| 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)  |   |      |