1 Saving Deposit
1.1 Account Opening
1.2 Minimum Balance 1100
1.3 Check Book Facility
1.4 Nach Facility
1.5 Debit Card
1.6 Mobile Banking Facility
2 Current Book
2.1 Account Opening
2.2 Checkbook
2.3 Minimum Balance 11000/-
5000/-
2.4 Mobile Banking Facility
2.5 Debit Card
2.6 CTS Clearing
3 Recurring Deposit
3.1 Monthly Installment
3.2 Autodebit Facility
4 Term Deposit
4.1 Monthly Installment
4.2 As per scheme facility available
4.3 As per Income Tax 15g/h Facility
5 1.5 pigmy collection
# Year Ended 31,March 2023 (Current Year)
I Income 191529
Interest earned 191529
Other Income 13156
Total 204685
II Expenditure
Interest expended 90459
Operating Expenses 49256
Provisions and contigencies 29677
Total 169392
III Profit / Loss
Net Profit / loss (-) for the year 35293
Profit/loss(-) brought forward
Total 35293