (12,967,000)         (13,436,000)
011206- A04    Employees Retirement Benefits                                           1,967,000
011206- A041   Pension                                                                    1,967,000
011206- A05    Grants, Subsidies and Write off Loans                                    3,900,000
011206- A052   Grants Domestic                                                           3,900,000
        Total- AG (PB) - DAO KHANEWAL                      28,546,000         34,411,000          26,658,000
LN0001 AG (PB) - DAO LODHRAN
011206- A01    Employees Related Expenses                      11,954,000            11,954,000            13,868,000
011206- A011   Pay                      16     16            6,448,000             6,448,000             6,773,000
011206- A011-1 Pay of Officers               (11)    (11)          (5,386,000)          (5,386,000)          (5,673,000)
011206- A011-2 Pay of Other Staff               (5)      (5)          (1,062,000)          (1,062,000)          (1,100,000)
011206- A012   Allowances                                           5,506,000             5,506,000             7,095,000
011206- A012-1  Regular Allowances                               (5,506,000)          (5,506,000)          (7,095,000)
011206- A03    Operating Expenses                                                      114,000
011206- A038    Travel & Transportation                                                    114,000
        Total- AG (PB) - DAO LODHRAN                       11,954,000         12,068,000          13,868,000
LO0051 ACCOUNTANT GENERAL PUNJAB LAHORE
011206- A01    Employees Related Expenses                    775,082,000          944,243,000          814,171,000
011206- A011   Pay                     981    701          422,461,000          361,561,000          396,142,000
011206- A011-1 Pay of Officers             (723)   (458)       (344,624,000)       (309,451,000)       (328,109,000)
011206- A011-2 Pay of Other Staff          (258)   (243)         (77,837,000)         (52,110,000)         (68,033,000)
011206- A012   Allowances                                        352,621,000          582,682,000          418,029,000
011206- A012-1  Regular Allowances                            (338,822,000)       (491,233,000)       (397,204,000)
011206- A012-2  Other Allowances (Excluding TA)                 (13,799,000)         (91,449,000)         (20,825,000)
011206- A03    Operating Expenses                              399,270,000          365,795,000          375,560,000
011206- A032   Communications                                     4,570,000             3,870,000             4,950,000

Page 72

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A033     Utilities                                             94,900,000            84,450,000            95,700,000
011206- A034   Occupancy Costs                                  235,000,000          178,092,000          200,000,000
011206- A038    Travel & Transportation                             31,200,000            22,971,000            34,900,000
011206- A039   General                                             33,600,000            76,412,000            40,010,000
011206- A04    Employees Retirement Benefits                    69,500,000            51,616,000            73,000,000
011206- A041   Pension                                            69,500,000            51,616,000            73,000,000
011206- A05    Grants, Subsidies and Write off Loans              7,300,000            22,900,000             7,300,000
011206- A052   Grants Domestic                                     7,300,000            22,900,000             7,300,000
011206- A13    Repairs and Maintenance                          12,800,000            18,700,000            18,250,000
011206- A130    Transport                                            350,000              500,000              450,000
011206- A131   Machinery and Equipment                            3,200,000             4,000,000             4,500,000
011206- A132    Furniture and Fixture                                 3,500,000             7,000,000             5,500,000
011206- A133    Buildings and Structure                               2,500,000             3,500,000             3,500,000
011206- A137   Computer Equipment                                 3,000,000             3,250,000             4,000,000
011206- A138   General                                              250,000              450,000              300,000
        Total- ACCOUNTANT GENERAL PUNJAB            1,263,952,000       1,403,254,000       1,288,281,000
          LAHORE
LO0052 DIRECTOR GENERAL ACCOUNTS (WORKS) LAHORE
011206- A01    Employees Related Expenses                    256,000,000          267,300,000          263,759,000
011206- A011   Pay                     366    328          142,893,000          126,112,000          129,826,000
011206- A011-1 Pay of Officers             (306)   (270)       (129,875,000)       (114,102,000)       (118,404,000)
011206- A011-2 Pay of Other Staff            (60)    (58)         (13,018,000)         (12,010,000)         (11,422,000)
011206- A012   Allowances                                        113,107,000          141,188,000          133,933,000
011206- A012-1  Regular Allowances                            (111,053,000)       (125,110,000)       (127,274,000)
011206- A012-2  Other Allowances (Excluding TA)                  (2,054,000)         (16,078,000)          (6,659,000)
011206- A03    Operating Expenses                               87,654,000            84,474,000            88,925,000
011206- A031   Fees                                                 100,000
011206- A032   Communications                                     1,530,000             1,930,000             2,030,000
011206- A033     Utilities                                               750,000              326,000              780,000
011206- A034   Occupancy Costs                                   75,000,000            70,466,000            74,672,000
011206- A038    Travel & Transportation                               4,130,000             6,080,000             4,918,000
011206- A039   General                                              6,144,000             5,672,000             6,525,000
011206- A04    Employees Retirement Benefits                     5,026,000             7,877,000             6,007,000

Page 73

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A041   Pension                                              5,026,000             7,877,000             6,007,000
011206- A05    Grants, Subsidies and Write off Loans             21,300,000             6,500,000            20,400,000
011206- A052   Grants Domestic                                    21,300,000             6,500,000            20,400,000
011206- A13    Repairs and Maintenance                            4,120,000             4,736,000             4,342,000
011206- A130    Transport                                              20,000               20,000               22,000
011206- A131   Machinery and Equipment                            1,000,000             1,000,000             1,100,000
011206- A132    Furniture and Fixture                                 1,000,000             1,316,000             1,100,000
011206- A137   Computer Equipment                                 2,100,000             2,400,000             2,120,000
        Total- DIRECTOR GENERAL ACCOUNTS              374,100,000        370,887,000        383,433,000
           (WORKS) LAHORE
LO0545 DIRECTOR OF ACCOUNTS PPO DEPARTMENT LAHORE
011206- A01    Employees Related Expenses                    512,000,000          562,311,000          557,557,000
011206- A011   Pay                     675    627          284,097,000          266,653,000          282,180,000
011206- A011-1 Pay of Officers             (402)   (364)       (213,982,000)       (198,530,000)       (213,246,000)
011206- A011-2 Pay of Other Staff          (273)   (263)         (70,115,000)         (68,123,000)         (68,934,000)
011206- A012   Allowances                                        227,903,000          295,658,000          275,377,000
011206- A012-1  Regular Allowances                            (225,121,000)       (268,296,000)       (270,676,000)
011206- A012-2  Other Allowances (Excluding TA)                  (2,782,000)         (27,362,000)          (4,701,000)
011206- A03    Operating Expenses                              182,330,000          177,428,000          165,815,000
011206- A032   Communications                                     900,000              900,000              975,000
011206- A033     Utilities                                             11,045,000             2,585,000            12,910,000
011206- A034   Occupancy Costs                                  150,000,000          150,000,000          130,000,000
011206- A038    Travel & Transportation                             12,150,000            15,808,000            12,800,000
011206- A039   General                                              8,235,000             8,135,000             9,130,000
011206- A04    Employees Retirement Benefits                    21,800,000            20,567,000            17,500,000
011206- A041   Pension                                            21,800,000            20,567,000            17,500,000
011206- A05    Grants, Subsidies and Write off Loans              9,000,000                                 18,900,000
011206- A052   Grants Domestic                                     9,000,000                                 18,900,000
011206- A13    Repairs and Maintenance                            6,180,000             6,180,000             9,390,000
011206- A130    Transport                                            750,000              750,000              950,000
011206- A131   Machinery and Equipment                            1,500,000             1,500,000             1,725,000
011206- A132    Furniture and Fixture                                 1,400,000             1,400,000             1,875,000
011206- A133    Buildings and Structure                               1,030,000             1,030,000             2,860,000

