Govt. of India
Ministry of Rural Development
Department of Rural Development
The Mahatma Gandhi National Rural Employment Guarantee Act 20-Sep-2024 03:41:55 PM 
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FTO Transaction Details

State : BIHAR District : SARAN Block : AMNOUR
Fto No. : BH0509008_080124APB_FTO_790377
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 AMNOUR BH-09-008-016-01794600/1885
(MADARPUR)
0509008000NRG24060120240522117 08/01/2024 CHANDAN KUMAR SHARMA 0509008WL040174 CHANDAN KUMAR SHARMA 00048 BKID0005756 3420 3420 Processed 25/03/2024 2135021069 Mr. CHANDAN KUMAR SHARMA CENTRAL BANK OF INDIA(607115)
SubTotal 3420 3420
2 AMNOUR BH-09-008-016-01794600/2496
(MADARPUR)
0509008000NRG24060120240522135 08/01/2024 ROHIT KUMAR 0509008WL040174 ROHIT KUMAR 00089 CBIN0283917 3420 3420 Processed 25/03/2024 2135021044 Mr. ROHIT SAH CENTRAL BANK OF INDIA(607115)
SubTotal 3420 3420
3 AMNOUR BH-09-008-016-01794600/2603
(MADARPUR)
0509008000NRG24060120240522140 08/01/2024 KASEE SAH 0509008WL040174 KASEE SAH 00415 SBIN0003267 3420 3420 Processed 25/03/2024 2135021043 MR KASHEE SAH STATE BANK OF INDIA(508548)
SubTotal 3420 3420
4 AMNOUR BH-09-008-016-01794600/2140
(MADARPUR)
0509008000NRG24060120240522119 08/01/2024 REKHA DEVI 0509008WL040174 REKHA DEVI 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021058 MRS REKHA DEVI STATE BANK OF INDIA(508548)
5 AMNOUR BH-09-008-016-01794600/2145
(MADARPUR)
0509008000NRG24060120240522121 08/01/2024 RUBY DEVI 0509008WL040174 RUBY DEVI 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021067 Ruby Devi IDFC BANK LIMITED(608117)
6 AMNOUR BH-09-008-016-01794600/2600
(MADARPUR)
0509008000NRG24060120240522139 08/01/2024 RAJDHAN SAH 0509008WL040174 RAJDHAN SAH 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021052 MR RAJADHAN SAH STATE BANK OF INDIA(508548)
7 AMNOUR BH-09-008-016-01794600/2624
(MADARPUR)
0509008000NRG24060120240522150 08/01/2024 CHINTA DEVI 0509008WL040174 CHINTA DEVI 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021061 MISS CHINTA DEVI STATE BANK OF INDIA(508548)
8 AMNOUR BH-09-008-016-01794600/2625
(MADARPUR)
0509008000NRG24060120240522151 08/01/2024 SHOBHA DEVI 0509008WL040174 SHOBHA DEVI 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021055 SHOBHA DEVI INDUSIND BANK(607189)
9 AMNOUR BH-09-008-016-01794600/2633
(MADARPUR)
0509008000NRG24060120240522152 08/01/2024 LALIYA DEVI 0509008WL040174 LALIYA DEVI 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021062 LALIYA DEVI INDIA POST PAYMENTS BANK LIMITED(508528)
10 AMNOUR BH-09-008-016-01794600/2635
(MADARPUR)
0509008000NRG24060120240522153 08/01/2024 RAMBHA DEVI 0509008WL040174 RAMBHA DEVI 00415 SBIN0006656 3420 3420 Processed 25/03/2024 2135021056 MRS RAMBHA DEVI STATE BANK OF INDIA(508548)
SubTotal 23940 23940
11 AMNOUR BH-09-008-016-01794600/1117
(MADARPUR)
