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		 Annexure  Form 'A'  [See Rule 3(4)]  Statement of employees' and employers' contribution for the six months ending on the 30th June and the 31st December, respectively  
			- Name of the establishment 
 - Name of the employer 
 - Class of establishments (i.e. whether a factory of motor omni bus service, a shop, commercial establishment, residential hotel, restaurant, eating house, theatre or other place of public amusement or entertainment). 4. Address of the establishment 
  
		
			- Total number of employees whose names stands on the establishment register on the 30th June/the 31st December. 
 - (a) Employees' contribution at the rate of Rs. ______________ 
  
		(b) Employers' contribution at the rate of Rs. ______________ per employee,  
			- Total of sub-entries (a) and (b) of entry 6. 
 - Weather the contribution has already been paid to the Welfare Commissioner, if so, whether by cheque, money order or cash and details thereof. 
  
		Signature of the employer. Form 'B'  [See Rule 3(5)]  Statement of employers' contribution received by the Welfare Commissioner for six months ending on 30th June and 31st December respectively in the year ______________  
			
				Class of Establishment   | Number of establishment   | Amount of employers' contribution received by the Welfare  Commissioner   |  
			
				1   | 2   | 3   |  
			
				Rs.  1. Factories  2. Motor Omni bus Service  3. Shops  4.Commercial establishments  5. Residential hotel  6. Restaurants 7. Eating house 8. Theatres 9. Other place of public amusement or entertainment TOTAL  |    |  
		 
		Signature of the  Welfare Commissioner  Form C  (See Rule 7)  I. Cash Book of the Office of the........  Receipts  
			
				Date of receipt  | Sl.  No. of receipt  | Details of the Receipts   | P.O. Deposit   |  
			
				Particulars of receipts  |  Receipt  No.   |  Bank deposit  | Cash    |  Bank  |  Provisional receipts   |  Other deposits  | R.B.F.    |  
			
				1   | 2   | 3   | 4   | 5   | 6   | 7   | 8   | 9   | 10   |  
			
				   |    |    |    | Rs. P.   | Rs. P.   | Rs. P.   | Rs. P.   | Rs. P.   |    |  
			
				                Opening Balance   |  
		 
		Expenditure  
			
				Date of Expenditure  | Sl. No.  subvoucher  | Details of the payments   | P.O. Deposit  |  
			
				Particulars    of  expenditure  | Voucher No.   |  Bank deposit  | Cash    |  Bank  |  Provisiona l receipts   | Other deposits  | R.B.    |  
			
				11   | 12   | 13   | 14   | 15   | 16   | 17   | 18   | 19   | 20   |  
			
				   |    |    |    | Rs. P.   | Rs. P.   | Rs. P.   | Rs. P.   | Rs. P.   |    |  
			
				                 |  
		 
		
		Total Receipts............. Total Expenditure.......... Grand Total.......... Closing Balance..........   Grant Total..........    
		
			- Classified Abstract of Pay and Allowance in Receipt of....... for the month of......20..... 
  
		
			
				Serial No.   | Voucher No.   | Date   | Bill No.    | Officers   | Leave Salary Prov.   |  
			
				Pay   | Allow.   | Pay   | Allow.   |  
			
				1   | 2   | 3   | 4   | 5   | 6   | 7   | 8   |  
			
				         |  
			
				Super visoryc um- Admin istrative S taff   | Programme for  Administrative Staff   | Community  necessities and educational staff   | Total   |  
			
				Pay   | Allow.   | Pay   | Allow.   | Pay   | Allo w.   | Pay   | Allow.  |  
			
				9   | 10   | 11   | 12   | 13   | 14   | 15   | 16   |  
			
				         |  
			
				T.A. For staff   | T.A. For members of the  Board   | Leave  Travel  Concession  | Total of each  voucher   | Initials   |  
			
				On tour  |   On  transfer   | Clerk   | Supdt.   |  
			
				17   | 18   | 19   | 20   | 21   | 22   | 23   |  
			
				         |  
		 
		
			- Classified Abstract of Contingent Expenditure of the.... Programme Expenditure 
  
		
			
				Serial No.   | Voucher No.   |  Bill No.    | Date   | Place   | Community Necessity   |  
			
				Creche   | Nursery  | School   |  
			
				N.R.   | R.   |  
			
				1   | 2   | 3   | 4   | 5   | 6   | 7   | 8   |  
			
				         |  
			
				Tailoring   | R.E.S.   | Home   | Subsidiary   | Sewing   | Reading   |  
			
				Classes   | N.R.   | R.   | Industries  |  occupations for women   |  Machines  | Rooms  Centres   |  
			
