Friday, May 25, 2018
| 1:47:14 PM

***   ****The true meaning of labor day remembers those who have given their time, best efforts and worked hard in their lives for this blessed country. Happy labor day (M.D KWSB)****“Thousands Lived without Love, but not without water. So SAVE WATER.”*** Don’t let water waste away, so we can have it another day** *Big and small, saving water, helps us all**

 

 

 

 

  • MD KWSB
    MD
  • MD KWSB KMS
    MD KWSB KMS
  • KWSB TECHNICAL SITE
    PUMPING STATIONS KWSB
  • KMSMD
    KMSMD
  • MD KWSB HRZ
    MD KWSB HRZ
  • KMSMD
    KMSMD
  • KWSBPIC
    MESSAGE FROM
  • KWSBPIC
    KWSBPIC
  • KWSBPIC
    KWSBPIC
  • Save Water
    save water save life
  • Water Supply
    Water Supply scheme for different islands of Karachi
  • Galte Valve
    Gate Valve installation at Baldia Town
  • Gujjo
    GUJJO HEADWORK
  • test-rapid
    test-rapid
  • test-rapid
    test-rapid
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    test-rapid
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    test-rapid
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Information Desk

For emergency problems regarding your home or street sewerage complaints
please contact:
MD Camp Office
99244595 - 99244596
Customer Service Centre Karsaz 
99245138 - 99245140
Head Office Complaint Centre 
99230317

Customer Care Centre

Water Tariff
Sewerage Tariff
Post an Online Complaint
Online New Connection Form

Balance Sheet

KARACHI WATER AND SEWERAGE BOARD
BALANCE SHEET
AS AT JUNE 30,2005

 

ASSETS Note

2005

Rupees

2004

Rupees

Non-current assets  

Property, plant and equipments

Capital Work-in-progress

03

04

18,498,732,261

10,253,927,806

19,362,872,702

7,469,515,295

CURRENT ASSETS

--

   
Debtors 05 5,907,543,778 5,594,788,480

Advances, prepayments and other receivables

06

314,168,034 316,773,284
Cash at banks 07 1,249,925,153 531,499,885
  -- 7,471,636,965 6,443,061,649
Total====================>   36,224,297,032 33,275,449,646
 
RESERVES AND LIABILITIES --    

Reserves

Capital  reserve

08 3,770,914,242 3,770,914,242
Accumulated Surplus / (Deficit)  

(10,406,128,921)

(6,635,214,679)

(8,067,701,916)

(4,296,787,674)

 
GRANTS 09 12,450,203,387 9,273,015,112

Non-current liabilities

Long-term loans

10

25,435,389,972

24,939,655,809

Consumer' deposits 11 215,674,685 172,240,077

 

-- 25,651,064,657 25,111,895,886
Current liabilities --    
Current maturity of long -term loans 12 3,538,153,400 2,217,268,354
Short-term Deposits 13 556,358,670 442,200,947
Creditors, accrued and other liabilities 14 663,731,597 527,857,021
Total====================>   4,758,243,667 3,187,326,322
Contingencies and commitments 15 - -
Total====================> ---- 36,224,297,032 33,275,449,646
The annexed notes form an integral part of these financial statements.

     Sd                                                                                                    Sd

Managing Director                                                           Dy .Managing Director (Finance)

 

Note:-  Information of web page provided by concerned  department