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 PS3.920.053.980.763.2219.11April,2019
2BHAGAWANPUR-II PS3.270.203.461.132.3432.48May,2019
3EGRA-I PS2.440.062.500.412.0916.39April,2019
4EGRA-II PS2.130.072.200.721.4732.92May,2019
5KANTHI-I (CONTAI-I) PS3.074.457.524.562.9660.64March,2019
6KANTHI-II (CONTAI-II) PS3.750.334.080.253.836.08May,2019
7KANTHI-III (CONTAI-III) PS2.022.244.253.890.1191.34February,2019
8KHEJURI-I PS2.250.182.440.322.1213.13May,2019
9KHEJURI-II PS2.460.282.750.422.3315.31May,2019
10MAHISADAL PS2.390.072.450.611.8424.80May,2019
11MAYNA PS1.870.071.940.371.5719.03April,2019
12NANDAKUMAR PS4.676.6111.287.703.5868.27March,2019
13NANDIGRAM-I PS6.510.456.960.656.319.40May,2019
14NANDIGRAM-II PS2.090.292.380.621.7626.06May,2019
15NANDIGRAM-III PS3.630.293.920.793.1220.27May,2019
16PANSKUR -I PS7.280.507.780.886.9011.37May,2019
17PANSKUR -II PS8.500.378.871.127.7412.66May,2019
18PATASPUR-I PS2.400.372.780.532.2519.08May,2019
19PATASPUR-II PS3.590.444.030.803.2419.79May,2019
20RAMNAGAR -I PS3.712.576.282.443.8538.77August,2018
21RAMNAGAR -II PS1.244.085.334.011.3275.23February,2019
22SUTAHATA-I PS3.430.193.620.533.0914.68May,2019
23SUTAHATA-II PS1.820.031.850.461.4024.72May,2019
24TAMLUK -I PS3.420.393.800.753.0619.63May,2019
25TAMLUK -II PS3.183.847.024.922.1169.98February,2019
TOTAL85.0428.43113.4739.63-0.2673.58 

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







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