Goods Returns
A) Daily
1. Cash Remittance note
B) Periodical
1. List of invoices
2. Advance statement of Gross traffic receipts and traffic handled.
C) Monthly
1. Wharfage / Demurrage charges return
2. List of error sheet
3. List of certified overcharge sheet
4. Refund list
5. List of credit advice notes
6. List of Remission Order
7. Converted Abstract showing Local/Foreign, Coal, Government traffic, Railway Material consignments along with Annexures - A to D
8. Return for Siding charges
9. Return for Crane charges
10. Return showing the deposit & refund of wagon registration fees.
11. List of double accounted invoices
12. List of outstanding items
13. Balance sheet alongwith relevant returns and annexures.
Question
Write short note.
1. MPA
2. Undercharges and Overcharges
3. Error-sheets
4. Goods Balance Sheet
5. Admitted and Not Admitted Debits
Write in details.
1. What is Station Outstanding? Mention the method of its clearance.
2. Mention the measures to minimize Station Outstanding.
3. What is Goods Balance Sheet? Write in detail the items of Debit and Credit side.
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