Annual Financial Statement 2015-16
Financial Analysis Report: Arpookara Grama Panchayat (FY 2015-16)
1. Revenue Receipts
Grants from the state government and self-generated revenues form the primary sources of income:
- Revenue Grants & Assistance: ₹5,14,22,613
- Development Fund (General, SCP, CFC): ₹1,28,48,198
- Social Welfare & Pension Grants: ₹1,76,21,130 (including agricultural labor, widow, and old-age pensions)
- Maintenance Fund (Road & Non-Road Assets): ₹57,75,643
- General Purpose Fund: ₹73,28,052
- Employment Guarantee Scheme (NREGA): ₹71,13,550
- Tax Revenue: ₹77,28,652
- Property Tax & Service Cess: ₹28,49,830
- Profession Tax: ₹48,78,822
- Rental Income: ₹62,83,328 (from Panchayat-owned buildings)
- Fees & User Charges: ₹15,98,206 (including permits, certificates, and bus stand fees)
- Interest & Other Income: ₹4,60,087
2. Expenditures
Expenditures incurred by the Panchayat across major operational heads:
- Welfare Schemes & Transferred Institutions: ₹1,77,83,430
- Service Sector Programs: ₹1,50,31,044
- Housing Schemes (General & SCP): ₹42,62,500
- Poverty Alleviation Programs: ₹71,13,550
- Anganwadi Nutrition Supply: ₹1,44,09,13
- Public Health Initiatives: ₹7,67,807
- Maintenance Projects: ₹91,59,797 (upkeep of roads, Ayurveda/Homeo hospitals, and schools)
- Establishment Expenses: ₹87,33,064 (staff salaries, honorarium, and pension contributions)
- Productive Sector: ₹26,45,455 (paddy cultivation, animal husbandry, and dairy development)
- Administrative Expenses: ₹16,06,556
- Operations & Maintenance: ₹14,02,535 (includes street light electricity charges of ₹7.47 lakh)
- Infrastructure Development: ₹8,76,353
- Depreciation: ₹31,97,973
3. Financial Position & Balance Sheet Summary
| Particulars | Amount (₹) |
|---|---|
| Panchayat General Fund | ₹4,58,93,764 |
| Reserves & Capital Contribution | ₹2,27,83,959 |
| Fixed Assets (Net) | ₹3,16,18,711 |
| Capital Work in Progress | ₹75,80,389 |
| Sundry Debtors / Receivables | ₹62,92,152 |
| Cash and Bank Balances | ₹2,63,40,537 |