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 PS4.333.938.274.633.6455.98January,2023
2BHAGAWANPUR-II PS0.773.554.323.740.5886.50March,2023
3EGRA-I PS1.482.754.232.931.3169.13October,2021
4EGRA-II PS3.213.827.025.002.0271.17October,2021
5KANTHI-I (CONTAI-I) PS3.532.255.782.872.9249.58November,2022
6KANTHI-II (CONTAI-II) PS2.161.463.621.631.9945.09August,2022
7KANTHI-III (CONTAI-III) PS2.510.332.850.552.3019.19July,2022
8KHEJURI-I PS2.251.643.892.471.4263.45January,2020
9KHEJURI-II PS2.322.384.702.951.7562.81January,2023
10MAHISADAL PS2.582.645.223.481.7466.74November,2022
11MAYNA PS2.874.607.475.561.9174.44March,2023
12NANDAKUMAR PS1.052.523.571.222.3534.21June,2022
13NANDIGRAM-I PS2.842.375.212.492.7247.82October,2022
14NANDIGRAM-II PS3.581.094.671.483.1931.77August,2022
15NANDIGRAM-III PS2.522.845.353.421.9363.95December,2022
16PANSKUR -I PS3.535.559.085.743.3563.17February,2023
17PANSKUR -II PS4.280.735.010.904.1117.98April,2023
18PATASPUR-I PS2.272.234.502.342.1652.03December,2022
19PATASPUR-II PS2.708.0310.737.323.4168.23March,2022
20RAMNAGAR -I PS2.970.643.610.692.9319.03June,2022
21RAMNAGAR -II PS1.844.446.284.062.2264.60February,2022
22SUTAHATA-I PS3.045.018.046.032.0175.05March,2023
23SUTAHATA-II PS1.192.273.462.301.1766.33March,2023
24TAMLUK -I PS2.864.437.294.592.7062.94February,2023
25TAMLUK -II PS2.221.633.852.101.7554.61August,2022
TOTAL64.8973.14138.0380.480.0057.55 

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







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