S.No
|
Block Name
|
Job Card No.
(Panchayat Name)
|
Reference No.
|
Transaction Date
|
Applicant Name
|
Wagelist No.
|
Name of Primary Account Holder
|
Bank Code
|
IFSC code
|
Amount to be credited (In Rs.)
|
Credit Amount(In Rs.)
|
Status
|
Processed Date
|
Bank To co-operative/postoffice
Processed Date
|
UTR No.
|
Rejection Reason
|
Paid in account of (in case of ABP)
|
Paid in Bank (in case of ABP)
|
1
|
MAHISHI
|
BH-21-011-012-01040400/3138 (ARAPATTI)
|
0521011000NRG24300120240765935
|
31/01/2024
|
SANDIP KUMAR
|
0521011WL052711
|
SANDIP KUMAR
|
00165
|
IBKL0001534
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919583
|
|
SANDIP KUMAR
|
IDBI BANK(607095)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
2736
|
2736
|
|
|
|
|
|
|
|
2
|
MAHISHI
|
BH-21-011-012-01040400/2283 (ARAPATTI)
|
0521011000NRG24300120240765926
|
31/01/2024
|
LILA DEVI
|
0521011WL052711
|
LILA DEVI
|
00176
|
IDIB000M259
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919598
|
|
LILA DEVI
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
2736
|
2736
|
|
|
|
|
|
|
|
3
|
MAHISHI
|
BH-21-011-012-01040400/1124 (ARAPATTI)
|
0521011000NRG24300120240765921
|
31/01/2024
|
gorelal sharma
|
0521011WL052711
|
gorelal sharma
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919585
|
|
GORELAL SARMA
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
4
|
MAHISHI
|
BH-21-011-012-01040400/1260 (ARAPATTI)
|
0521011000NRG24300120240765922
|
31/01/2024
|
PARWATI DEVI
|
0521011WL052711
|
PARWATI DEVI
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919587
|
|
PARWATI DEVI WO-JAGNARAYAN SHARMA
|
PUNJAB NATIONAL BANK(508568)
|
5
|
MAHISHI
|
BH-21-011-012-01040400/2603 (ARAPATTI)
|
0521011000NRG24300120240765928
|
31/01/2024
|
SHAMA PRAVIN
|
0521011WL052711
|
SHAMA PRAVIN
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919592
|
|
SHAMA PRAVIN
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
6
|
MAHISHI
|
BH-21-011-012-01040400/3137 (ARAPATTI)
|
0521011000NRG24300120240765934
|
31/01/2024
|
SUBHASH KUMAR
|
0521011WL052711
|
SUBHASH KUMAR
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919591
|
|
SUBHASH KUMAR S/O SATYA NARAYAN CHAUPAL
|
PUNJAB NATIONAL BANK(508568)
|
7
|
MAHISHI
|
BH-21-011-012-01040400/3636 (ARAPATTI)
|
0521011000NRG24300120240765941
|
31/01/2024
|
INDAL KUMAR
|
0521011WL052711
|
INDAL KUMAR
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919589
|
|
INDAL KUMAR
|
UTTAR BIHAR GRAMIN BANK(607069)
|
8
|
MAHISHI
|
BH-21-011-012-01040400/3638 (ARAPATTI)
|
0521011000NRG24300120240765942
|
31/01/2024
|
BIRJU KUMAR
|
0521011WL052711
|
BIRJU KUMAR
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919588
|
|
BIRJU KUMAR
|
UTTAR BIHAR GRAMIN BANK(607069)
|
9
|
MAHISHI
|
BH-21-011-012-01040400/3640 (ARAPATTI)
|
0521011000NRG24300120240765943
|
31/01/2024
|
SANTOSH KUMAR CHOUPAL
|
0521011WL052711
|
SANTOSH KUMAR CHOUPAL
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919590
|
|
Santosh Kumar Choupal
|
AIRTEL PAYMENTS BANK LIMITED(990288)
|
10
|
MAHISHI
|
BH-21-011-012-01040400/998 (ARAPATTI)
|
0521011000NRG24300120240765947
|
31/01/2024
|
DEV NARAYAN SHARMA
|
0521011WL052711
|
DEV NARAYAN SHARMA
|
00354
|
PUNB0248700
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919586
|
|
DEV NARAYAN SHARMA S/O PITAMWAR SHARMA
|
