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83486707

Table 51 : Earnings and Expenses of Regional Rural Banks -
1997-98 (Part 10 of 13)

(Amount in Rs. lakh)
     

For the year ended 31st March


Items

 

Rushikulya

Ratlam

Ratnagiri

Rayalaseema

     

Gramin Bank

Mandsaur Kshetriya

Sindhudurg
Gramin Bank

Gramin Bank

       

Gramin Bank


 
 
     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(289)


(290)


(291)


(292)


(293)


(294)


(295)


(296)


Income

               
                     

I.

Interest Earned

990

1362

541

755

251

564

3596

4246

                     
 

a)

Interest/discount on advances/bills

327

460

212

258

99

275

2525

3018

                     
 

b)

Income on Investments

663

902

-

477

74

106

263

177

                     
 

c)

Interest on balances with

-

-

329

19

78

183

808

1052

   

RBI and other inter-bank funds

               
                     
 

d)

Others

-

-

-

-

-

1

-

-

                     

II.

Other income

82

53

52

19

16

18

463

192

                     
 

a)

Commission, exchange and brokerage

7

6

18

17

2

1

68

64

                     
 

b)

Other miscellaneous income

75


48


34


2


14


16


395


127


Total (I+II)


1072


1415


593


774


267


582


4059


4438


Expenditure & Provisions

               
                     

III.

Interest expended

738

982

396

542

213

402

2156

2434

                     
 

a)

Interest on deposits

618

851

356

489

185

364

1593

1917

                     
 

b)

Interest on RBI/inter-bank borrowings

119

130

40

54

-

38

547

497

                     
 

c)

Others

-

1

-

-

28

-

17

21

                     

IV.

Operating expenses

429

385

193

188

141

179

1038

1144

                     
 

a)

Payments to and provisions for employees

290

347

166

160

120

147

903

965

                     
 

b)

Rent, taxes and lighting

8

9

8

7

4

8

23

26

                     
 

c)

Printing and stationery

5

6

3

3

3

5

14

14

                     
 

d)

Advertisement and publicity

-

-

-

-

-

-

-

-

                     
 

e)

Depreciation on Bank's property

3

3

2

2

1

4

6

7

                     
 

f)

Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

                     
 

g)

Auditors' fees and expenses

1

1

-

-

1

1

2

2

                     
 

h)

Law charges

-

-

-

-

-

-

1

1

                     
 

i)

Postage, telegrams, telephones, etc.

3

3

2

2

1

2

12

17

                     
 

j)

Repairs and maintenance

1

1

-

-

1

1

-

-

                     
 

k)

Insurance

36

6

3

3

2

2

2

1

                     
 

l)

Other expenditure

84

9

10

11

7

9

75

112

                     

V.

Provisions and contingencies

257

37

-

37

16

-

1170

399

                     
 

Total expenses*

1167

1367

589

731

353

581

3194

3578

                     

VI.

Profit

-351


11


4


6


-102


1


-305


461


Total (III+IV+V+VI)


1072


1415


593


774


267


582


4059


4438


(Amount in Rs. lakh)
     

For the year ended 31st March


Items

 

Rewa Sidhi

Sabarkantha-

Sagar

Sahyadri

     

Gramin Bank

Gandhinagar

Gramin Bank

Gramin Bank

       

Gramin Bank


 
 
     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(297)


(298)


(299)


(300)


(301)


(302)


(303)


(304)


Income

               
                     

I.

Interest Earned

1794

2027

532

647

1938

2537

436

611

                     
 

a)

Interest/discount on advances/bills

503

494

192

239

398

412

261

371

                     
 

b)

Income on Investments

489

652

123

119

703

1228

24

56

                     
 

c)

Interest on balances with

802

880

217

289

838

898

151

185

   

RBI and other inter-bank funds

               
                     
 

d)

Others

-

-

-

-

-

-

-

-

                     

II.

