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XV. Suggested format of Balance Sheet and Profit & Loss A/c. of UCBs

(Paragraph - 8.33)

Suggested format of Balance Sheet of UCBs

Balance Sheet of

 

(here enter name of the bank)

as on 31st March

 

(Year).

 
 
 
 

Capital and Liabilities

Schedule

As on

As on

   

31.3.

 

31.3.

 
 
 

(Current Year)


(Previous Year)


   

Rs.

Rs.

Capital

1

   
       

Reserve and Surplus

2

   

Principal/Subsidiary State

3

   
       

Partnership Fund Deposits

4

   
       

Borrowings

5

   

Other Liabilities & Provisions

6

   
     
 

Total

   
 

Assets

     

Cash & Balances with Reserve

     

Bank of India, State Bank of

     

India, State Co-op. Bank &

     

Central Co-op. Bank

7

   

Balances with Banks and Money

8

   

At Call & Short Notice

     
       

Investments

9

   

Investments out of the Principal/

     

Subsidiary State Partnership Fund

10

   

Advances

11

   

Fixed Assets

12

   

Other Assets

13

 
 

Total

   
 

Contingent Liabilities and

     

Bills for Collection

14

   

Schedule 1

Capital

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

Authorised Capital

   
         
 

(a)

 

shares of Rs.

 

each

   
               
 

(b)

 

shares of Rs.

 

each

   
         

II.

Subscribed Capital

   
         
 

(a)

 

shares of Rs.

 

each

   
               
 

(b)

 

shares of Rs.

 

each

   
               

III.

Amount called up

   
         
 

(a)

On

 

shares at

   
             
   

Rs.

 

per share

   
         
 

Less : Calls Unpaid

   
         
 

(b )

On

 

shares at

   
             
   

Rs.

 

per share

   
         
 

Less : Calls Unpaid

   
         

IV.

Of (3i) above, held by :-

   
         
 

(a)

Individuals

   
         
 

(b)

Co-operative institutions

   
         
 

(c)

State Government

 
 
   

Total   

 
 

Schedule 2

Reserves and Surplus

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

Statutory Reserve

   
 

(a)

Opening Balance

   
 

(b)

additions during the year

   
 

(c)

Deductions during the year

   
         

II.

Agricultural (Credit Stabilization) Fund

   
 

(a)

Opening Balance

   
 

(b)

Additions during the year

   
 

(c)

Deductions during the year

   
         

III.

Building Fund

   
 

(a)

Opening Balance

   
 

(b)

Additions during the year

   
 

(c)

Deductions during the year

   
         

IV.

Dividend Equalization Fund

   
 

(a)

Opening Balance

   
 

(b)

Additions during the year

   
 

(c)

Deductions during the year

   
         

V.

Other Funds and Reserves

   
 

(to be specified)

   
 

(a)

Opening Balance

   
 

(b)

Additions during the yeair

   
 

(c)

Deductions during the year

 
 
   

{Total (I, II, III, IV and V)}   

 
 

Schedule 3

Principal/Subsidiary State Partnership Fund


     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

(a)

Opening Balance

   
         
 

(b)

Additions during the year

   
         
 

(c)

Deductions during the year

   
         

II.

For share capital of

   
         
 

(a)

Central Co-op. Banks

   
         
 

(b)

Primary Agricultural Credit

   
   

Societies

   
         
 

(c)

Other Societies

 
 
   

Total   

 
 

Schedule 4

Deposits

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

Demand Deposits

   
         
 

(i)

From Individuals #

   
         
 

(ii)

From Central Co-op. Banks

   
         
 

(iii)

From other Societies

   
         

II.

Savings Bank Deposits

   
         
 

(i)

From Individuals #

   
         
 

(ii)

From Central Co-op. Banks

   
         
 

(iii)

From other Societies

   
         

III.

Term Deposits @

   
         
 

(i)

From Individuals #

   
         
 

(ii)

From Central Co-op.

   
   

Banks

   
         
 

(iii)

From other Societies

 
 
   

Total (I, II and III)   

 
 

@

Including reserve fund deposits of societies, employees provident fund deposits, staff security deposits, recurring deposits, cash certificates, etc.

   

#

Individual include deposits from institutions other than co-operative banks and societies.


Schedule 5

Borrowings

       

As on

As on

       

31.3.

 

31.3.

 
       

(Current Year)

(Previous Year)

       

Rs.

Rs.

I.

