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Elc Bill14072019
Elc Bill14072019
Arrears Outstanding for the Financial Year (`) Slab Calculation Connection Details
Description Previous Current Total (`) Unit Rate Amount (`) Tariff Category DS
SOP Charges 0.00 0.00 0.00 294 4.500 1323.00 Flats in BS (DS) NA
F.S.A. 0.00 0.00 0.00 Total 1323.00 Supply Voltage(kV) 0.23KV
Surcharge 0.00 0.00 0.00 Applicable Tariff on Read Date: Sanctioned Load (kW) 2.00
E. Duty 0.00 0.00 0.00 MMC(`) 508.33
M. Tax 0.00 0.00 0.00 Cons. Security (`) 70.00
Fixed Charges 0.00 0.00 0.00 Meter Security (`) 0.00
Excess Credit 0.00 -0.09 -0.09 Meter Ownership/MDI Meter NM/
Total Arrear 0.00 -0.09 -0.09 Meter Make/Meter Type Landis Gyr /1-PH-MTR
Details of Charges for Current Cycle Details of Amount Payable Last Payment Details
Description Amount (`) Description Amount (`) Amount(`) 529.91
Fixed Charges 0.00 Current Cycle Charges 942.49 Receipt No 470999038113
Energy Charges 1323.00 Arrears/Outstanding Dues -0.09 Receipt Date 22/05/2019
MMC/FC for Reconnection 0.00 Sundry Charges/Allowances 0.09/-4.47 Mode of Payment Payment via Internet
Amount to cover MMC 0.00 Provisional Adjustment/BR Adj. 0.00 Previous Consumption Pattern
Fuel Surcharge Adjustment 108.78 LPS Adjustment 0.00 Units Units
Bill month MDI Status
Reliability Charges 0.00 Other Non-Energy Charges 0.00 (KWH) (KVAH)
Excess Load Surcharge 0.00 Net Payable Amount Jul-2018 626 0 0 OK
938.00 Sep-2018 318 0 0 OK
Capacitor Surcharge 0.00 On Or Before Due Date(`)
Meter Service Charges 40.67 Surcharge(`) 26.00 Nov-2018 341 0 0 OK
Line Service Charges 0.00 Gross Amount Payable After Jan-2019 331 0 0 OK
Due Date(`) 964.00 Mar-2019 127 0 0 OK
Capacitor Service Charges 0.00
Solar Rebate / BS Rebate 0.00/0.00 Brief details of Sundry charges /allowances* May-2019 127 0 0 OK
W. Rbt. / Govt. Subsidy 0.00/588.00 In case of bill is not paid within 7 days of due date the supply
Transfer Adjustment from Over Payment shall be liable to be disconnected without any further notice.
Electricity Duty 29.40
Transfer Adjustment from Over Payment Date from which bill other than "OK" Reason:
Municipal Tax 28.64
Total Current Cycle Security Deposit interest is being issued:
Charges (`)
942.49
NET PAYABLE AMOUNT AFTER
GOVERNMENT SUBSIDY : Rs 938.00
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