After the close of each financial year, the Accounts Officer shall send to each subscriber an Annual Statement of Accounts in the Fund showing the opening balance as on the 1st April of the year, the total amounts credited or debited during the year, the total amount of interest credited as on 31st March of the year and the closing balance on that date. Subscribers shall satisfy themselves as to the correctness of the annual statement and errors if any, should be brought to the notice of the Accounts Officer. The details of missing credits will also be shown in the said statement.