About Us
Organisational Setup
Customer Section
Online System
Information
Downloads
Expression of Interest
Rain Water Harvesting
Right to Information Act
Citizen Charter
Downloadable Forms , DJB Act
Circular
Order
Important Schemes
FAQ
Latest News
Notification
Photo Gallery
Guidlines, Handbook, Publication
New Initiatives
Manuals under Section 4 of RTI Act 2005

INDEX
Manuals Description
Manual 1 Particulars of organization, functions and duties
Manual 2 Powers and duties of officers and employees
Manual 3 Procedure followed in decision-making process
Manual 4 Norms set for discharge of functions
Manual 5 Rules, regulations, instructions, manuals and records for discharging functions
Manual 6 A statement of the categories of documents that are held by it for under its control
Manual 7 Particulars of any arrangement that exists for consultation with or representation by the members of the public in relation to the formulation of its policy of implementation
Manual 8 A statement of boards, council, committees and other bodies constituted
Manual 9 Directory of officers and employers
Manual 10 The monthly remuneration received by each of the officers and employees, including the system of compensation as provided in the regulations
Manual 11 The budget allocated to each agency
Manual 12 The manner of execution of subsidy program
Manual 13 Particulars of recipients of concessions, permits or authorizations granted
Manual 14 Information available in an electronic form
Manual 15 Particulars of facilities available to citizen for obtaining information
Manual 16 Name, designation and other particulars of Public Information Officers
Manual 17 Other information as may be prescribed
  List of ownership of respective Manuals.
Manual 1
Particulars of organization, functions and duties

[Section 4(1)(b)(i)]
1.
Aims and objectives of the organization. Delhi Jal Board was constituted on 30 th March,1998 to discharge the functions of water supply, sewerage and sewage disposal and drainage within the National Capital Territory of Delhi. Prior to this Act the above function were interested with earthwhile DelhiWater Supply and Sewage Disposal Undertaking.The Board shall also be bound to supply to the New Delhi Municipal Councel , Delhi Cantonment Board and Military Engineering services, at the place or places at which immediately before the commencement of this Act, the Delhi Water Supply & Sewage Disposal Undertaking constituted under the Delhi Municipal Corporation Act,1957.
2.
Mission: Delhi Jal Board, Constituted under Delhi Water Board Act,1998,is responsible for production and distribution of drinking water in Delhi . The Board is also responsible for collection, treatment and disposal of Waste Water/Sewage in the capital. Delhi Jal Board has provided about 17,15,037 lacs water connections up to 01.04.2009. Delhi Jal Board is committed to provide efficient and prompt services to the citizens of Delhi and to the courteous in personal behaviour and professional in conduct.

Vision: Our vision is to be environmentally sensitive provider of a quality,reliable and reasonably priced drinking water and waste water collection and treatment system services. We aim at providing safe drinking water, and efficient sewerage services in an equitable and sustainable manner and to become an accountable service provider.Realization of this vision would promote a virtuous circle in terms of greater supply reliability and service quality, leading to greater customer satisfaction, improved willingness to pay and enhanced cost recovery. It will also include 24/7 water supply and financial sustainability and accountability, improved services to the poor,Customer Orientation and Human Resources Development, Environmental Sustainability and Enhancing Operational Efficiency.
3.
Brief history and background for its establishment: For over 5 decades, Delhi Jal Board has been meeting the needs of potable water for the National Capital Territory of Delhi. The population of Delhi has seen phenomenal growth and has crossed the figure of 140 lacs, apart from the floating population of 4 to 5 lacs.Through systematic planning and implementation, the Board has ensured average availability of 50 gallons filtered water per capita per day for the residents of Delhi , through a network of about 9000 Kms of water mains/lines. Production of water during 2008-2009 was around 800 MGD, Raw water is obtained from various sources like the river Yamuna,Bhakra Storage, Upper Ganga Canal , and Ground Water.
4. Organization Chart: Organizational Chart of Delhi Jal Board
5. Allocation of Business: Apart from piped water supply, and collection and treatment of sewage,Delhi Jal Board provides the following services to its customers:
 
a. Supply of potable water through tankers on demand
b. Supply of packaged water “JAL” in jars through Jal Suvidha Kendras.
c. Supply of Biogas and sludge Manure(Limited areas).
d. Water meter testings.
e. Testing of Water samples.
6. Duties to be performed to achieve the mission: As per manual No.2
7. Details of services rendered: As indicated at.sl.no-5 above.
8. Citizens interaction : A Citizen Charter laying down broad guidelines for citizen of the National Capital of Delhi is regularly published.
9.

Postal address of the main office, attached subordinate office /field units etc:-

Postal address of the main office:-Chief Executive Officer, Delhi Jal Board, Varunalaya Ph-II, Karol Bagh, New Delhi-110005.

Postal address of the attached subordinate office /field units etc:-Please refer column No. 2 and 4 of the 'List of Public Information Officers/ Assistant Public Information Officers/ Nodal Officer/ First Appellate Authority, DJB' given under Manual No. 16 below.

10. Map of office location
 
11

Working hours both for office and public : 9.30 AM to 6.00PM for Office and 9.30 AM to 2.00PM for Public.

Note: All water emergencies are open 24 hours daily.

12 Public interaction, if any: In order to ensure better quality service to the public service, ZonalEngineers are assigned the task of Nodal Office for interact with RWAs,Traders Associations, Public representatives etc. regularly.
13

Grievance Redressal Mechanism:

 
Manual 2
Powers and duties of officers and employees
[Section 4(1)(b)(ii)]
Powers and duties of officers and staff
S.No.
Designation of Post
Powers  
Duties attached
Administrative
Financial
Statutory
Others work approval
1
Chairperson
2
Vice-Chairperson
3
CEO
Appellate Authority in Minor Cases of Group 'A' officers and Major cases of Group 'B' officers and 'C/D' officials, Disciplinary authority in Major Casesof Group 'A' officers
Full
300 Lacs
To execute all the policy, administrative and financial matter taken by the Board.
4.
Member(A)
Disciplinary Authority in Minor cases of group's & Major cases of Group 'B' officers and appellate authority Group 'C' in minor cases and 'D'officials in Major cases.
100 Lacs
To deal with Administrative matter of the Board.
5
Member(F)
Full

Full

To deal with financial matter of the Board.
6
Member(W)
100 Lacs
To deal with water supply related matter of the
Board.
7
Member(Dr)
100 Lacs
To deal with water/drainage lines related matter of the Board.  
8
Dir(Finance)
Disciplinary authority regarding Minor Cases of Group “C”officials and Major cases of Group “B” officers.
Full Powers (Signing of cheques)
100 Lacs (Concur estimate/ tender cases.
To deal with financial matter for approval of CEO,Member(A)and Board .
9.
Secy,DJB
50 Lacs (Acceptance of Tenders)
To place agenda items for carrying out meetings of the Board and issue of minutes of the same.
10.
Addl.CEO