From the Reserve Bank of India

   
 

and the State & Central

   
 

Co-operative Banks :

   
 

(a)

Short-term loans, cash

   
   

credits and overdrafts

   
   

of which secured against:

   
   

(i)

Government and other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
 

(b)

Medium term loans

   
   

of which secured against :

   
   

(i)

Government and other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
 

(c)

Long-term loans

   
   

of which secured against

   
   

(i)

Government and other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
           

II.

From the State Bank of India

   
 

(a)

Short-term loans, cash credits

   
   

and overdrafts:

   
   

of which secured against :

   
   

(i)

Government and other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
 

(b)

Medium Term Loans

   
   

of which secured against

   
   

(i)

Government and other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
 

(c)

Long Term Loans

   
   

of which secured against

   
   

(i)

Government & other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
           

III.

From the State Government

   
 

(a)

Short term loans

   
   

of which secured against

   
   

(i)

Government & other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
 

(b)

Medium term loans

   
   

of which secured against

   
   

(i)

Government & other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
 

(c)

Long Term loans

   
   

of which secured against

   
   

(i)

Government and other

   
     

Approved Securities

   
   

(ii)

Other tangible securities

   
           

IV.

Loans from other sources

   
 

(source and security to be specified)

 
 
     

Total (I, II, III and IV)   

 
 

Notes :

1.

Short term loans will be for periods upto 15 months, medium term loans from 15 months to 5 years and long term loans over5 years

     
 

2.

Other tangible security includes borrowings against gold and gold ornaments, repledge of goods, mortgage of land, etc.


Schedule 6

Other Liabilities and Provisions

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Bills payable (net)

   
       

II.

Inter-office adjustments (net)

   
       

III.

Interest accrued

   
       

IV.

Unclaimed Dividends

   
       

V.

Others (including provisions)

 
 
 

Total (I, II, III, IV and V)   

 
 

Schedule 7

Cash and Balances with Reserve Bank of India, State Bank of India, State Co-op. Bank and Central Co-op. Bank

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

Cash in Hand

   
         

II.

Balances with Reserve Bank of India

   
         
 

(a)

In Current Account

   
         
 

(b)

In other Accounts

   
         

III.

Balances with State Bank of India

   
         
 

(a)

In Current Account

   
         
 

(b)

In other Accounts

   
         

IV.

Balances with State and Central

   
 

Co-operative banks

   
         
 

(a)

In Current Account

   
         
 

(b)

In other Accounts

 
 
   

Total (I, II, III and IV)   

 
 

Schedule 8

Balances with Banks & Money at Call & Short Notice

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

Balance with other Banks

   
         
 

(a)

Current deposits

   
         
 

(b)

Savings bank deposits

   
         
 

(c)

Fixed deposits

   
         
         

II.

Money at Call and Short Notice

   
         
 

(a)

With banks

   
         
 

(b)

With other institutions

 
 
   

Total (I and II)   

 
 

Schedule 9

Investments

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

In Central & State Government

   
 

Securities

   
       

II.

In other Approved Securities

   
       

III.

In shares of co-operative institutions

   
 

(other than out of the Principal/

   
 

Subsidiary State Partnership Fund)

   
       

IV.

In debentures and bonds

   
       

V.

Others (To be specified)

 
 

VI.

Total (I, II, III, IV and V)

 
 

VII.

Less : Provision for

   
 

Depreciation

   
 

in Investments

 
 
 

Total (VI minus VII)   

 
 

Schedule 10

Investment out of the Principal/Subsidiary State Partnership Fund

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

In shares of Central Co-operative

   
 

banks

   
       

II.

In shares of Primary agricultural

   
 

credit Societies

   
       

III.

In shares of other societies

 
 
 

Total I, II and III   

 
 

Schedule 11

Advances

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

(a)

Bills purchased & discounted

   
         
 

(b)

Cash credits, overdrafts &

   
   

loans repayable on demand

   
         
 

(c)

Term Loans

 
 
   

Total   

 
 
         

II.

(a)

Secured by tangible assets

   
         
 

(b)

Secured by bank/

   
   

government guarantees

   
         
 

(c)

Unsecured

 
 
   

Total   

 
 
         

III.

Less : Provision for Bad and

   
   

Doubtful Debts

 
 

IV.

Total (I - III)

 
 

Schedule 12

Fixed Assets

     

As on

As on

     

31.3.

 

31.3.

 
     

(Current Year)

(Previous Year)

     

Rs.

Rs.

I.

