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
1BHAGAWANPUR-I PS3.024.397.424.442.9859.85August,2020
2BHAGAWANPUR-II PS1.793.715.504.241.2577.20September,2020
3EGRA-I PS1.693.315.003.191.8263.70July,2020
4EGRA-II PS2.462.545.003.321.6866.45August,2020
5KANTHI-I (CONTAI-I) PS3.480.854.331.612.7237.20April,2020
6KANTHI-II (CONTAI-II) PS2.452.064.512.092.4246.40July,2020
7KANTHI-III (CONTAI-III) PS2.233.665.893.772.1164.07February,2020
8KHEJURI-I PS2.251.643.892.471.4263.45January,2020
9KHEJURI-II PS2.362.875.232.882.3555.12September,2020
10MAHISADAL PS2.213.866.073.712.3661.18September,2020
11MAYNA PS1.703.915.624.461.1679.37September,2020
12NANDAKUMAR PS3.813.587.383.933.4553.30August,2020
13NANDIGRAM-I PS6.519.9416.4510.845.6265.86February,2020
14NANDIGRAM-II PS3.162.045.201.963.2437.68July,2020
15NANDIGRAM-III PS3.063.957.024.332.6961.73September,2020
16PANSKUR -I PS5.184.449.625.194.4353.94September,2020
17PANSKUR -II PS6.133.849.974.595.3746.08August,2020
18PATASPUR-I PS1.812.424.232.501.7359.13July,2020
19PATASPUR-II PS2.932.755.683.082.6054.28July,2020
20RAMNAGAR -I PS3.703.937.633.863.7750.58January,2020
21RAMNAGAR -II PS1.532.193.722.321.4062.43September,2020
22SUTAHATA-I PS1.501.723.222.260.9770.02August,2020
23SUTAHATA-II PS1.582.143.721.911.8051.47September,2020
24TAMLUK -I PS4.394.739.124.444.6848.69September,2020
25TAMLUK -II PS3.472.646.113.013.1049.27August,2020
TOTAL74.4083.14157.5490.430.0067.11 

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







  Back