50 Lacs

Computerization and Monitoring World Bank Project Cell
11
Chief Engineers
50 Lacs Full Power of Ext. of time
12.
Dir(Rev)
25 Lacs
To deal with Revenue collection and related matters.
13.
Dir (A&P)
25 Lacs
To deal with personal matter for approval of CEO, Member(A) and Board.
14.
CVO
To deal with disciplinary matters for decision by the disciplinary authorities.
15 Duty List of Various Categories of Post of Delhi Jal Board.
16
Note: Substantive powers and duties for each position may be defined
2
Manual 3
Procedure followed in decision-making process
[Section 4(1)(b)(iii)]
The procedure can be described both in narrative form and through Flow Process Chart. In narrative form the stages through which a proposal passes, the levels at which it gets examined and the final authority towhich it has to go for approval may be explained.
Flow Process Chart for issue of Water Connection
S.N Activity Level of action Time Frame
1 ZE to receive application and put a diary number Dealing Clerk Same day
2 To sent new water connection file/ application to concerned ZRO Head Clerk/Allotment clerk 2 days
3 To visit premises of applicant by area JE and sanction of connection by ZE on receipt of file from ZRO JE 3 days
4 To allot connection and issue bill Allotment clerk 1 Day
5 To accord boring permission by ZE JE 1 Day
6 Procedure followed in the decision making process,including channels of supervision and accountability of Revenue .
2
Manual 4
Norms set for discharge of functions

[Section 4(1)(b)(iv)]
S.No. Activity Time Frame/Norms Remarks
1. Diary of letter 3 minutes per letter  
2. Dispatch of letter 5 minutes per letter Registered dak including entry in messenger book
3. Typing job 30 pages per day  
4. Sanction of Water connection 7 days Including entry in Allotment register/Computer records
5.
2
Manual 5
Rules, regulations, instructions, manuals and records for discharging functions
[Section 4(1)(b)(V)]
List of regulations, instructions, manuals and records
S.No. Name of the act, rules, regulations etc Brief gist of the contents Reference No if any Price in case of priced publications
1.
Constitution and the functions of the Board, Finance Accounts and Audit
No.F13(4)98-LAD/Dated 22..05.1998.
Free of Cost.
2.
Rules governing proceddings and conduct of business of Delhi Water Board.
N.A.
3.
Details of schedule of water tariff , rain water harvesting , Nodal officers for Public Grievances .
N.A.
4.
Monthly magazine published for General information and guidance of DJB employees.
N.A
5.
Rules, regulations, instructions, manuals of Revenue.
(i)
Manual of Instructions for the Revenue Deptt. by P.L Arora :- Subject to latest instruction on the matters.
Coverd complete day to day activities in Revenue Deptt.
Nil
Only for office use
(ii)
Compendium of Rev.Deptt. of years 2001,2002 & 2003.
Instruction of Rev.Deptt. circulated from time to time
Nil
Price Nil
2
Manual 6
A statement of the categories of documents that are held by it for under its control
[Section 4(1)(b)(vi)]
Detailsof the records available in a statement form, wing wise, unit wise,branch wise duly tabulated, indexed and catalogues.

S.No.

Nature of Record

Details of information available

Unit/section where available

Retention period, where available

Record Retention schedule
1.
General Record :-As per Annexure II given below
2.
Accounts Record :-As per Annexure I given below

3.

Dispensary Record

Daily purchase register

Concerned dispensary

10 years, After Audit

Daily consumption register

3 years, After Audit

Monthly indents

3 years, After Audit

Attendance register of Patients

3 years, After Audit

4.

Administration records
R/R files.

Administrator

Permanent

Appointment files.

10 years

Promotion files

10 years

Seniority files

5 years , After issue of final seniorty list.

Confirmation files.

3 years ,After conformation order

Transfer and posting files

3 years , After conformation order

Office order books

3 years

Purchase file

3 years , After Audit

Telephone files

10 years

Audit para and report

3 years , After settlement

CL account

1 year

Repair and Maintenance file

3 years , After Audit

Log book of vehicle

3 years , After Audit

Misc. files

3 years

App. and Exam papers

1 year , After Recrutment.

Notices and agenda

3 years

5.

LWO, LO , Vig, Enquiry, PRO.

5 year after closer cases and important decision files 10 years. and weeded out after retaining copies of the decision.

6.

AC(L&E)
Land and Building record

AC(L&E)

Permanent.

Eviction cases file.

3 years , After closer of the case.

Court case files

3 years , After closer of the case

Quaters Allotment files

3 years , After vacation of Quaters

General and Misc. files

3 years

HRA recovery register

Permanent.

Monthly HRA Register.

3 years , After audit

7.

Revenue records
As per norms lay down at serial No.1,2,& 4.

DOR

8.

Engg Department Records
As per norms lay down at serial No.1,2,& 4.

EO to Mem(W)

9.

Secuirty records
As per norms lay down at serial No.1,2,& 4.

CSO

10.
Annexure I(Accounts Record)
Subject
No of compleate year for which records to be preserved original or foil.
Copy of copy foil.

 

Stock register
-
5 years.

Survey report

-

5 Years

Register of stock receipts

5

5 Years

Indent form

10

10 years

Abstract of stock receipts

5

-

Abstarct of Stock issues.

5

-

Half yearly balance

5

5 years

Sale account

5

5 years

Half year register of stock

5

-

Account of receipt of tools

5

5 years

Accounts of issue of tools and plants

5

5 years

T & P register

5

-

Estimate form

5

-

Petty works requisition

5

-

Revised estimate

5

-

Cpompletion report

3

-

Tender forms

2

-

Percentage rate tender & contract

3

-

Item rate tender & contracts

3

-

Tender and contract for supply material

3

-

Tender and contract for piece work

3

-

Lump-sum tender and contract

3

-

Register of accepting tenders and aggrements

5

-

Muster roll

10

-

Daily labour report

1

-

Measurement book

10

-

Register of measurement book

10

-

First and final bill

10

-

Running and final bill

10

-

Hand receipt

10

-

Bill of work

35

-

Register of boards

10

-

Contractor register.

10

-

Register of suspense

10

-

Estt. Check register

10

-

Officers pay bill

35

-

Bill of rest of Estt.

