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
1BELDANGA-I PS6.405.0611.456.724.7458.63February,2023
2BELDANGA-II PS7.806.0413.845.488.3639.61February,2023
3BERHAMPURE PS5.87118.60124.48119.664.8196.13February,2023
4BHAGAWANGOLA-I PS2.914.467.374.143.2356.14March,2023
5BHAGAWANGOLA-II PS3.240.253.480.483.0013.88June,2022
6BHARATPUR -I PS4.666.3611.035.905.1253.56March,2021
7BHARATPUR -II PS4.731.356.071.494.5824.50September,2022
8BURWAN PS4.942.667.603.384.2244.50November,2021
9DOMKOL PS3.124.817.933.963.9749.96March,2023
10FARAKKA PS4.842.287.112.354.7633.05December,2022
11HARIHARPARA PS1.602.644.243.740.5088.28November,2022
12JALANGI PS2.265.888.146.201.9476.20March,2023
13KANDI PS3.951.445.390.424.967.88May,2023
14KHARGRAM PS5.063.838.896.412.4972.04December,2022
15LALGOLA PS8.596.0014.596.008.5941.12February,2023
16MURSHIDABAD-JIAGANJ PS4.744.499.235.373.8658.16February,2023
17NABAGRAM PS3.414.297.704.593.1159.61March,2023
18NAODA PS4.593.778.363.165.2037.74January,2023
19RAGHUNATHGANJ -I PS3.064.167.214.013.2155.52March,2023
20RAGHUNATHGANJ -II PS8.001.479.473.675.8038.76July,2022
21RANINAGAR-I PS2.271.333.601.671.9346.42August,2022
22RANINAGAR-II PS4.311.045.351.234.1123.06June,2022
23SAGARDIGHI PS8.306.9315.246.408.8342.02February,2023
24SAMSERGANJ PS5.1910.7615.9510.175.7863.78March,2020
25SUTI-I PS3.901.205.091.393.7027.26June,2022
26SUTI-II PS4.062.196.251.894.3530.32October,2022
TOTAL121.78213.28335.05219.890.00115.16 

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







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