Other income

34

27

25

20

104

49

52

28

                     
 

a)

Commission, exchange and brokerage

6

7

19

16

85

35

7

7

                     
 

b)

Other miscellaneous income

29


20


5


4


19


14


44


22


Total (I+II)


1828


2054


557


667


2042


2586


488


639


Expenditure & Provisions

               
                     

III.

Interest expended

1129

1393

333

410

1392

1802

304

370

                     
 

a)

Interest on deposits

1046

1279

275

345

1292

1705

203

241

                     
 

b)

Interest on RBI/inter-bank borrowings

84

114

4

5

28

27

101

130

                     
 

c)

Others

-

-

53

60

72

70

-

-

                     

IV.

Operating expenses

496

540

120

125

827

765

139

148

                     
 

a)

Payments to and provisions for employees

385

415

107

108

664

685

119

126

                     
 

b)

Rent, taxes and lighting

11

12

4

5

25

30

5

6

                     
 

c)

Printing and stationery

10

8

2

2

8

12

1

1

                     
 

d)

Advertisement and publicity

1

-

-

-

-

-

-

-

                     
 

e)

Depreciation on Bank's property

4

4

2

2

5

6

2

2

                     
 

f)

Directors' fees, allowances and expenses

-

-

-

-

-

-

-

1

                     
 

g)

Auditors' fees and expenses

1

1

-

1

1

1

-

-

                     
 

h)

Law charges

-

1

-

-

1

1

-

-

                     
 

i)

Postage, telegrams, telephones, etc.

4

4

1

1

1

1

2

2

                     
 

j)

Repairs and maintenance

1

1

-

1

2

2

2

2

                     
 

k)

Insurance

51

70

2

2

9

13

-

-

                     
 

l)

Other expenditure

29

23

2

4

112

15

7

7

                     

V.

Provisions and contingencies

354

93

76

51

1500

3

-

34

                     
 

Total expenses*

1626

1933

453

535

2219

2567

443

518

                     

VI.

Profit

-151


28


28


82


-1676


16


45


87


Total (III+IV+V+VI)


1828


2054


557


667


2042


2586


488


639


(Amount in Rs. lakh)
     

For the year ended 31st March


Items

 

Samastipur Kshetriya

Samyukt Kshetriya

Sangameshwar Gramin Bank

Santhal
Parganas

     

Gramin Bank


Gramin Bank


 

Gramin Bank


     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(305)


(306)


(307)


(308)


(309)


(310)


(311)


(312)


Income

               
                     

I.

Interest Earned

624

956

4092

6348

965

1264

1395

1638

                     
 

a)

Interest/discount on advances/bills

126

174

-190

824

501

621

94

233

                     
 

b)

Income on Investments

57

102

1074

2887

-

-

544

402

                     
 

c)

Interest on balances with

417

680

3208

2636

-

-

756

1003

   

RBI and other inter-bank funds

               
                     
 

d)

Others

24

-

-

-

464

643

-

-

                     

II.

Other income

26

33

74

63

141

230

35

38

                     
 

a)

Commission, exchange and brokerage

13

19

41

31

20

46

12

11

                     
 

b)

Other miscellaneous income

13


14


32


32


120


184


23


27


Total (I+II)


650


989


4165


6411


1105


1494


1430


1676


Expenditure & Provisions

               
                     

III.

Interest expended

600

877

2781

3298

644

758

972

1160

                     
 

a)

Interest on deposits

555

804

2672

3182

480

586

893

1081

                     
 

b)

Interest on RBI/inter-bank borrowings

45

73

12

10

-

-

78

79

                     
 

c)

Others

-

-

97

106

164

172

-

-

                     

IV.

Operating expenses

348

421

1129

1233

303

345

560

573

                     
 

a)

Payments to and provisions for employees

298

370

914

998

263

293

521

524

                     
 

b)

Rent, taxes and lighting

8

10

15

17

7

8

7

9

                     
 

c)

Printing and stationery

7

7

11

11

5

6

3

4

                     
 

d)

Advertisement and publicity

1

-

1

1

-

-

-

-

                     
 

e)

Depreciation on Bank's property

2

2

5

6

2

2

1

2

                     
 

f)

Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

                     
 

g)

Auditors' fees and expenses

-

-

2

2

1

1

1

1

                     
 

h)

Law charges

-

-

1

1

-

-

-

-

                     
 

i)

Postage, telegrams, telephones, etc.

