Govt. of India
Ministry of Rural Development
Department of Rural Development
The Mahatma Gandhi National Rural Employment Guarantee Act 21-Sep-2024 04:00:40 AM 
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FTO Transaction Details

State : TAMIL NADU District : ERODE Block : SATHY
Fto No. : TN2910018_250722APB_FTO_597485
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 SATHY TN-10-018-014-014/720-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962657 25/07/2022 Vaijayanthi 2910018WL030499 Vaijayanthi 00078 CNRB0016532 1500 1500 Processed 04/08/2022 015746041 Vaijayanthi CANARA BANK(508532)
2 SATHY TN-10-018-014-014/750-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962662 25/07/2022 Palaniammal 2910018WL030499 Palaniammal 00078 CNRB0016532 1000 1000 Processed 04/08/2022 015746041 Palaniammal CANARA BANK(508532)
SubTotal 2500 2500
3 SATHY TN-10-018-014-014/91-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962666 25/07/2022 Sangarammal 2910018WL030499 Sangarammal 00176 IDIB000S123 750 750 Processed 04/08/2022 015746041 Sangarammal INDIAN BANK(607105)
SubTotal 750 750
4 SATHY TN-10-018-014-014/729-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962660 25/07/2022 Suthamani 2910018WL030499 Suthamani 00177 IOBA0002505 1500 1500 Processed 04/08/2022 015746041 Suthamani INDIAN OVERSEAS BANK(508541)
SubTotal 1500 1500
5 SATHY TN-10-018-014-009/717-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962563 25/07/2022 Periyamaranayacker 2910018WL030499 Periyamaranayacker 00415 SBIN0001498 1500 1500 Processed 04/08/2022 015746041 Periyamaranayacker STATE BANK OF INDIA(508548)
6 SATHY TN-10-018-014-011/1080-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962565 25/07/2022 Pattayal 2910018WL030499 Pattayal 00415 SBIN0001498 250 250 Processed 04/08/2022 015746041 Pattayal STATE BANK OF INDIA(508548)
7 SATHY TN-10-018-014-011/905-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962581 25/07/2022 Mallika 2910018WL030499 Mallika 00415 SBIN0001498 750 750 Processed 04/08/2022 015746041 Mallika ICICI BANK LTD(508534)
8 SATHY TN-10-018-014-011/923-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962582 25/07/2022 Karuppi 2910018WL030499 Karuppi 00415 SBIN0001498 750 750 Processed 04/08/2022 015746041 Karuppi STATE BANK OF INDIA(508548)
9 SATHY TN-10-018-014-014/11-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962590 25/07/2022 Chinnal 2910018WL030499 Chinnal 00415 SBIN0001498 1250 1250 Processed 04/08/2022 015746041 Chinnal STATE BANK OF INDIA(508548)
10 SATHY TN-10-018-014-014/17-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962595 25/07/2022 Suppammal 2910018WL030499 Suppammal 00415 SBIN0001498 1500 1500 Processed 04/08/2022 015746041 Suppammal STATE BANK OF INDIA(508548)
11 SATHY TN-10-018-014-014/29-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962614 25/07/2022 Jothimani 2910018WL030499 Jothimani 00415 SBIN0001498 1405 1405 Processed 04/08/2022 015746041 Jothimani STATE BANK OF INDIA(508548)
12 SATHY TN-10-018-014-014/31-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962616 25/07/2022 Shanthi 2910018WL030499 Shanthi 00415 SBIN0001498 1500 1500 Processed 04/08/2022 015746041 Shanthi PALLAVAN GRAMA BANK(607052)
13 SATHY TN-10-018-014-014/39-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962628 25/07/2022 Rangmmal 2910018WL030499 Rangmmal 00415 SBIN0001498 750 750 Processed 04/08/2022 015746041 Rangmmal STATE BANK OF INDIA(508548)
14 SATHY TN-10-018-014-014/43-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962634 25/07/2022 Jothimani 2910018WL030499 Jothimani 00415 SBIN0001498 500 500 Processed 04/08/2022 015746041 Jothimani STATE BANK OF INDIA(508548)
15 SATHY TN-10-018-014-014/48-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962635 25/07/2022 Alagi 2910018WL030499 Alagi 00415 SBIN0001498 750 750 Processed 04/08/2022 015746041 Alagi STATE BANK OF INDIA(508548)
SubTotal 10905 10905
16 SATHY TN-10-018-014-003/928-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962553 25/07/2022 Kanmani 2910018WL030499 Kanmani 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Kanmani INDIAN OVERSEAS BANK(508541)
17 SATHY TN-10-018-014-005/995-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962556 25/07/2022 Bannari 2910018WL030499 Bannari 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Bannari STATE BANK OF INDIA(508548)