Page 74

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A137   Computer Equipment                                 1,500,000             1,500,000             1,980,000
        Total- DIRECTOR OF ACCOUNTS PPO                731,310,000        766,486,000        769,162,000
          DEPARTMENT LAHORE
LO0941 CHIEF ACCOUNTS OFFICER PAKISTAN MINT LAHORE
011206- A01    Employees Related Expenses                      23,034,000             3,824,000
011206- A011   Pay                      30                   12,399,000             2,242,000
011206- A011-1 Pay of Officers                  (9)                  (7,192,000)            (974,000)
011206- A011-2 Pay of Other Staff            (21)                  (5,207,000)          (1,268,000)
011206- A012   Allowances                                         10,635,000             1,582,000
011206- A012-1  Regular Allowances                             (10,035,000)          (1,582,000)
011206- A012-2  Other Allowances (Excluding TA)                    (600,000)
011206- A03    Operating Expenses                                 6,700,000
011206- A032   Communications                                     250,000
011206- A034   Occupancy Costs                                     4,000,000
011206- A038    Travel & Transportation                               1,210,000
011206- A039   General                                              1,240,000
011206- A04    Employees Retirement Benefits                      300,000
011206- A041   Pension                                              300,000
011206- A13    Repairs and Maintenance                            770,000
011206- A130    Transport                                              20,000
011206- A131   Machinery and Equipment                             100,000
011206- A132    Furniture and Fixture                                   50,000
011206- A133    Buildings and Structure                               500,000
011206- A137   Computer Equipment                                 100,000
        Total- CHIEF ACCOUNTS OFFICER PAKISTAN          30,804,000           3,824,000
            MINT LAHORE
LO2013 AGPR SUB OFFICE LAHORE
011206- A01    Employees Related Expenses                    197,222,000          220,470,000          294,463,000
011206- A011   Pay                     211    208          109,176,000          101,337,000          152,303,000
011206- A011-1 Pay of Officers             (167)   (149)       (101,532,000)         (85,715,000)       (138,449,000)
011206- A011-2 Pay of Other Staff            (44)    (59)          (7,644,000)         (15,622,000)         (13,854,000)
011206- A012   Allowances                                         88,046,000          119,133,000          142,160,000
011206- A012-1  Regular Allowances                             (84,127,000)       (101,670,000)       (134,920,000)

Page 75

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012-2  Other Allowances (Excluding TA)                  (3,919,000)         (17,463,000)          (7,240,000)
011206- A03    Operating Expenses                               69,799,000            82,571,000            89,675,000
011206- A032   Communications                                     1,076,000             1,476,000             1,623,000
011206- A033     Utilities                                               1,318,000             3,568,000             3,925,000
011206- A034   Occupancy Costs                                   54,780,000            58,780,000            65,000,000
011206- A038    Travel & Transportation                               5,953,000             7,273,000             6,353,000
011206- A039   General                                              6,672,000            11,474,000            12,774,000
011206- A04    Employees Retirement Benefits                     8,921,000            13,470,000             2,547,000
011206- A041   Pension                                              8,921,000            13,470,000             2,547,000
011206- A05    Grants, Subsidies and Write off Loans              2,905,000             2,600,000
011206- A052   Grants Domestic                                     2,905,000             2,600,000
011206- A13    Repairs and Maintenance                          15,315,000            27,685,000            16,075,000
011206- A130    Transport                                            457,000              527,000              580,000
011206- A131   Machinery and Equipment                             867,000             1,267,000             1,394,000
011206- A132    Furniture and Fixture                                 1,233,000             1,983,000             2,181,000
011206- A133    Buildings and Structure                             11,662,000            22,162,000            10,000,000
011206- A137   Computer Equipment                                 1,096,000             1,746,000             1,920,000
        Total- AGPR SUB OFFICE LAHORE                   294,162,000        346,796,000        402,760,000
LY0001 DISTT ACCOUNTS OFFICE LAYYAH
011206- A01    Employees Related Expenses                      47,989,000            47,988,000            55,160,000
011206- A011   Pay                      38     38           26,465,000            26,464,000            27,702,000
011206- A011-1 Pay of Officers               (32)    (32)         (25,302,000)         (25,301,000)         (26,482,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,163,000)          (1,163,000)          (1,220,000)
011206- A012   Allowances                                         21,524,000            21,524,000            27,458,000
011206- A012-1  Regular Allowances                             (21,524,000)         (21,524,000)         (27,458,000)
011206- A03    Operating Expenses                                                      126,000
011206- A038    Travel & Transportation                                                    126,000
        Total- DISTT ACCOUNTS OFFICE LAYYAH             47,989,000         48,114,000          55,160,000
MB0001 DAO MANDI BAH-UD-DIN
011206- A01    Employees Related Expenses                       9,217,000             9,217,000             9,233,000
011206- A011   Pay                      13     13            4,312,000             4,312,000             4,572,000
011206- A011-1 Pay of Officers               (10)    (10)          (3,607,000)          (3,607,000)          (3,831,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (705,000)            (705,000)            (741,000)

Page 76

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012   Allowances                                           4,905,000             4,905,000             4,661,000
011206- A012-1  Regular Allowances                               (4,905,000)          (4,905,000)          (4,661,000)
011206- A03    Operating Expenses                                                        71,000
011206- A038    Travel & Transportation                                                      71,000
        Total- DAO MANDI BAH-UD-DIN                         9,217,000           9,288,000           9,233,000
MH0001 DAO MUZAFFARGARH
011206- A01    Employees Related Expenses                      38,999,000            38,999,000            39,941,000
011206- A011   Pay                      35     35           21,124,000            21,124,000            19,825,000
011206- A011-1 Pay of Officers               (29)    (29)         (19,638,000)         (19,638,000)         (18,835,000)
011206- A011-2 Pay of Other Staff               (6)      (6)          (1,486,000)          (1,486,000)            (990,000)
011206- A012   Allowances                                         17,875,000            17,875,000            20,116,000
011206- A012-1  Regular Allowances                             (17,875,000)         (17,875,000)         (20,116,000)
011206- A03    Operating Expenses                                                      205,000
011206- A038    Travel & Transportation                                                    205,000
011206- A04    Employees Retirement Benefits                                           992,000
011206- A041   Pension                                                                   992,000
        Total- DAO MUZAFFARGARH                          38,999,000         40,196,000          39,941,000
MI0001 DAO MIANWALI
011206- A01    Employees Related Expenses                      25,655,000            25,655,000            29,903,000
011206- A011   Pay                      34     32           14,077,000            14,077,000            14,829,000
011206- A011-1 Pay of Officers               (26)    (24)         (13,569,000)         (13,569,000)         (14,032,000)
011206- A011-2 Pay of Other Staff               (8)      (8)            (508,000)            (508,000)            (797,000)
011206- A012   Allowances                                         11,578,000            11,578,000            15,074,000
011206- A012-1  Regular Allowances                             (11,578,000)         (11,578,000)         (15,074,000)
011206- A03    Operating Expenses                                                        14,000
011206- A038    Travel & Transportation                                                      14,000
        Total- DAO MIANWALI                                25,655,000         25,669,000          29,903,000
MN0005 DAO MULTAN
011206- A01    Employees Related Expenses                      84,774,000            84,771,000            91,832,000
011206- A011   Pay                      75     73           45,660,000            45,657,000            44,739,000
011206- A011-1 Pay of Officers               (57)    (55)         (41,535,000)         (41,532,000)         (40,207,000)
011206- A011-2 Pay of Other Staff            (18)    (18)          (4,125,000)          (4,125,000)          (4,532,000)
011206- A012   Allowances                                         39,114,000            39,114,000            47,093,000

Page 77

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A012-1  Regular Allowances                             (39,114,000)         (39,114,000)         (47,093,000)
011206- A04    Employees Retirement Benefits                                           1,420,000
011206- A041   Pension                                                                    1,420,000
011206- A05    Grants, Subsidies and Write off Loans                                    2,600,000
011206- A052   Grants Domestic                                                           2,600,000
        Total- DAO MULTAN                                  84,774,000         88,791,000          91,832,000
NK0001 DAO DAO NANKANA SAHIB
011206- A01    Employees Related Expenses                      19,464,000            19,463,000            18,004,000
011206- A011   Pay                      15     14           10,666,000            10,665,000             8,943,000
011206- A011-1 Pay of Officers               (13)    (12)         (10,038,000)         (10,037,000)          (8,300,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (628,000)            (628,000)            (643,000)
011206- A012   Allowances                                           8,798,000             8,798,000             9,061,000
011206- A012-1  Regular Allowances                               (8,798,000)          (8,798,000)          (9,061,000)
011206- A03    Operating Expenses                                                      166,000
011206- A038    Travel & Transportation                                                    166,000
011206- A04    Employees Retirement Benefits                                           1,155,000
011206- A041   Pension                                                                    1,155,000
        Total- DAO DAO NANKANA SAHIB                     19,464,000         20,784,000          18,004,000
NL0001 DAO NAROWAL
011206- A01    Employees Related Expenses                      17,822,000            17,779,000            18,387,000
011206- A011   Pay                      28     28            9,729,000             9,686,000             9,136,000
011206- A011-1 Pay of Officers               (20)    (20)          (8,925,000)          (8,924,000)          (8,247,000)
011206- A011-2 Pay of Other Staff               (8)      (8)            (804,000)            (762,000)            (889,000)
011206- A012   Allowances                                           8,093,000             8,093,000             9,251,000
011206- A012-1  Regular Allowances                               (8,093,000)          (8,093,000)          (9,251,000)
011206- A03    Operating Expenses                                                        31,000
011206- A038    Travel & Transportation                                                      31,000
011206- A04    Employees Retirement Benefits                                           1,199,000
011206- A041   Pension                                                                    1,199,000
        Total- DAO NAROWAL                                17,822,000         19,009,000          18,387,000
OK0075 DISTRICT ACCOUNTS OFFICE OKARA
011206- A01    Employees Related Expenses                      28,900,000            28,900,000            28,599,000
011206- A011   Pay                      28     28           15,772,000            15,772,000            14,144,000

