Stat Data
Stat Data
Stat Data
BRANCH Goraya
REGION Jalandhar
ZONE CHANDIGARH
DATE OF INSPECTION 18/12/2021
INSPECTED BY Deepak Rawat
ASSISTED BY
(Rs in Lacs)
Last to Last Financial year Last Financial Year Last Date of Last Month
31.03.2020 31.03.2021 08.12.2021
No Amt No Amt No Amt
Fresh SME Lending
disbursement during 0 0
last 04 quarters
No. of leads generated
0 0
for SMELF
No. of leads generated
for SMELF and
0 0
convereted into
business
Fresh Retail Lending
disbursement during 0 0
last 04 quarters
No. of leads generated
0 0
for SMS/CPC
No. of leads generated
for SMS/CPC and
1 0
convereted into
business
Branch Goraya
Area Classification Semi Rural
Category 3
Risk Classification : LOW
Status of Mechanization / 2121 RAMKAR
CBS Date Saturday, May 31, 2014
Composite Rating/score secured/risk classification during previous TWO RBIA and current RBIA
18/12/2021
29/10/2020 361 381 Low Stable
15/09/2019 360 375 Low Stable
E-mail : [email protected]
Date of opening of the Branch 17/Nov/76
Block: PHILLAUR State:
Punjab
District: JALANDHAR
Nearest Branch Dholeta,JALANDHAR Distance from the nearest Branch 5 KM
Whether branch is authorized to deal in Foreign Exchange Business (Category-B): NO
Whether branch handles Govt. business : YES
Is it Link Office for Govt. business YES
Whether the Branch is under concurrent audit NO
If yes, Name of Concurrent Auditor: NA
Region JALANDHAR
Name of the Regional Head : MR. RAJAY BHASKAR
Zone: CHANDIGARH
Tenure of Branch Head and Joint Manager (During Review Period) :
*Detail of Staff on Deputation from the Branch and to the Branch should also be reported in above table
DETAILS OF RC POSITION:
Sr. No. Type of Inspection Period Due Date of RC
1 RBIA 29/Oct/20 22/Dec/20
2 Concurrent Audit (Latest)
3 Forex Audit
4 Statutory Audit
5 RBI Inspection
6 Revenue Audit
7 I. S. Audit
11 Electric Audit
ITION:
Due Date of RC Date of QRC/RC
22/Dec/20 01/Mar/21
22/Dec/20 01/Mar/21
Performance of the Branch – In respect of two previous Financial Years Information as of Previous Month of
date of inspection
Parameters
31.03.2020 31.03.2021 11/30/2021
No of Accounts Amount No of Accounts Amount No of Accounts Amount
DEPOSIT
Current Deposit 242.00 301.00 232.00
% of Institutional deposit to
0% 0% 0%
total deposit
ADVANCES
Agriculture 0 74.00 79.00 79.00
% of LABOD / OD against
Dep. / Staff Advances to 7.65 7.99 10.00
Total advance
PROFIT/ LOSS . 0.00
Sensitive accounts (other accounts be included, if needed)
No of entry Amount No of entry Amount No of entry Amount
GL Suspense (Gen) 0.00 0.00 0.00
GL IBSA 0.00
Other information
Staff Cost 23.47 49.28
NPA
Sub- Standard 1 0.00 3 9.46 5 9.91
Reduction by way of
Transfer to other
0.00 0.00 0.00
branch/ARMB
Exchange diff./other
0.00 0.00 0.00
adjustments
Closing Balance 3.10 11.68 11.57
Comparative figures of Expenses & Earning for Last 2 Financial Year
Last to Last FY Last FY
Sr No Particulars % Change over last Year
31.03.2020 31.03.2021
Earning
1 Interest & Discount 56.49 54.70 -3.17%
2 Commission, Exchange 0.86 2.18 153.49%
3 Other Earning 5.20 5.90 13.46%
4 Interest earned on HO a/c 932.00 822.00 -11.80%
5 Loss #DIV/0!
Financial Ratios
1 Average cost of Deposit #DIV/0! 59.89 #DIV/0!
2 Average return on Advances #DIV/0! 27.81 #DIV/0!
% of commission & exchange to total 1.37 3.47
3 152.56%
income
182.53 190.98
4 % of other expenses to total income 4.63%
31.03.2020 31.03.2021
Outstanding Average Outstanding Average
1. Deposits 13965.00 0.00 13974.00 1108.79
D. Non-Performing Assets:
lakhs)
Year ending 31.03.2020 Year ending 31.03.2021
% to total % to total
Outstanding Outstanding
advances advances
1. Sub Standard 0.00 0 9.46 0.0002
2. Doubtful 3.10 0.0001 2.22 0
3. Loss 0.00 0 0.00 0
TOTAL NPA 3.10 0.00 11.68 0.00
TOTAL PWO 0.00% 0 0
7th day of
23rd of Half subsequent variance from
March 20 yearly end last day of HY Month 23rd in %
CA 17.1 18.15 13.43 6.14
SB 589.9 581.62 583.94 -1.40
TDA 597.71 563.2 566.2 -5.77
Advances 213.75 221.85 221.23 3.79
7th day of
23rd of Half subsequent variance from
March 20 yearly end last day of HY Month 23rd in %
CA 6.43 6.48 7.4 0.78
SB 587.05 593.29 570.72 1.06
TDA 601.99 611.83 642.44 1.63
Advances 316.14 324.93 327.69 2.78
( Rs. in Lakhs)
As on the Last
day of previous
month
08.12.2021
Outstanding
13945.00
232.00
4925.00
8788.00
XXXX
640.00
181.00
316.00
79.00
64.00
XXXX
0.00
11.57
14585.00
3
4861.67
(Rs. in
Not to copy
Variance from
last day in %
-26.01
0.40
0.53
-0.28
Variance from
last day in %
-92.60
470.72
542.44
227.69
Last -5- Quarters (Fig in
30-Sep-21 31-Dec-20 31-Mar-21
Lacs)
S.N Parameters Target Actual Target Actual Target Actual
1.
