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States: Rajasthan, Sikkim, Tamil Nadu, Telangana

Appendix I : Revenue Receipts of Municipal Corporations (Contd.)
(₹ lakh)
Item RAJASTHAN SIKKIM
2019-20 (Accounts) 2020-21 (Accounts) 2021-2022 (Accounts) 2022-23 (Revised Estimates) 2023-24 (Budget Estimates) 2019-20 (Accounts) 2020-21 (Accounts) 2021-2022 (Accounts) 2022-23 (Revised Estimates) 2023-24 (Budget Estimates)
1 2 3 4 5 6 7 8 9 10 11
TOTAL REVENUE RECEIPTS (A-I) 1,23,209 1,36,296 1,62,653 2,46,551 2,97,152 1,422 2,891 2,500 2,691 3,109
A. Tax Revenue (1 - 16) 11,693 12,464 9,442 19,158 24,885 95 56 62 117 120
1 Property Tax 10,527 12,452 9,328 18,624 24,365 - - - - -
2 Water Tax - 0.3 - 0.1 0.2 - - - - -
3 Sewerage/Drainage Tax 11 7 39 29 15 - - - - -
4 Conservancy/Latrine Tax - - - - - - - - - -
5 Lighting Tax - - - - - - - - - -
6 Education Tax - - - - - - - - - -
7 Vehicle Tax - - - - - - - - - -
8 Tax on Animals - - - - - - - - - -
9 Electricity Tax - - - 200 200 - - - - -
10 Professional Tax - - - - - - - - - -
11 Advertisement Tax - - - - - - - - - -
12 Pilgrimage Tax - - - - - - - - - -
13 Octroi and Toll - - - - - - - - - -
14 Cess - - - - - - - - - -
15 Other Taxes 45 6 75 305 305 95 56 62 117 120
16 Tax Remission & Refund - - - - - - - - - -
B. Assigned Revenues & Compensations 89,774 99,115 1,12,002 1,40,372 1,48,921 - - - - -
1 Taxes and Duties collected by others - - - - - - - - - -
2 Compensation in lieu of Taxes/Duties 89,774 99,115 1,12,002 1,40,372 1,48,921 - - - - -
3 Compensations in lieu of Concessions - - - - - - - - - -
C. Rental Income from Municipal Properties 802 755 1,253 3,055 3,472 121 99 76 135 139
1 Of which: Rent from Civic Amenities - - - - - 120 99 76 76 80
2 Of which: Rent from Office Buildings - - - - - 1.2 0.3 0.3 1.0 1.0
D. Fees and User Charges 16,381 16,266 27,883 44,416 58,714 627 481 528 623 661
1 Empanelment & Registration Charges - - - - - 0.9 0.8 1.0 2 2
2 Licensing Fees - - - - - 162 151 166 180 185
3 Fees for Grant of Permit - - - - - 18 6 7 14 16
4 Fees for Certificate or Extract - - - - - 0.7 0.2 0.3 0.6 0.6
5 Development Charges - - - - - - - - - -
6 Regularisation Fees - - - - - 14 11 17 18 20
7 Penalties and Fines - - - - - 10 10 20 20 20
8 Other Fees - - - - - 40 8 18 18 19
9 User Charges - - - - - 380 292 297 369 397
10 Entry Fees - - - - - - - - - -
11 Service / Administrative Charges - - - - - - - - - -
12 Other Charges - - - - - 0.9 2 3 3 3
13 Fees Remission and Refund - - - - - - - - - -
E. Sale and Hire Charges 890 2,535 4,675 26,283 46,292 6 10 14 14 18
F. Revenue Grants, Contribution and Subsidies 735 1,123 5,414 7,215 7,806 504 2,145 1,775 1,751 2,121
1 Revenue Grant - - - - - 481 2,090 1,775 1,726 2,095
2 Of which: Finance Commission - - - - - - - - - -
3 Of which: Central Government - - - - - 432 1,464 1,204 1,027 1,325
4 Of which: State Finance Commission - - - - - 49 626 571 699 770
5 Of which: State Government - - - - - - - - - -
6 Re-imbursement of Expenses - - - - - 23 54 - 25 26
7 Contribution towards Schemes - - - - - - - - - -
G. Income from Investment 2,304 4,037 1,484 5,752 6,683 69 99 46 50 50
1 Interest on Investment in Govt. Securities, Fixed Deposit, Post Office Deposits etc. - - - - - - 84 - - -
2 Dividend - - - - - - - - - -
3 Income from Projects taken up on Commercial Basis - - - - - - - - - -
4 Profit in Sale of Investments - - - - - - - - - -
5 Others - - - - - 31 16 28 30 30
H. Interest Earned on Loans - - - - - - - - - -
I. Other Income 629 - 500 300 380 - - - - -
Note: -: Data are not available.
Source: Municipal Corporations.

