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Purchase Of Printed / Non Printed Stationary For Office Use ( As Per Attached List ) - 1 Description Of Forms & Registers As Per Municipal Account Code 2017 ( Standrad Size 100 Page ) 2 Cash Book 3 Journal Book 4 Ledger 5 Journal Voucher 6 Contra Voucher 7 Subsidiary Ledger ( Fees And User Charges Income ) 8 Subsidiary Ledger ( Operation & Maintenance Expenditure ) 9 Stock Register Of Cheque Books 10 Cheque Issue Register 11 Register Of Advance To Employee 12 Bank Reconciliation Statement 13 Miscellaneous Demand And Collection Register 14 Register Of Loans 15 Register Of Grants 16 Annual Statement Of Government Grants 17 Register Of Aided And Loan Works 18 Order Of Payment From Imprest 19 Paid By Imprest Voucher 20 Contingent Bill 21 Format For Other Payment 22 Salary Bill 23 Establishment Check Register 24 Travelling Allowance Check Register 25 S, NP Bariwala-Punjab

Nagar Panchayat has published Purchase Of Printed / Non Printed Stationary For Office Use ( As Per Attached List ) - 1 Description Of Forms & Registers As Per Municipal Account Code 2017 ( Standrad Size 100 Page ) 2 Cash Book 3 Journal Book 4 Ledger 5 Journal Voucher 6 Contra Voucher 7 Subsidiary Ledger ( Fees And User Charges Income ) 8 Subsidiary Ledger ( Operation & Maintenance Expenditure ) 9 Stock Register Of Cheque Books 10 Cheque Issue Register 11 Register Of Advance To Employee 12 Bank Reconciliation Statement 13 Miscellaneous Demand And Collection Register 14 Register Of Loans 15 Register Of Grants 16 Annual Statement Of Government Grants 17 Register Of Aided And Loan Works 18 Order Of Payment From Imprest 19 Paid By Imprest Voucher 20 Contingent Bill 21 Format For Other Payment 22 Salary Bill 23 Establishment Check Register 24 Travelling Allowance Check Register 25 S. Submission Date for this Tender is 05-09-2019. Journal Supply Tenders in NP Bariwala Punjab. Bidders can get complete Tender details and download the document.




Tender Notice

21493602
Purchase Of Printed / Non Printed Stationary For Office Use ( As Per Attached List ) - 1 Description Of Forms & Registers As Per Municipal Account Code 2017 ( Standrad Size 100 Page ) 2 Cash Book 3 Journal Book 4 Ledger 5 Journal Voucher 6 Contra Voucher 7 Subsidiary Ledger ( Fees And User Charges Income ) 8 Subsidiary Ledger ( Operation & Maintenance Expenditure ) 9 Stock Register Of Cheque Books 10 Cheque Issue Register 11 Register Of Advance To Employee 12 Bank Reconciliation Statement 13 Miscellaneous Demand And Collection Register 14 Register Of Loans 15 Register Of Grants 16 Annual Statement Of Government Grants 17 Register Of Aided And Loan Works 18 Order Of Payment From Imprest 19 Paid By Imprest Voucher 20 Contingent Bill 21 Format For Other Payment 22 Salary Bill 23 Establishment Check Register 24 Travelling Allowance Check Register 25 S
Tender
Indian
Punjab
Np Bariwala
05-09-2019

