This electricity bill summarizes Malka Mohd Rafique's electricity usage and charges for the month of February 2020. The key details are:
- Malka Mohd Rafique used 210 units of electricity in February 2020.
- The current month's bill amount is Rs. 1,838.56
- The due date for payment is March 11, 2020.
The bill also provides a breakdown of the charges included in the total bill amount such as fixed/demand charges, energy charges, wheeling charges, regulatory asset charges, fuel adjustment charges, government electricity duty, and Maharashtra government tax on sale of electricity.
This electricity bill summarizes Malka Mohd Rafique's electricity usage and charges for the month of February 2020. The key details are:
- Malka Mohd Rafique used 210 units of electricity in February 2020.
- The current month's bill amount is Rs. 1,838.56
- The due date for payment is March 11, 2020.
The bill also provides a breakdown of the charges included in the total bill amount such as fixed/demand charges, energy charges, wheeling charges, regulatory asset charges, fuel adjustment charges, government electricity duty, and Maharashtra government tax on sale of electricity.
This electricity bill summarizes Malka Mohd Rafique's electricity usage and charges for the month of February 2020. The key details are:
- Malka Mohd Rafique used 210 units of electricity in February 2020.
- The current month's bill amount is Rs. 1,838.56
- The due date for payment is March 11, 2020.
The bill also provides a breakdown of the charges included in the total bill amount such as fixed/demand charges, energy charges, wheeling charges, regulatory asset charges, fuel adjustment charges, government electricity duty, and Maharashtra government tax on sale of electricity.
This electricity bill summarizes Malka Mohd Rafique's electricity usage and charges for the month of February 2020. The key details are:
- Malka Mohd Rafique used 210 units of electricity in February 2020.
- The current month's bill amount is Rs. 1,838.56
- The due date for payment is March 11, 2020.
The bill also provides a breakdown of the charges included in the total bill amount such as fixed/demand charges, energy charges, wheeling charges, regulatory asset charges, fuel adjustment charges, government electricity duty, and Maharashtra government tax on sale of electricity.
BILL OF SUPPLY RESIDENTIAL Adani Electricity Mumbai Limited Adani House, 56, Shrimali Society, Nr. Mithakhali Six Roads, Navrangpura, Ahmedabad, Gujarat 380009 MALKA MOHD RAFIQUE CIN: U74999GJ2008PLC107256 PAN No.: AADCD0086F GST No.: 27AADCD0086F1ZW BHATTI R NO-2, Bill No. 102072584236 Book No.518 Service:030 Unit:UNIT06 CHAWL NO 2,GANESH PADA,, Cycle No:01 Type of Supply:SINGLE PHASE Division:SOUTH CENTRAL MILITARY ROAD, MAROL, Meter Read on:15-02-2020 Bill Date:19-02-2020 Connected Load:0,27 ANDHERI-EAST Previous Meter reading on:15-01-2020 Payment accounted upto:24-01-2020 MUMBAI 400059 Total units consumed Current month's bill amount Net other Charges. Net Previous Balance
210 Rs 1 838,56 Rs 4,86 Cr Rs 1,59
Period(Month) Units Amount(Rs.) Unpaid security deposit : Rs. 2260.00 .
FEB-19 180 1 467,19 Avail 0.25% discount (upto Rs. 500/-) on monthly bill amount (excluding taxes and duties) by paying digitally To update your email Id and mobile no.,call us on MAR-19 222 1 875,48 19122 Tentative meter reading date for your MAR-20 bill is APR-19 281 2 503,15 17/03/2020 MAY-19 428 4 208,41 JUN-19 700 7 806,35 ACCOUNT NO. JUL-19 353 3 348,90 AUG-19 295 2 691,36 151539822 SEP-19 297 2 711,42 OCT-19 297 2 711,42 NOV-19 283 2 570,96 BILL MONTH DEC-19 230 2 039,22 JAN-20 258 2 320,14 FEB-20 HOW YOUR BILL WAS CALCULATED RATE/TARIFF INR (Rs.) Electrical Energy ( HSN Code 27160000) DUE DATE* Fixed/Demand Charge 105,00 Energy Charge 962,20 11.03.2020 Wheeling Charge 329,70 RegulatoryAsset Charge 55,20 Misc Charges I 0,00 SMILES EARNED Misc Charges II 0,00 Fuel Adjustment Charge $ 85,73 320 Government Electricity Duty (excluding 0 exempted units) 16,00 % 246,05 Mah. Govt. tax on Sale of Electricity 26,04 p/unit 54,68 Current month's bill amount (A) 1 838,56
DUE AMOUNT Others
Digital payment discount 0,00 4,86 Cr
Rs 1 830,00 * Delay Payment Charge on previous month bill
Interest charged on arrears 0,00 0,00 Adjustments 0,00 Net Other Charges in Current Bill (B) 4,86 Cr Total Current Month charges (A+B) 1 833,70 DISCOUNTED BILL Previous month's bill amount 2 321,01 By discount date 26.02.2020 Payment received upto 24.01.2020 2 300,00 Prompt Payment Discount 19,42 Cr Rs. 1 810,00 Net Previous Balance (C) 1,59 (after discount of Rs 15,38 ) Total Bill Amount (A+B+C) 1 835,29 Amount Deferred 0,00 Round sum payable by 11.03.2020 1 830,00 LATE PAYMENT BILL AMOUNT Your Security Deposit (SD) with us 540,00
After due date 11.03.2020
Meter Number M.F. Tariff Energy Consumption Rs 1 850,00 # Present Reading Previous Reading Consumption (kwh) (including DPC of Rs 22,98 ) 8659548 1,00 LT I (B) 17 842,00 17 632,00 210,00
*Refers only to current bill amount.
Previous balance is payable immediately.. #Payable until one month after due date, thereafter interest applicable as per MERC SLAB for units 0-100 101-300 301-500 > 500 tariff order. FAC RATE(p/u) 29,15 51,44 57,49 67,23
Abbr. in receipt: #Q# for cheque. #C for cash..
Mudrank CSD/183/2019/4980 dated 22.10.2019 E.&O.E. ----- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - If paying by cheque, please remember: Make cheque payable to 'Adani Electricity Mumbai Ltd. A/C No. : 151539822' P Cheque should be Account Payee of local clearing and not post-dated Always attach payment slip. Do not staple A Cheque should be payable through local clearing FEB-20 151539822 / 01 Y I N S 0151539822500001830110320200000185000000181026022020 L Round sum payable : 1 830,00 Discounted amount : 1 810,00 Amount after due Date: 1 850,00 I Due date :11.03.2020 Discount date :26.02.2020 P