Cooperative Societies in the State - Total Deposit - 2022-2023
Society Details
1 | Full name of the Society | PALAKKAD DISTRICT BUS OPERATORS CO OPERATIVE SOCIETY LTD | ||||||
2 | Register number of the Society | P. 1345 | ||||||
(a) | Date Of Registration | 22-03-2012 | ||||||
(b) | Date Of Starting | 19-04-2012 | ||||||
3 | Classification of Society | CoOperative | ||||||
Subclassification of Society | Miscellaneous Societies | |||||||
4 | ICDMS ID | PKD/51/23/01345 | ||||||
5 | District | Palakkad | ||||||
6 | Taluk | Palakkad | ||||||
7 | Circle | PALAKKAD | ||||||
8 | Unit | |||||||
(a) | Administration | CO-OPERATIVE DEPARTMENT | ||||||
(b) | Audit | CO-OPERATIVE DEPARTMENT | ||||||
9 | Type of Audit | Unit | ||||||
(a) | Audit Classification | B | ||||||
10 | Year of Audit | 2022-2023 | ||||||
11 | Name and Designation of Auditor | Name | Designation | |||||
Muhammed Anaz . S | SENIOR AUDITOR | |||||||
12 | Date of completion of final audit | 21-09-2023 | ||||||
13 | Date of submission of final audit note | 21-09-2023 | ||||||
14 | No of members | Individuals | Govt | Other Societies | Total | |||
552 | 0 | 0 | 552 | |||||
(a) | Nominal/Associate members | 150 | ||||||
15 | Share capital | Authorised | Subscribed | Paid Up | ||||
1.55 Cr | 40.55 L | 40.55 L | ||||||
16 | Deposit | Fixed | Savings | Current | Recurring | Others | Total | |
5.19 Cr | 89.99 L | 0 | 0 | 0 | 6.09 Cr | |||
17 | Borrowing | From Central CoOperative Bank | From Govt | others | Total | |||
0 | 0 | 0 | 0 | |||||
18 | Interest Paid and due | Paid during the year | Due at the end of the year | |||||
29.24 L | 14.7 L | |||||||
19 | Loans to members | O/S at the Beginning | Disbursed DY | Total | Repaid DY | O/S EY | ||
3.33 Cr | 3.69 Cr | 7.02 Cr | 3.61 Cr | 3.41 Cr | ||||
(a) | Agricultural Loans | 0 | 0 | 0 | 0 | 0 | ||
20 | Miscellaneous income | 33.39 L | ||||||
21 | Establishment and Contingencies | Establishment | Contingencies | |||||
7.11 L | 13.58 L | |||||||
22 | Staff Provident Fund Deposit | 1.48 L | ||||||
23 | Investment of Staff Provident Fund Deposit | 0 | ||||||
24 | Undistributed Profit at the end of the year | 0 | ||||||
25 | Final position of funds reserves and other liabilities credited through appropriation of net profit | 41.61 L | ||||||
26 | Funds/Provision created by the charging the PL account | 1.27 Cr | ||||||
27 | Investments | RF inv | UnInvested | Total | ||||
8.57 L | 0 | 8.57 L | ||||||
28 | Other funds | 0 | ||||||
29 | O/O General working Fund | 0 | At the end of the year | 0 | ||||
30 | Movables and Immovables | 2.24 L | ||||||
31 | Particulars of depreciation Fund | 2.02 L | ||||||
32 | Particulars of disposals | 0 | ||||||
33 | Cash at Bank | Fixed | Savings | Current | Others | Total | ||
4.44 Cr | 16.39 L | 34.75 L | 0 | 4.95 Cr | ||||
34 | Valuation of investments | 0 | ||||||
35 | Value of stock in trade | 21.69 L | ||||||
36 | Government of assistance | 0 | ||||||
37 | Grant and Subsidy | 0 | ||||||
38 | Guarantees | 0 | ||||||
(a) | Chitty/MDS | Total no of chitties | Total SALA | |||||
4 | 2.75 Cr | |||||||
39 | Due to Society | 1.85 L | ||||||
40 | Due by Society | 39.87 L | ||||||
41 | Sale of goods | 3.26 Cr | ||||||
42 | Purchase of goods | 3.07 Cr | ||||||
43 | Opening Balance | 1.08 L | ||||||
44 | Closing Balance | 3.43 L | ||||||
44 | Gross | Profit | Loss | |||||
22.1 L | 0 | |||||||
45 | Net | Profit | Loss | |||||
6.91 L | 0 | |||||||
45 | Current Year | Profit | Loss | |||||
6.91 L | 0 | |||||||
46 | Working Capital | 6.58 Cr |