An Act to provide for the withdrawal of certain sums from and out of the Consolidated Fund of India for the services of a part of the financial year 2001-02 for the purposes of Rail ways.
BE it enacted by Parliament in the Fifty-second Year of the Republic of India as follows;—
Short title.
1. This Act may be called the Appropriation (Railways) Vote on Account Act, 2001.
Issue of Rs. 11802,72,40,000 out of the Consolidated Fund of India for the financial year 2001-02.
2. From and out of the Consolidated Fund of India there may be withdrawn sums not exceeding those specified in column 3 of the Schedule amounting in the aggregate to the sum of eleven thousand eight hundred and two crores, seventy-two lakhs and forty thousand rupees towards defraying the several charges which will come in course of payment during the financial year 2001-02, in respect of the services relating to Railways specified in column 2 of the Schedule.
3. The sums authorised to be withdrawn from and out of the Consolidated Fund of India by this Act shall be appropriated for the services and purposes expressed in the Schedule in relation to the said year.
Appropriation.
THE GAZETTE OF INDIA EXTRAORDINARY
THE SCHEDULE
(See sections 2 and 3)
1
|
2
|
3
|
No. of
Vote
|
Services and purposes
|
Sums not exceeding
|
|
Voted by
Parliament
|
Charged on the
Consolidated Fund
|
Total
|
|
Rs.
|
Rs.
|
Rs.
|
1
|
Railway Board
|
10.71,36,000
|
……
|
10,71,36,000
|
2
|
Miscellaneous Expenditure (General)
|
31,52,14,000
|
……
|
31,52,14,000
|
3
|
General Superintendence
and Services on Railways
|
253,13,25,000
|
8,000
|
253,13,33,000
|
4
|
Repairs and Maintenance
of Permanent Way and Works
|
497,20,89,000
|
50,000
|
497.21,39,000
|
5
|
Repairs and Maintenance
of Motive Power
|
286,02,99,000
|
11.000
|
286,03,10,000
|
6
|
Repairs and Maintenance
of Carriages and Wagons
|
551.82.92.00
|
…..
|
551.82.92.000
|
7
|
Repairs and Maintenance
of Plant and Equipment
|
276,76,39,000
|
…….
|
276,76,39,000
|
8
|
Operating Expenses—
Rolling Stock and Equipment
|
459,76,06,000
|
17,000
|
459,76,23,000
|
9
|
Operating Expenses—Traffic
|
2097,23,97,000
|
33,000
|
2097,24,30,000
|
10
|
Operating Expenses—Fuel
|
1235,84,68,000
|
33,000
|
1235,85,01,000
|
11
|
Staff Welfare and Amenities
|
206,42,86,000
|
13,000
|
206,42,99,000
|
12
|
Miscellaneous Working Expenses
|
243,03,72,000
|
3,31.06,000
|
246,34,78,000
|
13
|
Provident Fund, Pension
and other Retirement Benefits
|
970,27,04,000
|
15,15,000
|
970,42,19,000
|
14
|
Appropriation to Funds
|
1555,86,61,000
|
……
|
1555,86,61,000
|
15
|
Dividend to General Revenues, Repayment of Loans taken from General Revenues and Amortization of Over-Capitalisation
|
3,85,33,000
|
…….
|
3,85,33.000
|
16
|
Assets—Acquisition, Construction
and Replacement—
Revenue
Other Expenditure
|
5,83,33,000
|
……
|
5,83,33,000
|
|
Capital
|
2382,24,33,000
|
83,33,000
|
2383,07,66,000
|
|
Railway Funds
|
730,66,67,000
|
16,67,000
|
730,83,34,000
|
|
TOTAL
|
1179R,24.54,000
|
4,47,86.000
|
11802,72,40,000
|
|