Due Date: GSTIN : 07AAGCS3187H2Z3 14-03-2023 Name : MOHD IRSHAD Billing Address : Mr. IYLAS ANSARI L-20/886 G/F Sanctioned Load : 1.00 (kVA) CA No. : 101728490 Energisation Date : 13.02.2006 SANGAM VIHAR NEW DELHI 110062 Contract Demand : Meter Type : 1PSK MDI : .75 (kW) Supply Type : LT Power Factor : 1.000 Bill No. : 100696956420 Pole No. : KPRPX081S1 Bill Basis : Actual O.D. No. : R/22/10331566695 Meter Reading Status : DL CCTV Tagged : No Mobile / Tel. No. :954044776 Cycle No. : 22 Street Light Tagged : No WI-FI Tagged : No Email ID : District / Division :Khanpur Tariff Category : Non.Domestic [ LT ] (Up to 10 kW) Walking Sequence :ZBB070930A0AA Bill Month :MAR-23 Bill Date :27-02-2023 Customer Care Centre No. 19123 (24x7 Toll Free) Meter No Units Billed Consumption (Current) Billed Consumption (Previous) Multiplication Current Consumption Factor Date of Meter Reading Date of Meter Reading Days Units Reading Reading 46062158 kWh 26-02-2023 984.00 28-01-2023 930.00 1.00 29 54.00 46062158 kW 26-02-2023 0.75 1.00 0.75 46062158 kVAh 26-02-2023 984.00 28-01-2023 931.00 1.00 29 53.00 46062158 kVA 26-02-2023 0.75 1.00 0.75 Billing Details Current Period Charges ( 29-01-2023 to 26-02-2023 ) Fixed Charges Slab-wise Energy Charges Slab-wise FPA/PPA TOD Srch@8% on Elec.tricity Total Amount (A) (E= Tax @ 5% (A+B+C+D+E+ Cons. Measrd Billed Units Unit Amount(B) PPAC% Amount(C) TOD% Surg/Rebt . A+B+D+R) (H) F+G+H+I+J) During Rate on B on B Amount (D) 256.33 53 6.00 318.00 20.69 65.79 45.95 20.46 799.77 1.03 Mth(s) Pension Surcharge @7% PPAC on Fix (F) Chg(G) 40.20 53.04 TCS Amount (I) Base Amt. Surcharge CCTV Units 0.00 0.00 0.00 Other Charges (J)* Street Light Units 0.00 TOTAL -> 53 318.00 65.79 CCTV Bill Amount WI-FI Units 0.00
Past Dues / Refunds / Subsidy
Provisional Bill Refunds Arrears Late Payment Total Charges Rebate(R) / Subsidy* Net Amount Surcharge (LPSC) Payable Payable Refund Refund Amount Period to which Unit Amount it relates 0 0.00 1545.42 Since DEC-22 21.07 2366.26 0.00/0.00 2366.26 Amount not immediately payable, if any. BG Security Deposit Rs. 0.00 Rs. 0.00 Bill Amount Payable BG Expiry Date 00-00-0000 Service line cum development charges paid Rs. 6000.00 Cash Security Deposit Rs. 4500.00 Rs. 2370.00 Interest accrued for FY 2021-22 already adjusted in bill No.100336859535 Rs. (315.00) ( generated for the period 31-03-2022 to28-04-2022). Due Date of Payment Interest for FY 2022-23 will be adjusted in your first bill to be generated in FY 2023-24 14-03-2023 If payment is made after the due date, LPSC for the delay, shall be charged in the next bill. Last payment Rs. 840.00 received on 21-12-2022 Payment Accounted Upto. 24-02-2023. The connection shall be liable for disconnection on non payment of all dues(including arrears of previous bill(s)) by due date, after notice as per Section 56(1) of the Electricity Act, 2003. #Power Purchase Adjustment Charge (PPAC) @ 20.69% been levied on energy & fixed charge w.e.f 10.06.2022. CCTV Bill amount include Energy,RA,PPAC,PTC and Electricity Tax on CCTV consumption.##In case any variation in SLD charges noted, consumer may visit divisional office for requisite correction. Pension Surcharge @ 7.00% has been levied on energy & fixed charge w.e.f. 01.10.2021. ##The amount of Security Deposit against your connection is mentioned herewith under the heading "Security Deposit with DISCOM". Please check this amount and report any discrepancy by furnishing documentary proof in that regard available with you, at the customer care centre of respective division office. ##Anyone treating Electricity Bill as conclusive proof ofResidence is advised to verify the particulars.# Switch off lights and appliances from mains when not in use. This will conserve energy and reduce your electricity bill.
(This bill is computer generated, hence does not require signature.)
------------------------------------------------------------------------------------------------------------------------------------------------ PAYNOW Payment Slip * Make your cheque/DD payable to BRPL CA No. 101728490 * Cheque should be account payee and payable at Delhi * Cheque should not be post dated. * Do not Staple.Only clip the cheque to payment slip.. * Write your telephone number on reverse of the cheque. Bill amount payable: Rs.2370.00 Bill month:MAR-23 Cheque/DD No. Date: 2200R101728490000000237000202303140000000000 Regd.Office: BSES Rajdhani Power Limited (A joint venture of Reliance Infrastructure Ltd & Govt.of NCT of Delhi) BSES Bhawan, Nehru Place, NEW DELHI-110019 CIN NO.:U40109DL2001PLC111527, Toll-Free No: 19123, Fax No: 011-49207888, Email: brpl.customercare@relianceada.com, Website: www.bsesdelhi.com