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PAYMENT PARTICULARS
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 Actuals                         on   01-
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 Sl.  Code  Head of Account  Estimated for               Total  Budget for
 01-04-2023 to            01-2024
 No.  2023-24                                       2024-25
 31-12-2023   to 31-03-2024
 (A)  (B)          (`c)           (B+C)
 10111  Share Capital            1,44,00,000               28,49,450             7,12,363             35,61,813                  40,96,084
 Total Rs          1,44,00,000               28,49,450             7,12,363             35,61,813                  40,96,084
 2  121  Deposits
 1214  Thrift Deposits            1,68,00,000               97,77,474           24,44,369          1,22,21,843               1,40,55,119
 121107  Members FDs               73,50,000            1,23,22,316           30,80,579          1,54,02,895               1,07,02,000

 131306  Staff Security Deposits                        7,024                       -                         -
 131101  Staff EPF                13,69,981             3,42,495             17,12,477
 Total Rs          2,41,57,024            2,34,69,771           58,67,443          2,93,37,214               2,47,57,119
 3  131  Current Liabilities

 1311  Other Recoveries From Pending Disbursements             19,35,161             4,83,790             24,18,951
 1312  Interest payable               16,34,365               43,08,337           10,77,084             53,85,421               1,95,10,959
 1313  Other Liabilities                96,27,389           24,06,847          1,20,34,236

            16,34,365            1,58,70,887           39,67,722          1,98,38,609               1,95,10,959

 4  111  Borrowings
 111305  Cash Credit APCOB                        -
 111306  Cash Credit CDCC Bank Ltd       19,80,00,000          14,11,79,185      10,72,71,213        24,84,50,398             19,80,00,000
 Total Rs        19,80,00,000          14,11,79,185      10,72,71,213        24,84,50,398             19,80,00,000

 5  201  Fixed Asstes
 201200  Furniture & Fixtures
 201100  Computers
                       -                           -                             -
 6  211  Investments Made



 2112  Gratuity Invested in Various Banks 57,04,645                 4,390.00                     4,390                  57,04,952








 2113  Reserve Fund Investments        15,92,90,471     10,55,44,458.00         10,55,44,458             17,60,51,609
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