Webstyle produced NavBar
List of Para (Order by Subject)
  View Detailed Audit Report
Department :Local Fund Accounts (LFA)- Delhi Jal Board
Sub department:Executive Engineer (East)-I, DJB, M-16, Pocket-E, Mayur Vihar, Delhi-110091
S No. Start Year End Year Para No. Sub Para Subject Status* Outstanding Amount (in Rs.)
1 2022 2024 16 Award of work on abnormally below rates. O 0
2 2022 2024 6 Award of work on higher rates in comparison to the estimated cost. O 0
3 2024 2025 8 Award of work on higher rates in comparison to the estimated cost. O 0
4 2024 2025 9 Award of works in abnormally below the estimated cost. O 0
5 2022 2024 2 Bank Reconciliation Statement for the Financial Year 2022-23 & 2023-24. O 0
6 2022 2024 4 2 Deployement of Skilled/Unskilled workers without using GeM portal. O 0
7 2022 2024 13 Discrepancies noticed in the work {Agreement No. 61 (2022-23)} O 0
8 2022 2024 12 Discrepancies noticed in the work-Rectification of heavy leakage. O 0
9 2022 2024 15 Excess payment of ₹89,742/- due to deviation in quantities O 0
10 2022 2024 11 Excess payment of Non-Productivity Linked Bonus for ₹21,804/- O 21804
11 2022 2024 3 Huge Balances in Cash-in-Transit. O 0
12 2024 2025 7 Huge balances in Cash-in-Transit. O 0
13 2022 2024 18 Huge Savings of Allotted Budget for the financial year 2022-2023 and 2023-2024. O 0
14 2022 2024 4 Irregularities in Engagement of DEO, Computer Operator, JE & other outsource s person. O 0
15 2022 2024 4 1 Irregularities in Engagement of DEO, Computer Operator, JE on outsources/contract basis. O 0
16 2022 2024 7 Irregularities in Hiring of Water Tanker. O 0
17 2024 2025 11 Irregularities in Hiring of Water Tanker. O 0
18 2022 2024 17 Loss of ₹23, 71,593/- due to not availing 15% Rebate on Advertisement. O 0
19 2024 2025 2 Non maintenance of deposit register. O 0
20 2024 2025 12 Non production of records/information. O 0
21 2024 2025 4 Non-adjustment of Medical Advances amounting to Rs. 25,05,244/- during F.Y. 2024-25 O 0
22 2022 2024 9 Non-levy of penalty & non-submission of Certificate O 30000
23 2022 2024 5 Non-Maintenance of Cash Book & Non issuance of Receipt on a/c of receiving Govt. Money. O 0
24 2024 2025 1 Non-maintenance of Cash Book. O 0
25 2024 2025 10 Non-maintenance of Earned Money Deposit (EMD), Tender Fees collection and Performance O 0
26 2022 2024 8 Non-observation of Terms and Conditions of Work Order 37 dt. 28.05.2022. O 0
27 2024 2025 5 Procurement of Services amounting to Rs. 88,97,014/- without using GeM portal. O 0
28 2024 2025 6 Reconciliation of balances in the Bank Account for the F.Y. 2024-25 O 0
29 2024 2025 3 Short Deposit of Statutory Deduction and Duties and Taxes. O 0
30 2022 2024 10 Short recovery of Water Charges amounting to ₹10,190/- O 10190
31 2022 2024 14 Shortcomings in work order No. 474 dt 31.03.24 (Reg. Hiring of Water Tanker) O 0
32 2022 2024 1 Unsettled Loan & Advances Paid to Employees/Staff. O 0
* NOTE:
'O'- Outstanding Paras.
'R' -Reply submitted by the Department/Units.
'C'- Comment by the Directorate of Audit on reply submitted.