Page 78

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A011-1 Pay of Officers               (19)    (19)         (14,752,000)         (14,752,000)         (13,080,000)
011206- A011-2 Pay of Other Staff               (9)      (9)          (1,020,000)          (1,020,000)          (1,064,000)
011206- A012   Allowances                                         13,128,000            13,128,000            14,455,000
011206- A012-1  Regular Allowances                             (13,128,000)         (13,128,000)         (14,455,000)
011206- A03    Operating Expenses                                                      332,000
011206- A038    Travel & Transportation                                                    332,000
        Total- DISTRICT ACCOUNTS OFFICE OKARA           28,900,000         29,232,000          28,599,000
PK0002 DAO PAKPATTAN
011206- A01    Employees Related Expenses                      21,126,000            21,126,000            23,907,000
011206- A011   Pay                      21     21           11,576,000            11,576,000            11,956,000
011206- A011-1 Pay of Officers               (17)    (17)         (10,522,000)         (10,522,000)         (10,843,000)
011206- A011-2 Pay of Other Staff               (4)      (4)          (1,054,000)          (1,054,000)          (1,113,000)
011206- A012   Allowances                                           9,550,000             9,550,000            11,951,000
011206- A012-1  Regular Allowances                               (9,550,000)          (9,550,000)         (11,951,000)
011206- A03    Operating Expenses                                                        47,000
011206- A038    Travel & Transportation                                                      47,000
011206- A04    Employees Retirement Benefits                                           1,156,000
011206- A041   Pension                                                                    1,156,000
        Total- DAO PAKPATTAN                              21,126,000         22,329,000          23,907,000
RI0001 DISTRICT ACCOUNT OFFICE RAWALPINDI
011206- A01    Employees Related Expenses                      67,024,000            66,955,000            66,449,000
011206- A011   Pay                      75     74           36,675,000            36,675,000            32,841,000
011206- A011-1 Pay of Officers               (52)    (52)         (31,738,000)         (31,738,000)         (27,916,000)
011206- A011-2 Pay of Other Staff            (23)    (22)          (4,937,000)          (4,937,000)          (4,925,000)
011206- A012   Allowances                                         30,349,000            30,280,000            33,608,000
011206- A012-1  Regular Allowances                             (30,349,000)         (30,280,000)         (33,608,000)
011206- A03    Operating Expenses                                                      132,000
011206- A038    Travel & Transportation                                                    132,000
011206- A04    Employees Retirement Benefits                                           964,000
011206- A041   Pension                                                                   964,000
        Total- DISTRICT ACCOUNT OFFICE                    67,024,000         68,051,000          66,449,000
           RAWALPINDI

Page 79

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

RN0001 DAO RAHIM YAAR KHAN
011206- A01    Employees Related Expenses                      24,740,000            24,740,000            28,431,000
011206- A011   Pay                      35     35           13,498,000            13,498,000            14,106,000
011206- A011-1 Pay of Officers               (29)    (29)         (12,728,000)         (12,728,000)         (13,297,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (770,000)            (770,000)            (809,000)
011206- A012   Allowances                                         11,242,000            11,242,000            14,325,000
011206- A012-1  Regular Allowances                             (11,242,000)         (11,242,000)         (14,325,000)
011206- A03    Operating Expenses                                                        50,000
011206- A038    Travel & Transportation                                                      50,000
        Total- DAO RAHIM YAAR KHAN                        24,740,000         24,790,000          28,431,000
RP0001 DAO RAJAN PUR
011206- A01    Employees Related Expenses                       7,648,000             7,648,000             8,762,000
011206- A011   Pay                      18     18            4,186,000             4,186,000             4,368,000
011206- A011-1 Pay of Officers               (15)    (15)          (3,636,000)          (3,636,000)          (3,797,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (550,000)            (550,000)            (571,000)
011206- A012   Allowances                                           3,462,000             3,462,000             4,394,000
011206- A012-1  Regular Allowances                               (3,462,000)          (3,462,000)          (4,394,000)
011206- A03    Operating Expenses                                                        26,000
011206- A038    Travel & Transportation                                                      26,000
        Total- DAO RAJAN PUR                                 7,648,000           7,674,000           8,762,000
SA0001 DAO SHEIKHUPURA
011206- A01    Employees Related Expenses                      31,001,000            31,001,000            29,060,000
011206- A011   Pay                      35     35           16,733,000            16,733,000            14,253,000
011206- A011-1 Pay of Officers               (25)    (25)         (14,714,000)         (14,714,000)         (11,868,000)
011206- A011-2 Pay of Other Staff            (10)    (10)          (2,019,000)          (2,019,000)          (2,385,000)
011206- A012   Allowances                                         14,268,000            14,268,000            14,807,000
011206- A012-1  Regular Allowances                             (14,268,000)         (14,268,000)         (14,807,000)
011206- A03    Operating Expenses                                                        61,000
011206- A038    Travel & Transportation                                                      61,000
011206- A04    Employees Retirement Benefits                                           390,000
011206- A041   Pension                                                                   390,000
        Total- DAO SHEIKHUPURA                            31,001,000         31,452,000          29,060,000
SG0002 DAO SARGODHA
011206- A01    Employees Related Expenses                      55,581,000            55,537,000            64,173,000

Page 80

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

011206- A011   Pay                      51     51           29,654,000            29,610,000            31,079,000
011206- A011-1 Pay of Officers               (38)    (38)         (26,095,000)         (26,095,000)         (27,130,000)
011206- A011-2 Pay of Other Staff            (13)    (13)          (3,559,000)          (3,515,000)          (3,949,000)
011206- A012   Allowances                                         25,927,000            25,927,000            33,094,000
011206- A012-1  Regular Allowances                             (25,927,000)         (25,927,000)         (33,094,000)
011206- A03    Operating Expenses                                                      219,000
011206- A038    Travel & Transportation                                                    219,000
011206- A04    Employees Retirement Benefits                                           1,074,000
011206- A041   Pension                                                                    1,074,000
        Total- DAO SARGODHA                               55,581,000         56,830,000          64,173,000
SL0002 DAO SAHIWAL
011206- A01    Employees Related Expenses                      41,527,000            41,462,000            45,276,000
011206- A011   Pay                      38     38           22,574,000            22,509,000            22,309,000
011206- A011-1 Pay of Officers               (27)    (27)         (19,315,000)         (19,315,000)         (18,913,000)
011206- A011-2 Pay of Other Staff            (11)    (11)          (3,259,000)          (3,194,000)          (3,396,000)
011206- A012   Allowances                                         18,953,000            18,953,000            22,967,000
011206- A012-1  Regular Allowances                             (18,953,000)         (18,953,000)         (22,967,000)
011206- A03    Operating Expenses                                                        81,000
011206- A038    Travel & Transportation                                                      81,000
011206- A04    Employees Retirement Benefits                                           444,000
011206- A041   Pension                                                                   444,000
        Total- DAO SAHIWAL                                 41,527,000         41,987,000          45,276,000
ST0002 DAO SIALKOT
011206- A01    Employees Related Expenses                      36,125,000            36,125,000            36,170,000
011206- A011   Pay                      50     50           19,594,000            19,594,000            17,764,000
011206- A011-1 Pay of Officers               (42)    (42)         (17,373,000)         (17,373,000)         (15,469,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (2,221,000)          (2,221,000)          (2,295,000)
011206- A012   Allowances                                         16,531,000            16,531,000            18,406,000
011206- A012-1  Regular Allowances                             (16,531,000)         (16,531,000)         (18,406,000)
011206- A03    Operating Expenses                                                      156,000
011206- A038    Travel & Transportation                                                    156,000
        Total- DAO SIALKOT                                  36,125,000         36,281,000          36,170,000

