Physical Progress Report
S.No | Activity Code | Activity Name | Focus Area | Admin Approved Cost(in INR) | Scheme Name | Component Name | Date of Completion |
---|---|---|---|---|---|---|---|
1 | 59809314 | PROVISION FOR ELECTRIC CHARGE OF PWS & STREET LIGHT BILL OF GP | Drinking water | 200000 | XV Finance Commission | Tied Grant | 2022-07-10 00:00:00 |
2 | 59811401 | CONST. TOILET & IMP OF UP SCHOOL KANSAMARI | Sanitation | 100000 | XV Finance Commission | Tied Grant | 2022-07-12 00:00:00 |
3 | 59816014 | ADMINSTRATIVE EXPENSES FOR GP OFFICE | Administrative & Technical Support | 72610 | XV Finance Commission | Basic Grant (untied) | 2022-07-08 00:00:00 |
4 | 59818284 | IMP. OF SAIKALYANI MANDAP | Social welfare | 100000 | 5TH STATE FINANCE COMMISSION | DEVOLUTION OF FUND | 2022-07-11 00:00:00 |
5 | 65738884 | INSTALLATION OF STREET LIGHT AT KANSAMARI | Rural electrification | 200000 | XV Finance Commission | Basic Grant (untied) | 2022-08-04 00:00:00 |
6 | 65738968 | CONST. OF PAVOR ROAD AT PANDARA SAHI KANSAMARI | Roads | 207381 | 5TH STATE FINANCE COMMISSION | DEVOLUTION OF FUND | 2022-07-12 00:00:00 |