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UNIVERSITY OF LAGOS
FUND SOURCES AND UTILIZATION REPORT FOR THE MONTH OF FEBRUARY 2020

FUND SOURCES                          N
Post graduate fees                                                            131,887,500.00
Undergraduates fees                                                            121,312,500.00
Institute of Continuing Education                                                              49,094,000.00
Application forms                                                                2,629,500.00
Convocation Fees                                                              38,059,000.00
Hostel Fees                                                              31,282,750.00
Transcript                                                              21,006,000.00
Use of Halls                                                              10,029,000.00
Rent on Shops/Stalls                                                              41,697,890.73
Contractor’s registration                                                                    270,000.00
Sale of disused assets                                                                      84,835.00
use of sports centre                                                                2,214,857.00
Capitation                                                              24,062,447.75
Electricity recovery                                                                9,817,958.76
Sundry other income                                                                1,063,868.00
Total on fund sources for the month                                                            484,512,107.24
FUND UTILIZATION CLICK HERE TO VIEW BREAKDOWN 
Payment to contractors                                                              73,511,070.71
Purchase/Touring Advance                                                              41,765,838.00
Staff Loan/advances                                                                2,035,201.00
Student refunds                                                                2,222,250.00
Earned Allowance                                                                1,452,837.40
Adjunct Lecturers/visiting Professors                                                                1,739,599.99
External Assessor                                                                2,592,371.00
Honoraria                                                              10,149,231.00
Civil defence                                                                    232,500.00
Janitorial Services                                                              43,541,346.54
Electricity                                                              50,837,633.96
Staff Refunds                                                              43,677,575.25
Purchase of drugs                                                                2,402,457.05
Taxes                                                              13,479,443.03
Payments to UNIHOLD                                                              18,089,080.93
TSA Charges                                                                    376,948.25
Total Payments for the month                                                            308,105,384.11
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