Statement Showing Financial Performance of Panchayat Samity
(On The Basis OF Latest Available Data)
Rs. in Crore
SL.
No.
Zilla Parishad OP.
Balance
ReceiptsTotal
Available
PaymentsCl.
Balance
% of
Utilisation
Upto
1AUSGRAM-II PS2.260.632.890.282.619.78April,2023
2AUSGTAM-I PS2.420.572.980.352.6411.70April,2023
3BHATAR PS5.641.006.641.125.5216.82May,2023
4BURDWAN-I PS8.671.6910.361.918.4518.44August,2022
5BURDWAN-II PS3.690.263.950.333.628.37April,2023
6GALSI-I PS2.584.507.084.972.1270.11March,2023
7GALSI-II PS2.923.446.364.312.0567.78March,2023
8JAMALPUR PS4.235.329.565.883.6761.54March,2023
9KALNA-I PS6.694.6611.347.064.2962.21March,2024
10KALNA-II PS4.632.787.423.294.1244.40December,2023
11KATWA-I PS 1.893.645.523.352.1760.70March,2023
12KATWA-II PS4.240.684.930.943.9919.10April,2023
13KETUGRAM -II PS3.373.446.814.292.5262.97January,2024
14KETUGRAM-I PS2.751.804.552.771.7860.87November,2023
15KHANSAGHOSH PS3.120.233.360.333.029.93April,2023
16MANTESWAR PS8.514.2012.704.318.3933.93February,2023
17MEMARI-I PS 4.190.875.060.524.5410.28April,2023
18MEMARY-II PS2.830.853.680.712.9719.22May,2023
19MONGALKOTE PS5.335.4810.826.334.4958.51January,2024
20PURBASTHALI-I PS7.933.0010.935.105.8346.66January,2024
21PURBASTHALI-II PS5.682.968.645.133.5159.34October,2023
22RAINA-I PS3.625.118.745.383.3661.56February,2023
23RAINA-II PS2.624.617.234.302.9359.44March,2024
TOTAL99.8361.72161.5572.950.0088.60 

* ( Self cheque issued - Self cheque encashed ) for this period
** Where CB<OB i.e. Receipt is less than payment







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