 

Appendix I : Revenue Receipts of Municipal Corporations (Contd.)
(₹ lakh)
Item TAMIL NADU TELANGANA
2019-20 (Accounts) 2020-21 (Accounts) 2021-2022 (Accounts) 2022-23 (Revised Estimates) 2023-24 (Budget Estimates) 2019-20 (Accounts) 2020-21 (Accounts) 2021-2022 (Accounts) 2022-23 (Revised Estimates) 2023-24 (Budget Estimates)
1 2 3 4 5 6 7 8 9 10 11
TOTAL REVENUE RECEIPTS (A-I) 5,94,682 6,42,944 6,36,499 7,72,908 8,83,387 3,63,798 3,46,326 4,03,681 4,57,342 4,76,231
A. Tax Revenue (1 - 16) 2,02,123 2,00,121 2,18,084 3,52,540 3,91,085 1,80,676 1,97,083 2,07,233 2,23,743 2,39,552
1 Property Tax 1,06,237 65,254 75,121 2,15,577 2,40,560 1,80,021 1,96,298 1,25,858 1,37,816 2,37,631
2 Water Tax 22,330 23,036 22,227 43,260 48,586 188 187 284 924 975
3 Sewerage/Drainage Tax 1,289 1,409 1,461 2,547 2,774 - - 16,107 16,850 -
4 Conservancy/Latrine Tax 509 565 593 1,114 1,203 - - 48,320 50,549 -
5 Lighting Tax 678 754 790 1,485 1,604 - - 16,107 16,850 -
6 Education Tax 8,853 9,288 10,027 21,277 23,761 - - - - -
7 Vehicle Tax - - 224 - - - - - - -
8 Tax on Animals 1.0 1.0 - - - - - - - -
9 Electricity Tax - - - - - - - - - -
10 Professional Tax 58,879 98,197 1,06,004 61,164 66,528 - - - - -
11 Advertisement Tax 2,910 1,130 1,204 418 88 144 182 231 531 652
12 Pilgrimage Tax - - - - - - - - - -
13 Octroi and Toll - - - - - - - - - -
14 Cess - - - - - - 11 - - -
15 Other Taxes 437 487 433 5,698 5,981 322 404 327 223 294
16 Tax Remission & Refund - - - - - - - - - -
B. Assigned Revenues & Compensations 78,479 79,093 85,905 1,00,124 1,31,852 46,178 96 - 4,400 10,102
1 Taxes and Duties collected by others 78,372 79,088 85,886 1,00,121 1,31,550 45,422 96 - 4,400 10,102
2 Compensation in lieu of Taxes/Duties 107 5 20 2 302 756 - - - -
3 Compensations in lieu of Concessions - - - - - 0.07 - - - -
C. Rental Income from Municipal Properties 27,495 20,318 23,460 17,289 24,262 987 1,056 1,887 1,728 2,352
1 Of which: Rent from Civic Amenities 19,394 16,332 18,390 14,401 16,471 775 871 1,600 1,373 1,888
2 Of which: Rent from Office Buildings 7,580 3,604 4,595 2,664 7,518 212 185 287 355 464
D. Fees and User Charges 77,558 76,026 91,317 83,933 1,01,744 1,31,399 98,578 1,53,091 1,94,758 1,83,673
1 Empanelment & Registration Charges 208 162 107 1,700 157 118 73 71 198 94
2 Licensing Fees 11,272 12,234 13,386 8,669 14,837 4,832 5,522 7,000 10,478 11,510
3 Fees for Grant of Permit 4,851 4,590 6,714 6,864 8,114 92,993 67,573 1,02,258 1,27,525 99,228
4 Fees for Certificate or Extract 466 356 336 350 366 184 112 138 312 359
5 Development Charges 12,415 9,575 11,396 9,433 10,756 17,989 14,702 32,610 42,979 54,033
6 Regularisation Fees 418 453 559 619 646 694 466 783 1,130 1,170
7 Penalties and Fines 3,184 2,401 3,556 3,127 3,630 861 714 856 702 942
8 Other Fees 2,158 2,374 4,559 1,675 1,832 8,730 4,700 2,433 2,405 3,424
9 User Charges 32,408 33,404 38,916 34,797 40,935 2,812 2,723 3,706 6,710 6,370
10 Entry Fees 181 308 178 333 494 426 143 137 407 330
11 Service / Administrative Charges 9,551 9,357 10,984 15,557 18,315 1,482 1,693 2,777 1,841 6,021
12 Other Charges 446 813 626 809 1,663 279 196 290 49 161
13 Fees Remission and Refund - - - - - -1.1 -37 32 21 31
E. Sale and Hire Charges 4,074 5,766 1,869 1,346 921 75 84 133 189 216
F. Revenue Grants, Contribution and Subsidies 1,56,332 2,12,751 1,68,073 1,81,963 1,91,556 693 40,861 38,103 27,961 37,000
1 Revenue Grant 1,46,895 1,68,791 1,39,682 1,67,263 1,88,544 630 40,827 37,417 27,961 37,000
2 Of which: Finance Commission 33,807 27,339 28,644 36,786 49,986 - - - - -
3 Of which: Central Government 2,457 2,091 693 3,287 3,707 - - 6 - -
4 Of which: State Finance Commission 58,073 48,742 46,785 55,343 55,759 20 - 9 - -
5 Of which: State Government 11,559 13,432 9,604 8,869 10,885 210 - 81 0.2 -
6 Re-imbursement of Expenses 1,010 303 220 50 160 35 - 632 - -
7 Contribution towards Schemes 8,427 43,658 28,171 14,650 2,852 28 34 53 0.07 -
G. Income from Investment 24,460 25,925 22,214 15,059 14,331 156 102 128 143 99
1 Interest on Investment in Govt. Securities, Fixed Deposit, Post Office Deposits etc. 8,202 7,331 8,012 4,671 5,338 76 2 - 30 30
2 Dividend 35 7 332 4 9 - - - 6 -
3 Income from Projects taken up on Commercial Basis 286 217 244 265 220 - - - - -
4 Profit in Sale of Investments - - - - - - - - - -
5 Others 15,938 18,370 13,627 10,119 8,764 80 100 128 107 69
H. Interest Earned on Loans 5,509 5,404 7,287 5,137 4,722 1,659 2,185 2,092 4,230 3,064
I. Other Income 18,653 17,540 18,290 15,520 22,913 1,974 6,280 1,015 190 174
Note: -: Data are not available.
Source: Municipal Corporations.

 

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