18 SATHY TN-10-018-014-009/1011-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962561 25/07/2022 Thimmakkal 2910018WL030499 Thimmakkal 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Thimmakkal INDIAN OVERSEAS BANK(508541)
19 SATHY TN-10-018-014-011/804-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962580 25/07/2022 Kannammal 2910018WL030499 Kannammal 00415 SBIN0001674 500 500 Processed 04/08/2022 015746041 Kannammal BANK OF INDIA(508505)
20 SATHY TN-10-018-014-011/932-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962584 25/07/2022 Vettrivel 2910018WL030499 Vettrivel 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Vettrivel CANARA BANK(508532)
21 SATHY TN-10-018-014-014/10-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962589 25/07/2022 Sagunthala 2910018WL030499 Sagunthala 00415 SBIN0001674 750 750 Processed 04/08/2022 015746041 Sagunthala STATE BANK OF INDIA(508548)
22 SATHY TN-10-018-014-014/14-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962591 25/07/2022 Pappal 2910018WL030499 Pappal 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Pappal STATE BANK OF INDIA(508548)
23 SATHY TN-10-018-014-014/147-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962592 25/07/2022 Palaniammal 2910018WL030499 Palaniammal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Palaniammal STATE BANK OF INDIA(508548)
24 SATHY TN-10-018-014-014/152-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962594 25/07/2022 Rangammal 2910018WL030499 Rangammal 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Rangammal STATE BANK OF INDIA(508548)
25 SATHY TN-10-018-014-014/198
(SHENBAGAPUDUR)
2910018000NRG23230720220962596 25/07/2022 Rajammal 2910018WL030499 Rajammal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Rajammal STATE BANK OF INDIA(508548)
26 SATHY TN-10-018-014-014/200-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962598 25/07/2022 Karuppammal 2910018WL030499 Karuppammal 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Karuppammal STATE BANK OF INDIA(508548)
27 SATHY TN-10-018-014-014/202-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962599 25/07/2022 Rangammal 2910018WL030499 Rangammal 00415 SBIN0001674 500 500 Processed 04/08/2022 015746041 Rangammal STATE BANK OF INDIA(508548)
28 SATHY TN-10-018-014-014/204-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962600 25/07/2022 Pettammal 2910018WL030499 Pettammal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Pettammal STATE BANK OF INDIA(508548)
29 SATHY TN-10-018-014-014/21-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962601 25/07/2022 Pattal 2910018WL030499 Pattal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Pattal STATE BANK OF INDIA(508548)
30 SATHY TN-10-018-014-014/22-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962602 25/07/2022 Valli 2910018WL030499 Valli 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Valli STATE BANK OF INDIA(508548)
31 SATHY TN-10-018-014-014/222-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962603 25/07/2022 P RANGAMMAL 2910018WL030499 P RANGAMMAL 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 P RANGAMMAL STATE BANK OF INDIA(508548)
32 SATHY TN-10-018-014-014/23
(SHENBAGAPUDUR)
2910018000NRG23230720220962604 25/07/2022 Palanal 2910018WL030499 Palanal 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Palanal STATE BANK OF INDIA(508548)
33 SATHY TN-10-018-014-014/237-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962605 25/07/2022 Kannammal 2910018WL030499 Kannammal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Kannammal STATE BANK OF INDIA(508548)
34 SATHY TN-10-018-014-014/238-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962606 25/07/2022 KALIAMMAL 2910018WL030499 KALIAMMAL 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 KALIAMMAL INDIAN OVERSEAS BANK(508541)
35 SATHY TN-10-018-014-014/239-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962607 25/07/2022 Sundrammal 2910018WL030499 Sundrammal 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Sundrammal STATE BANK OF INDIA(508548)
36 SATHY TN-10-018-014-014/249-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962609 25/07/2022 Thimmakkal 2910018WL030499 Thimmakkal 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Thimmakkal TAMILNAD MERCANTILE BANK LTD.(607187)