				9   | 10   | 11   | 12   | 13   | 14   | 15   |  
			
				         |  
			
				Libraries Centres   | Workers Education   | Entertainment and other   |  
			
				Music and  Socials etc.   | National Special Days  | Dramas  and Drama Festivals   | Exhibition    |  
			
				16   | 17   | 18   | 19   | 20   | 21   | 22   |  
			
				         |  
			
				R ecreation   | Games and Sports   |  
			
				Matches   |  
			
				Visual  Instruction  Cinema  Show   | Scouts  and  Guides  | Excursions and Tours     |  Conveyance and  Refreshment  |       | Entry Fees   | First Aid   | Prizes  |  
			
				23   | 24   | 25   | 26   | 27   | 28   | 29   | 30   |  
			
				         |  
		 
		Office/centre.............. for the Month of........20......  Facilities of Conducting Programmes  
			
				Games  materials   | Repairs to play app. and  playgrounds  | N.  | R.   | Annual  Sports and Misc.  | Furniture    |  Electricity and lighting   |  
			
				N.R.   | R.   |  
			
				31   | 32   | 33  |    | 34   | 35   | 36   | 37   |  
			
				   |          |  
			
				Rent Rates  and Taxes   | Postage Exchange and   | Printing and Stationery   | Vehicles   |  
			
				   | Bank Commission   | N.R.   | R.   | N.R.   | R.   |  
			
				38   | 39   | 40   | 41   | 42   | 43   |  
			
				         |  
		 
		 
 
			
				   | Serial No.   | Voucher No.   |  Date   | Bill No.   |  
			
				   | 1   | 2   | 3   | 4   |  
			
				Central Office............................  |    |    |    |    |  
			
				Divisional Office.......................  |    |    |    |    |  
			
				Development Zone Office.........  |    |    |    |    |  
			
				Circle Office.............................   |    |    |    |    |  
			
				..................................................   |    |    |    |    |  
			
				..................................................   |    |    |    |    |  
			
				..................................................   |    |    |    |    |  
			
				...................................................  |    |    |    |    |  
			
				Expenditure during the month of...................   |    |    |    |    |  
			
				Add: Previous Progressive Expenditure upto............   |    |    |    |    |  
			
				Adjustments   | [Debit   |    |    |    |    |  
			
				   | [Credit   |    |    |    |    |  
			
				Progressive expenditure upto........................   |    |    |    |    |  
		 
		And Allowances for the Month of..........20..........  
			
				Officer   | Leave Salary Provision   | Supervisory-cum- Administrative Staff    | Programme for  Administrative Staff   |  
			
				Pay   | Allow  |   Pay   | Allow   | Pay   | Allow   | Pay   | Allow   |  
			
				5   | 6   | 7   | 8   | 9   | 10   | 11   | 12   |  
			
				       |  
			
				   | Community necessities and  educational staff   | Total   |  
			
				   | Pay   | Allow   | Pay   | Allow  |  
			
				   | 13   | 14   | 15   | 16   |  
			
				Central office........................................  Divisional office.................................... development Zone  Office......................  Circle Office.......................................... ............................................................... ............................................................... ............................................................... ...............................................................  |                |    |    |    |  
		 
		Expenditure during the month of.............  Add: Previous Progressive Expenditure upto..............  Adjustments [Debit    [Credit  Progressive expenditure upto..............  
			
				T.A. for staff   | T.A. for members    of the  Board   | Leave  Travel  Concession  | Total of each voucher   | Initials   |  
			
				On tour  |   On  transfer  | Clerk   | Supdt.   |  
			
				17   | 18   | 19   | 20   | 21   | 22   | 23   |  
			
				   |    |            |    |    |  
		 
		VI. Consolidated Abstract of Contingent Programme  
			
				   | Serial No.   | Voucher No.   |  Bill No.   | Date   | Place   |  
			
				   | 1   | 2   | 3   | 4   | 5   |  
			
				           |    |    |    |    |    |  
			
				Expenditure during the month of...................   |    |    |    |    |    |  
			
				Add: Previous Progressive Expenditure upto............   |    |    |    |    |    |  
			
				Adjustments   | [Debit   |    |    |    |    |    |  
			
				   | [Credit   |    |    |    |    |    |  
			
				Progressive expenditure upto........................   |    |    |    |    |    |  
			
