Cooperative Societies in the State - Total Deposit - 2022-2023

Society Details

1 Full name of the Society AKATHETHARA KSHEERA VYAVASYA SAHAKARANA SANGHAM
2 Register number of the Society P-560
(a) Date Of Registration 06-09-1965
(b) Date Of Starting 10-10-1965
3Classification of Society Dairy
4 ICDMS ID PKD/51/0761/00560
5 District Palakkad
6 Taluk Palakkad
7Circle Palakkad
8Unit
(a)Administration Co-operative Department
(b)Audit co-operative department
9Type of Audit Concurrent-Group
(a)Audit Classification B
10 Year of Audit 2022-2023
11Name and Designation of AuditorNameDesignation
LAKSHMIDEVI.V.U Junior Auditor
12Date of completion of final audit 24-07-2023
13Date of submission of final audit note 31-07-2023
14No of membersIndividualsGovtOther SocietiesTotal
2397 1 0 2398
(a)Nominal/Associate members 0
15Share capitalAuthorisedSubscribedPaid Up
1.1 Cr 2.84 L 99070
16DepositFixedSavingsCurrentRecurringOthersTotal
1.01 Cr 0 0 0 0 1.01 Cr
17BorrowingFrom Central
CoOperative Bank
From GovtothersTotal
39.96 L 0 0 39.96 L
18Interest Paid and duePaid during the yearDue at the end of the year
6.61 L 1.54 L
19Loans to membersO/S at the BeginningDisbursed DYTotalRepaid DYO/S EY
0 0 0 0 0
(a) Agricultural Loans 0 0 0 0 0
20Miscellaneous income 1.21 L
21Establishment and ContingenciesEstablishmentContingencies
86.64 L 27.12 L
22Staff Provident Fund Deposit 4437.79
23Investment of Staff Provident Fund Deposit 0
24Undistributed Profit at the end of the year 0
25Final position of funds reserves and other liabilities credited through appropriation of net profit 26.48 L
26Funds/Provision created by the charging the PL account 2.34 Cr
27InvestmentsRF invUnInvestedTotal
6.18 L 0 5.82 L
28Other funds 0
29O/O General working Fund 67900 At the end of the year 67900
30Movables and Immovables 1.14 Cr
31Particulars of depreciation Fund 95.41 L
32Particulars of disposals 0
33Cash at BankFixedSavingsCurrentOthersTotal
0 4.05 L 11261.09 0 4.16 L
34Valuation of investments 0
35Value of stock in trade 4.97 L
36Government of assistance 0
37Grant and Subsidy 50.62 L
38Guarantees 0
(a)Chitty/MDSTotal no of chittiesTotal SALA
0 0
39Due to Society 2.56 Cr
40Due by Society 74.09 L
41Sale of goods 10.53 Cr
42Purchase of goods 8.74 Cr
43Opening Balance 3.44 L
44Closing Balance 95959.58
44Gross Profit Loss
1.19 Cr 0
45Net Profit Loss
0 1.5 Cr
45Current Year Profit Loss
0 72.13 L
46Working Capital 62.28 L