Annual Financial Statement 2024-25
Madavoor Grama Panchayat - Receipt and Payment Report SummaryThis report pertains to the Receipt and Payment Accounts of the Madavoor Grama Panchayat.The details provided refer to the financial period from April 1, 2024, to March 31, 2025.
Opening Cash and Bank Balance3,22,83,398.
Total Receipts34,51,02,408.00
Total Payments (Expenditure)32,22,34,500.00
Total Borrowings (Loans Received)4,19,41,600.00
Loan Repayments8,96,000.00
Closing Cash and Bank Balance6,07,46,606.00