Page 81

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

               ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, LAHORE

TS0001 DAO TOBA TEK SINGH
011206- A01    Employees Related Expenses                      19,419,000            19,419,000            17,515,000
011206- A011   Pay                      21     21           10,576,000            10,576,000             8,617,000
011206- A011-1 Pay of Officers               (14)    (14)          (8,543,000)          (8,543,000)          (6,507,000)
011206- A011-2 Pay of Other Staff               (7)      (7)          (2,033,000)          (2,033,000)          (2,110,000)
011206- A012   Allowances                                           8,843,000             8,843,000             8,898,000
011206- A012-1  Regular Allowances                               (8,843,000)          (8,843,000)          (8,898,000)
011206- A03    Operating Expenses                                                      274,000
011206- A038    Travel & Transportation                                                    274,000
011206- A04    Employees Retirement Benefits                                           1,074,000
011206- A041   Pension                                                                    1,074,000
        Total- DAO TOBA TEK SINGH                          19,419,000         20,767,000          17,515,000
VR0001 DAO VIHARI
011206- A01    Employees Related Expenses                      28,657,000            28,643,000            28,068,000
011206- A011   Pay                      26     26           15,720,000            15,706,000            14,098,000
011206- A011-1 Pay of Officers               (21)    (21)         (15,103,000)         (15,103,000)         (13,237,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (617,000)            (603,000)            (861,000)
011206- A012   Allowances                                         12,937,000            12,937,000            13,970,000
011206- A012-1  Regular Allowances                             (12,937,000)         (12,937,000)         (13,970,000)
011206- A03    Operating Expenses                                                        52,000
011206- A038    Travel & Transportation                                                      52,000
        Total- DAO VIHARI                                    28,657,000         28,695,000          28,068,000
     011206   Total-  Accounting services                     3,779,846,000       4,007,502,000       4,021,001,000
     0112     Total-  Financial and Fiscal Affairs              3,779,846,000       4,007,502,000       4,021,001,000
     011      Total-  Executive & Legislative                  3,779,846,000       4,007,502,000       4,021,001,000
                       Organs,Financial and Fiscal Affairs,
                       External Affairs
     01        Total-  General Public Service                  3,779,846,000       4,007,502,000       4,021,001,000
               Total- ACCOUNTANT GENERAL                 3,779,846,000         4,007,502,000         4,021,001,000
                PAKISTAN REVENUES
                  SUB-OFFICE, LAHORE

Page 82

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

01     General Public Service:
011    Executive & Legislative Organs,Financial and Fiscal Affairs, External Affairs:
0112   Financial and Fiscal Affairs:
011206 Accounting services  :
AD0092 DISTRICT ACCOUNTS OFFICE ABBOTTABAD
011206- A01    Employees Related Expenses                      27,304,000            28,492,000            31,927,000
011206- A011   Pay                      36     35           13,844,000            13,844,000            15,574,000
011206- A011-1 Pay of Officers               (26)    (25)          (9,044,000)          (9,044,000)         (12,374,000)
011206- A011-2 Pay of Other Staff            (10)    (10)          (4,800,000)          (4,800,000)          (3,200,000)
011206- A012   Allowances                                         13,460,000            14,648,000            16,353,000
011206- A012-1  Regular Allowances                             (13,460,000)         (13,460,000)         (16,153,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (1,188,000)            (200,000)
011206- A03    Operating Expenses                                 2,710,000             2,835,000             2,020,000
011206- A032   Communications                                     110,000              110,000               70,000
011206- A033     Utilities                                               800,000              925,000              500,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              750,000
011206- A039   General                                              700,000              700,000              700,000
011206- A04    Employees Retirement Benefits                                           3,283,000
011206- A041   Pension                                                                    3,283,000
011206- A13    Repairs and Maintenance                              40,000               40,000               60,000
011206- A131   Machinery and Equipment                              20,000               20,000               30,000
011206- A132    Furniture and Fixture                                   20,000               20,000               30,000
        Total- DISTRICT ACCOUNTS OFFICE                   30,054,000         34,650,000          34,007,000
          ABBOTTABAD
BD0022 DISTRICT ACCOUNTS OFFICE BUNIR
011206- A01    Employees Related Expenses                       5,276,000             5,504,000             6,555,000
011206- A011   Pay                       7      7            2,819,000             2,819,000             3,177,000
011206- A011-1 Pay of Officers                  (5)      (5)          (2,614,000)          (2,614,000)          (2,959,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (205,000)            (205,000)            (218,000)
011206- A012   Allowances                                           2,457,000             2,685,000             3,378,000
011206- A012-1  Regular Allowances                               (2,457,000)          (2,457,000)          (3,328,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (228,000)             (50,000)
011206- A03    Operating Expenses                                 1,700,000             1,700,000              800,000

Page 83

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A032   Communications                                       50,000               50,000
011206- A033     Utilities                                               250,000              250,000              250,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              250,000
011206- A039   General                                              300,000              300,000              300,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DISTRICT ACCOUNTS OFFICE BUNIR             7,016,000           7,244,000           7,395,000
BJ0032 ACCOUNTING SERVICES
011206- A01    Employees Related Expenses                       5,313,000             5,778,000             9,925,000
011206- A011   Pay                      14     13            3,294,000             3,294,000             4,438,000
011206- A011-1 Pay of Officers                  (9)      (9)          (2,514,000)          (2,514,000)          (3,611,000)
011206- A011-2 Pay of Other Staff               (5)      (4)            (780,000)            (780,000)            (827,000)
011206- A012   Allowances                                           2,019,000             2,484,000             5,487,000
011206- A012-1  Regular Allowances                               (2,019,000)          (2,019,000)          (5,437,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (465,000)             (50,000)
011206- A03    Operating Expenses                                 1,850,000             1,850,000             1,300,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               300,000              300,000              300,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              400,000              400,000              400,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- ACCOUNTING SERVICES                         7,203,000           7,668,000          11,265,000
BM0012 DAO BATAGRAM
011206- A01    Employees Related Expenses                       2,371,000             2,567,000             3,099,000
011206- A011   Pay                      10     10            1,279,000             1,229,000             1,523,000
011206- A011-1 Pay of Officers                  (8)      (8)          (1,079,000)          (1,029,000)          (1,323,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (200,000)            (200,000)            (200,000)
011206- A012   Allowances                                           1,092,000             1,338,000             1,576,000
011206- A012-1  Regular Allowances                               (1,092,000)          (1,092,000)          (1,376,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (246,000)            (200,000)

Page 84

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A03    Operating Expenses                                 1,710,000             2,560,000             1,810,000
011206- A032   Communications                                       10,000               10,000               10,000
011206- A033     Utilities                                               400,000              450,000              400,000
011206- A038    Travel & Transportation                               1,100,000             1,650,000              900,000
011206- A039   General                                              200,000              450,000              500,000
011206- A13    Repairs and Maintenance                              40,000              140,000              100,000
011206- A131   Machinery and Equipment                              20,000               70,000               50,000
011206- A132    Furniture and Fixture                                   20,000               70,000               50,000
        Total- DAO BATAGRAM                                 4,121,000           5,267,000           5,009,000
BU0004 DISTT ACCOUNTS OFFICE BANNU
011206- A01    Employees Related Expenses                      26,024,000            29,470,000            32,892,000
011206- A011   Pay                      34     33           12,163,000            12,163,000            15,944,000
011206- A011-1 Pay of Officers               (26)    (25)         (10,043,000)         (10,043,000)         (13,559,000)
011206- A011-2 Pay of Other Staff               (8)      (8)          (2,120,000)          (2,120,000)          (2,385,000)
011206- A012   Allowances                                         13,861,000            17,307,000            16,948,000
011206- A012-1  Regular Allowances                             (13,861,000)         (13,861,000)         (16,448,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (3,446,000)            (500,000)
011206- A03    Operating Expenses                                 2,920,000             3,008,000             2,000,000
011206- A032   Communications                                     120,000              120,000               50,000
011206- A033     Utilities                                               700,000              700,000              700,000
011206- A038    Travel & Transportation                               1,600,000             1,598,000              750,000
011206- A039   General                                              500,000              590,000              500,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DISTT ACCOUNTS OFFICE BANNU              29,044,000         32,578,000          34,932,000
CA0001 DISTRICT ACCOUNT OFFICER CHARSADDA
011206- A01    Employees Related Expenses                      22,667,000            24,376,000            24,649,000
011206- A011   Pay                      20     20           11,629,000            11,629,000            12,028,000
011206- A011-1 Pay of Officers               (15)    (15)          (9,029,000)          (9,029,000)          (9,997,000)
011206- A011-2 Pay of Other Staff               (5)      (5)          (2,600,000)          (2,600,000)          (2,031,000)
011206- A012   Allowances                                         11,038,000            12,747,000            12,621,000
011206- A012-1  Regular Allowances                             (11,038,000)         (11,038,000)         (12,421,000)

