Guidelines for Technical and Financial Management of Projects
Smith, Ian
E-Publications; E-Books; PublicationNT; Report ; 33/1993
1993-07-01
Made available via the Publications (Legal Deposit) Act 2004 (NT).
Date:1993-07
English
Power and Water Authority
Darwin
Report ; 33/1993
application/pdf.
Check within Publication or with content Publisher.
https://hdl.handle.net/10070/229187
https://hdl.handle.net/10070/673271
Technical Report WRD93033 Viewed at 15:07:48 on 29/07/2010 Page 10 of 36. ~IME'rABLE & CASH FLOWS FOR PARTICIPA~ING COST CENTRE JOB No. COST CENTRE No: PROPOSED 'rIME TABLE ACTIVITY 1 MONTHLY CAS!! FLOWS $' 000 , ~fANPOWER " 2 OP1g FUEL 3 OptS PURCa.~SES 4 STORES ISSUES 5 FREIGHT 6 FARES 7 CHARTER. 8 TRAVEL ALLOWANCE 9 LAB FEES 11 CONTRACT DRILLING 12 CONSULTANTS (NT) TO'rAL 2 TITLE PREPARED By: ........ / .. . 1 ... ENDORSED By: ........... I ... I ... 3 4 5 MON~!! 6 7 8 9 10 11 7 12