APPROPRIATION (RAILWAYS) No.2 ACT, 2004
No.11 of 2004
[7th February, 2004]
An Act to provide for the authorization of appropriation of moneys out of the Consolidated Fund of India to meet the amounts spent on certain services for the purposes of Railways during the financial year ended on the 31st day of March, 2002 in excess of the amounts granted for those services and for the year.
BE it enacted by Parliament in the Fifty-fifth Year of the Republic of India as follows:-
Short title:-
1. This Act may be called the Appropriation (Railways) No.2 Act, 2004.
Issue of Rs.210,70,50,825 out of the consolidated Fund of India to meet certain expenditure for the year ended on the 31st day of March, 2002:-
2. From and out of the Consolidated Fund of India, the sums specified in column 3 of the Schedule amounting in the aggregate to the sums of two hundred ten crores, seventy lakhs, fifty thousand, eight hundred and twenty-five rupees shall be deemed to have been authorized to be paid and applied to meet the amounts spent for defraying the charges in respect of the services relating to Railways specified in column 2 of the Schedule during the financial year ended on the 31st day of March, 2002, in excess of the amounts granted for those services and for that year.
Appropriation:-
3. The sums deemed to have been authorized to be paid and applied from and out of the Consolidated Fund of India under this Act shall be deemed to have been appropriated for the services and purposes expressed in the Schedule in relation to the financial year ended on the 31st day of March, 2002.
THE SCHEDULE
(See sections 2 and 3)
1
|
2
|
3
|
No. of Vote
|
Service and purposes
|
Sums not exceeding
|
Voted by Parliament
|
Charged on the Consolidated Fund
|
Total
|
3
|
General Superintendence and Services on Railways …….
|
Rs.
…….
|
Rs.
6,55,479
|
Rs.
6,55,479
|
4
|
Repairs and Maintenance of Permanent Way and Works ..
|
…….
|
7,07,849
|
7,07,849
|
7
|
Repairs and Maintenance of Plant and Equipment …….
|
………
|
3,83,181
|
3,83,181
|
8
|
Operating Expenses-Rolling Stock and Equipment …….
|
………
|
89,081
|
89,081
|
9
|
Operating Expenses-Traffic ..
|
…….
|
20,67,315
|
20,67,315
|
11
|
Staff Welfare and Amenities ….
|
……
|
8,13,804
|
8,13,804
|
15
|
Dividend to General Revenues, Repayment of Loans taken from General Revenues and Amortization of Over-Capitalization ……..
|
209,58,57,115
|
……..
|
209,58,57,115
|
16
|
Assets-Acquisition, Construction and Replacement-
Other Expenditure
Capital………..
Railway Safety Fund ……….
Special Railway Safety Fund ..
|
…..
……
……
|
33,84,815
1,39,186
29,53,000
|
33,84,815
1,39,186
29,53,000
|
|
Total
|
209,58,57,115
|
1,11,93,710
|
210,70,50,825
|
|