1. NOTES TO THE FINANCIAL STATEMENTS
FOR THE MID-YEAR ENDED 30TH JUNE, 2017
NOTES 1C
DETAILS OF OTHER STATUTORY RECEIPTS FOR JANUARY – JUNE 2017
SOLID
MINERAL EXCESS PPT EXCHANGE
NIGERIA
LIQUIDFY BAIL OUT
PARIS
CLUB RECOVERED TOTAL
REVENUE RATE GAIN
NATURAL
GAS
REFUND
BY FAAC REFUND
EXCESS BANK
CHARGES
MONTH N N N N N N N N
JANUARY - 235,683,279.24 296,743,616.27 - - - - 532,426,895.51
FEBRAURY - 333,538,523.99 270,140,126.33 - - - - 603,678,650.32
MARCH - 333,812,590.16 223,942,135.58 - - - - 557,754,725.74
2. APRIL - 122,011,437.67 373,242,650.44 - - - - 495,254,088.11
MAY - 111,955,754.73 214,101,056.36 - - - - 326,056,811.09
JUNE - - 367,650,067.03 - - - - 367,650,067.03
TOTAL - 1,137,001,585.79 1,745,819,652.01 - - - - 2,882,821,237.80