Page 85

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A012-2  Other Allowances (Excluding TA)                                       (1,709,000)            (200,000)
011206- A03    Operating Expenses                                 1,750,000             1,750,000             1,150,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               100,000              100,000              150,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              500,000              500,000              400,000
011206- A04    Employees Retirement Benefits                                           128,000
011206- A041   Pension                                                                   128,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DISTRICT ACCOUNT OFFICER                   24,457,000         26,294,000          25,839,000
          CHARSADDA
CL0002 DAO CHITRAL0
011206- A01    Employees Related Expenses                      15,480,000            16,583,000            19,319,000
011206- A011   Pay                      16     15            7,584,000             7,584,000             9,174,000
011206- A011-1 Pay of Officers               (12)    (11)          (7,057,000)          (7,057,000)          (8,616,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (527,000)            (527,000)            (558,000)
011206- A012   Allowances                                           7,896,000             8,999,000            10,145,000
011206- A012-1  Regular Allowances                               (7,896,000)          (7,896,000)          (9,955,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (1,103,000)            (190,000)
011206- A03    Operating Expenses                                 3,350,000             5,990,000             1,960,000
011206- A032   Communications                                       50,000               80,000               10,000
011206- A033     Utilities                                               1,000,000             2,590,000              600,000
011206- A038    Travel & Transportation                               1,600,000             2,310,000              850,000
011206- A039   General                                              700,000             1,010,000              500,000
011206- A13    Repairs and Maintenance                              40,000              440,000               40,000
011206- A131   Machinery and Equipment                              20,000              220,000               20,000
011206- A132    Furniture and Fixture                                   20,000              220,000               20,000
        Total- DAO CHITRAL0                                 18,870,000         23,013,000          21,319,000
CU0001 DAO CHITRAL (UPPER)
011206- A01    Employees Related Expenses                       2,799,000             2,910,000             3,295,000
011206- A011   Pay                       7      7            1,456,000             1,456,000             1,475,000

Page 86

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011-1 Pay of Officers                  (5)      (5)          (1,200,000)          (1,200,000)          (1,211,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (256,000)            (256,000)            (264,000)
011206- A012   Allowances                                           1,343,000             1,454,000             1,820,000
011206- A012-1  Regular Allowances                               (1,343,000)          (1,343,000)          (1,745,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (111,000)             (75,000)
011206- A03    Operating Expenses                                 1,580,000             1,556,000              850,000
011206- A032   Communications                                       30,000               30,000
011206- A033     Utilities                                               200,000              200,000              100,000
011206- A038    Travel & Transportation                               1,050,000             1,026,000              450,000
011206- A039   General                                              300,000              300,000              300,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DAO CHITRAL (UPPER)                           4,419,000           4,506,000           4,185,000
DA0008 D A O TIMERGARA
011206- A01    Employees Related Expenses                       5,643,000             6,048,000             8,373,000
011206- A011   Pay                      12     12            1,277,000             1,277,000             3,965,000
011206- A011-1 Pay of Officers                  (9)      (9)            (923,000)            (923,000)          (3,592,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (354,000)            (354,000)            (373,000)
011206- A012   Allowances                                           4,366,000             4,771,000             4,408,000
011206- A012-1  Regular Allowances                               (4,366,000)          (4,366,000)          (4,308,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (405,000)            (100,000)
011206- A03    Operating Expenses                                 2,950,000             2,950,000             1,400,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               800,000              800,000              400,000
011206- A038    Travel & Transportation                               1,600,000             1,600,000              550,000
011206- A039   General                                              500,000              500,000              400,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- D A O TIMERGARA                               8,633,000           9,038,000           9,813,000
DI0013 DAO DI KHAN
011206- A01    Employees Related Expenses                      36,582,000            37,364,000            27,964,000

Page 87

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011   Pay                      34     32           18,086,000            18,086,000            15,238,000
011206- A011-1 Pay of Officers               (26)    (25)         (15,086,000)         (15,086,000)         (13,633,000)
011206- A011-2 Pay of Other Staff               (8)      (7)          (3,000,000)          (3,000,000)          (1,605,000)
011206- A012   Allowances                                         18,496,000            19,278,000            12,726,000
011206- A012-1  Regular Allowances                             (18,496,000)         (18,496,000)         (12,726,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (782,000)
011206- A03    Operating Expenses                                 3,300,000             3,300,000             1,300,000
011206- A032   Communications                                     100,000              100,000               50,000
011206- A033     Utilities                                               800,000              800,000              400,000
011206- A038    Travel & Transportation                               1,600,000             1,600,000              550,000
011206- A039   General                                              800,000              800,000              300,000
011206- A13    Repairs and Maintenance                              40,000              540,000               40,000
011206- A131   Machinery and Equipment                              20,000              520,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DAO DI KHAN                                   39,922,000         41,204,000          29,304,000
DP0004 DAO DIR UPPER
011206- A01    Employees Related Expenses                       2,548,000             2,864,000             3,633,000
011206- A011   Pay                       7      7            1,282,000             1,282,000             1,515,000
011206- A011-1 Pay of Officers                  (5)      (5)            (746,000)            (746,000)            (878,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (536,000)            (536,000)            (637,000)
011206- A012   Allowances                                           1,266,000             1,582,000             2,118,000
011206- A012-1  Regular Allowances                               (1,266,000)          (1,266,000)          (2,018,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (316,000)            (100,000)
011206- A03    Operating Expenses                                 2,900,000             3,760,000             2,200,000
011206- A032   Communications                                     100,000              100,000               50,000
011206- A033     Utilities                                               1,000,000             1,360,000              700,000
011206- A038    Travel & Transportation                               1,100,000             1,280,000              750,000
011206- A039   General                                              700,000             1,020,000              700,000
011206- A13    Repairs and Maintenance                              40,000              340,000              100,000
011206- A131   Machinery and Equipment                              20,000              170,000               50,000
011206- A132    Furniture and Fixture                                   20,000              170,000               50,000
        Total- DAO DIR UPPER                                 5,488,000           6,964,000           5,933,000

Page 88

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

HG0007 DAO AUDIT & ACC HANGU
011206- A01    Employees Related Expenses                      10,567,000            10,953,000            11,492,000
011206- A011   Pay                       8      8            5,540,000             5,540,000             5,642,000
011206- A011-1 Pay of Officers                  (6)      (6)          (5,029,000)          (5,029,000)          (4,690,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (511,000)            (511,000)            (952,000)
011206- A012   Allowances                                           5,027,000             5,413,000             5,850,000
011206- A012-1  Regular Allowances                               (5,027,000)          (5,027,000)          (5,850,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (386,000)
011206- A03    Operating Expenses                                 1,750,000             1,750,000              950,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               200,000              200,000              150,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              400,000              400,000              200,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DAO AUDIT & ACC HANGU                      12,357,000         12,743,000          12,482,000
HR0041 DISTRICT ACCOUNTS OFFICE HARIPUR
011206- A01    Employees Related Expenses                      10,798,000            11,330,000            11,583,000
011206- A011   Pay                       8      7            5,601,000             5,601,000             5,628,000
011206- A011-1 Pay of Officers                  (6)      (6)          (5,043,000)          (5,043,000)          (5,028,000)
011206- A011-2 Pay of Other Staff               (2)      (1)            (558,000)            (558,000)            (600,000)
011206- A012   Allowances                                           5,197,000             5,729,000             5,955,000
011206- A012-1  Regular Allowances                               (5,197,000)          (5,197,000)          (5,855,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (532,000)            (100,000)
011206- A03    Operating Expenses                                 2,050,000             2,050,000             1,200,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               400,000              400,000              300,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              500,000              500,000              300,000
011206- A04    Employees Retirement Benefits                                           1,175,000
011206- A041   Pension                                                                    1,175,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DISTRICT ACCOUNTS OFFICE HARIPUR         12,888,000         14,595,000          12,823,000

Page 89

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

KD0001 DAO KOHISTAN
011206- A01    Employees Related Expenses                       6,002,000             6,261,000             7,116,000
011206- A011   Pay                       8      7            3,028,000             3,028,000             3,402,000
011206- A011-1 Pay of Officers                  (8)      (5)          (3,028,000)          (3,028,000)          (3,375,000)
011206- A011-2 Pay of Other Staff                       (2)                                                       (27,000)
011206- A012   Allowances                                           2,974,000             3,233,000             3,714,000
011206- A012-1  Regular Allowances                               (2,974,000)          (2,974,000)          (3,614,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (259,000)            (100,000)
011206- A03    Operating Expenses                                 2,450,000             2,450,000             1,300,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               800,000              800,000              500,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              450,000
011206- A039   General                                              500,000              500,000              300,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DAO KOHISTAN                                  8,492,000           8,751,000           8,456,000
KH0178 DISTRICT ACCOUNT OFFICER KAYBER (DAO SCHEME)
011206- A01    Employees Related Expenses                      11,059,000            11,563,000            12,315,000
011206- A011   Pay                      14     13            5,554,000             5,554,000             5,588,000
011206- A011-1 Pay of Officers                  (9)      (9)          (5,043,000)          (5,043,000)          (5,043,000)
011206- A011-2 Pay of Other Staff               (5)      (4)            (511,000)            (511,000)            (545,000)
011206- A012   Allowances                                           5,505,000             6,009,000             6,727,000
011206- A012-1  Regular Allowances                               (5,505,000)          (5,505,000)          (6,677,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (504,000)             (50,000)
011206- A03    Operating Expenses                                 3,200,000             3,200,000             1,300,000
011206- A032   Communications                                     100,000              100,000               50,000
011206- A033     Utilities                                               700,000              700,000              400,000
011206- A038    Travel & Transportation                               1,600,000             1,600,000              550,000
011206- A039   General                                              800,000              800,000              300,000

