High Suffolk Community Transport
Commitee Documents page 2
10.14 Accountant
10.15 CTA
10.16 Fuel Suppliers
10.17 Mainenance Suppliers
10.18 Monk Soham Farm
11 New Bus
11.1 Potential Suppliers
11.2 Purchase of New Bus
11.2.1.1 Facilities
11.2.1.2 Pictures
11.3 Disposal of Old Bus
12 Monthly Schedule
12.1 Example of Operations Schedule
13 Driver Assisted Hire & Other
14 Meetings
14.1 AGM
14.2 Committee
14.3 Other
15 Fuel
15.1.1 Sample Fuel Summary
16 Fuel Duty Rebate
16.1 Fuel Duty Rebate Estimate
16.1.1 Fuel-Duty-Rebate estimate
16.1.2 PSV 310 Estimate 2020 to 2021
16.2 Fuel Duty Rebate Actual
16.2.1 Fuel-Consumption 2019-2020
16.2.2 Fuel Duty 3 sheets
16.2.3 PSV311 BSOG
17.1 Concessionary Fares & Claims
17.2 Concessionary Claims MCL
17.2.1 MCL Return
17.3 Concessionary Claims SYSTRA
17.3.1 Systra return
17.3.2 Systrs rtn ex
18 Bus Care
18.1 Maintenance & Safety Checks
18.2 Cleaning
Index sheet 1-10
Index sheet 11-20
Expansion of 7.3 USB Files
1 Company USB File Contents
1 In-Ex 20xx Template
2 P&L 20xx Template
3 Operations Schedule
4 Transactions Template
5.1 Pay In Slips F D H
5.2 Pay In Slips Money
6 Waybill Normal
7 Waybill PH&Other
8 Daily Check list
<Previous Page
9 Passenger Ticket
10 Current Farese
11 Fuel-Consumption Jan to Dec Template
12 Fuel-Consumption Jul to JunTemplate
13 Fuel-Duty-Rebate-20xx-20xx+1 estimate
14 Fuel-Duty-Rebate template
15 Proposed Fares
16 Tmetable Current
17 Privatehire-Other template
18 Cal of Cost template
19 HSCT FinancialStatement20xx
20 HSCT Note to Auditor20xx
21 N&N Systra Return
Website Mangement
HSCT FinancialStatement2020 - DRAFT[11608]
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