0509008000NRG24060120240522115 08/01/2024 SHIV KUMAR SAH 0509008WL040174 SHIV KUMAR SAH 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021060 MR SHIV KUMAR SAH STATE BANK OF INDIA(508548)
12 AMNOUR BH-09-008-016-01794600/2146
(MADARPUR)
0509008000NRG24060120240522122 08/01/2024 KUSHUM DEVI 0509008WL040174 KUSHUM DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021057 MRS KUSHUM DEVI STATE BANK OF INDIA(508548)
13 AMNOUR BH-09-008-016-01794600/2152
(MADARPUR)
0509008000NRG24060120240522124 08/01/2024 MANJU DEVI 0509008WL040174 MANJU DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021053 MRS MANJU DEVI STATE BANK OF INDIA(508548)
14 AMNOUR BH-09-008-016-01794600/2158
(MADARPUR)
0509008000NRG24060120240522126 08/01/2024 SARSWATI DEVI 0509008WL040174 SARSWATI DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021063 MRS SARSWATI DEVI STATE BANK OF INDIA(508548)
15 AMNOUR BH-09-008-016-01794600/2159
(MADARPUR)
0509008000NRG24060120240522127 08/01/2024 MALA DEVI 0509008WL040174 MALA DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021054 MRS MALA DEVI STATE BANK OF INDIA(508548)
16 AMNOUR BH-09-008-016-01794600/2169
(MADARPUR)
0509008000NRG24060120240522129 08/01/2024 SAVITA DEVI 0509008WL040174 SAVITA DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021048 SAVITA DEVI UTTAR BIHAR GRAMIN BANK(607069)
17 AMNOUR BH-09-008-016-01794600/2171
(MADARPUR)
0509008000NRG24060120240522130 08/01/2024 PREM KUMAR MAHTO 0509008WL040174 PREM KUMAR MAHTO 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021049 MR PREMKUMAR MAHATO STATE BANK OF INDIA(508548)
18 AMNOUR BH-09-008-016-01794600/2174
(MADARPUR)
0509008000NRG24060120240522132 08/01/2024 SUNITA DEVI 0509008WL040174 SUNITA DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021051 MRS SUNITA XXX DEVI STATE BANK OF INDIA(508548)
19 AMNOUR BH-09-008-016-01794600/2278
(MADARPUR)
0509008000NRG24060120240522133 08/01/2024 MANILAL MAHATO 0509008WL040174 MANILAL MAHATO 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021047 MR MANILAL XXX MAHATO STATE BANK OF INDIA(508548)
20 AMNOUR BH-09-008-016-01794600/2279
(MADARPUR)
0509008000NRG24060120240522134 08/01/2024 SATNARAYAN RAUT 0509008WL040174 SATNARAYAN RAUT 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021059 MR SATNARAYAN RAUT STATE BANK OF INDIA(508548)
21 AMNOUR BH-09-008-016-01794600/2605
(MADARPUR)
0509008000NRG24060120240522141 08/01/2024 SUNIL SAH 0509008WL040174 SUNIL SAH 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021064 MS SUNIL SAH STATE BANK OF INDIA(508548)
22 AMNOUR BH-09-008-016-01794600/2607
(MADARPUR)
0509008000NRG24060120240522142 08/01/2024 DHARMENDAR RAUT 0509008WL040174 DHARMENDAR RAUT 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021066 MR DHARMENDRA RAUT STATE BANK OF INDIA(508548)
23 AMNOUR BH-09-008-016-01794600/2610
(MADARPUR)
0509008000NRG24060120240522143 08/01/2024 BHUVAR SAH 0509008WL040174 BHUVAR SAH 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021065 MR BHUVAR SAH STATE BANK OF INDIA(508548)