35

-

Absentee statements

35

-

Acquitance rolls

6

-

TA bills

3

-

TA Check register

3

-

Register Wasting assets
Permanentely.
-

Register of loans
Permanentely.
-

Register of Investments
Permanentely.
-

Register of stamps
5 years.
-

Memo of Review
Permanent.
-

Register of records destroyed
Permanent
-

General cash book
Permanent
-

Abstract of receipt and exp
20 years
-

Treasury challan
5 years
-

Receipt form
5 years
-
board treasury challan
5 years
-

Rubber stamps for payment
5 years
-
Rubber stamps for subvoucher
5 years
-
Entery of permanent advance
5 years
-

Continent bills
5 years
-

Movable property register
10 years
-

Register of suits
10 years
-

Process fees register
10 years
-

Register of contract work
5 years
-
Indent form
5 years
-

Register of building application
10 years
-

Unauthorized construction of building
10 years
-

Register of encroachment on immovable property
Permanentely
-
Register of Immovable property
Permanentely
-

Rent demand and collection register
10 years
-

Bill of collection of rent
5 years
-

Tehbazzari ticket/register
5 years
-
register of Tehbazzari by land officer
5 years
-

Receipt of fare fees
5 years
-

Slaughter house tickets
5 years
-

Garden order/ledger books
5 years
-

Garden cash book
10 years
-

Statement of boards
5 years
-
Annexure II(General Record )
Receipt register

 

3 yrs

  Invoice

1 year

  Section diary

3 yrs

  Register of inter sectional movement

1 year after all reference entered in the register have been return to the originating section 

  Weekly statement of cases 2 years

  Assistant Diary 1 year after all the primary receipt entered in the diary have been finally disposed off.

  Issue diary

1 year

  Worksheet for typist 1 year

  Dispatch register for local dak 3 years

  Peon book 3 years

  postage Stamp register 3 years after audit

  File movement register 1 year after audit

  Movement diary for stenographer , PAS . 1 year after all the papers entered in the dairy have been sent out

  Control chart of primary receipts 1year

  Abstract of control chart 3 years

  Statistical abstract 1 year

  Weekly arrear statement 1 year

  Numerical abstract of castes pending 3 year 

  Suspense and reminder diary 1 year

  Monthly arrear statement relating to indexing and recording. 1 year

  Statement of returns & report 1 year

  Register of assurances 1 year after all the promises including in the register have been implemented

  Qtly. & annual inspection report 3 years

  Statement showing the number of inspections carried out 1 year

  Misc. refund and collection Register 10 years

  Pounds register 5 years

  Register of impounds and animals 5 year

  Release pans with fourtor foil 5 year

  Receipts of purchase of impounded animals 5 years

  Memo. Showing disposal of proceeds of sale 5 years

  Pounds ledger Permanently

  Form of contract work supply order 5 years

  Completion certificate 5 years

  Budget estimate Permanent spare copies to be destroyed after 3 years.

  Monthly accounts and abstract of accounts March account to be retain for 10 years others months accounts to be destroyed after 1 year of the completion of related year of account.

  Annual accounts Permanently

  Budget proposal furnished by the department 1 year after audit of annual appropriation accounts of the related year.

  Annual appropriation account 1 year after audit.
2
Manual 7
Particulars of any arrangement that exists for consultation with or representation by the members of the public in relation to the formulation of its policy of implementation
[Section 4(1)(b)(vii)]
Details of consultative committees and other bodies with which consultations are held
S.N0. Name and address of the Consultative Committees/bodies Constitution of the committee/body Role and responsibility Frequency of meetings
1. Delhi Jal Board It comprises of 17 members of the board as defined in Chapter II in DJB ACT To take policy discussion and important work relating to service, construction matter Generally once in a months
2. Water Consultative Council It comprises of 8 members of the board as defined in Chapter II in DJB ACT To advice the board on policy matter and related to water and sewer matter.  
Other procedures adopted for formal and informal consultations with the public may also be indicated such as Bhagidari, Jan Sunvai, interaction with resident welfare associations, etc. Other details whether the meetings are open to public, minutes are accessible to public etc may also be indicated.  
2
Manual 8
A statement of boards, council, committees and other bodies constituted
[Section 4(1)(b)(viii)]

Minutes/ Resoulations of Delhi Jal Board
List of boards, council, committee etc is as under :-
S.No Name of address of the body Main functions of the body Constitution of the body Date of constitution

1

2

3

4

5

1

High Power Committee

To examine the emolument of Vth Pay Commission

2.

Consumer Dispute Committee

To examine and recommend disputes regarding water/sewer billing cases.

Three Committees with members at the level of Accountant to Chief Engineers in different cases

2002 re-modified in year 2005

Committee No. 1

Concerned DD-Chairman

Concerned ZE-member

Accountant of the Concerned Div.-Member

Concerned ZRO-Member Secy.

To settle the disputed cases where amount of water charges involves upto 15000/-

30-06-2004

Committee No. 2

Concerned JD-Chairman

Concerned DD-Member

Concerned EE-Member

ACA of the concerned circle –member

Concerned ZRO –member Secy.

To settle the disputed cases where amount of water charges involves upto 25000/-

Committee No. 3

Concerned CE-Chairman

Concerned SE of the circle-Member

ZRO concerned

Dy. A&FO of the concerned circle-member.

Concerned DD-member

Concerned EE(Maint)-Member Secy.

To settle the disputed cases where amount of water charges involves upto 25000/-

3

A sub-committee has been constituted to review the requirement of staff E&M cadre.

To consider the actual strenth of the E&M staff required in DJB.

Dir(A&P)-Chairman

SE(SDW)-Member.

SE(E&M)-Member.

SE(E&M)-Member.

DY. A&FO-I –Member.

4

Departmental Screening Committee for cdc/adhoc promotion.

To consider the eligibility of the officers /officials required to be promoted on cdc/adhoc basis.

Dir (A&P)- Chairman.

Dir (F&A)-Member.

DOR –Member.

ADOV-I –Member.

AC(T)/AC(D)- Member (Secy.)

5

First financial up gradation under ACP Scheme.

To consider the eligibility of the officials under second financial up gradation of ACP

SecyDJB- Chairman

DOR-Member

Dir(A&P)- Member.

AC(T)-Member(secy.)

6

Committee of cadre review of Civil Engg. Wings

To consider the actual strength of the civil Engg.Wing required in DJB.

M(WS)-Chairman

CE©-III Member

SE©drIII-Member.

SE(W)-Member.

AC(L&E)- Member.

Dy.A&FO-I-Member.

AC(W)-Member (Secy.)

7.04.2005

Date up to which valid Whether meetings open to public Whether minutes accessible to public Frequency of meetings Remarks

6

7

8

9

10

Temporary

No

No

As and when required

Permanent

No

No

As and when required

It is valid upto date till committee is constituted

No

No

-

-

It is continuous process

No

No

Jan& July every year.

It is continuous process.

It is continuous process

No

No

Jan& July every year.

It is continuous process.

It is valid upto date till committee is constituted

No

No

No frequency has been year marked.

Under process.

Revised Delegation of powers to officers of Revenue Wing.