				Expenditure for the month of........................   |    |    |    |    |    |  
			
				Expensiture   |    |    |    |    |    |  
			
				Community necessity   | Tailoring  Classes   |   R.E.S.   | Home  Industries  | Subsidiary  occupation for women  |  
			
				Creche  |  Nursery School  | N.R.   | R.   |  
			
				N.R.   | R.   |  
			
				6   | 7   | 8   | 9   | 10   | 11   | 12   | 13   |  
			
				         |  
			
				Sewing Machines   | Reading Rooms at Centres   | Libraries at Centres   | Workers Education   |  
			
				14   | 15   | 16   | 17   |  
			
				         |  
		 
		Expenditure during the month of.............  Add: Previous Progressive Expenditure upto..............  Adjustments [Debit    [Credit  Progressive expenditure upto..............  
			
				   | Entertainment and other recreation   |  
			
				   | Music and  Socials etc.   | National Special   Days   |  Dramas and  Drama  Festivals  | Exhibition    |  Visual Instruction Cinema  Show   | Scouts  and  Guides  |  Excursions and Tours   |  
			
				18  |   19   | 20   | 21   | 22   | 23   | 24   | 25   |  
			
				         |  
			
				   | Games and Sports   |  
			
				Matches   |  
			
				Conveyance and Refreshment   | Entry Fees   | First Aid   | Prizes   |  
			
				26   | 27   | 28   | 29   | 30   |  
			
				         |  
		 
		Expenditure during the month of.............  Add: Previous Progressive Expenditure upto..............  Adjustments [Debit    [Credit  Progressive expenditure upto.............. Office/Centre.............  For the month of...............  Facilities for Conducting Programme  
			
				Games  materials   | Repairs to play app.  and  playgrounds  | N.R.   | Annual  Sports and Misc.  | Furniture    |  Electricity and lighting   |  
			
				N.R.   | R.   |  
			
				31   | 32   | 33  |    | 34   | 35   |    | 36   | 37   |  
			
				   |          |    |  
			
				Rent Rates  and Taxes   | Postage  Exchange and  Bank  Commission   | Printing and Stationery   | Vehicles   |  
			
				N.R.   | R.   | N.R.   | R.   |  
			
				38   | 39   | 40   | 41   | 42   | 43   |  
			
				   |          |    |  
		 
		Expenditure during the month of.............  Add: Previous Progressive Expenditure upto..............  Adjustments [Debit    [Credit  Progressive expenditure upto..............  Special item  
			
				Other Miscellaneous   |      | Maintenance of Buildings and repairs   |  
			
				Replacement of Radio and Musical  Instruments   |   Other   Miscellaneous  | Home  Nursing  | Conveyance    |  Daily  Wages  |  
			
				44   | 45   | 46   | 47   | 48   | 49  |   50   |  
			
				         |  
		 
		Expenditure during the month of.............  Add: Previous Progressive Expenditure upto..............  Adjustments [Debit    [Credit  Progressive expenditure upto..............  
			
				Repairs  |     | Administrative Contingency   |     | Provident  Fund  Contribution  | Gratuity  Payment     | Loans and  Advances  |  
			
				51   | 52   | 53   | 54   | 55   | 56   | 57   |  
			
				   |    |        |    |  
			
				   |  
		 
		Expenditure during the month of.............  Add: Previous Progressive Expenditure upto..............  Adjustments [Debit    [Credit  Progressive expenditure upto..............  
			
				Investigation Claims   |  Legal fees   | Grantin-aid   |    |    | Total   | Initials  Clerk/Supdt.  |  
			
				58   | 59   | 60   | 61   | 62   | 63   | 64   |  
			
				   |    |          |    |    |    |  
		 
		 
 
			
				Serial No.   | Particulars of students   | Year of deposit   | D.   | Receipts   |  
			
				Name   | Address   | D.A.R.  |  Receipt  No. and date   | Amount   |  
			
				1   | 2   | 3   | 4   | 5   | 6   | 7   |  
			
				         |  
			
				Initials   | Withdrawals   | Initials   |  
			
				   | Voucher No.   | Amount   |    |  
			
				8-11   | 8-11   | 8-11   | 8-11   |  
			
				         |  
		 
		
			- Deposit Account for the Workers' Club of Labour Welfare Centre at................. Dr. 
  
		
			
				Date   | Voucher No.   | Particulars   | Reference No.   | Amount   | Initials   |  
			
				   |          |    |    |  
		 
		Cr.  
			
