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 PS12.986.4719.4514.504.9574.57January,2019
2BASANTI PS16.050.0816.132.3013.8314.26May,2019
3BHANGAR-I PS9.650.4510.091.838.2618.14May,2019
4BHANGAR-II PS13.410.3413.751.6512.0912.04May,2019
5BISHNUPUR-I PS7.798.7816.577.019.5742.27March,2019
6BISHNUPUR-II PS9.193.6812.875.377.5041.70November,2018
7BUDGE BUDGE-I PS5.980.005.980.265.724.33April,2019
8BUDGE BUDGE-II PS4.250.084.330.843.4919.34May,2019
9CANNING-I PS12.970.1113.081.6411.4412.53May,2019
10CANNING-II PS17.610.2117.820.9316.895.24May,2019
11CHANDIPUR GP2.804.297.094.212.8859.37January,2012
12DIAMOND HARBOUR-I PS4.810.455.260.474.798.89May,2019
13DIAMOND HARBOUR-II PS6.842.229.064.244.8246.81October,2018
14FALTA PS7.050.487.532.934.6138.85May,2019
15GOSABA PS8.890.169.041.917.1321.10May,2019
16JAYNAGAR-I PS8.830.569.391.427.9715.11May,2019
17JAYNAGAR-II PS14.0911.3525.4414.8510.5958.38March,2019
18KAKDWIP PS10.060.3310.391.309.1012.48May,2019
19KULPI PS10.830.2311.062.648.4223.86May,2019
20KULTALI PS14.310.0814.393.1011.2821.57April,2019
21MAGRAHAT-I PS8.996.5515.547.957.5851.20January,2019
22MAGRAHAT-II PS10.5511.6822.2310.1112.1145.51March,2019
23MANDIRBAZAR PS9.040.119.150.828.338.99May,2019
24MATHURAPUR-I PS6.291.167.450.766.6910.18May,2019
25MATHURAPUR-II PS7.370.097.460.237.233.10April,2019
26NAMKHANA PS6.360.146.490.885.6113.62May,2019
27PATHARPRATIMA PS12.800.1912.982.8210.1721.69May,2019
28SAGAR PS5.210.215.410.614.8111.19April,2019
29SONARPUR PS11.230.4911.732.699.0322.96May,2019
30THAKURPUKUR MAHESHTALA PS4.823.238.053.864.1947.93February,2019
TOTAL281.0564.17345.22104.130.00241.09 

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







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