Page 90

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DISTRICT ACCOUNT OFFICER KAYBER          14,359,000         14,863,000          13,655,000
           (DAO SCHEME)
KK0005 DISTRICT ACCOUNTS OFFICE KARAK
011206- A01    Employees Related Expenses                      13,565,000            14,185,000            15,452,000
011206- A011   Pay                      15     15            6,300,000             6,300,000             7,351,000
011206- A011-1 Pay of Officers               (11)    (11)          (5,000,000)          (5,000,000)          (5,920,000)
011206- A011-2 Pay of Other Staff               (4)      (4)          (1,300,000)          (1,300,000)          (1,431,000)
011206- A012   Allowances                                           7,265,000             7,885,000             8,101,000
011206- A012-1  Regular Allowances                               (7,265,000)          (7,265,000)          (8,001,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (620,000)            (100,000)
011206- A03    Operating Expenses                                 3,200,000             3,200,000             1,150,000
011206- A032   Communications                                     100,000              100,000
011206- A033     Utilities                                               700,000              700,000              100,000
011206- A038    Travel & Transportation                               1,600,000             1,600,000              750,000
011206- A039   General                                              800,000              800,000              300,000
011206- A04    Employees Retirement Benefits                                           1,121,000
011206- A041   Pension                                                                    1,121,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DISTRICT ACCOUNTS OFFICE KARAK           16,865,000         18,606,000          16,642,000
KM0115 AGENCY ACCOUNT OFFICE KURRAM
011206- A01    Employees Related Expenses                       6,286,000             6,375,000             4,977,000
011206- A011   Pay                      12     11            3,281,000             3,281,000             1,962,000
011206- A011-1 Pay of Officers                  (9)      (8)          (2,714,000)          (2,714,000)          (1,358,000)
011206- A011-2 Pay of Other Staff               (3)      (3)            (567,000)            (567,000)            (604,000)
011206- A012   Allowances                                           3,005,000             3,094,000             3,015,000
011206- A012-1  Regular Allowances                               (2,885,000)          (2,885,000)          (2,875,000)
011206- A012-2  Other Allowances (Excluding TA)                    (120,000)            (209,000)            (140,000)
011206- A03    Operating Expenses                                 1,700,000             1,700,000              610,000

Page 91

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               200,000              200,000               50,000
011206- A038    Travel & Transportation                               1,050,000             1,050,000              310,000
011206- A039   General                                              400,000              400,000              200,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- AGENCY ACCOUNT OFFICE KURRAM             8,026,000           8,115,000           5,627,000
KO0001 DISTRICT ACCOUNT OFFICER KOHISTAN (LOWER)
011206- A01    Employees Related Expenses                       6,822,000             6,856,000             3,361,000
011206- A011   Pay                       8      7            3,043,000             3,043,000             1,415,000
011206- A011-1 Pay of Officers                  (8)      (5)          (3,043,000)          (3,043,000)          (1,215,000)
011206- A011-2 Pay of Other Staff                       (2)                                                     (200,000)
011206- A012   Allowances                                           3,779,000             3,813,000             1,946,000
011206- A012-1  Regular Allowances                               (3,689,000)          (3,604,000)          (1,826,000)
011206- A012-2  Other Allowances (Excluding TA)                     (90,000)            (209,000)            (120,000)
011206- A03    Operating Expenses                                 1,800,000             1,800,000             1,050,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               300,000              300,000              150,000
011206- A038    Travel & Transportation                               1,050,000             1,050,000              550,000
011206- A039   General                                              400,000              400,000              300,000
011206- A13    Repairs and Maintenance                              40,000               40,000               40,000
011206- A131   Machinery and Equipment                              20,000               20,000               20,000
011206- A132    Furniture and Fixture                                   20,000               20,000               20,000
        Total- DISTRICT ACCOUNT OFFICER                    8,662,000           8,696,000           4,451,000
           KOHISTAN (LOWER)
KT0027 DAO KOHAT
011206- A01    Employees Related Expenses                      25,146,000            23,809,000            27,553,000
011206- A011   Pay                      28     27           12,334,000            12,334,000            13,025,000
011206- A011-1 Pay of Officers               (21)    (20)         (10,057,000)         (10,057,000)         (11,048,000)
011206- A011-2 Pay of Other Staff               (7)      (7)          (2,277,000)          (2,277,000)          (1,977,000)
011206- A012   Allowances                                         12,812,000            11,475,000            14,528,000
011206- A012-1  Regular Allowances                             (12,812,000)         (10,205,000)         (14,428,000)

Page 92

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A012-2  Other Allowances (Excluding TA)                                       (1,270,000)            (100,000)
011206- A03    Operating Expenses                                 3,200,000             3,230,000             2,100,000
011206- A032   Communications                                     100,000              100,000               50,000
011206- A033     Utilities                                               700,000              700,000              600,000
011206- A038    Travel & Transportation                               1,600,000             1,600,000              650,000
011206- A039   General                                              800,000              830,000              800,000
011206- A04    Employees Retirement Benefits                                           1,156,000
011206- A041   Pension                                                                    1,156,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DAO KOHAT                                    28,446,000         28,295,000          29,693,000
LK0021 DAO LAKKI
011206- A01    Employees Related Expenses                      12,836,000            13,224,000             9,728,000
011206- A011   Pay                      11     11            5,170,000             5,170,000             4,633,000
011206- A011-1 Pay of Officers                  (8)      (8)          (4,110,000)          (4,110,000)          (4,020,000)
011206- A011-2 Pay of Other Staff               (3)      (3)          (1,060,000)          (1,060,000)            (613,000)
011206- A012   Allowances                                           7,666,000             8,054,000             5,095,000
011206- A012-1  Regular Allowances                               (7,666,000)          (7,651,000)          (5,095,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (403,000)
011206- A03    Operating Expenses                                 3,700,000             3,700,000             1,400,000
011206- A032   Communications                                     100,000              100,000               50,000
011206- A033     Utilities                                               700,000              700,000              500,000
011206- A038    Travel & Transportation                               2,100,000             2,100,000              550,000
011206- A039   General                                              800,000              800,000              300,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DAO LAKKI                                     16,636,000         17,024,000          11,168,000
MA0001 DAO MANSEHRA
011206- A01    Employees Related Expenses                      17,463,000            18,533,000            21,319,000
011206- A011   Pay                      19     18            8,778,000             8,778,000            10,105,000
011206- A011-1 Pay of Officers               (14)    (13)          (8,028,000)          (8,028,000)          (9,300,000)

Page 93

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011-2 Pay of Other Staff               (5)      (5)            (750,000)            (750,000)            (805,000)
011206- A012   Allowances                                           8,685,000             9,755,000            11,214,000
011206- A012-1  Regular Allowances                               (8,685,000)          (8,685,000)         (11,114,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (1,070,000)            (100,000)
011206- A03    Operating Expenses                                 3,700,000             3,700,000             2,170,000
011206- A033     Utilities                                               700,000              700,000              500,000
011206- A038    Travel & Transportation                               1,600,000             1,600,000              550,000
011206- A039   General                                              1,400,000             1,400,000             1,120,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DAO MANSEHRA                               21,263,000         22,333,000          23,529,000
MD0001 AGENCY ACCOUNT OFFICE MALAKAND
011206- A01    Employees Related Expenses                      10,306,000            10,845,000            14,184,000
011206- A011   Pay                      19     18            5,011,000             5,011,000             6,451,000
011206- A011-1 Pay of Officers               (15)    (14)          (4,014,000)          (4,014,000)          (5,387,000)
011206- A011-2 Pay of Other Staff               (4)      (4)            (997,000)            (997,000)          (1,064,000)
011206- A012   Allowances                                           5,295,000             5,834,000             7,733,000
011206- A012-1  Regular Allowances                               (5,295,000)          (5,295,000)          (7,683,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (539,000)             (50,000)
011206- A03    Operating Expenses                                 1,750,000             2,670,000             1,075,000
011206- A032   Communications                                       50,000               50,000               25,000
011206- A033     Utilities                                               200,000              520,000              200,000
011206- A038    Travel & Transportation                               1,100,000             1,300,000              550,000
011206- A039   General                                              400,000              800,000              300,000
011206- A13    Repairs and Maintenance                            100,000              350,000               40,000
011206- A131   Machinery and Equipment                              50,000              250,000               20,000
011206- A132    Furniture and Fixture                                   50,000              100,000               20,000
        Total- AGENCY ACCOUNT OFFICE                     12,156,000         13,865,000          15,299,000
          MALAKAND
MG0002 AGENCY ACCOUNTS OFFICER MOHMAND
011206- A01    Employees Related Expenses                       4,691,000             5,018,000             6,946,000
011206- A011   Pay                      14     14            2,510,000             2,510,000             3,265,000