37 SATHY TN-10-018-014-014/25-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962610 25/07/2022 Samundi 2910018WL030499 Samundi 00415 SBIN0001674 1686 1686 Processed 04/08/2022 015746041 Samundi STATE BANK OF INDIA(508548)
38 SATHY TN-10-018-014-014/250-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962611 25/07/2022 Marakkal 2910018WL030499 Marakkal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Marakkal INDIAN OVERSEAS BANK(508541)
39 SATHY TN-10-018-014-014/29-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962613 25/07/2022 Kannammal 2910018WL030499 Kannammal 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Kannammal STATE BANK OF INDIA(508548)
40 SATHY TN-10-018-014-014/30-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962615 25/07/2022 Ponni 2910018WL030499 Ponni 00415 SBIN0001674 750 750 Processed 04/08/2022 015746041 Ponni STATE BANK OF INDIA(508548)
41 SATHY TN-10-018-014-014/313-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962617 25/07/2022 Nachiammal 2910018WL030499 Nachiammal 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Nachiammal STATE BANK OF INDIA(508548)
42 SATHY TN-10-018-014-014/326-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962619 25/07/2022 Pannammal 2910018WL030499 Pannammal 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Pannammal STATE BANK OF INDIA(508548)
43 SATHY TN-10-018-014-014/335-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962621 25/07/2022 Pavanal 2910018WL030499 Pavanal 00415 SBIN0001674 250 250 Processed 04/08/2022 015746041 Pavanal STATE BANK OF INDIA(508548)
44 SATHY TN-10-018-014-014/371-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962624 25/07/2022 M LAKSHMI 2910018WL030499 M LAKSHMI 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 M LAKSHMI STATE BANK OF INDIA(508548)
45 SATHY TN-10-018-014-014/377-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962626 25/07/2022 SENNAMMAL 2910018WL030499 SENNAMMAL 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 SENNAMMAL STATE BANK OF INDIA(508548)
46 SATHY TN-10-018-014-014/400-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962629 25/07/2022 Marappan 2910018WL030499 Marappan 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Marappan STATE BANK OF INDIA(508548)
47 SATHY TN-10-018-014-014/415-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962632 25/07/2022 Revathi 2910018WL030499 Revathi 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Revathi STATE BANK OF INDIA(508548)
48 SATHY TN-10-018-014-014/416-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962633 25/07/2022 Palaniammal 2910018WL030499 Palaniammal 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Palaniammal BANK OF BARODA(606985)
49 SATHY TN-10-018-014-014/517-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962636 25/07/2022 Pappathi 2910018WL030499 Pappathi 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 Pappathi TAMILNAD MERCANTILE BANK LTD.(607187)
50 SATHY TN-10-018-014-014/518-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962637 25/07/2022 Thilagavathi 2910018WL030499 Thilagavathi 00415 SBIN0001674 500 500 Processed 04/08/2022 015746041 Thilagavathi BANK OF BARODA(606985)
51 SATHY TN-10-018-014-014/539-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962639 25/07/2022 RAMAKKAL 2910018WL030499 RAMAKKAL 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 RAMAKKAL STATE BANK OF INDIA(508548)
52 SATHY TN-10-018-014-014/543-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962640 25/07/2022 VAIJAYANTHI 2910018WL030499 VAIJAYANTHI 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 VAIJAYANTHI CANARA BANK(508532)
53 SATHY TN-10-018-014-014/547-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962642 25/07/2022 BABY 2910018WL030499 BABY 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 BABY CANARA BANK(508532)
54 SATHY TN-10-018-014-014/550-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962644 25/07/2022 VELUMANI 2910018WL030499 VELUMANI 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 VELUMANI TAMILNAD MERCANTILE BANK LTD.(607187)
55 SATHY TN-10-018-014-014/556-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962646 25/07/2022 Suguna 2910018WL030499 Suguna 00415 SBIN0001674 500 500 Processed 04/08/2022 015746041 Suguna INDIAN BANK(607105)