 

2
Manual 9
Directory of officers and employers
[Section 4(1)(b)(ix)]
Directory
Administration
Secretary DJB
Finance Department
Vigilance Department
Security Department
Horticulture Department
Medical Officers
Revenue Department
Enforcement Cell
Reform Project Cell
Treatment & Quality Control Department
Engineers Department
Right To Information Cell
Water Emergencies
2
Manual 10
The monthly remuneration received by each of the officers and employees, including the system of compensation as provided in the regulations
[Section 4(1)(b)(x)]
S.No.
Name of Post
Present Scale
Name of Pay Band/Scale
Grade Pay
1. Chief Executive Officer 18400-22400 PB-4 37400-67000 10000
2. Chief VigilanceOfficer 18400-22400 PB-4 37400-67000 10000
3. Member (Admn.) 18400-22400 PB-4 37400-67000 10000
4. Member (Fin.) 18400-22400 PB-4 37400-67000 10000
5. Secy. to DJB 18400-22400 PB-4 37400-67000 10000
6. Member (Water Supply) 18400-22400 PB-4 37400-67000 10000
7. Member (Dr.) 18400-22400 PB-4 37400-67000 10000
8. Chief Engineer (C) 18400-22400 PB-4 37400-67000 10000
9. Chief Engineer (E&M) 18400-22400 PB-4 37400-67000 10000
10. Chief Law Officer 16400-20200 PB-4 37400-67000 8900
11. Additional CEO 14300-18300 PB-4 37400-67000 8700
12. Director (A&P) 14300-18300 PB-4 37400-67000 8700
13. Director (Revenue) 14300-18300 PB-4 37400-67000 8700
14. Director (F&A) 14300-18300 PB-4 37400-67000 8700
15. Director of Vigilance 14300-18300 PB-4 37400-67000 8700
16. SE (Civil)/Dir. (SDM) 12000-16500 PB-3 15600-39100 7600
17. SE (E&M) 12000-16500 PB-3 15600-39100 7600
18. Joint Director (Revenue) 12000-16500 PB-3 15600-39100 7600
19. Law Officer 12000-16500 PB-3 15600-39100 7600
20. Director (T&QC) 12000-16500 PB-3 15600-39100 7600
21. Dy.A&FO(W) 10000-15200 PB-3 15600-39100 6600
22. AC/DDR/Secy. to Chairperson/Secy. to CEO/ Joint Dir.(SDM)/ADOV 10000-15200 PB-3 15600-39100 6600
23. Chief Water Analyst 10000-15200 PB-3 15600-39100 6600
24. Deputy Director (Hort.) 1 0000-15200 PB-3 15600-39100 6600
25. EE(C)/Joint Dir.(SDM)/Proj. Dir. (Bottling Plant) 10000-15200 PB-3 15600-39100 6600
26. EE(E&M)/Proj. Dir. (T rg.) 10000-15200 PB-3 15600-39100 6600
27. PRO 10000-15200 PB-3 15600-39100 6600
28. Private Secretary 1 0000-15200 PB-3 15600-39100 6600
29. LWO 8000-13500 PB-2 9300-34800 5400
30. Doctor 8000-13500 PB-3 15600-39100 5400
31. Enquiry Officer 8000-13500 PB-2 9300-34800 5400
32. Chief Security Officer 8000-13500 PB-2 9300-34800 5400
33. Scientist(Environment) 8000-13500 PB-3 15600-39100 5400
34. Asstt.Engg.(Civil)/Dy.Director (SDM)
6500-10500
PB-2 9300-34800
4600
35. Asstt.Engg.(E&M)/Dy.Dir.(SDM) 6500-10500 PB-2 9300-34800 4600
36. ACWA 6500-10500 PB-2 9300-34800 4600
37. AD(H)/OI(H) 6500-10500 PB-2 9300-34800 4600
38. Buldozer Supervisor 6500-10500 PB-2 9300-34800 4600
39. Deputy CSO
6500-10500
PB-2 9300-34800 4600
40. Head Draftman 6500-10500 PB-2 9300-34800 4600
41. Meter Supervisor 6500-10500 PB-2 9300-34800 4600
42. Office Superintendent. 6500-10500 PB-2 9300-34800 4600
43. Programmer 6500-10500 PB-2 9300-34800 4600
44. Senior Stenographer 6500-10500 PB-2 9300-34800 4600
45 Zonal RevenueOfficer/Administrative Officer/ 6500-10500 PB-3 9300-34800 5400
  AO (Treasury) 6500-10500 PB-2 9300-34800 4800
46. Senior Confidential Assistant 6500-10500 PB-2 9300-34800 4600
47. Asstt. Chief Account 8000-13500 PB-3 15600-39100 5400
48. Accountant 6500-10500 PB-2 9300-34800 4800
49. Junior Accountant 5500-9000 PB-2 9300-34800 4600
50. ALO(y\J) 6500-10500 PB-2 9300-34800 4600
51. ALWO 5500-9000 PB-2 9300-34800 4200
52. Assistant Programmer 5500-9000 PB-2 9300-34800 4200
53. Bacteriologist 5500-9000 PB-1 5200-20200 4200
54. Chemist 5500-9000 PB-2 9300-34800 4200
55. Hindi Asstt I Translator 6500-10500 PB-2 9300-34800 4600
56. Junior Law Officer I LS 5500-9000 PB-2 9300-34800 4200
57. Secutiry Officer 5500-9000 PB-2 9300-34800 4200
58. Draftsman Grade-I 5500-9000 PB-2 9300-34800 4200
59. Head Clerk 5500-9000 PB-2 9300-34800 4200
60. Junior Stenographer 5500-9000 PB-2 9300-34800 4200
61. S I Grade-I 5500-9000 PB-2 9300-34800 4200
62. Assistant Bacteriologist 5500-9000 PB-2 9300-34800 4200
63. Assistant Chemist 5000-8000 PB-1 5200-20200 4200
64. Draftsman Grade-II 5000-8000 PB-2 9300-34800 4200
65. Foreman (Electric) 5000-8000 PB-2 9300-34800 4200
66. Foreman (Mech.) 5000-8000 PB-2 9300-34800 4200
67. Junior Engineer (Civil) 5000-8000 PB-2 9300-34800 4200
68. Junior Engineer (E&M) 5000-8000 PB-2 9300-34800 4200
69. Kanungo 4000-6000 PB-1 5200-20200 2400
70. SO (H) 5000-8000 PB-2 9300-34800 4200
71. Staff Nurse 5000-8000 PB-2 9300-34800 4200
72. Meter Inspector 5000-8000 PB-2 9300-34800 4200
73. Surveyor 5000-8000 PB-2 9300-34800 4200
74. SI 5000-8000 PB-2 9300-34800 4200
75. Filter Supervisor Grade-I 5000-8000 PB-2 9300-34800 4200
76. Filter Supervisor Grade-II 4500-7000 PB-1 5200-20200 2800
77 APRO 4500-7000 PB-1 5200-20200 2800
78. Armature Winder/Moor/Winder/Electric Motor/Repairer & Winder 4500-7000 PB-1 5200-20200 2800
79. Consol Supervisor 4500-7000 PB-1 5200-20200 2800
80. Carpenter-cum-Pattem Maker 4500-7000 PB-1 5200-20200 2800
81. Pharmacist 4500-7000. PB-1 5200-20200 2800
82. Gas Fitter 4500-7000 PB-1 5200-20200 2800
