As at 31st March, 1975
Nett Book
Value
2,934,200
1,366,948
135,160
24,718
3,218,069
1,647,679
6,480,299
927,563
22,344,685
39,079,321
555,866
6,790,700
461,016
66,144
39.793,545
"Balance Sneet 28 at 218t maron, lyfo
Assets
Fixed Assets
Tunnels
Bridges
Line Protection
Telegraphs and Telephones
Tracks
Signals and Switches
Buildings
Plant
Rolling Stock
Current Assets
Cash
Treasury Current Account Advances and Sundry Debtors
7.873.726
46,953,047
Workshop Manufacturing Account
Liabilities
Accumulated Funds
As at 1.4.75
Replacement provision no longer required
5.595,138
45,388,683
Balance of Profit and Loss A/C B/F
Current Liabilities
At Cost
As at 31st March, 1976
Depreciation
to date
Nett Book
Value
3,724,830
924,003
2,800,827
1,709,800
404,986
1,304,814
172,024
43,008
129,016
501,579
5,585
495,994
4,127,820
948,618
3,179,202
2,216,493
679,639
1,536,854
8,358,226
1,920,012
6,438,214
2,583,143
1,684,818
898,325
52,202,753
75,596,668
28,213,239
23,989,514
40,772,760
34,823,908
Outstanding payment for the purchase of 40 Railway Passenger Coaches
1,097,091
467,273
1,564, 364
46,953,047
Miscellaneous Deposits
40,893
20,963,211
489,548
73,321
45,388,683
3.477,156
21,566,973
62,339,733
DUE ARAG DE DE DE DE DE DE DE
11,740,288
60,606,127
757,878
975,728
1,733,606
62,339,733