PUNJAB NATIONAL BANK(508568)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
21888
|
21888
|
|
|
|
|
|
|
|
11
|
MAHISHI
|
BH-21-011-012-01040400/1422 (ARAPATTI)
|
0521011000NRG24300120240765925
|
31/01/2024
|
VIRENDAR THAKUR
|
0521011WL052711
|
VIRENDAR THAKUR
|
00415
|
SBIN0000172
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919604
|
|
VIRENDER THAKUR
|
PUNJAB NATIONAL BANK(508568)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
2736
|
2736
|
|
|
|
|
|
|
|
12
|
MAHISHI
|
BH-21-011-012-01040400/1331 (ARAPATTI)
|
0521011000NRG24300120240765924
|
31/01/2024
|
SAMIRUL KHATUN
|
0521011WL052711
|
SAMIRUL KHATUN
|
00415
|
SBIN0008154
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919596
|
|
SABBIRUL KHATUN
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
13
|
MAHISHI
|
BH-21-011-012-01040400/3181 (ARAPATTI)
|
0521011000NRG24300120240765936
|
31/01/2024
|
AAMNA KHATOON
|
0521011WL052711
|
AAMNA KHATOON
|
00415
|
SBIN0008154
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919597
|
|
MRS AAMNA KHATOON
|
STATE BANK OF INDIA(508548)
|
14
|
MAHISHI
|
BH-21-011-012-01040400/3254 (ARAPATTI)
|
0521011000NRG24300120240765938
|
31/01/2024
|
AMINA KHATUN
|
0521011WL052711
|
AMINA KHATUN
|
00415
|
SBIN0008154
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919593
|
|
MRS AMINA KHATUN
|
STATE BANK OF INDIA(508548)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
8208
|
8208
|
|
|
|
|
|
|
|
15
|
MAHISHI
|
BH-21-011-012-01040400/3629 (ARAPATTI)
|
0521011000NRG24300120240765939
|
31/01/2024
|
CHANDAN DEVI
|
0521011WL052711
|
CHANDAN DEVI
|
00415
|
SBIN0012643
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919595
|
|
MS CHANDAN DEVI
|
STATE BANK OF INDIA(508548)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
2736
|
2736
|
|
|
|
|
|
|
|
16
|
MAHISHI
|
BH-21-011-012-01040400/2773 (ARAPATTI)
|
0521011000NRG24300120240765930
|
31/01/2024
|
BHAVESH CHOUPAL
|
0521011WL052711
|
BHAVESH CHOUPAL
|
00415
|
SBIN0014333
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919584
|
|
MR BHAVESH CHOUPAL
|
STATE BANK OF INDIA(508548)
|
17
|
MAHISHI
|
BH-21-011-012-01040400/2773 (ARAPATTI)
|
0521011000NRG24300120240765931
|
31/01/2024
|
VISEKHA DEVI
|
0521011WL052711
|
VISEKHA DEVI
|
00415
|
SBIN0014333
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919594
|
|
MRS VISEKHA DEVI
|
STATE BANK OF INDIA(508548)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
5472
|
5472
|
|
|
|
|
|
|
|
18
|
MAHISHI
|
BH-21-011-012-01040400/1019 (ARAPATTI)
|
0521011000NRG24300120240765918
|
31/01/2024
|
sajjan sharma
|
0521011WL052711
|
sajjan sharma
|
00538
|
CBIN0R10001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919578
|
|
SAJJAN SHARMA
|
UTTAR BIHAR GRAMIN BANK(607069)
|
19
|
MAHISHI
|
BH-21-011-012-01040400/1072 (ARAPATTI)
|
0521011000NRG24300120240765919
|
31/01/2024
|
sakaldev sharma
|
0521011WL052711
|
sakaldev sharma
|
00538
|
CBIN0R10001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919581
|
|
SAKALDEV CHOUPAL
|
UTTAR BIHAR GRAMIN BANK(607069)
|
20
|
MAHISHI
|
BH-21-011-012-01040400/1108 (ARAPATTI)
|
0521011000NRG24300120240765920
|
31/01/2024
|
SUDAMA DEVI
|
0521011WL052711
|
SUDAMA DEVI
|
00538
|
CBIN0R10001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919579
|
|
SUDAMA DEVI
|
UTTAR BIHAR GRAMIN BANK(607069)
|
21
|
MAHISHI
|