Page 94

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011-1 Pay of Officers                  (9)      (9)          (2,000,000)          (2,000,000)          (2,716,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (510,000)            (510,000)            (549,000)
011206- A012   Allowances                                           2,181,000             2,508,000             3,681,000
011206- A012-1  Regular Allowances                               (2,181,000)          (2,181,000)          (3,631,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (327,000)             (50,000)
011206- A03    Operating Expenses                                 2,400,000             2,400,000             1,300,000
011206- A032   Communications                                     100,000              100,000               50,000
011206- A033     Utilities                                               700,000              700,000              400,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              500,000              500,000              300,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- AGENCY ACCOUNTS OFFICER                   7,191,000           7,518,000           8,286,000
         MOHMAND
MR0006 DAO FEDERAL STAFF MARDAN
011206- A01    Employees Related Expenses                      37,261,000            39,161,000            48,516,000
011206- A011   Pay                      37     35           17,550,000            17,542,000            23,086,000
011206- A011-1 Pay of Officers               (28)    (25)         (15,127,000)         (15,119,000)         (20,086,000)
011206- A011-2 Pay of Other Staff               (9)    (10)          (2,423,000)          (2,423,000)          (3,000,000)
011206- A012   Allowances                                         19,711,000            21,619,000            25,430,000
011206- A012-1  Regular Allowances                             (19,711,000)         (19,711,000)         (25,330,000)
011206- A012-2  Other Allowances (Excluding TA)                                       (1,908,000)            (100,000)
011206- A03    Operating Expenses                                 3,800,000             3,751,000             1,375,000
011206- A032   Communications                                     100,000                 6,000               25,000
011206- A033     Utilities                                               800,000              800,000              500,000
011206- A038    Travel & Transportation                               2,100,000             2,100,000              550,000
011206- A039   General                                              800,000              845,000              300,000
011206- A04    Employees Retirement Benefits                                           2,537,000
011206- A041   Pension                                                                    2,537,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DAO FEDERAL STAFF MARDAN                41,161,000         45,549,000          49,931,000

Page 95

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

MW0128 DISTRICT ACCOUNT OFFICER NORTH WAZIRISTAN (DAO SCHEME)
011206- A01    Employees Related Expenses                      11,908,000            12,496,000            13,556,000
011206- A011   Pay                      14     14            6,100,000             6,100,000             6,720,000
011206- A011-1 Pay of Officers                  (9)      (9)          (5,000,000)          (5,000,000)          (5,600,000)
011206- A011-2 Pay of Other Staff               (5)      (5)          (1,100,000)          (1,100,000)          (1,120,000)
011206- A012   Allowances                                           5,808,000             6,396,000             6,836,000
011206- A012-1  Regular Allowances                               (5,808,000)          (5,808,000)          (6,786,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (588,000)             (50,000)
011206- A03    Operating Expenses                                 2,150,000             2,100,000              900,000
011206- A032   Communications                                       50,000
011206- A033     Utilities                                               500,000              500,000              150,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              500,000              500,000              200,000
011206- A13    Repairs and Maintenance                              50,000               50,000               40,000
011206- A131   Machinery and Equipment                              25,000               25,000               20,000
011206- A132    Furniture and Fixture                                   25,000               25,000               20,000
        Total- DISTRICT ACCOUNT OFFICER NORTH           14,108,000         14,646,000          14,496,000
           WAZIRISTAN (DAO SCHEME)
NR0035 DISTRICT ACCOUNTS OFFICE NOSHERA
011206- A01    Employees Related Expenses                      15,351,000            16,111,000            18,699,000
011206- A011   Pay                      19     19            7,528,000             7,528,000             8,846,000
011206- A011-1 Pay of Officers               (15)    (15)          (6,028,000)          (6,028,000)          (7,533,000)
011206- A011-2 Pay of Other Staff               (4)      (4)          (1,500,000)          (1,500,000)          (1,313,000)
011206- A012   Allowances                                           7,823,000             8,583,000             9,853,000
011206- A012-1  Regular Allowances                               (7,823,000)          (7,823,000)          (9,753,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (760,000)            (100,000)
011206- A03    Operating Expenses                                 3,900,000             3,265,000             1,650,000
011206- A032   Communications                                     200,000              184,000              200,000
011206- A033     Utilities                                               800,000              800,000              600,000
011206- A038    Travel & Transportation                               2,100,000             1,481,000              550,000
011206- A039   General                                              800,000              800,000              300,000
011206- A04    Employees Retirement Benefits                                            28,000

Page 96

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A041   Pension                                                                     28,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DISTRICT ACCOUNTS OFFICE                   19,351,000         19,504,000          20,389,000
          NOSHERA
OI0124 DISTRICT ACCOUNT OFFICER ORAKZAI (DAO SCHEME)
011206- A01    Employees Related Expenses                       3,596,000             3,777,000             4,837,000
011206- A011   Pay                      14     12            1,867,000             1,867,000             2,254,000
011206- A011-1 Pay of Officers                  (9)      (8)          (1,588,000)          (1,588,000)          (1,700,000)
011206- A011-2 Pay of Other Staff               (5)      (4)            (279,000)            (279,000)            (554,000)
011206- A012   Allowances                                           1,729,000             1,910,000             2,583,000
011206- A012-1  Regular Allowances                               (1,729,000)          (1,729,000)          (2,483,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (181,000)            (100,000)
011206- A03    Operating Expenses                                 2,050,000             1,198,000              420,000
011206- A032   Communications                                     500,000                 8,000               10,000
011206- A033     Utilities                                               200,000              200,000
011206- A038    Travel & Transportation                               1,050,000              690,000              210,000
011206- A039   General                                              300,000              300,000              200,000
011206- A13    Repairs and Maintenance                              50,000               50,000               40,000
011206- A131   Machinery and Equipment                              25,000               25,000               20,000
011206- A132    Furniture and Fixture                                   25,000               25,000               20,000
        Total- DISTRICT ACCOUNT OFFICER ORAKZAI          5,696,000           5,025,000           5,297,000
           (DAO SCHEME)
PA0003 DISTRICT ACCOUNTS OFFICE KOLLAI PALLAS
011206- A01    Employees Related Expenses                                                                   1,660,000
011206- A011   Pay                                 2                                                       770,000
011206- A011-1 Pay of Officers                           (1)                                                     (500,000)
011206- A011-2 Pay of Other Staff                       (1)                                                     (270,000)
011206- A012   Allowances                                                                                     890,000
011206- A012-1  Regular Allowances                                                                         (890,000)
011206- A03    Operating Expenses                                                                           550,000
011206- A033     Utilities                                                                                         150,000

Page 97

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A038    Travel & Transportation                                                                         300,000
011206- A039   General                                                                                        100,000
        Total- DISTRICT ACCOUNTS OFFICE KOLLAI                                                    2,210,000
           PALLAS
PR0079 ACCOUNTANT GENERAL KHYBER PAKHTUNKHWA PESHAWAR
011206- A01    Employees Related Expenses                    634,450,000          738,514,000          700,801,000
011206- A011   Pay                     608    504          297,511,000          334,044,000          324,101,000
011206- A011-1 Pay of Officers             (426)   (330)       (253,531,000)       (290,090,000)       (278,690,000)
011206- A011-2 Pay of Other Staff          (182)   (174)         (43,980,000)         (43,954,000)         (45,411,000)
011206- A012   Allowances                                        336,939,000          404,470,000          376,700,000
011206- A012-1  Regular Allowances                            (314,689,000)       (350,945,000)       (353,125,000)
011206- A012-2  Other Allowances (Excluding TA)                 (22,250,000)         (53,525,000)         (23,575,000)
011206- A03    Operating Expenses                              219,990,000          260,637,000          305,585,000
011206- A032   Communications                                     3,170,000             2,607,000             6,125,000
011206- A033     Utilities                                             27,900,000            31,180,000            59,950,000
011206- A034   Occupancy Costs                                  130,000,000          150,000,000          130,000,000
011206- A038    Travel & Transportation                             33,820,000            44,491,000            69,730,000
011206- A039   General                                             25,100,000            32,359,000            39,780,000
011206- A04    Employees Retirement Benefits                    37,000,000            32,089,000            15,200,000
011206- A041   Pension                                            37,000,000            32,089,000            15,200,000
011206- A05    Grants, Subsidies and Write off Loans                                  19,900,000             2,000,000
011206- A052   Grants Domestic                                                          19,900,000             2,000,000
011206- A13    Repairs and Maintenance                          11,600,000            15,310,000            17,260,000
011206- A130    Transport                                             1,000,000             1,500,000             2,000,000
011206- A131   Machinery and Equipment                            3,050,000             2,880,000             3,630,000
011206- A132    Furniture and Fixture                                 1,550,000             2,530,000             3,130,000
011206- A133    Buildings and Structure                               5,000,000             6,400,000             6,000,000
011206- A137   Computer Equipment                                 1,000,000             2,000,000             2,500,000
        Total- ACCOUNTANT GENERAL KHYBER             903,040,000       1,066,450,000       1,040,846,000
          PAKHTUNKHWA PESHAWAR
PR0081 AGPR SUB OFFICE PESHAWAR
011206- A01    Employees Related Expenses                    240,779,000          276,353,000          373,873,000
011206- A011   Pay                     279    255          115,987,000          122,160,000          169,199,000