83. Buldozer Driver-I/Dredger 4500-7000 PB-1 5200-20200 2800
84. Adrema Inchange 4500-7000 PB-1 5200-20200 2800
85. ASO 4500-7000 PB-1 5200-20200 2800
86. Assistant Cameraman 4000-6000 PB-1 5200-20200 2400
87. Assistant Meter Reader-cum-Mechanic 4000-6000 PB-1 5200-20200 2400
88. Carpenter-I 4000-6000 PB-1 5200-20200 2400
89. Draftsman Grade-III 4000-6000 PB-1 5200-20200 2400
90. Data Entry Operator 4000-6000 PB-1 5200-20200 2400
91. Buldozer Driver-II 4000-6000 PB-1 5200-20200 2400
92. Vehicle Driver Ord.Grade-1i 3050-4590 3050-4590 PB-1 5200-20200 1900
93. Electrician-I 4000-6000 PB-1 5200-20200 2400
94. Fitter - Tumer -Moulder-I 4000-6000 PB-1 5200-20200 2400
95. Fitter-I (Mech.) 4000-6000 PB-1 5200-20200 2400
96. Laboratory Technician 4500-7000 PB-1 5200-20200 2800
97. Instrument Mechanic 4000-6000 PB-1 5200-20200 2400
98. Shift InCharge I Electric Mistry-I 4000-6000 PB-1 5200-20200 2400
99. Steno Typist 4000-6000 PB-1 5200-20200 2400
100. Technical Assistant 4000-6000 PB-1 5200-20200 2800
101. Receptionist I Telephone Operator I Wire. Operator 4000-6000 4000-6000 PB-1 5200-20200 2400
102. UDC I Cashier I Meter Inspector 4000-6000 PB-1 5200-20200 2400
103. Meter Mechanic 3200-4900 PB-1 5200-20200 2000
104. Assistant Filter Supervisor 3050-4590 3050-4590 PB-1 5200-20200 1900
105 Welder I Moulder 3050-4590 PB-1 5200-20200 1900
106. Fitter I Turner I Moulder-II 3050-4590 PB-1 5200-20200 1900
107. Adrema Machine Optr. I Mechanic 3050-4590 PB-1 5200-20200 1900
108. Blacksmith and Tinsmith 3050-4590 PB-1 5200-20200 1900
109. Carpenter-II 3050-4590 PB-1 5200-20200 1900
110. Chlorinator Operator I Chlorinator Machine Optr. 3050-4590 PB-1 5200-20200 1900
111. Electrician-III SBO I Wireman 3050-4590 PB-1 5200-20200 1900
112. Ferro Printer 3050-4590 PB-1 5200-20200 1900
113. Fitter-II Class IPlumber I Fitter-II (Mech.) 3050-4590 PB-1 5200-20200 1900
114. Garden Chaudhary 3050-4590 PB-1 5200-20200 1900
115. SCM Driver 3050-4590 PB-1 5200-20200 1900
116. Dispatch Rider 3050-4590 PB-1 5200-20200 1900
117. LDC I Assistant Cashier I Meter Reader 3050-4590 PB-1 5200-20200 1900
118. Laboratory Assistant 4000-6000 PB-1 5200-20200 2400
119. Lift Operator 3050-4590 PB-1 5200-20200 1900
120. Mason / Mason (D) 3050-4590 PB-1 5200-20200 1900
121. Meter Repairer 3050-4590 PB-1 5200-20200 1900
122. Painter 3050-4590 PB-1 5200-20200 1900
123. Patwari 3050-4590 PB-1 5200-20200 1900
124. Pump Driver-II /Pump Operator 3050-4590 PB-1 5200-20200 1900
125 Vehicle Driver / Motorman 3050-4590 3050-4590 PB-1 5200-20200 1900
126. Welder-II 3050-4590 PB-1 5200-20200 1900
127. Assistant Wire. Oprator 3050-4590 PB-1 5200-20200 1900
128. Asstt. Sanitary Inspector 3050-4590 PB-1 5200-20200 1900
129. Head Security Guard 3050-4590 PB-1 5200-20200 1900
130. Head Security Guard 3050-4590 PB-1 5200-20200 1900
131. Orderly 2750-4440 PB-1 5200-20200 1800
132. Sewer Gang Mate 2650-4000 -1S 4440-7440 1650
133. Assistant Diesel Set Optr 2610-4000 -1S 4440-7440 1600
134. Assistant Pump Driver /Assistant Pump Operator 2610-4000 -1S 4440-7440 1600
135. Assistant Fitter 2610-4000 -1S 4440-7440 1600
136. Assistant Mechanic 2610-4000 -1S 4440-7440 1600
137. Daftari-cum-record keeper 2610-4000 -1S 4440-7440 1600
138. Electric Mate 2610-4000 -1S 4440-7440 1600
139 Fitter Mate/Oilman/Head Jamadar/Mate/Fitter Mate(Mechnic) 2610-4000 -1S 4440-7440 1600
140. Security Guard 2610-4000 -1S 4440-7440 1600
141. Gunman 2610-4000 -1S 4440-7440 1600
142. Dresser 2610-4000 -1S 4440-7440 1600
143. Striker 2610-4000 -1S 4440-7440 1600
144. Laboratory Attendant 2610-4000 -1S 4440-7440 1600
145. Aaya 2550-3200 -1S 4440-7440 1300
146. Beldar(E&M)/Water Distribution/Khalasil Shramik 2550-3200 -1S 4440-7440 1300
147. Boatman 2550-3200 -1S 4440-7440 1300
148. BuJlockman 2550-3200 -1S 4440-7440 1300
149. Chowkidar I Faras-cum-Chowkidar I PLP 2550-3200 -1S 4440-7440 1300
150. Cleaner I Lorry Cleaner I Chair Canner 2550-3200 -1S 4440-7440 1300
151. Mali I Mali Beldar 2550-3200 -1S 4440-7440 1300
152. Peon-cum-AMR 2550-3200 -1S 4440-7440 1300
153. Sweeper ISKD Sweeperl Safai Karamchari 2550-3200 -1S 4440-7440 1300
154. Sewer Gang Beldar I SWD Beldar 2550-3200 -1S 4440-7440 1300
155. Sewerman 2550-3200 -1S 4440-7440 1300
156. Drain Sweeper 2550-3200 -1S 4440-7440 1300
156. Bhishty I Coolie 2550-3200 -1S 4440-7440 1300
157. Bhishty I Coolie 2550-3200 -1S 4440-7440 1300
158. Head Cashier 6500-10500 PB-2 9300-34800 4600
159. Dy. LWO 6500-10500 PB-2 9300-34800 4200
160. Cable Jointer 4500-7000 PB-1 5200-20200 2800
161. Pharmacist 4500-7000 PB-1 5200-20200 2800
162. Machinist-I Class 4000-6000 PB-1 5200-20200 2400
163. Turner-I Class 4000-6000 PB-1 5200-20200 2400
164. Welder-I Class 4000-6000 PB-1 5200-20200 2400
165. Moulder-I Class 4000-6000 PB-1. 5200-20200 2400
166. Carpenter-I Class 4000-6000 PB-1. 5200-20200 2400
167. labour Organizer 4000-6000 PB-1. 5200-20200 2400
168. Vehicle Driver-II 4000-6000 PB-1. 5200-20200 2400
169. Vehicle Driver-I 4500-7000 PB-1. 5200-20200 2800
170 Vehicle Driver Spl.Grade 5000-8000 PB-2 9300-34800 4200
2
Manual 11
The budget allocated to each agency
[Section 4(1)(b)(xi)]
BUDGET AT A GLANCE (A- PLAN WORKS (LOAN))
   
