THE WATER (PREVENTION AND
rules · 1974 · State unknown
Parent: CONTROL OF POLLUTION) ACT, 1974 (6461aa65a04c46eccc1c1e30c3f7a222e3f010a8)
Text
Rule TOC
1 · SHORT TITLE AND COMMENCEMENT:
2 · DEFINITIONS.
3 · SALARIES, ALLOWANCES AND OTHER CONDITIONS OF SERVICE OF THE CHAIRMAN.
4 · SALARIES, ALLOWANCES AND OTHER CONDITIONS OF SERVICE OF MEMBER-SECRETARY.
5 · TERMS AND CONDITIONS OF SERVICE OF MEMBERS OF THE CENTRAL BOARD_ (1) Non-official members of the Central Board resident in Delhi shall be paid an allowance of rupees seventy five per day for each day of the actual meetings of the Central Board.
6 · FEES AND ALLOWANCES TO BE PAID TO SUCH MEMBERS OF A COMMITTEE OF THE CENTRAL BOARD AS ARE NOT MEMBERS OF THE BOARD UNDER SUB-SECTION (3) OF SECTION 9.
7 · POWERS AND DUTIES OF THE CHAIRMAN.
8 · CREATION AND ABOLITION OF POSTS.
9 · POWERS AND DUTIES OF THE MEMBER-SECRETARY.
8 · The Member-Secretary shall authorise, sanction O pass all payments against allotments made or estimates sanctioned.
10 · MANNER AND PURPOSE OF ASSOCIATION OF PERSONS WITH CENTRAL BOARD:
11 · APPOINTMENT OF CONSULTING ENGINEER:
12 · POWER TO TERMINATE APPOINTMENT:
13 · EMOLUMENTS OF THE CONSULTING ENGINEER
14 · TOURS BY CONSULTING ENGINEER
15 · CONSULTING ENGINEER NOT TO DISCLOSE INFORMATION.
16 · DUTIES AND FUNCTIONS OF THE CONSULTING ENGINEER
17 · FORM OF BUDGET ESTIMATES.
2 · The estimated receipts and expenditure shall be accompanied by the revised budget estimates for the current year
3 · The budget shall, as far as may be, based on the account heads specified in Schedule II:
18 · SUBMISSION OF BUDGET ESTIMATES TO THE CENTRAL BOARD:
19 · ESTIMATES OF ESTABLISHMENT EXPENDITURE AND FIXED RECURRING CHARGES.
20 · RE-APPROPRIATIONS AND EMERGENT EXPENDITURE.
21 · POWER TO INCUR EXPENDITURE:
22 · OPERATION OF FUND OF THE CENTRAL BOARD.
23 · SA VING.
24 · FORM OF THE ANNUAL REPORT:
25 · FORM OF ANNUAL STATEMENT OF ACCOUNTS OF THE CENTRAL BOARD.
26 · FORM OF REPORT OF CENTRAL BOARD ANALYST:
27 · FUNCTIONS OF THE CENTRAL WATER LABORATORY.
29 · CENTRAL BOARD TO ACT AS STATE BOARD FOR UNION TERRITORIESS.
30 · POWER TO TAKE SAMPLES:
31 · FORM OF NOTICE:
33 · PROCEDURE FOR MAKING INQUIRY INTO APPLICATION FOR CONSENT:
3 · (Expenditure) 1 Head of Actuals for the Sanctioned Actuals of last Actuals Revised Budget Variations Variations Explanation for columns 10 Account |past three years estimate for six months i.e., of last | estimate estimate between between and 1 1 the current year 19_ -19 Six for the for the columns 5 columns 8 7 year 19_ months current next and & and 9 of the year 19 year 19 19 19 current 4 year 19 7 1 2 | 3 4 5 8 10 11 12 7 3
3 · 1 7 7 7 3
3 · 1 7 4 7 7 3
3 · 1 7 7 7 3
1 · Capital Expenditure_ (i) Works (ii) Fixed Assets (iii) Other Assets_ (a) Laboratory Equipment b) Vehicles Furniture and Fixtures Scientific Instruments and
3 · Purchases_
4 · Miscellaneous_
5 · Advances_
6 · Deposits_ Closing Balance
3 · 1 7 1 7 3
3 · 1 7 4 7 7 3
3 · 1 7 4 7 } 3
3 · Other Assets
3 · 1 7 Furniture and Fixture aS per last balance sheet Additions during the year Total: 4 Less: Depreciation during the year 7 Total Scientific Instruments and Office 7 Appliances- As per last Balance Sheet Additions during 3 the year Total:
3 · 1 7 4 7 7 3
5 · Advances - a) Miscellaneous Advances (b) Other amount recoverable. Cash- (a) Notice/Short Term Deposits Cash at Bank Cash in hand Cash in transit
3 · Sl: No. Name of Upto 31 March 19 Upto 31' March 19 work 1 Direct Overhead Total Direct Overhead Total Direct Overhead Total Expenditure_Charges Expenditure_Expenditure_Charges Expenditure Expenditure Charges Expenditure 7 4 7 7 3
3 · Depreciation Sales of write Balance as on Cumulative 1 during the year off during the 31 March 19 Depreciation year as on 31 March 19 7 1 7 3
4 · Name, Address and Telephone Nos. of Applicant
5 · Address of the Industry:
6 · Details of commissioning etc
7 · . Total number of employee expected to employed.
8 · Details of licence, if any obtained under the provisions of Industrial Development Regulations Act; 1951.
9 · Name of the person authorised to sign this form (the original authorisation except in the case of individual proprietary concern is to be enclosed)
10 · (a) attach the list of raw materials and chemicals used per month: (b) Licence Annual Capacity of the Factory/Industry.
1 · State daily quantity of water in kilolitres utilised and its source (domestic/industrial process boiler Cooling others)
12 · (a) State the daily maximum quantity of effluents quantity and mode of disposal (sewer or drains or river). Also attach analysis report of the effluents. Type of effluent quantity in kilolitres Mode of disposal. (i) Domestic (ii) Industrial.
13 · State whether you have any treatment plant for industrial, domestic or combined effluents.
14 · State details of sold wastes generated in the process or during waste treatment. Description Quantity Method Method of disposal
15 · IWe further declare that the information furnished above is correct to the best of mylour knowledge.
16 · IWe hereby submit that in case of change either of the point of discharge O the quantity of discharge or its quality a fresh application for CONSENT shall be made and until such CONSENT is granted no change shall be made.
17 · IWe hereby agree to submit to the Central Board an application for renewal of consent one month in advance of the date of expiry of the consented period for outlet/discharge if to be continued thereafter.
18 · IWe, undertake to furnish any other information within one month or its being called by the Central Board:
1 · . Salaries.
9 · Advertising Sales and Publicity Expenses. 10. Grants in aid/Contributions/Subsidies. 11. Hospitality Expenses/Sumptuary Allowances etc. 12. Pensions/Gratituties. 13. Write offlLosses. 14. Suspenses 15. Expenses in connection with the setting up and maintenance of the Board Laboratory. 16. Other charges (A residuary head, this will also include rewards and prizes).
1 · Payments by Central Government: 2. Fees. 3. Fines and other receipts.
1 · . 2. 3. 4. 5. 6. 7.