Page 98

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A011-1 Pay of Officers             (222)   (200)       (105,630,000)       (109,300,000)       (153,855,000)
011206- A011-2 Pay of Other Staff            (57)    (55)         (10,357,000)         (12,860,000)         (15,344,000)
011206- A012   Allowances                                        124,792,000          154,193,000          204,674,000
011206- A012-1  Regular Allowances                            (102,949,000)       (122,293,000)       (180,647,000)
011206- A012-2  Other Allowances (Excluding TA)                 (21,843,000)         (31,900,000)         (24,027,000)
011206- A03    Operating Expenses                               76,844,000            78,316,000            90,769,000
011206- A032   Communications                                     1,233,000             1,349,000             1,434,000
011206- A033     Utilities                                               4,342,000             4,353,000             4,439,000
011206- A034   Occupancy Costs                                   55,967,000            55,967,000            67,396,000
011206- A038    Travel & Transportation                             11,140,000            11,880,000            12,100,000
011206- A039   General                                              4,162,000             4,767,000             5,400,000
011206- A04    Employees Retirement Benefits                    14,145,000            14,145,000            10,500,000
011206- A041   Pension                                            14,145,000            14,145,000            10,500,000
011206- A13    Repairs and Maintenance                            2,171,000             3,960,000             4,140,000
011206- A130    Transport                                            569,000             1,000,000             1,100,000
011206- A131   Machinery and Equipment                             396,000              600,000              850,000
011206- A132    Furniture and Fixture                                  427,000             1,000,000              750,000
011206- A137   Computer Equipment                                 768,000             1,280,000             1,390,000
011206- A138   General                                                11,000               80,000               50,000
        Total- AGPR SUB OFFICE PESHAWAR                333,939,000        372,774,000        479,282,000
SH0002 DAO SHANGLA( FEDERAL SIDE)
011206- A01    Employees Related Expenses                       3,104,000             3,965,000             3,848,000
011206- A011   Pay                       9      9            1,650,000             1,650,000             1,848,000
011206- A011-1 Pay of Officers                  (9)      (7)          (1,650,000)          (1,650,000)          (1,748,000)
011206- A011-2 Pay of Other Staff                       (2)                                                     (100,000)
011206- A012   Allowances                                           1,454,000             2,315,000             2,000,000
011206- A012-1  Regular Allowances                               (1,454,000)          (1,454,000)          (1,900,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (861,000)            (100,000)
011206- A03    Operating Expenses                                 2,050,000             2,135,000             1,500,000
011206- A032   Communications                                       50,000               50,000               50,000
011206- A033     Utilities                                               200,000              285,000              400,000
011206- A038    Travel & Transportation                               1,100,000             1,100,000              550,000
011206- A039   General                                              700,000              700,000              500,000

Page 99

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A13    Repairs and Maintenance                            100,000              100,000              100,000
011206- A131   Machinery and Equipment                              50,000               50,000               50,000
011206- A132    Furniture and Fixture                                   50,000               50,000               50,000
        Total- DAO SHANGLA( FEDERAL SIDE)                  5,254,000           6,200,000           5,448,000
SU0001 DAO SWABI
011206- A01    Employees Related Expenses                      15,214,000            15,931,000            18,485,000
011206- A011   Pay                      19     19            7,592,000             7,592,000             8,989,000
011206- A011-1 Pay of Officers               (14)    (14)          (7,081,000)          (7,081,000)          (8,444,000)
011206- A011-2 Pay of Other Staff               (5)      (5)            (511,000)            (511,000)            (545,000)
011206- A012   Allowances                                           7,622,000             8,339,000             9,496,000
011206- A012-1  Regular Allowances                               (7,622,000)          (7,622,000)          (9,396,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (717,000)            (100,000)
011206- A03    Operating Expenses                                 3,200,000             2,660,000             1,025,000
011206- A032   Communications                                     100,000                                     25,000
011206- A033     Utilities                                               800,000              800,000              300,000
011206- A038    Travel & Transportation                               1,600,000             1,160,000              500,000
011206- A039   General                                              700,000              700,000              200,000
011206- A13    Repairs and Maintenance                            100,000              100,000              100,000
011206- A131   Machinery and Equipment                              50,000               50,000               50,000
011206- A132    Furniture and Fixture                                   50,000               50,000               50,000
        Total- DAO SWABI                                    18,514,000         18,691,000          19,610,000
SW0005 DAO SWAT (FEDERAL SIDE)
011206- A01    Employees Related Expenses                      14,818,000            15,733,000            18,239,000
011206- A011   Pay                      24     23            6,959,000             6,959,000             8,365,000
011206- A011-1 Pay of Officers               (18)    (17)          (6,072,000)          (6,072,000)          (7,419,000)
011206- A011-2 Pay of Other Staff               (6)      (6)            (887,000)            (887,000)            (946,000)
011206- A012   Allowances                                           7,859,000             8,774,000             9,874,000
011206- A012-1  Regular Allowances                               (7,859,000)          (7,859,000)          (9,774,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (915,000)            (100,000)
011206- A03    Operating Expenses                                 3,200,000             2,960,000             1,600,000
011206- A032   Communications                                     100,000               16,000               50,000
011206- A033     Utilities                                               800,000              800,000              600,000
011206- A038    Travel & Transportation                               1,600,000             1,444,000              550,000

Page 100

NO. 045.- FC21C42 CONTROLLER GENERAL OF ACCOUNTS                    DEMANDS FOR GRANTS
                                 No of Posts        2024-2025         2024-2025        2025-2026
                                       2024-25 2025-26       Budget           Revised          Budget
                                                             Estimate           Estimate         Estimate
                                                    Rs             Rs            Rs

              ACCOUNTANT GENERAL PAKISTAN REVENUES SUB-OFFICE, PESHAWAR

011206- A039   General                                              700,000              700,000              400,000
011206- A04    Employees Retirement Benefits                                           2,482,000
011206- A041   Pension                                                                    2,482,000
011206- A13    Repairs and Maintenance                            100,000              100,000               40,000
011206- A131   Machinery and Equipment                              50,000               50,000               20,000
011206- A132    Furniture and Fixture                                   50,000               50,000               20,000
        Total- DAO SWAT (FEDERAL SIDE)                    18,118,000         21,275,000          19,879,000
TG0001 DAO TOR GHAR
011206- A01    Employees Related Expenses                       1,485,000             1,611,000             2,688,000
011206- A011   Pay                       8      7             776,000              776,000             1,082,000
011206- A011-1 Pay of Officers                  (6)      (5)            (552,000)            (552,000)            (587,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (224,000)            (224,000)            (495,000)
011206- A012   Allowances                                           709,000              835,000             1,606,000
011206- A012-1  Regular Allowances                                (709,000)            (709,000)          (1,506,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (126,000)            (100,000)
011206- A03    Operating Expenses                                 1,100,000             1,086,000             1,000,000
011206- A032   Communications                                       50,000               36,000               50,000
011206- A033     Utilities                                               200,000              200,000              200,000
011206- A038    Travel & Transportation                               550,000              550,000              550,000
011206- A039   General                                              300,000              300,000              200,000
011206- A13    Repairs and Maintenance                            100,000              100,000              100,000
011206- A131   Machinery and Equipment                              50,000               50,000               50,000
011206- A132    Furniture and Fixture                                   50,000               50,000               50,000
        Total- DAO TOR GHAR                                  2,685,000           2,797,000           3,788,000
TK0067 DAO TANK
011206- A01    Employees Related Expenses                       4,532,000             4,853,000             5,683,000
011206- A011   Pay                       7      7            2,436,000             2,436,000             2,242,000
011206- A011-1 Pay of Officers                  (5)      (5)          (2,268,000)          (2,268,000)          (1,421,000)
011206- A011-2 Pay of Other Staff               (2)      (2)            (168,000)            (168,000)            (821,000)
011206- A012   Allowances                                           2,096,000             2,417,000             3,441,000
011206- A012-1  Regular Allowances                               (2,096,000)          (2,096,000)          (3,341,000)
011206- A012-2  Other Allowances (Excluding TA)                                        (321,000)            (100,000)
011206- A03    Operating Expenses                                 2,300,000             2,200,000             1,050,000