( Rs. Lac)
S.No. Particulars
Actuals
BE
RBE
BE
   
2007-08
2008-09
2008-09
2009-10
  Receipt

1. Water
76885.00
74520.00
79552.00
62700.00
2. Sewerage
38040.00
56210.00
46378.00
55800.00
3. YAP-II(Central Share)
1353.08
0.00
4100.00
4200.00
 
Total Receipt
116278.08
130730.00
130030.00
122700.00
  Expenditure
  Water
1. Bulk
11169.80
8730.00
9100.00
5600.00
2. Construction
57025.76
47630.00
51260.00
41730.00
3. Maintenance
20244.56
18160.00
19192.00
15370.00
 
Total
88440.13
74520.00
79552.00
62700.00
  Sewerage
1. Bulk
12813.64
9398.00
8263.00
6580.00
2. Construction
13209.16
24376.00
28375.00
44030.00
3. Maintenance
6640.07
22436.00
13840.00
9390.00
 
Total
32662.87
56210.00
50478.00
60000.00
 
Grant Total
121103.00
130730.00
130030.00
122700.00
BUDGET AT A GLANCE (B- PLAN WORKS (Grant -in aid) )
S.No. Particulars Actuals BE RBE BE
   
2007-08
2008-09
2008-09
2009-10
1. Receipt
2. Water (including MLA Priorities)
19323.84
14365.00
21965.00
18055.00
 
Total
19323.84
14365.00
21965.00
18055.00
1. Expenditure
2. Water (including MLA Priorities)
8857.37
14365.00
21965.00
18055.00
 
Total
8857.37
14365.00
21965.00
18055.00
 
Total Plan outlay
135601.92
145095.00
151995.00
140755.00
 
Total Utilization
129960.37
145095.00
151995.00
140755.00
BUDGET AT A GLANCE Non-Plan-(Sector-wise)
  Head of Account
Actuals
BE
RBE
BE
   
2007-08
2008-09
2008-09
2009-10
  Income
A Water 
1. Administration
85592.03
92813.70
103989.90
111450.20
2. Water Bulk
6106.95
3993.94
6269.07
5727.12
3. Water construction
6919.37
3613.02
8193.17
7959.26
 
Total-”A
98618.34
100420.66
118452.14
125136.58
B. Sewerage
1. Sewerage Bulk
3067.72
4788.66
3323.42
3144.63
2. Sewerage construction
2252.38
2635.86
2724.91
2202.19
3.
Total-”B”
5320.09
7424.52
6048.33
5346.82
C Maintenance
1. Maintenance
42167.47
48095.90
44640.66
44595.55
 
Total-”C”
42167.47
48095.90
44640.66
44595.55
 
X:                                  Total-”A” to “C”
146105.91
155941.08
169141.13
175078.95
  Expenditure
A Water 
1. Administration
6484.18
9857.00
10311.35
7986.10
2. Water Bulk
57886.60
67104.18
72291.37
79363.28
3. Water construction
732.68
863.35
2109.20
1374.05
 
Total-”A”
65103.46
77824.53
84711.92
88723.43
B Sewerage
1. Sewerage Bulk
37219.52
43397.76
43777.35
47744.12
2. Sewerage construction
1894.33
2167.50
2297.90
2692.80
 
Total-”B”
39113.86
45565.26
46075.25
50436.92
C Maintenance
1 Maintenance
119935.19
138568.37
140782.98
163254.06
 
Total-”C”
119935.19
138568.37
140782.98
163254.06
 
Y:                                   Total-”A” to “C”
224152.51
261958.16
271570.15
302414.41
 
 Gross Deficit ( X-Y)
-78046.60
-106017.08
-102429.02
-127335.46
E Less- (1). Interest on Loan due but actually not paid
60227.75
83756.51
80212.25
105215.31
                 (2). Depreciation
21874.65
22261.50
22120.50
22120.50
 
Total-E
142050.10
155940.15
169237.40
175078.60
G Non-Plan Assistance  includes in Income and     adjusted for payment of arrear to DVB
 
 Net deficit/surplus ( Gross Deficit+E-G)
4055.80
0.93
-96.27
0.35
BUDGET AT A GLANCE
Non Plan ( Headwise)
Statement showing Income and Expenditure headwise for the year 2004-05 onwards
Particulars
Actuals 2004-05
Actuals 2005-06
Actual 2006-07
Actuals 2007-08

