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List of Para (Order by Audited Year & Para)
  View Detailed Audit Report
Department :Public Works (PWD)
Sub department:EE(C ), PWD North-West Bldg.1, (M-341) SU-Block, Pitam Pura, Delhi (1990/12)
S No. Start Year End Year Para No. Sub Para Subject Status* Outstanding Amount (in Rs.)
1 2007 2009 1 Performance of work O 0
2 2009 2012 1 Performance of the Division O 0
3 2009 2012 2 1 Unfruitful expenditure of Rs. 163859/- O 0
4 2009 2012 2 2 Unfruitful expenditure of Rs. 270299/- O 0
5 2009 2012 3 Huge amount due from Delhi Police O 0
6 2009 2012 4 Splitting up the Work O 0
7 2009 2012 5 Non-revision of Technical Sanction O 0
8 2013 2016 1 Excess payment of Rs. 100/- paid to MTNL towards LPSC O 100
9 2013 2016 2 Short deduction of Income Tax (TDS) under Sec 194 J amounting to Rs. 48,136/- O 48136
10 2013 2016 3 Recovery of Value Added Tax (TDS) amounting to Rs. 1142871/- O 1142871
11 2016 2019 4 Irregular contingent expenditure made by the Division and charged to work O 0
12 2016 2019 5 Recovery of Rs. 21119/- on account of loss of discount due to awarding contract O 21119
13 2016 2019 6 Hiring of vehicles through work charged under AR & M/O to various bldg. O 0
14 2016 2019 7 Unnecessary expenditure of Rs. 78.33 lakhs on outsource labourers O 0
15 2016 2019 8 Performance/output & Non imposition of penalty on account of delay in completion of work O 0
16 2016 2019 9 Irregular expenditure on deployment of contractual staff in division office without approval O 0
17 2016 2019 10 Irregular purchase of IT equipments O 0
18 2016 2019 12 Amount withheld on account of non-approval of deviation from SE Office O 0
19 2016 2019 13 Unfruitful expenditure on advertisement due to non observance of codal provisions O 0
20 2016 2019 14 Huge deviation between awarded amount and actual expenditure incurred on construction work O 655007
21 2016 2019 15 Non production of Records O 0
22 2019 2023 1 Heavey outstanding balance under deposits O 0
23 2019 2023 2 Time Barred Cheque amounting to Rs. 18880/- O 0
24 2019 2023 3 Non refund/revalidation of FDR/Bank Guarantees O 0
25 2019 2023 4 Recovery on account of short deduction of License Fees & Water Charges O 19836
26 2019 2023 5 Recovery of Adhoc Bonus O 3454
27 2019 2023 6 Excess payment of Cycle (Maintenance) Allowance O 180
28 2019 2023 7 Over payment of Transport Allowance O 25272
29 2019 2023 8 Releasing of irregular payment on account of non approval of Deviation Statement O 0
30 2019 2023 9 Pending Arbitration Cases O 0
31 2019 2023 10 Performance/output and slow progress of works leading to missing the deadlines O 0
32 2019 2023 11 Office expenditure charged to works O 0
33 2019 2023 12 Excess staff deputed against the non sanctioned posts O 0
34 2019 2023 13 Difference in payment between tender amount and gross work amount O 0
35 2019 2023 14 Non observance of codal formalities resulting in foreclosure/determined of works O 0
36 2019 2023 15 Non production of Record O 0
* NOTE:
'O'- Outstanding Paras.
'R' -Reply submitted by the Department/Units.
'C'- Comment by the Directorate of Audit on reply submitted.