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 PS7.529.6717.1911.225.9765.25February,2023
2BASANTI PS13.650.6014.240.6213.624.37April,2023
3BHANGAR-I PS5.705.2911.005.665.3351.50January,2024
4BHANGAR-II PS7.765.6613.426.466.9648.10October,2022
5BISHNUPUR-I PS7.604.8612.465.457.0143.74January,2023
6BISHNUPUR-II PS9.970.6610.642.018.6318.91June,2022
7BUDGE BUDGE-I PS4.071.976.032.813.2246.64September,2022
8BUDGE BUDGE-II PS5.400.996.391.245.1519.46May,2023
9CANNING-I PS8.794.3613.157.905.2560.05January,2023
10CANNING-II PS10.781.7712.562.619.9520.76October,2022
11CHANDIPUR GP2.804.297.094.212.8859.37January,2012
12DIAMOND HARBOUR-I PS6.151.037.190.426.765.90April,2023
13DIAMOND HARBOUR-II PS5.253.829.075.113.9656.32February,2023
14FALTA PS3.363.456.822.364.4534.65August,2022
15GOSABA PS8.489.4617.948.469.4847.17March,2023
16JAYNAGAR-I PS6.075.9412.016.145.8651.17March,2023
17JAYNAGAR-II PS7.003.4410.444.955.4947.42December,2022
18KAKDWIP PS9.898.0317.918.049.8844.87March,2023
19KULPI PS6.042.938.973.305.6736.83July,2022
20KULTALI PS8.274.2612.548.933.6171.23January,2023
21MAGRAHAT-I PS7.851.068.911.956.9621.86June,2022
22MAGRAHAT-II PS7.360.537.880.936.9611.74April,2023
23MANDIRBAZAR PS5.006.3011.307.483.8266.18March,2023
24MATHURAPUR-I PS3.461.364.821.013.8121.03May,2023
25MATHURAPUR-II PS7.664.1811.853.967.8833.44November,2022
26NAMKHANA PS3.554.197.744.283.4655.31February,2023
27PATHARPRATIMA PS11.057.8918.9310.098.8553.28March,2023
28SAGAR PS2.551.263.810.842.9721.92April,2023
29SONARPUR PS10.275.1115.384.8610.5131.63November,2022
30THAKURPUKUR MAHESHTALA PS4.742.467.203.753.4652.04December,2022
TOTAL208.05116.84324.89137.060.00187.83 

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







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