BE 2008-09

RE; 2008-09
BE 2009-10
Quantity of Water(MGD)
669
672
720
740
826
790
875
Income
Water
(Rs. Lac)
Water Charges (MCD Area)
18156.15
38545.00
34135.54
33382.04
33450.00
33452.00
35000.00
NDMC
2245.28
2478.86
2632.04
2504.56
2621.78
2994.39
2819.79
MES
670.43
717.94
779.46
721.96
773.64
864.36
813.96
Infrastucture Charges
3418.95
1475.24
1141.92
1327.46
1500.00
2350.00
2400.00
Water Charges from employees and contractors
672.48
390.80
252.89
248.65
269.20
242.50
259.60
Water Charges through Tankers 
8.14
3.13
7.00
2.00
2.50
Water Charges Through sale of  Water Bottles and others
86.16
32.56
361.00
398.00
541.00
Total Water
25163.30
43607.83
39036.15
38220.35
38982.62
40303.25
41836.85
Sewerage 
NDMC
1389.98
1566.32
1425.40
1483.54
1448.38
1630.76
1606.32
MES
415.05
453.65
422.12
427.64
427.39
470.74
463.68
Infrastucture Charges
208.08
649.38
613.44
905.02
500.00
1415.00
1000.00
Misc. Income
843.08
747.54
1606.25
3130.54
1102.83
3440.60
3594.05
A&S Cost capitalized
6297.64
6209.16
7282.48
12000.02
13866.62
14214.51
13073.63
Finance Cost capitalized
5968.44
5899.98
6773.65
11276.80
12173.24
11726.28
11034.41
Non-Plan Assistance
72775.00
56286.00
77434.00
78662.00
87440.00
95940.00
102470.00
Total Sewerage
87897.28
71812.03
95557.34
107885.56
116958.46
128837.88
133242.10
Total Income
113060.57
115419.87
134593.49
146105.91
155941.08
169141.13
175078.95
Expenditure
Actuals 2004-05
Actuals 2005-06
Actual 2006-07
Actuals 2007-08
BE                 2008-09
RE         2008-09
BE         2009-10
Establishment
30165.69
32788.70
34768.87
37549.94
42577.15
50517.65
62689.90
Other administrative Expenses
1598.18
1472.03
1704.90
1603.81
2688.00
3759.75
3068.70
Power
22696.50
28276.67
35551.37
32276.98
33700.00
36300.00
33000.00
Repair and Maintenance
2869.97
4906.05
5246.96
7526.67
8280.00
8258.00
8613.00
General Stores and Chemicals
1641.51
1876.04
2224.86
2516.58
3187.00
3364.00
3355.00
Cost of Raw Water
1370.94
1468.58
1700.86
1147.74
2150.00
2150.00
2200.00
Property Tax and Others
2933.46
532.17
1349.17
766.38
3700.00
3948.00
700.00
Repayment of loan and Interest
61520.17
70663.03
103340.34
118889.75
143414.51
141152.25
166667.31
Depreciation
21874.65
21874.65
21874.65
21874.65
22261.50
22120.50
22120.50
Total Expenditure
146671.08
163857.91
207761.98
224152.51
261958.16
271570.15
302414.41
Gross Deficit
-33610.50
-48438.05
-73168.49
-78046.60
-106017.08
-102429.02
-127335.46
Less: Interest on loan due but not paid 
55551.73
64763.05
55906.34
60227.75
83756.51
80212.25
105215.31
Less Depreciation
21874.65
21874.65
21874.65
21874.65
22261.50
22120.50
22120.50
Non-Plan Assistance  includes in Income and adjusted for payment of arrear to DVB
47775.00
43786.00
12043.94
Net deficit after deducting repayment of loan  and Depreciation
-3959.12
-5586.35
-7431.44
4055.80
0.93
-96.27
0.35
Bulk issue Rate of Water (Per KL)
5.35
5.71
6.16
5.74
6.14
6.86
6.46
Bulk Sewage disposal Rate(Per KL)
4.14
4.51
4.17
4.25
4.24
4.67
4.60
Note:  1. Special loan of Rs.43786lac received during 2005-06 was adjusted as payment of arrear of Interest on Loan
2. Special loan of Rs.47775 lac received during 2004-05 was adjusted as payment of arrear of interest on loan
Plan Works- Water Supply
EXPENDITURE (SCHEME-WISE)
S.No.
Head of Accounts
Actuals
BE
RBE
BE
   
2007-08
2008-09
2008-09
2009-10
A Urban Water supply
   
1. Replacement of Old distribution and Trunk Transmission System
20479.24
7800.00
10300.00
8000.00
2. Improvement of existing water works
7041.23
4800.00
6700.00
4300.00
3. Ranney Wells and Tubewells in Urban Area
5203.02
5475.00
2500.00
2000.00
4. Staff Quarters and Office Accommodation
426.44
500.00
800.00
700.00
5. Laying of water mains in regularized colonies
875.60
1000.00
1000.00
900.00
6. Raw Water arrangement
29264.38
21000.00
31000.00
25000.00
7. Distribution Mains and Reservoirs
3078.68
16500.00
16150.00
14000.00
8. 140 MGD WTP at Sonia Vihar
11232.59
900.00
2000.00
300.00
9. Water Quality Control
0.00
50.00
300.00
410.00
10. Metering and leak Management
37.05
1000.00
750.00
500.00
11. Construction of WTP at Dwarka
2587.50
4000.00
700.00
700.00
12. Construction of WTP at Palla
0.00
50.00
5.00
5.00
13. Construction of 20MGD WTP Okhla
4494.53
6500.00
1000.00
800.00
14. Construction of Barrage at Palla
0.00
25.00
5.00
5.00
15. Environmental Greenary and Landscating
0.00
150.00
300.00
210.00
16. Const. Of 40 MGD Plant at Nangloi
224.71
0.00
0.00
0.00
17. 20MGD at Bawana
87.56
0.00
0.00
0.00
18. Captive Power Plant at WTPs
344.10
0.00
0.00
0.00
19. Large scale testing of water including water supply to weaker section
8.34
0.00
0.00
0.00
 
Total Urban Water supply
85384.95
69750.00
73510.00
57830.00
B I.T. Infrastructure
16 I.T. Infrasctructure and Digitized mapping
87.87
100.00
250.00
110.00
17 Capacity Building
45.70
20.00
0.00
10.00
 
Total- I.T.Infrastructure
133.57
120.00
250.00
120.00
C Common Wealth Games
4.32
600.00
300.00
800.00
D Water Supply in Trans Yamuna Area
1696.31
2000.00
1895.00
1900.00
E  Water supply in Urban Villages
452.41
500.00
1150.00
500.00
F  Water supply in Resettlement colonies
281.95
500.00
500.00
500.00
G Rural Water Supply
1  Rural Water supply (General)
480.54
1000.00
1597.00
860.00
2  Rural Water supply(SCP)
6.08
50.00
350.00
190.00
 
Total-Rural Water supply
486.62
1050.00
1947.00
1050.00
TOTA
88440.13
74520.00
79552.00
62700.00
Plan Works-Sewerage and Sanitation
EXPENDITURE (SCHEME-WISE)
S.No
Head of Account
Actuals
BE
RBE
BE
2007-08
2008-09
2008-09
2009-10
A
Drainage/Sewerage Schemes
1.
Trunk, Peripheral Sewer and Gravity Duct
4672.26
10000.00
4550.00
7000.00
2.
Sewage Treatment Plants & Pumping Stations including R/Mains
12511.65
5500.00
4550.00
7000.00
3.
Residential Accommodation, Stores,. Lab and Godown
602.90
500.00
800.00
950.00
4.
Renovation of existing plants & P.Stn.
1597.70
4800.00
6000.00
6000.00
5.
Branch Sewer
5942.48
4000.00
5000.00
5000.00
6
Utilisation of Gas at various PlantsTOTAL
51.85
60.00
80.00
100.00
7
Environmental Greenary and Landscaping
0.00
150.00
200.00
200.00
8
Storm Water Drains
119.42
0.00
0.00
0.00
Total Sewerage and Sanitation
25498.26
25010.00
21180.00
26250.00
B
Common Wealth Games
0.00
800.00
553.00
700.00
C
I.T.Infrastructure
1
I. T. Infrastructure
4.86
100.00
80.00
90.00
2
Capacity Building
0.00
20.00
10.00
10.00
Total-I.T.Infrastructure
4.86
120.00
90.00
100.00
D
Abatement of pollution of River Yamuna(JNNURM)
1
Interceptor of Sewers
0.00
3230.00
4500.00
20000.00
2
Abatement of Pollution of River yamuna
2679.44
2800.00
500.00
0.00
Total-Abatement of pollution of River Yamuna
2679.44
6030.00
5000.00
20000.00
E
EAP Funding YAP-II
705.10
500.00
4475.00
6700.00
F
Sewage & drains schemes in Trans Yamuna Area
682.48
400.00
380.00
400.00
G
Sewerage facilities in Urban Villages
484.70
600.00
750.00
600.00
H
Sewerage facilities in Rural Villages
2334.01
2500.00
2500.00
2000.00
I
Sewerage facilities in RSC
274.01
250.00
550.00
250.00
J
Sewerage facilities in Unauthorised colonies
0.00
20000.00
15000.00
3000.00
 