BH-21-011-012-01040400/2490 (ARAPATTI)
|
0521011000NRG24300120240765927
|
31/01/2024
|
NASIMA KHATUN
|
0521011WL052711
|
NASIMA KHATUN
|
00538
|
CBIN0R10001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919577
|
|
NASIMA KHATUN
|
UTTAR BIHAR GRAMIN BANK(607069)
|
22
|
MAHISHI
|
BH-21-011-012-01040400/2743 (ARAPATTI)
|
0521011000NRG24300120240765929
|
31/01/2024
|
FULO DEVI
|
0521011WL052711
|
FULO DEVI
|
00538
|
CBIN0R10001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919580
|
|
FULO DEVI
|
UTTAR BIHAR GRAMIN BANK(607069)
|
23
|
MAHISHI
|
BH-21-011-012-01040400/3249 (ARAPATTI)
|
0521011000NRG24300120240765937
|
31/01/2024
|
ROKHASANA KHATOON
|
0521011WL052711
|
ROKHASANA KHATOON
|
00538
|
CBIN0R10001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919582
|
|
ROKHSANA KHATOON
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
16416
|
16416
|
|
|
|
|
|
|
|
24
|
MAHISHI
|
BH-21-011-012-01040400/1273 (ARAPATTI)
|
0521011000NRG24300120240765923
|
31/01/2024
|
MANOJ SHARMA
|
0521011WL052711
|
MANOJ SHARMA
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919602
|
|
MANOJ CHOUPAL
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
25
|
MAHISHI
|
BH-21-011-012-01040400/3127 (ARAPATTI)
|
0521011000NRG24300120240765932
|
31/01/2024
|
SHIV NARAYAN CHOUPAL
|
0521011WL052711
|
SHIV NARAYAN CHOUPAL
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919576
|
|
SHIV NARAYAN CHOUPAL
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
26
|
MAHISHI
|
BH-21-011-012-01040400/3133 (ARAPATTI)
|
0521011000NRG24300120240765933
|
31/01/2024
|
KUMKUM KUMARI
|
0521011WL052711
|
KUMKUM KUMARI
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919601
|
|
KUMKUM KUMARI
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
27
|
MAHISHI
|
BH-21-011-012-01040400/3635 (ARAPATTI)
|
0521011000NRG24300120240765940
|
31/01/2024
|
AMOD KUMAR
|
0521011WL052711
|
AMOD KUMAR
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919600
|
|
AMOD KUMAR
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
28
|
MAHISHI
|
BH-21-011-012-01040400/3642 (ARAPATTI)
|
0521011000NRG24300120240765944
|
31/01/2024
|
KARI CHAUPAL
|
0521011WL052711
|
KARI CHAUPAL
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919599
|
|
KARI CHAUPAL
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
29
|
MAHISHI
|
BH-21-011-012-01040400/3647 (ARAPATTI)
|
0521011000NRG24300120240765945
|
31/01/2024
|
MANISH KUMAR THAKUR
|
0521011WL052711
|
MANISH KUMAR THAKUR
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919575
|
|
MANISH KUMAR THAKUR
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
30
|
MAHISHI
|
BH-21-011-012-01040400/997 (ARAPATTI)
|
0521011000NRG24300120240765946
|
31/01/2024
|
JAG NARAYAN SHARMA
|
0521011WL052711
|
JAG NARAYAN SHARMA
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919603
|
|
JAGNARAYAN CHOUPAL
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
31
|
MAHISHI
|
BH-21-011-012-01040400/999 (ARAPATTI)
|
0521011000NRG24300120240765948
|
31/01/2024
|
RENU DEVI
|
0521011WL052711
|
RENU DEVI
|
00691
|
IPOS0000001
|
2736
|
2736
|
Processed
|
25/03/2024
|
|
2146919574
|
|
RENU DEVI
|
INDIA POST PAYMENTS BANK LIMITED(508528)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
21888
|
21888
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Total
|
84816
|
84816
|
|
|
|
|
|
|
|