Budget 2022-23

Summary of the Budget Report of Pampady Grama Panchayat for the Financial Year 2022–2023

Income Details

The total estimated receipts of the Panchayat for the financial year 2022–2023 are ₹30,00,22,054, including the opening balance.

Total Own Fund: ₹2,12,90,000

  • Tax Revenue: ₹1,30,00,000, mainly from property tax and profession tax.
  • Non-Tax Revenue: ₹82,90,000, through rent from Panchayat buildings, licence fees, permit fees, and other charges.
  • General Purpose Fund: ₹1,65,21,000.
  • Revenue Grants:
    • Plan: ₹8,68,90,000 for plan expenditure.
    • Non-Plan: ₹8,00,00,000 for non-plan expenditure.
  • Capital Receipts: A total of ₹4,23,74,000, comprising ₹2,50,00,000 as loans and ₹1,73,74,000 from non-loan sources.

Expenditure Details

The total estimated expenditure of the Panchayat for 2022–2023 is ₹29,52,75,000.

1. Revenue Expenditure – Total: ₹23,05,75,000

Statutory Functions: An amount of ₹3,05,50,000 has been earmarked for the salaries and honorarium of employees and elected representatives, office administration expenses, electricity charges, maintenance, and other essential expenses.

Plan Expenditure: An amount of ₹12,00,25,000 has been allocated for various development projects.

Non-Plan Expenditure: ₹8,00,00,000.

2. Capital Expenditure – Total: ₹6,47,00,000

An amount of ₹2,50,00,000 has been allocated for loan repayment, while ₹3,97,00,000 has been earmarked for other capital expenditure.

Sector-wise Allocation

As part of the decentralised planning programmes, funds have been allocated to various sectors as follows:

Productive Sector: ₹87,75,000. Major priorities include animal husbandry, including ₹22 lakh for cattle rearing and ₹11 lakh for calf care, vegetable cultivation (₹6 lakh), dairy development, and related activities.

Service Sector: ₹8,12,50,000. This includes ₹2,50,00,000 for housing and ₹3,00,00,000 for poverty alleviation programmes. Funds have also been allocated for women and child welfare, Scheduled Caste/Scheduled Tribe welfare, public health, and other service-sector activities.

Infrastructure Sector: ₹45,00,000. This will be utilised for streetlight electrification, construction of public buildings, footpaths, and other infrastructure facilities.

Maintenance Projects: Funds have been earmarked for various maintenance activities, including ₹1,25,00,000 for the maintenance of road assets.

Financial Position

Total Receipts + Opening Balance: ₹30,00,22,054

Total Estimated Expenditure: ₹29,52,75,000

Expected Closing Balance: ₹47,47,054

Summary

In comparison with previous years, the 2022–2023 Budget of Pampady Grama Panchayat envisages a comprehensive development programme with greater emphasis on the productive and service sectors, housing, poverty alleviation, public health, welfare activities, and infrastructure development.

  • Budget 2022-23