| EXPENDITURE
      FOR THE PURPOSE OF REVENUE REQUIREMENT FOR THE FINANCIAL YEAR 2000-01 | 
  
    | Expenditure | 
  
    | Para XVII Clause-2 (b) of Schedule VI of Elec.
    (Supply) Act 1948 | GRIDCO'S
      PROPOSALRs. In Crores
 | COMMISSIONAPPROVAL
 Rs. In Crores
 | 
  
    | I. | Generation
    and purchase of Energy | 1432.23 | 1164.56 | 
  
    |   | Demand Charges |   |   | 
  
    |   | Energy Charges |   |   | 
  
    | II. | Transmission Cost (O/M) |   |   | 
  
    |   | (a)
      Employees
    cost | 81.17 | 76.31 | 
  
    |   | (b)
      Repair & Maintenance cost | 23.74 | 14.67 | 
  
    |   | (c)
      Admn. & General Expenses | 19.85 | 12.25 | 
  
    |   | (d) Amortisation of approved investments for restoring damages
      due to cyclone | 4.42 | 4.42 | 
  
    | III. | Rent,
    rates and taxes other than all taxed
    on income & profits(included in A & G Expenses) | -
     | -
     | 
  
    | IV. | Interest
    on loans, advanced by Gridco | 
     | 
     | 
  
    |   | (a)
      Interest
    on loan borrowed from organisation i) From World Bankii) From IFC
 | 173.44 | 65.51 | 
  
    |   | (b)
      Interest
    on debenture issued by licensee |   |   | 
  
    | V. | Interest
    on security deposit | -
     | -
     | 
  
    | VI. | ERLDC charges | -
     | -
     | 
  
    | VII. | Bad
    debt | - | - | 
  
    | VIII. | Auditor's
      fees | - | - | 
  
    | IX. | Management
    including managing agents
    remuneration | -
     | -
     | 
  
    | X. | Depreciation | 78.00 | 78.00 | 
  
    | XI. | Other
    expenses/Loss due to Damaged Assets | - | -
     | 
  
    | XII. | Contribution
    to P.F., Staff pension,(included in Employes Cost) |   |   | 
  
    |   | Gratuity(included
    in Employees Cost) | -
     | -
     | 
  
    |   | (a),Expenses
    on training & other training
      scheme (included in Employees Cost) |   |   | 
  
    | XIII. | Bonus | -
     | -
     | 
  
    | A. | (Total expenses I to
      XIII) | 1812.85 | 332.33 | 
  
    | Special appropriation to cover Para XVII Clause 2(c) | 
  
    | I. | Previous loss | - | - | 
  
    | II. | All taxes on income & profits |   |   | 
  
    | III. | Installments of written down account in respect of intangible
      assets and new capital issue expenses |   |   | 
  
    | IV. | Contribution of contingency reserve | 6.38 | 6.38 | 
  
    | V. | Contribution towards arrear depreciation |   |   | 
  
    |   | (a) Contribution to development reserve |   |   | 
  
    |   | (b) Debt redemption and obligation |   |   | 
  
    | VI. | Other special appropriation permitted by Appropriate Authority |   |   | 
  
    | B. | Total of (I to VI) | 6.38 | 6.38 | 
  
    | C. | Reasonable Return | 107.89 | 80.55 | 
  
    | D. | Rebate to Consumers | 48.70 |   | 
  
    | E. | Miscellaneous Receipts | 37.93 | 35.87 | 
  
    |   | Total (A+B+C+D+E) | 1937.90 | 383.39 |