TOTAL:
32662.87
56210.00
50478.00
60000.00
Section(E)_Grant-in-aid Water
EXPENDITURE (SCHEME-WISE)
  Head of Account
Actuals
BE
RBE
BE
   
2007-08
2008-09
2008-09
2009-10
1. GIA for  Providing water supply in Unauthorized colonies
5748.54
10000.00
17600.00
13600.00
2. GIA for augmentation of  water supply in J. J. Clusters
739.76
800.00
800.00
900.00
3. GIA for Rain Water Harvesting
6.99
65.00
65.00
55.00
4. GIA for water supply and sewerage schemes under MLA's Prioities
2362.08
3500.00
3500.00
3500.00
5. Water Quality Monitoring and Surveillance Programme(RGNDWM)
0
 
TOTAL:
8857.37
14365.00
21965.00
18055.00
Detail of receipt and utilization of Fund under MLALAD Scheme
2
Manual 12
The manner of execution of subsidy program
[Section 4(1)(b)(xii)]  
List of institutions given subsidy
S. No.
Name and address of the institution
Purpose for which subsidy provided
No. of beneficiaries
Amount of subsidy
Previous years utilization progress
Previous years achievements
1.
Domestic consumers
Domestic use
90% of 15.14 lacs consumers
-
-
Subsidy in the form of a low water tariff as compare to cost of water has been reduced significantly a new water tariff applicable w.e.f. 01.12.2004
List of individuals given subsidy
S. No.
Name and address of beneficiary
Purpose for which subsidy provided
Amount of subsidy
Scheme and criterion for selection
No. of time subsidy given in part with purpose
1
11,43,409
To provide water at a cost even persons belonging to weaker sections of society can afford to obtain water connection/DJB waters
Rs.83.87 crore (Approx.)per/annum
Same as mentioned under column 3 from left.
-
Financial Assistance Scheme For Rain Water Harvesting.
12
Details of schemes under which subsidies are granted should be given.
Manual 13
Particulars of recipients of concessions, permits or authorizations granted

[Section 4(1)(b)(xiii)]
List of beneficiaries
S.No.
Name and address of the beneficiary
Nature of concession/permit/ authorization provided
Purpose for which granted
Scheme and criterion for selection
No. of times similar concession given in past with purpose
1.
DJB Employees
50% concession on water bills
As a welfare measure
As per policy of the Board
Granted also in the past even from the year 1971
2.
Applicants of sewer/water connection
20% rebate on lumpsum payment of development charges
To attract deposit in a single amount in place of installments
As per policy of the Board
Since long in the past.
3.
Revenue
(i)
(ii)
Note: Creation of database and its hosting on website should be done on priority basis for activities like issue of permits, issue of authorizations, grant of concessions, licenses etc.
2
Manual 14
Information available in an electronic form
[Section 4(1)(b)(xiv)]
Details of information
S.No.  
Activities for which electronic data available
Nature of information available
Can it be shared with public
Is it available on website or is being used as back end date base.
1.
Provisions of Act and reasonability of Board
Yes
Yes
2.
For year 2001,2002,2003
Yes
Yes
3.
World Bank project report
Study report regarding sewer/ water management reforms
Yes
Yes
4.
Directory of organization
Name, office and telephone numbers
Yes
Yes
5.
Details of water/sewer charges, water meter dtc.
Yes
Yes
6.
Tender notices
NITs/EOIs relating misc works.
Yes
Yes
7.
DJB offices
Yes
Yes
2
Manual 15
Particulars of facilities available to citizen for obtaining information
[Section 4(1)(b)(xv)]
Facilities available for obtaining information
S.No.

Facility available

Nature of Information available Working hours
1.
Facilation Counter
1. Public Relation Office 2. Public Grievances Cell 3. Rain Water Harvesting Cell
Office working hours
2.
Website
1.Water Billing 2. Telephone Nos. of DJB Officers/officials 3. DJB Act,1998 4. Citizen Charter 5.Major projects 7. Rain water harvesting 8. Circular, Budget etc. 9. Delhi Right to information Act,2001 10. Right to information Act,2005 11. On line budget allocation  
24 hours
3.
Library
•  News papers •  Magazines •  DJB Act •  Other reading material related to DJB
Office working hours
4.
Notice board
•  Tender Notices •  Circulars, Instructions& public information
24 hours
t
Manual 16
Name, designation and other particulars of Public Information Officers
[Section 4(1)(b)(xvi)]
List of Public Information Officers/ Assistant Public Information Officers/ Nodal Officer/ First Appellate Authority, DJB
Work area of Chief Engineers, SE wise, Division wise and MLA Constituency wise
16
Manual 17
Other information as may be prescribed
[Section 4(1)(b)(xvii)]
No information has been prescribed as yet.
However information furnised suo motto by the different divisions / wings of DJB in respect of their functioning are given as hereunder:-
Bottling Plant
Horticulture Deptt.
Vigilance Deptt.
Treatment & Quality Control Department
Admn. & Personnel Department
Safty and Disaster Management Cell
2
Chief Minister
Latest News
 
Appeal from Hon. Chief Minister on 12th Five Year Plan - English
Appeal from Hon. Chief Minister on 12th Five Year Plan - Hindi
Census 2011 -Phase I
Census 2011-Phase II
City Plants Million Trees This Monsoon
Delhi Geo-Spatial Data Infrastructure Act, 2011
Guideline for Website Seurity
Results for the post of Geospatial Advisor
RFP bids invited for undertaking comprehensive Socio-economic survey of households in jhuggi jhopdi clusters in delhi
The Delhi Municipal Corporation (Amendment) Act 2011(Delhi Act 12 of 2011)
 
Local Services
 
Feedback
Grievances
 
Important Links
 
List of contractors in Probationary Class in Delhi Jal Board.
List of contractors registered in Delhi Jal Board
Water Tariff (w.e.f 1.1.2012)
Water Tariff Policy
 
Last Updated : 05 Dec,2011