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
|
KANKE
|
JH-01-007-026-005/315 (NEORI)
|
3401007026NRG24130620230444410
|
13/06/2023
|
SARITA DEVI
|
3401007026WL024409
|
SARITA DEVI
|
00048
|
BKID0005903
|
912
|
912
|
Processed
|
17/06/2023
|
|
2621222687
|
|
SARITA DEVI
|
BANK OF INDIA(508505)
|
2
|
KANKE
|
JH-01-007-026-005/355 (NEORI)
|
3401007026NRG24130620230444416
|
13/06/2023
|
BALMATI DEVI
|
3401007026WL024412
|
BALMATI DEVI
|
00048
|
BKID0005903
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222688
|
|
BALMATI DEVI
|
BANK OF INDIA(508505)
|
3
|
KANKE
|
JH-01-007-026-005/845 (NEORI)
|
3401007026NRG24130620230444466
|
13/06/2023
|
SUSTI KUMARI
|
3401007026WL024421
|
SUSTI KUMARI
|
00048
|
BKID0005903
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222689
|
|
SUSTI KUMARI D/O BHIMLAL MAHTO
|
UNION BANK OF INDIA(508500)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
1368
|
1368
|
|
|
|
|
|
|
|
4
|
KANKE
|
JH-01-007-026-005/453 (NEORI)
|
3401007026NRG24130620230444418
|
13/06/2023
|
PRADEEP ORAON
|
3401007026WL024413
|
PRADEEP ORAON
|
00177
|
IOBA0000783
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222685
|
|
PRADEEP ORAON
|
INDIAN OVERSEAS BANK(508541)
|
5
|
KANKE
|
JH-01-007-026-005/609 (NEORI)
|
3401007026NRG24130620230444464
|
13/06/2023
|
SAKILA KHATOON
|
3401007026WL024420
|
SAKILA KHATOON
|
00177
|
IOBA0000783
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222684
|
|
SAKILA KHATOON
|
INDIAN OVERSEAS BANK(508541)
|
6
|
KANKE
|
JH-01-007-026-005/758 (NEORI)
|
3401007026NRG24130620230444454
|
13/06/2023
|
SUSHILA. DEVI
|
3401007026WL024416
|
SUSHILA. DEVI
|
00177
|
IOBA0000783
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222682
|
|
SUSHILA DEVI
|
INDIAN OVERSEAS BANK(508541)
|
7
|
KANKE
|
JH-01-007-026-005/836 (NEORI)
|
3401007026NRG24130620230444478
|
13/06/2023
|
SULTANA PARWEEN
|
3401007026WL024425
|
SULTANA PARWEEN
|
00177
|
IOBA0000783
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222681
|
|
SULTANA PARWEEN
|
INDIAN OVERSEAS BANK(508541)
|
8
|
KANKE
|
JH-01-007-026-005/838 (NEORI)
|
3401007026NRG24130620230444412
|
13/06/2023
|
NAGMA PARWEEN
|
3401007026WL024410
|
NAGMA PARWEEN
|
00177
|
IOBA0000783
|
912
|
912
|
Processed
|
17/06/2023
|
|
2621222683
|
|
Nagma Parween
|
BANK OF BARODA(606985)
|
9
|
KANKE
|
JH-01-007-026-005/839 (NEORI)
|
3401007026NRG24130620230444456
|
13/06/2023
|
NASIMA KHATOON
|
3401007026WL024417
|
NASIMA KHATOON
|
00177
|
IOBA0000783
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222680
|
|
NASIMA KHATUN
|
INDIAN OVERSEAS BANK(508541)
|
10
|
KANKE
|
JH-01-007-026-005/844 (NEORI)
|
3401007026NRG24130620230444476
|
13/06/2023
|
ZARINA KHATUN
|
3401007026WL024424
|
ZARINA KHATUN
|
00177
|
IOBA0000783
|
228
|
228
|
Processed
|
17/06/2023
|
|
2621222686
|
|
ZARINA KHATUN
|
BANK OF INDIA(508505)
|
|
|
|
|
|
|
|
|
|
SubTotal
|
2280
|
2280
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
Total
|
3648
|
3648
|
|
|
|
|
|
|
|