Premises

   
         
 

(a)

At cost as on 31st March of

   
   

of the preceding year

   
         
 

(b)

Additions

   
         
 

(c)

Deductions during the year

   
         
 

(d)

Total Cost (a and b minus c)

   
         
 

(e)

Less : Depreciation to date

 
 
 

(f)

Total (d minus e)

 
 

II.

Other Fixed Assets (including

   
 

furniture and fixtures)

   
         
 

(a)

At cost as on 31st March of

   
   

the preceding year

   
         
 

(b)

Additions during the year

   
         
 

(c)

Deductions during the year

   
       
 
 

(d)

Total Cost (a + b minus c)

 
 
 

(e)

Less : Depreciation to date

 
 
 

(f)

Total (d minus e)

 
 

Schedule 13

Other Assets

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Inter-office adjustment (net)

   
       

II.

Interest accrued

   
       

III.

Stationery and stamps

   
       

IV.

Non-banking assets acquired

   
 

in satisfaction of claims

   
       

V.

Others @

 
 
 

Total (I, II, III, IV and V)

 
 

@

In case there is any unadjusted balance of loss, the same may be shown under this item with appropriate footnote.


Schedule 14

Contingent liabilities and bills for collection

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Claims against the bank not

   
 

acknowledged as debts

   
       

II.

Liability for partly paid investments

   
       

III.

Liability on account of outstanding

   
 

forward exchange contracts

   
       

IV.

Guarantees given on behalf of

   
 

constituents

   
       

V.

Acceptances, endorsements and other

   
 

obligations (including bills for

   
 

collection)

   
       

VI.

Other items for which the bank is

   
 

contingently liable

 
 
 

Total (I, II, III, IV, V and VI)

 
 
       

As on

As on

     

Schedule

31.3.

 

31.3.

 
     

No.

(Current Year)

(Previous Year)

       

Rs.

Rs.

I.

Income

     
           
 

Interest earned

15

   
           
 

Other income

16

 
 
   

Total

   
 

II.

Expenditure

     
           
 

Interest expended

17

   
           
 

Operating expenses

18

   
           
 

Provisions & contingencies

   
 
   

Total

   
 

III.

Profit/Loss

     
           
 

Net Profit/Loss (-) for the year

     
           
 

Profit/Loss (-) brought forward

   
 
   

Total

   
 

IV.

Appropriations

     
           
 

Transfer to statutory reserves

     
 

Transfer to other reserves

     
 

(to be specified)

     
           
 

Proposed Dividend

     
           
 

Balance carried to Balance Sheet

   
 
   

Total

   
 

Schedule 15

Interest Earned

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Interest/discount on advances/bills

   
       

II.

Income on investments

   
       

III.

Interest on balances with Reserve

   
 

Bank of India, State Bank of India,

   
 

State Co-op. Bank and Central

   
 

Co-op. Bank

   
       

IV.

Others

 
 
 

Total

 
 

Schedule 16

Other Income

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Commission, exchange and brokerage

   
       

II.

Profits on sale of investments

   
       
 

Less : Loss on sale of investments

   
       

III.

Profit on revaluation of investments

   
       
 

Less : Loss on revaluation of investments

   
       

IV.

Profit on sale of land, buildings

   
 

and other assets

   
       
 

Less : Loss on sale of land, buildings and other assets

   
       

V.

Profit on exchange transactions

   
       
 

Less : Loss on exchange transactions

   
       

VI.

Subsidies and Donations

   
       

VII.

Income from non-banking assets

   
 

and profit (Loss) on sale of or

   
 

dealing in such assets

 
 
 

Total

 
 

Schedule 17

Interest Expended

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Interest on Deposits

   
       

II.

Interest on Borrowings

   
       

III.

Others

 
 
 

Total

 
 

Schedule 18

Operating Expenses

   

As on

As on

   

31.3.

 

31.3.

 
   

(Current Year)

(Previous Year)

   

Rs.

Rs.

I.

Payments to and provisions

   
 

for employees

   
       

II.

Rent, taxes and lighting

   
       

III.

Printing and stationery

   
       

IV.

Advertisement and publicity

   
       

V.

Depreciation on bank's property

   
       

VI.

Directors' fees, allowances

   
 

and expenses

   
       

VII.

Auditors' fees and expenses

   
 

(including branch auditors)

   
       

VIII.

Law Charges

   
       

IX.

Postages, Telegrams, Telephones, etc.

   
       

X.

Repairs and maintenance

   
       

XI.

Insurance

   
       

XII.

Other Expenditure

 
 
 

Total

 
 

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