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FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF DECEMBER 2021

UNIVERSITY OF LAGOS
FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF DECEMBER 2021
FUND SOURCES                          N
Postgraduate fees                                    25,993,750.00
Undergraduate fees                                  408,224,470.00
Institute of Continuing Education                                    19,397,750.00
Application forms                                      8,750,000.00
Acceptance fee                                      5,775,000.00
Hostel accomodation                                      6,519,750.00
Convocation fees                                      7,962,500.00
Capitation                                          428,750.00
Electricity recovered                                    21,449,381.00
Transcripts                                    12,005,750.00
Sundry other income                                      4,338,945.00
Post utme                                          120,000.00
Rent on Quarters                                      7,024,900.51
Shop/stalls/Halls                                      7,294,358.00
Earned Allowance                              1,046,627,303.92
Sale of disused assets                                          226,000.00
Contributions                                  206,654,910.71
Total receipts for the month                              1,788,793,519.14
FUND UTILISATION CLICK HERE TO VIEW
Payment to contractors                                  117,659,536.76
Staff refunds                                    43,396,420.53
Taxes                                      4,933,337.70
Security expenses                                    10,470,300.00
NUGA expenses                                      8,576,411.80
Adhoc staff salary                                          932,955.63
External assessor/Doctoral grant                                          536,344.00
Overtime                                    17,218,968.40
NYSC/Industrial Attachee                                          742,500.00
ICE expenses                                    13,353,842.15
Electricity charges                                  171,281,186.50
Janitorial                                    50,294,452.99
Payment to students                                      3,098,091.66
Purchase/touring advance                                    18,372,780.00
Medical                                    23,538,800.74
Central research                                       3,748,189.14
Repatriation                                      1,229,134.80
Honoraria/Allowances                                    34,944,579.00
Earned Allowance                                  586,949,941.20
Staff welfare                                    65,577,300.02
TSA charges                                      1,551,461.25
Total payments for the month                              1,178,406,534.27

Lekan Lawal

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