Tender Details

Corrigendum - Purchase Of Printed / Non Printed Stationary For Office Use ( As Per Attached List ) - 1 Description Of Forms & Registers As Per Municipal Account Code 2017 ( Standrad Size 100 Page ) 2 Cash Book 3 Journal Book 4 Ledger 5 Journal Voucher 6 Contra Voucher 7 Subsidiary Ledger ( Fees And User Charges Income ) 8 Subsidiary Ledger ( Operation & Maintenance Expenditure ) 9 Stock Register Of Cheque Books 10 Cheque Issue Register 11 Register Of Advance To Employee 12 Bank Reconciliation Statement 13 Miscellaneous Demand And Collection Register 14 Register Of Loans 15 Register Of Grants 16 Annual Statement Of Government Grants 17 Register Of Aided And Loan Works 18 Order Of Payment From Imprest 19 Paid By Imprest Voucher 20 Contingent Bill 21 Format For Other Payment 22 Salary Bill 23 Establishment Check Register 24 Travelling Allowance Check Register 25 Statement Of Discrepancy In Bill Return 26 Register Of Investments 27 Statement Of Cash Flows 28 Recepit & Payment Account 29 Income & Expenditure A / C 30 Balance Sheet 31 Register Of Building Application 32 Register Of Encroachments On Municipal Land 33 Summary Of Fiels Wise Budget 34 Summary Of Fuction Wise Budget 35 Budget Estimation Sheets Format 36 Budget Estimation Consolidation Format 37 Summary Of Budget 38 Major Account Head Wise Budget 39 Summary Of Function Wise Budget 40 Budget 41 Recepit 42 Recepit Register 43 Challan 44 Cashiers Cash Book 45 Recepit Voucher ( Cash / Bank ) 46 Collection Register 47 Summary Of Daily Collection 48 Statement On Status Of Check Received 49 Statement Of Demand Raised / Income Accrued 50 Stock Account Of Recepit Books 51 Monthly Statement Of Fines Relised By Courts 52 Summary Statement Of Year Wise Head Wise Collection Of Property &Other Taxes 53 Bill For Taxes And Municipal Dues 54 Summary Statement Of Bills Raised 55 Register Of Notice Fee, Warrnt Fee, Other Fees And Penal Ties Charged 56 Summary Statement Of Warrant Fees, Other Fees And Penlty Charged 57 Register Of Refunds, Remissions And Write-Off 58 Summary Statement Of Refunds And Remissions 59 Summary Statement Of Demand Adjustment Raised 60 Payment Order 61 Payment Voucher 62 Claim Form 63 Register Of Bills For Payments 64 Statement Of Outstanding Liability For Expenses ( Liability ) 65 Unpaid Amount 66 Acquittance Register 67 Indmnity Bond 68 Register Of Permanent Advance And Recoupment 69 Absentee Statement 70 Travelling Allowance Bill 71 Stock Register 72 Stock Register Of Measurement Books 73 Register Of Immovable Property 74 Register Of Movable Property 75 Register Of Land 76 Material Requisition Note 77 Material Recepit Note 78 Material Issue Note 79 Report Of Closing Stock 80 Store Keeper Day Book 81 Register Of Deposits / Ernest Money 82 Register Of Stamps 83 Register Of Suits 84 Library Register 85 Register Of Composition Of Offences 86 Garden Order Book 87 Garden Ledger 88 Garden Cash Book 89 Register Of License Application 90 Register Of License 91 License Form ( Genral ) 92 Licence Form ( Vehicle ) 93 Estimate Of Original Work 94 Revised Estimate 95 Statement Of Revised Estimated 96 Petty Works Requisition And Account 97 Tender For Works 98 Tender For Suplly Of Materials 99 Register Of Tenders For Works / Supply 100 Register For Securities / Earnest Money 101 Work / Supply Order 102 Muster Roll 103 Measurement Books 104 Register Of Municipal Works 105 Contaracters Ledger 106 First And Final Bill For Works 107 Running Bill 108 Final Bills For Works 109 Completion Certificate 110 Workshop Work Register 111 Register Of Capital Work In Progress 112 Provident Fund Ledger 113 Provident Fund Liabilities Account 114 Annual Statement Of Provident Fund 115 Provident Fund Bill 116 Provident Fund Account 117 Provident Fund Investment Accountant 118 Provident Fund Investment Interest 119 Provident Fund Interset Account 120 The Provident Fund-Form Of Declaration 121 National Saving Certificates Account Register 122 Property Tax List Register 123 Demand And Collection Register Of Property Tax 124 Register Of Notice ( Non Submisson Of Ptr ) 125 Register Of Notice ( Scrutiny Of Ptr ) 126 Register Of Property List Objections 127 Rent Bill & Recepit 128 Rent Demand And Collection Register 129 Tehbajari Tickets 130 Tehbazari Register 131 Fair Fee Recepit 132 Scholarship Bill 133 Scholarship Acquittance Roll 134 Register Of Public Lighting System 135 Tax Bill Distribution Register 136 Tax Collection Challan 137 Tax Liabilty Enquiry Form 138 Tax Register 139 Recepit In Carbon Duplicate 140 Stock Account Of Face Value Ticket 141 Account Of Ticket Issued To Collection Clerk 142 Slaughter House Ticket 143 Register Of Water Connection 144 Water Rate Bill And Recepit 145 Water Rate Demand And Collection Register 146 Summary Statement Of Bill Raised 147 Summary Statement Of Advance / Deposit Of Water Rate Adjusted 148 Summary Statement Of Demand Raised On Assesment 149 Summary Statement Of Yearwise Headwise Collection Of Water Taxes 150 Summary Statement Of Refunds / Remissions 151 Summary Statement Of Write-Offs ( Water / Sewerage Rate ) 152 Non Printed Stationary 153 A4 Rim ( White Paper ) ( Standrad Size 500 Paper ) 154 Legal Rim ( White Paper ) ( Standrad Size 500 Paper )

Key Value

Document Fees
INR 500 /-
EMD
INR 1600.0 /-
Tender Value
INR 80000.0 /-
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