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Peshawar Electric Supply Company

MIS cash / revenue Reports

sr no. cp code cp description
1 CP-102 A PROOF LIST OF WEEKLY BANK REMITTANCES ADJUSTMENTS
2 CP-103 MONTHLY SCHEDULE OF WEEKLY REMITTANCES BY BANK BRANCHES
3 CP-103 A MONTHLY REMITANCE ADJUSTMENT PROCESSED
4 CP-104 DIVISIONAL CASH COLLECTION BOOK
5 CP-108 DIVISONAL CASH ANALYSIS SUMMARY
6 CP-128 MONTHLY LIST OF CASH RECEIVED ON BEHALF OF OTHER DIVISIONS
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