-

1

5

7

3

4

1

1

                     
 

j)

Repairs and maintenance

2

1

1

2

-

-

-

1

                     
 

k)

Insurance

9

11

128

93

1

5

4

5

                     
 

l)

Other expenditure

20

18

46

95

21

25

21

26

                     

V.

Provisions and contingencies

-

-

-

-

-

-

1234

45

                     
 

Total expenses*

947

1298

3910

4532

948

1103

1532

1733

                     

VI.

Profit

-298


-309


255


1879


158


391


-1335


-103


Total (III+IV+V+VI)


650


989


4165


6411


1105


1494


1430


1676


(Amount in Rs. lakh)
     

For the year ended 31st March


Items

 

Saran
Kshetriya

Sarayu Gramin Bank

Shahajahanpur Kshetriya

Shahdol
Kshetriya

     

Gramin Bank


 

Gramin Bank


Gaonlia Bank


     

1997


1998


1997


1998


1997


1998


1997


1998


 
 
 

(313)


(314)


(315)


(316)


(317)


(318)


(319)


(320)


Income

               
                     

I.

Interest Earned

414

558

727

961

403

673

300

362

                     
 

a)

Interest/discount on advances/bills

100

131

178

238

163

251

48

54

                     
 

b)

Income on Investments

-

1

543

716

60

158

-

16

                     
 

c)

Interest on balances with

313

426

6

7

180

265

252

293

   

RBI and other inter-bank funds

               
                     
 

d)

Others

1

-

-

-

-

-

-

-

                     

II.

Other income

4

6

16

44

37

64

16

12

                     
 

a)

Commission, exchange and brokerage

2

3

16

44

11

32

6

6

                     
 

b)

Other miscellaneous income

2


3


-


-


26


32


10


6


Total (I+II)


418


564


743


1005


440


737


315


374


Expenditure & Provisions

               
                     

III.

Interest expended

487

595

364

445

278

385

267

354

                     
 

a)

Interest on deposits

471

577

314

390

210

301

259

344

                     
 

b)

Interest on RBI/inter-bank borrowings

16

19

50

55

-

-

7

10

                     
 

c)

Others

-

-

-

-

68

84

-

-

                     

IV.

Operating expenses

237

284

170

184

146

164

185

221

                     
 

a)

Payments to and provisions for employees

222

263

147

159

119

138

153

187

                     
 

b)

Rent, taxes and lighting

3

3

5

5

3

4

4

4

                     
 

c)

Printing and stationery

3

3

2

3

2

3

2

2

                     
 

d)

Advertisement and publicity

-

-

-

-

-

-

-

-

                     
 

e)

Depreciation on Bank's property

1

1

2

2

1

3

1

1

                     
 

f)

Directors' fees, allowances and expenses

-

-

-

-

-

-

-

-

                     
 

g)

Auditors' fees and expenses

1

1

-

1

1

-

-

-

                     
 

h)

Law charges

-

-

-

-

-

-

-

-

                     
 

i)

Postage, telegrams, telephones, etc.

-

-

2

3

2

2

-

-

                     
 

j)

Repairs and maintenance

1

1

-

-

3

6

-

-

                     
 

k)

Insurance

4

8

5

4

11

4

13

16

                     
 

l)

Other expenditure

3

4

6

7

4

5

11

10

                     

V.

Provisions and contingencies

432

70

42

28

-

42

154

-

                     
 

Total expenses*

724

880

533

629

424

549

451

576

                     

VI.

Profit

-739


-386


167


348


16


146


-290


-202


Total (III+IV+V+VI)


418


564


743


1005


440


737


315


374


Note

:

*Excluding 'Provisions and Contingencies'.

-

:

Nil or negligible.

Source

:

Annual accounts of banks.

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