24 AMNOUR BH-09-008-016-01794600/2613
(MADARPUR)
0509008000NRG24060120240522144 08/01/2024 SUBHANTI DEVI 0509008WL040174 SUBHANTI DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021050 SUMANTI DEVI UTTAR BIHAR GRAMIN BANK(607069)
25 AMNOUR BH-09-008-016-01794600/2615
(MADARPUR)
0509008000NRG24060120240522145 08/01/2024 KALAVATI DEVI 0509008WL040174 KALAVATI DEVI 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021046 Mrs. KALAWATI DEVI CENTRAL BANK OF INDIA(607115)
26 AMNOUR BH-09-008-016-01794600/959
(MADARPUR)
0509008000NRG24060120240522155 08/01/2024 LAGAN SAH 0509008WL040174 LAGAN SAH 00415 SBIN0012560 3420 3420 Processed 25/03/2024 2135021045 MR LAGAN SAH XX XX STATE BANK OF INDIA(508548)
SubTotal 54720 54720
27 AMNOUR BH-09-008-016-01794600/2594
(MADARPUR)
0509008000NRG24060120240522138 08/01/2024 MANOHAR SAH 0509008WL040174 MANOHAR SAH 00468 UBIN0542784 3420 3420 Processed 25/03/2024 2135021068 MR MANOHARSAH GEETADEVI STATE BANK OF INDIA(508548)
SubTotal 3420 3420
28 AMNOUR BH-09-008-016-01794600/1847
(MADARPUR)
0509008000NRG24060120240522116 08/01/2024 SUMITRA DEVI 0509008WL040174 SUMITRA DEVI 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021037 SUMITRA DEVI INDUSIND BANK(607189)
29 AMNOUR BH-09-008-016-01794600/2137
(MADARPUR)
0509008000NRG24060120240522118 08/01/2024 VIMAL KUMAR 0509008WL040174 VIMAL KUMAR 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021039 VIMAL KUMAR UTTAR BIHAR GRAMIN BANK(607069)
30 AMNOUR BH-09-008-016-01794600/2157
(MADARPUR)
0509008000NRG24060120240522125 08/01/2024 MANTI DEVI 0509008WL040174 MANTI DEVI 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021040 MANTI DEVI UTTAR BIHAR GRAMIN BANK(607069)
31 AMNOUR BH-09-008-016-01794600/2160
(MADARPUR)
0509008000NRG24060120240522128 08/01/2024 SUMITA DEVI 0509008WL040174 SUMITA DEVI 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021038 MRS SUMITA XX DEVI STATE BANK OF INDIA(508548)
32 AMNOUR BH-09-008-016-01794600/2620
(MADARPUR)
0509008000NRG24060120240522148 08/01/2024 PRAMEELA DEVI 0509008WL040174 PRAMEELA DEVI 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021035 PRAMEELA DEVI BANK OF BARODA(606985)
33 AMNOUR BH-09-008-016-01794600/2622
(MADARPUR)
0509008000NRG24060120240522149 08/01/2024 GURIYA DEVI 0509008WL040174 GURIYA DEVI 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021041 Mrs. Guriya Devi INDIAN BANK(607105)
34 AMNOUR BH-09-008-016-01794600/681
(MADARPUR)
0509008000NRG24060120240522154 08/01/2024 SUSHILA DEVI 0509008WL040174 SUSHILA DEVI 00538 CBIN0R10001 3420 3420 Processed 25/03/2024 2135021036 SUSHILA DEVI INDUSIND BANK(607189)
SubTotal 23940 23940
35 AMNOUR BH-09-008-016-01794600/2147
(MADARPUR)
0509008000NRG24060120240522123 08/01/2024 RAMJIT MAHTO 0509008WL040174 RAMJIT MAHTO 00666 IDFB0040101 3420 3420 Processed 25/03/2024 2135021034 Ramjit Mahto IDFC BANK LIMITED(608117)
SubTotal 3420 3420
36 AMNOUR BH-09-008-016-01794600/2528
