BUDGET 2026-2027

Venkitangu Grama Panchayat

Consolidated Budget Summary – 2026–27


1. Own Source Revenue

Category

Amount (₹)

Property Tax

73.00 lakh

Profession Tax

18.50 lakh

Total Tax Revenue

91.50 lakh

Non-Tax Revenue

40.85 lakh

Opening Balance

52.46 lakh

General Purpose Fund

207.28 lakh

Total Own Revenue & General Funds

₹392.10 lakh (₹3.92 crore)

 


2. Grants, Assigned Revenues & Scheme Funds

Category

Amount (₹)

Development Fund – General

308.87 lakh

Development Fund – SCP

91.90 lakh

Maintenance Fund – Road

136.09 lakh

Maintenance Fund – Non-Road

89.54 lakh

Finance Commission Grants

92.75 lakh

Beneficiary Contribution

10.89 lakh

Joint Venture Contribution – District Panchayat

110.50 lakh

Joint Venture Contribution – Block Panchayat

61.20 lakh

MGNREGS

300.00 lakh

ICDS

20.00 lakh

Other Specific Grants

93.00 lakh

Suchitwa Mission Grant

13.00 lakh

Total Grants & Scheme Funds

₹1314.74 lakh (₹13.15 crore)


3. Welfare Pension Grants

Scheme

Amount (₹)

Agricultural Workers Pension

55.20 lakh

Widow Pension

278.40 lakh

Pension for Unmarried Women Above 50

30.72 lakh

Differently Abled Pension

75.60 lakh

Financial Assistance for Widow’s Daughter Marriage

1.50 lakh

Old Age Pension

556.80 lakh

Sthree Suraksha Pension

217.20 lakh

Total Welfare Pension Grants

₹1215.42 lakh (₹12.15 crore)


4. Loans, Deposits & Advances

Category

Amount (₹)

Advance to MGNREGS/AUEGS

12.43 lakh

Advance to Allied Institutions

5.00 lakh

Advance to Others

2.00 lakh

Total Loans & Advances

₹19.43 lakh


5. Administrative & Establishment Expenditure

Category

Amount (₹)

Salaries & Wages

211.95 lakh

Honorarium & Allowances

36.56 lakh

Employer Contribution to NPS

2.16 lakh

Total Establishment Expenditure

₹233.47 lakh


6. Administrative Expenses

Category

Amount (₹)

Office Expenses & Utilities

12.72 lakh

Printing & Stationery

3.00 lakh

Insurance

2.50 lakh

Legal & Professional Charges

2.00 lakh

Advertisement & Miscellaneous Expenses

6.65 lakh

Total Administrative Expenses

₹31.87 lakh


7. Operations & Maintenance Expenses

Category

Amount (₹)

Street Light Electricity Charges

14.00 lakh

Water Charges

2.50 lakh

Vehicle Hire & Fuel Charges

2.50 lakh

Repairs & Maintenance

6.50 lakh

Tax Collection & Refreshment Expenses

2.60 lakh

Interest on Bank Loans

10.00 lakh

Total Operations & Maintenance

₹38.10 lakh


8. Operational / Welfare Expenditure

Category

Amount (₹)

Poverty Eradication Programme

300.00 lakh

Welfare Pension Expenditure

1215.42 lakh

Total Operational Expenditure

₹1515.42 lakh


9. Overall Budget Position

Particulars

Amount (₹)

Total Revenue & Receipts

2707.69 lakh

Total Expenditure

2619.03 lakh

Estimated Closing Balance

88.65 lakh

 

  • BUDGET 2026-2027