| Licencee : CESCO | OERC |  |  | Annex-C1 | 
 
  | CALCULATION OF
  CLEAR PROFIT FOR THE FINANCIAL YEAR 2001-02 AS PER THE
  SCHEDULE VI OF ELECTRICITY SUPPLY ACT, 1948 | 
 
  | PARA  - XVII (2) |  |  | Rs. Crore | 
 
  |  | CESCO's PROPOSAL | COMMISSION APPROVAL | 
 
  | (A)  Income derived from : | With Corrective | Without Corrective | 
 
  | i) | Gross receipt from Sale of energy less discounts applicable
  thereto. | 627.85 | 744.70 | 744.70 | 
 
  | ii) | Rental of meters and other apparatus hired to consumers. | 20.30 | 20.30 | 20.30 | 
 
  | iii) | Sale &
  repair lamps and apparatus |  |  |  | 
 
  | iv) | Rents |  |  |  | 
 
  | v) | Transfer fees |  |  |  | 
 
  | vi) | Interest on
  investment |  |  |  | 
 
  | vii) | Other general receipts accountable for income tax and arising
  from and ancillary or incidental to business of electricity supply. |  |  |  | 
 
  |  | Total of (A) (i
  to vii) | 648.15 | 765.00 | 765.00 | 
 
  | (B) | Expenditure
  properly incurred on : | 
 
  | i) | Generation &
  purchase of energy | 535.12 | 571.95 | 571.95 | 
 
  | ii) | Distribution and
  sale of energy | 129.12 | 122.73 | 122.73 | 
 
  |  | a)  Employees cost | 94.44 | 93.27 | 93.27 | 
 
  |  | b)  Material | 25.75 | 23.43 | 23.43 | 
 
  |  | c)  A&G expenses | 11.16 | 8.17 | 8.17 | 
 
  |  | less : interest
  captalised | 2.24 | 2.13 | 2.13 | 
 
  | iii) | Rents, rates & taxes, other than all taxed on income and
  profit |  |  |  | 
 
  | iv) | Interest on loan
  advanced by Board |  |  |  | 
 
  | iv.a) | Interest on loan borrowed from Organisation | 70.74 | 35.07 | 37.90 | 
 
  | iv.b) | Interest on
  debenture issued by licensee |  |  |  | 
 
  | v) | Interest on
  security deposit |  |  |  | 
 
  | vi) | Legal charges | incl in
  A&G |  |  | 
 
  | vii) | Bad debts |     23.67 | 18.62 | 18.62 | 
 
  | viii) | Auditors fees | incl in
  A&G |  |  | 
 
  | ix) | Management including managing agents remuneration |  |  |  | 
 
  | x) | Depreciation | 31.58 | 16.12 | 16.12 | 
 
  | xi) | Other expenses /
  Surcharge on overdue payables | 97.62 |  |  | 
 
  | xii) | Contribution to P.F., staff pension and gratuity | Incl.in
  EmpCost |  |  | 
 
  | xii.a) | Expenses on apprentice & other training scheme |  |  |  | 
 
  | xiii) | Bonus | - |  |  | 
 
  | Total expenditure i.e. total of (B) (i to xiii) | 887.83 | 764.49 | 767.32 | 
 
  | (C) | Special
  appropriation to cover : | 
 
  | i) | Previous losses |            
    298.98 |  |  | 
 
  | ii) | All tax on
  income and profits | - |  |  | 
 
  | iii) | Instalments of written down amounts in respect of intangible
  asset and new capital issue expenses | - |  |  | 
 
  | iv) | Contribution to
  contingency reserve | - |  |  | 
 
  | v) | Contribution
  towards arrear depreciation | - |  |  | 
 
  | v.a) | Contribution to Development Reserve, referred to in para | - |  |  | 
 
  | v.b) | Debt redemption
  obligation | - |  |  | 
 
  | vi) | Other special appropriation permitted by OERC in order dated
  19.1.01para 7.26.3 | 51.04 |  |  | 
 
  |  | Total of (C) (i
  to vi) | 350.02 | - |  | 
 
  |  | CLEAR PROFIT
  (A-B-C) | (589.70) | 0.51 | (2.32) | 
 
  |  | Reasonable
  Return (Form No. F.14) | 6.24 | 10.51 | 10.51 | 
 
  |  | Excess or deficit of clear profit over reasonable return | (595.94) | (10.00) | (12.83) |