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
1BARUIPUR PS5.337.2012.5410.651.8884.98October,2020
2BASANTI PS11.2111.0922.3112.2010.1154.69December,2020
3BHANGAR-I PS6.336.1412.476.865.6254.97December,2020
4BHANGAR-II PS8.635.9014.539.335.2064.23November,2020
5BISHNUPUR-I PS7.094.1511.244.726.5241.99August,2020
6BISHNUPUR-II PS8.117.6215.744.3311.4127.51November,2020
7BUDGE BUDGE-I PS5.493.038.523.415.1140.06December,2020
8BUDGE BUDGE-II PS8.833.4612.295.297.0043.05December,2020
9CANNING-I PS8.466.7915.256.888.3745.11December,2020
10CANNING-II PS11.452.1513.605.468.1340.18August,2020
11CHANDIPUR GP2.804.297.094.212.8859.37January,2012
12DIAMOND HARBOUR-I PS4.931.246.172.953.2247.81June,2020
13DIAMOND HARBOUR-II PS4.075.129.192.976.2232.34November,2020
14FALTA PS4.779.5414.318.855.4661.85December,2020
15GOSABA PS5.437.7913.226.396.8348.34December,2020
16JAYNAGAR-I PS8.536.8315.367.597.7749.42December,2020
17JAYNAGAR-II PS6.333.619.945.234.7052.65September,2020
18KAKDWIP PS10.065.5015.565.4210.1434.81December,2020
19KULPI PS4.1112.8616.979.097.8853.55November,2020
20KULTALI PS10.275.1315.417.947.4751.51December,2020
21MAGRAHAT-I PS10.0610.7520.8014.815.9971.22March,2020
22MAGRAHAT-II PS7.997.8415.829.206.6258.17December,2020
23MANDIRBAZAR PS4.028.0012.027.534.4962.66December,2020
24MATHURAPUR-I PS2.956.349.294.714.5850.67December,2020
25MATHURAPUR-II PS6.802.859.652.567.0926.50December,2020
26NAMKHANA PS4.834.709.534.874.6651.12December,2020
27PATHARPRATIMA PS7.328.0015.328.177.1453.37November,2020
28SAGAR PS2.824.867.684.812.8762.58November,2020
29SONARPUR PS10.715.9316.647.229.4243.36December,2020
30THAKURPUKUR MAHESHTALA PS3.472.255.722.792.9348.76December,2020
TOTAL203.18180.98384.16196.440.00187.72 

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







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