(MADARPUR)
0509008000NRG24060120240522137 08/01/2024 RAMNARAYAN RAUT 0509008WL040174 RAMNARAYAN RAUT 00688 FINO0001448 3420 3420 Processed 25/03/2024 2135021042 Ramnarayan Raut FINO PAYMENTS BANK LTD(608001)
SubTotal 3420 3420
37 AMNOUR BH-09-008-016-01794600/2142
(MADARPUR)
0509008000NRG24060120240522120 08/01/2024 REETA DEVI 0509008WL040174 REETA DEVI 00691 IPOS0000001 3420 3420 Processed 25/03/2024 2135021033 MRS RITA DEVI STATE BANK OF INDIA(508548)
38 AMNOUR BH-09-008-016-01794600/2521
(MADARPUR)
0509008000NRG24060120240522136 08/01/2024 NANDAN SHAHA 0509008WL040174 NANDAN SHAHA 00691 IPOS0000001 3420 3420 Processed 25/03/2024 2135021030 NANDAN SHAHA INDIA POST PAYMENTS BANK LIMITED(508528)
39 AMNOUR BH-09-008-016-01794600/2616
(MADARPUR)
0509008000NRG24060120240522146 08/01/2024 LALITA DEVI 0509008WL040174 LALITA DEVI 00691 IPOS0000001 3420 3420 Processed 25/03/2024 2135021031 MRS LALITA DEVI STATE BANK OF INDIA(508548)
40 AMNOUR BH-09-008-016-01794600/2619
(MADARPUR)
0509008000NRG24060120240522147 08/01/2024 UMARAVATI DEVI 0509008WL040174 UMARAVATI DEVI 00691 IPOS0000001 3420 3420 Processed 25/03/2024 2135021032 SHEONARAYAN RAUT &UMRAWATI DEVI UTTAR BIHAR GRAMIN BANK(607069)
SubTotal 13680 13680
41 AMNOUR BH-09-008-016-01794600/2172
(MADARPUR)
0509008000NRG24060120240522131 08/01/2024 JAKSAN MAHATO 0509008WL040174 JAKSAN MAHATO 00703 AIRP0000001 3420 3420 Processed 25/03/2024 2135021070 Jaksan Mahato IDFC BANK LIMITED(608117)
SubTotal 3420 3420
Total 140220 140220

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S.No. Block_name Fto No Bank Name/HO Name Branch Code/SO Code Branch Name Amount
1 AMNOUR BH0509008_080124APB_FTO_790377 Bank of India BKID0005756 GARKHA 3420
2 AMNOUR BH0509008_080124APB_FTO_790377 Central Bank Of India CBIN0283917 MALAMIRZA TUKRA, (J P UNIVERSITY, CHAPRA 3420
3 AMNOUR BH0509008_080124APB_FTO_790377 State Bank of India SBIN0003267 ADB PARSA 3420
4 AMNOUR BH0509008_080124APB_FTO_790377 State Bank of India SBIN0006656 SUTIHAR 23940
5 AMNOUR BH0509008_080124APB_FTO_790377 State Bank of India SBIN0012560 GARKHA 54720
6 AMNOUR BH0509008_080124APB_FTO_790377 Union Bank of India UBIN0542784 KHODAIBAGH 3420
7 AMNOUR BH0509008_080124APB_FTO_790377 Uttar Bihar Gramin Bank CBIN0R10001 UBGB 13680
8 AMNOUR BH0509008_080124APB_FTO_790377 Uttar Bihar Gramin Bank CBIN0R10001 UBGB KATSA 6840
9 AMNOUR BH0509008_080124APB_FTO_790377 Uttar Bihar Gramin Bank CBIN0R10001 Uttar Bihar Gramin Bank, 3420
10 AMNOUR BH0509008_080124APB_FTO_790377 IDFC Bank IDFB0040101 MAHESHA FARAKPUR 3420
11 AMNOUR BH0509008_080124APB_FTO_790377 Fino Payments Bank Ltd FINO0001448 Fino Payments Bank Ltd, Danapur 3420
12 AMNOUR BH0509008_080124APB_FTO_790377 India Post Payments Bank IPOS0000001 Chapra 13680
13 AMNOUR BH0509008_080124APB_FTO_790377 Airtel Payments Bank Limited AIRP0000001 Airtel Payments Branch 3420

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