OFFICE OF THE PRINCIPAL ACCOUNTANT GENERAL (A&E), TAMILNADU
ML O@00 OOLQ|| M@ OlO[u(2013-2014) STATEMENT OF GENERAL PROVIDENT FUND ACCOUNTS FOR THE YEAR ENDED(2013-2014) M|0 M| MO / CREDIT DETAILS LG MO / DEBIT DETAILS uu MONTH u SUB M| LG REFUND u__OO OTHERS OlO[0u CATEGORY Muu TOTAL LG MO DEBIT LG OO TYPE Mar/2013 8000 8000 Apr/2013 8000 8000 May/2013 8000 8000 Jun/2013 8000 8000 Jul/2013 8000 8000 Aug/2013 8000 8000 Sep/2013 8000 8000 Oct/2013 8530 8530 Nov/2013 8530 8530 Dec/2013 8530 8530 Jan/2014 8530 8530 Feb/2014 8530 8530 M|0 Ol_LLL OlO[0u / Missing Credits : G| / Date : 30/06/2014 @Lu / Place : Chennai - 18 CONFIRMATION SLIP (TO BE RETURNED) I, SARASWATHI M holder of GPF A/c No. EDN/113849 hereby confirm the correctness of the statement of accounts. My mobile number is............................................ M@ |[/ Sr. Accounts Officer / FMI Signature OlO[0u / PARTICULARS @u / SUMMARY @|.Ll.OL / GPF Ll.|.1 / PCA1 .@|.| / UGC Muu / TOTAL ML MO / Opening Balance 676457 32103 708560 Mu / Deposits 98650 98650 LG MO / Withdrawals OL / Interest 63433 2793 66226 @@LQ MO / Closing Balance* 838540 34896 873436 [[G ML[ Name of Subscriber SARASWATHI M M@ OM GPF A/C No EDN/113849 Ll.G| D.O.B 14/09/1956 @_0u Treasury COIMBATORE OL Ol|u Interest Rate 8.7 % .._ D.D.O HM GHSS PETHIKUTTAI 638459 O@00 OOLQ|| [[u 0u|G O0GL| OMOu @OOO0 @OMu|G0G L|Q M Muu0u.O@00 OOLQ|| gM_ M@ LLOOMlG 0 @G| @ O0|G0 O_0LLLuLL. O0 @OMu|0|@G L|Ol_u M Muu0u. Subscribers may register their mobile numbers in the website itself. In future, copy of the Accounts statement will not be issued by this office. The same may be downloaded from the website. Gu__| OlO[0u O0u O0|0 Auu gOM0Ou @Olu u_u O0u Gu0G L[0OG@ ALL_LLLL@u. @@LLlu, |u M_LLLL OL, u_u Ol_LLL LG MO @@LLlG uL[0OG@ ALLL_ @ MO uL_u. This also includes the amount relating to earlier years and brought to the account of the subscriber during this year. We hereby declare that the above mentioned information based on the records of this office is accurate and verified to the best of our knowledge. However these balances are subject to verification and liable to revision and adjustment due to either excess credits, excess interest or any other discrepancies.