Current Deposi 33.53 14.53 35.11 12.50 37.00 18.16
2.
Saving Deposit 557.68 541.71 590.55 559.40 630.00 581.63
3.
Total CASA 591.21 556.24 625.66 571.90 667.00 599.79
4.
Time Deposit 527.92 564.74 576.64 573.77 600.00 576.05
5.
Total Deposit 1119.13 1120.98 1202.30 1145.67 1267.00 1175.84
6.
Core Deposit 1119.13 1120.98 1202.30 1145.67 1267.00 1175.84
7.
Bulk Deposit 0.00 0.00 0.00 0.00 0.00 0.00
8.
Avg Total Deposit 1214.00
9.
Avg- CA Deposit
10. Avg- SB Deposit
11.
Total Avg. CASA 0.00 0.00 0.00 0.00 0.00 0.00
12 Avg. Time Deposit 0.00 0.00 0.00 0.00 0.00 1214.00
Average
15
Advances
16 Priority Sector
Retail
17 lending(excluding 58.68 72.12 99.38 48.64 117.22 81.56
LABOD)
18 Of Which Hsg. 30.40 29.67 43.97 28.97 50.00 34.63
22 Recovery in PWO
Recovery in
23 Written off
accounts
24 Profit -2.88 -5.12 0.00
Lowest SB A/c
25 Bal. during the
period
Lowest CA a/c
26
Bal.
Average Short
27
Deposit
30-Jun-21 30-Sep-21
-18.00 -5.51
(b)OUTSTANDING/OVERDUEENTRIESINSENSITIVEACCOUNTS: (Rs in Lacs)
I Suspense Account 0 0
IV Special Debit 0 0
XV 0 0
(Rs in Lacs)
A/c in Special Mention Account Category (SMA Special Mention Account A/c as on date of
0, SMA 1, SMA 2) as on last Month/Quarters conclusion of Inspection
Symbolic possession
taken 0 0.00
Progress of
in last 1
suit/execution
yearAction
application of
taken by the
decree
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
Continous
Nil Followup done
by thebranch
OPERATION
S.N Details [Amt in lacs]
1 Cash Retention Limit 20.00
2 Average Cash Payment during last four quarters
3 Average Cash Balance maintained during last four quarters 14.30
4 No. of times limit exceeded during last six months. 4 times
5 Maximum cash during the period Date: 28.9.21 Amount: 24.73
6 Excess cash per G/L as on date of inspection*
Date Amount
Done By Date
7 Last verification of cash in ATM 13.9.21
8 Details of undelivered cheque books( Nos)
Name of
9 officer Date
Security Officer has visited the branch during the review period
10 No. of Dishonored cheques With the Branch
11 Last Customer Service Committee Meetings (date)
12 Last Customer Meets (Date)
13 15H/15G submitted up
14 ETDS return file up to
15 Last staff meetings held at Branch
16 Total no of Lockers
17 Vacant Lockers
18 Total Overdue Rent
Up to 6 month >6m upto12 m > 1 year
NO OD Amt NO OD Amt NO OD Amt
3
Exposure in 2 top industries with limit and outstanding amount as on previous quarter
8.
end.
S.N Name Limit Outstanding
1
2
3
9. Clean/ Unsecured Advances:
Name of A/c Outstanding
Pension Loan & Personal Loan
Education Loan
Staff clean Od
10. Accounts restructured account with amount restructured during last four quarters.
Name of A/c Outstanding
31.03.2020 31.03.2021
08.12.2021
% to total
No Amt deposit
0.00%
0.00%
0.00%
0.00%
0.00%
0.00%
ANNEXURE – FRAUDS AND MISSAPPROPRIATIONS
(Rs in lacs)
Police /
Present Status
Fraud No. Nature of Amount CBI
S.No Particulars Modus Operandi of each fraud Insurance Claim. Recovery (Remark/Other
(FMR) Fraud. involved Compliant
Development if any.)
.
Comparative figures of foreign exchange business (Figures are to be stated in
equivalent rupees) (Amount in Lac of Rs)
Parameters Over
Information as of dues (If
Performance of the Branch – In respect of
Previous Month of date any)
two previous Financial Years of inspection
No of No of
No of Amount Amount Amount
Accounts Accounts
Accounts
I. Exports
1.Pre-shipment /
packing credit
2.Post- shipment
Export credit
(A) FBP
(B) UFBP
(C) PSDL
3.Export Bills for
collection (FOBCs)
4.Export Business
(i.e.2(A+B)+3)
II. IMPORTS
1.Foreign inward
bills for collection
2.Advance bills
3.Import L/Cs
4.Import Business
(i.e. 1+2)
Campaign IV
4