FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF NOVEMBER 2021
UNIVERSITY OF LAGOS FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF NOVEMBER 2021 FUND SOURCES N Postgraduate fees 60,341,500.00 Undergraduate fees 119,958,300.00 Institute of Continuing Education 100,263,000.00 Application forms 43,143,500.00 Acceptance fee 16,225,000.00 Hostel accomodation 111,431,750.00 Convocation fees 8,116,761.25 Capitation 42,022,145.00 Electricity recovered 22,109,506.55 Transcripts 21,931,250.00 Sundry other income 855,820.00 Post utme 6,522,000.00 Rent on Quarters 6,541,332.76 Shop/stalls/Halls 10,201,922.12 […]
ALLOCATION OF CAMPUS QUARTERS: 2021 EXERCISE
This is to invite all interested qualified members of staff to participate in the allocation of campus quarters exercise for the year 2021. 1. Accordingly, beginning from Wednesday, 1st December, 2021 and ending on Wednesday, 21st December, 2021 all interested members of staff should visit the University website to download the application form. 2. The form must be duly COMPLETED and CERTIFIED where necessary and then returned by the staff concerned to the Housing Unit […]
FACULTY OF SCIENCE INVITES YOU A SPECIAL MONTHLY SEMINAR
FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF OCTOBER 2021
FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF OCTOBER 2021 FUND SOURCES N Postgraduate fees 64,829,500.00 Undergraduate fees 279,102,400.00 Institute of Continuing Education 78,976,325.00 Application forms 65,295,500.00 Acceptance fee 33,700,000.00 Hostel accomodation 62,620,500.00 Convocation fees 6,870,500.00 Capitation 9,491,595.00 Electricity recovered 17,638,154.50 Transcripts 18,176,500.00 Sundry other income 1,029,450.00 Post utme 21,500,000.00 Rent on Quarters 6,339,465.17 Shop/stalls/Halls 8,305,281.00 Sale of disused […]
FUND SOURCES AND UTILISATION REPORT FOR THE MONTH OF SEPTEMBER 2021
FUND SOURCES N Postgraduate fees 131,353,750.00 Undergraduate fees 32,731,000.00 Institute of Continuing Education 26,206,250.00 Accomodation 2,788,500.00 Application forms 37,911,500.00 Convocation fees 11,003,600.00 Capitation 7,098,015.00 Electricity recovered 25,236,351.22 Transcripts 18,728,000.00 Sundry other income 3,601,585.00 Refunds/recoveries 3,181,155.93 Post utme 2,000.00 Rent on Quarters 5,518,905.48 Shop/stalls/Halls 15,629,547.00 Sale of disused assets 435,000.00 Contributions 2,500,000.00 Total receipts for the month 323,925,159.63 […]