56 SATHY TN-10-018-014-014/642
(SHENBAGAPUDUR)
2910018000NRG23230720220962649 25/07/2022 CHENNAMMAL 2910018WL030499 CHENNAMMAL 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 CHENNAMMAL STATE BANK OF INDIA(508548)
57 SATHY TN-10-018-014-014/643
(SHENBAGAPUDUR)
2910018000NRG23230720220962650 25/07/2022 SELVI 2910018WL030499 SELVI 00415 SBIN0001674 281 281 Processed 04/08/2022 015746041 SELVI STATE BANK OF INDIA(508548)
58 SATHY TN-10-018-014-014/681
(SHENBAGAPUDUR)
2910018000NRG23230720220962652 25/07/2022 PAPPAL 2910018WL030499 PAPPAL 00415 SBIN0001674 1250 1250 Processed 04/08/2022 015746041 PAPPAL STATE BANK OF INDIA(508548)
59 SATHY TN-10-018-014-014/687
(SHENBAGAPUDUR)
2910018000NRG23230720220962654 25/07/2022 Palaniammal 2910018WL030499 Palaniammal 00415 SBIN0001674 500 500 Processed 04/08/2022 015746041 Palaniammal PALLAVAN GRAMA BANK(607052)
60 SATHY TN-10-018-014-014/707-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962655 25/07/2022 THIMMANAICKER 2910018WL030499 THIMMANAICKER 00415 SBIN0001674 562 562 Processed 04/08/2022 015746041 THIMMANAICKER CANARA BANK(508532)
61 SATHY TN-10-018-014-014/710-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962656 25/07/2022 RAJAMMAL 2910018WL030499 RAJAMMAL 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 RAJAMMAL BANK OF BARODA(606985)
62 SATHY TN-10-018-014-014/724-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962658 25/07/2022 Thilagavathi 2910018WL030499 Thilagavathi 00415 SBIN0001674 1000 1000 Processed 04/08/2022 015746041 Thilagavathi INDIAN OVERSEAS BANK(508541)
63 SATHY TN-10-018-014-014/736-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962661 25/07/2022 Saraswathi 2910018WL030499 Saraswathi 00415 SBIN0001674 750 750 Processed 04/08/2022 015746041 Saraswathi BANK OF BARODA(606985)
64 SATHY TN-10-018-014-014/756-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962663 25/07/2022 SANTHI 2910018WL030499 SANTHI 00415 SBIN0001674 750 750 Processed 04/08/2022 015746041 SANTHI STATE BANK OF INDIA(508548)
65 SATHY TN-10-018-014-014/79-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962665 25/07/2022 KUPPAL 2910018WL030499 KUPPAL 00415 SBIN0001674 750 750 Processed 04/08/2022 015746041 KUPPAL STATE BANK OF INDIA(508548)
66 SATHY TN-10-018-014-015/752-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962668 25/07/2022 Jothi 2910018WL030499 Jothi 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Jothi STATE BANK OF INDIA(508548)
67 SATHY TN-10-018-014-015/816-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962669 25/07/2022 Marakkal 2910018WL030499 Marakkal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Marakkal STATE BANK OF INDIA(508548)
68 SATHY TN-10-018-014-016/1096-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962670 25/07/2022 Shanthamani 2910018WL030499 Shanthamani 00415 SBIN0001674 500 500 Processed 04/08/2022 015746041 Shanthamani TAMILNAD MERCANTILE BANK LTD.(607187)
69 SATHY TN-10-018-014-016/798-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962673 25/07/2022 Marakkal 2910018WL030499 Marakkal 00415 SBIN0001674 1500 1500 Processed 04/08/2022 015746041 Marakkal STATE BANK OF INDIA(508548)
SubTotal 59529 59529
70 SATHY TN-10-018-014-014/407-A
(SHENBAGAPUDUR)
2910018000NRG23230720220962631 25/07/2022 Rukkumani 2910018WL030499 Rukkumani 00437 TMBL0000201 1500 1500 Processed 04/08/2022 015746041 Rukkumani TAMILNAD MERCANTILE BANK LTD.(607187)
SubTotal 1500 1500
Total 76684 76684

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S.No. Block_name Fto No Bank Name/HO Name Branch Code/SO Code Branch Name Amount
1 SATHY TN2910018_250722APB_FTO_597485 Canara Bank CNRB0016532 SATHYAMANGALAM TOWN 2500
2 SATHY TN2910018_250722APB_FTO_597485 Indian Bank IDIB000S123 SATHYA MANGALAM 750
3 SATHY TN2910018_250722APB_FTO_597485 Indian Overseas Bank IOBA0002505 ARASUR 1500
4 SATHY TN2910018_250722APB_FTO_597485 State Bank of India SBIN0001498 SATHYAMANGALAM 10905
5 SATHY TN2910018_250722APB_FTO_597485 State Bank of India SBIN0001674 SATHYAMANGALAM ADB 21750
6 SATHY TN2910018_250722APB_FTO_597485 State Bank of India SBIN0001674 State Bank of India, Sathy 37779
7 SATHY TN2910018_250722APB_FTO_597485 Tamilnadu Mercantile Bank TMBL0000201 SATHYAMANGALAM 1500

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