				Date   | Particulars   | Reference No.   | DAR No.   | Amount   | Initials   |  
			
				   |          |    |    |  
		 
		
			- Unpaid Accumulations Account Vide Section 3(1) of the Act for the Month of..........20.... 
  
		Payments  
			
				Date   | Particulars  | Name of the persons   | Payment made from amounts  received during quarter   | L.F.   | V.No.   | Amount   |  
			
				         |  
		 
		Receipts  
			
				Date   | Particulars   | Receipts No.    | L.F.   | Amount    |  
			
				   |        |    |    |  
		 
		
			- Register of Quarterly Receipts of Unpaid Accumulations from the Name of Establishment............. 
  
		Account No. ..................  
			
				Period and particulars (Wage  |   Amount received   |  
			
				Period)   | Referred of  notice if  issued   |   Unpaid  accumulations  | Interest    | Receipt No. and date   |  
			
				First Quarter ending 31st  March, 20  Second Quarter ending 30th  June, 20  Third Quarter ending 30th  Sept., 20  Fourth Quarter ending 31st  Dec., 20  Bonus for the year declared on   |    |  
			
				Total  |    |  
			
				First Quarter ending 31st  March, 20  Second Quarter ending 30th  June, 20  Third Quarter ending 30th  Sept., 20  Fourth Quarter ending 31st  Dec., 20  Bonus for the year declared on   |    |  
			
				Total  |    |  
			
				First Quarter ending 31st  March, 20  Second Quarter ending 30th  June, 20  Third Quarter ending 30th  Sept., 20  Fourth Quarter ending 31st Dec., 20  Bonus for the year declared on   |    |  
			
				Total  |    |  
		 
		Factory Establishment and Publication of Notices  File No. ..............  Address Factory    Registered Office  1st Year   
 Section 6A  Name of the Establishment................ Account No. .....................  File No............... Address: Factory/Registered Office..................  
			
				Seria l No.   | Name of the claimant  | Refund Order  No. and date   |  Voucher No. and  date   |  Payment of unpaid accumulations from receipts   |  
			
				As on  |  Quarter  ending   | Quarter ending   | Quarter ending   |  Quarter ending   |  Quarter ending  |  
			
				1   | 2   | 3   | 4   | 5   | 6   | 7   | 8   | 9   | 10   |  
			
				         |  
		 
		Amount received ..................  Date of first publication.............  
			
				Seria l No.   | Name of the claimant  | Payment of unpaid accumulations from receipts   |  
			
				Quarter ending   |  Quarte r ending   | Quarter ending   |  Quarter ending   | Quarter ending   |  Quarter ending   |  Quarter ending   |  Remarks  |  
			
				1   | 2   | 11   | 12   | 13   | 14   | 15   | 16   | 17   | 18   |  
			
				         |  
		 
		Amount received ..................  Date of first publication.............  Form D  [See Rule 27(1)(a)]  Register of Wages  Name of the establishment................ For the month of..................  
			
				Sl.  No.   | Name of employee  | Ticket   and  Badge No.   | Occupation  |   Amount payable during the month   |  
			
				Basic  Wages   | Over time   | Dearness  Allowance and other allowances  | Bonus    |  
			
				1   | 2   | 3   | 4   | 5   | 6   | 7   | 8   |  
			
				         |  
			
				Amount deducted during the month   |   Amounts actually paid during the month   |  
			
				Fines   | Other deductions  | Basic  Wages   | Over time   | Dearness Allowance and other allowances   | Bonus   |  
			
				9   | 10   | 11   | 12   | 13   | 14   |  
			
				         |  
			
				Overtime Basic wages   |    | Dearness allowances and other allowances   |   Bonus   |  
			
				15   | 16   | 17   | 18   |  
			
				         |  
		 
		Form E  [See Rule 27(1)(b)]  Register for Fines and Unpaid Accumulations for the Year, 20... Name of the Establishments.................  
			
				   |    | Quarter ending  31st  March   | Quarter ending  30th June  | Quarter ending    30th  September  | Quarter ending  31st  October   |  
			
				1.   | Total realisation under fines   |    |    |    |    |  
			
				2.   | Total amount becoming unpaid accumulations of   |    |    |    |    |  
			
				   | (i) Basic wage   |    |    |    |    |  
			
				   | (ii) Overtime   |    |    |    |    |  
			
				   | (iii) Dearness Allowance and other allowances   |    |    |    |    |  
			
				   | Total of (1), (2)   |    |  
		 
		    
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