Govt. of India
Ministry of Rural Development
Department of Rural Development
The Mahatma Gandhi National Rural Employment Guarantee Act 30-May-2024 01:02:08 AM 
Back  

FTO Transaction Details

State : TAMIL NADU District : ERODE Block : SATHY
Fto No. : TN2910018_030722APB_FTO_470894
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-10-018-013-001/1208-A
(SADMUGAI)
2910018000NRG23020720220753477 03/07/2022 Ramasamy 2910018WL023791 Ramasamy 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Ramasamy INDIAN OVERSEAS BANK(508541)
2 SATHY TN-10-018-013-001/1226-A
(SADMUGAI)
2910018000NRG23020720220753479 03/07/2022 Mallika 2910018WL023791 Mallika 00177 IOBA0001829 250 250 Processed 09/07/2022 017186171 Mallika INDIAN OVERSEAS BANK(508541)
3 SATHY TN-10-018-013-001/1228-A
(SADMUGAI)
2910018000NRG23020720220753480 03/07/2022 Vijaya 2910018WL023791 Vijaya 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Vijaya INDIAN OVERSEAS BANK(508541)
4 SATHY TN-10-018-013-001/1262-A
(SADMUGAI)
2910018000NRG23020720220753483 03/07/2022 Rangal 2910018WL023791 Rangal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Rangal INDIAN OVERSEAS BANK(508541)
5 SATHY TN-10-018-013-001/1286-A
(SADMUGAI)
2910018000NRG23020720220753486 03/07/2022 Saroja 2910018WL023791 Saroja 00177 IOBA0001829 500 500 Processed 09/07/2022 017186171 Saroja INDIAN OVERSEAS BANK(508541)
6 SATHY TN-10-018-013-001/1376-A
(SADMUGAI)
2910018000NRG23020720220753488 03/07/2022 Ponniammal 2910018WL023791 Ponniammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Ponniammal INDIAN OVERSEAS BANK(508541)
7 SATHY TN-10-018-013-001/1393-A
(SADMUGAI)
2910018000NRG23020720220753489 03/07/2022 Chinnammal 2910018WL023791 Chinnammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Chinnammal INDIAN OVERSEAS BANK(508541)
8 SATHY TN-10-018-013-001/1396
(SADMUGAI)
2910018000NRG23020720220753490 03/07/2022 Ponkiyammal 2910018WL023791 Ponkiyammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Ponkiyammal INDIAN OVERSEAS BANK(508541)
9 SATHY TN-10-018-013-001/1406-A
(SADMUGAI)
2910018000NRG23020720220753492 03/07/2022 Mani 2910018WL023791 Mani 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Mani INDIAN OVERSEAS BANK(508541)
10 SATHY TN-10-018-013-001/1430-A
(SADMUGAI)
2910018000NRG23020720220753493 03/07/2022 Ponnammal 2910018WL023791 Ponnammal 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Ponnammal INDIAN OVERSEAS BANK(508541)
11 SATHY TN-10-018-013-001/1472-A
(SADMUGAI)
2910018000NRG23020720220753494 03/07/2022 Murukathal 2910018WL023791 Murukathal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Murukathal INDIAN OVERSEAS BANK(508541)
12 SATHY TN-10-018-013-001/1479-A
(SADMUGAI)
2910018000NRG23020720220753496 03/07/2022 Karupi 2910018WL023791 Karupi 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Karupi INDIAN OVERSEAS BANK(508541)
13 SATHY TN-10-018-013-001/1480-A
(SADMUGAI)
2910018000NRG23020720220753497 03/07/2022 Devi 2910018WL023791 Devi 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Devi INDIAN OVERSEAS BANK(508541)
14 SATHY TN-10-018-013-001/1651-A
(SADMUGAI)
2910018000NRG23020720220753498 03/07/2022 Venkattammal 2910018WL023791 Venkattammal 00177 IOBA0001829 1250 1250 Processed 08/07/2022 017186171 Venkattammal STATE BANK OF INDIA(508548)
15 SATHY TN-10-018-013-001/1671-A
(SADMUGAI)
2910018000NRG23020720220753499 03/07/2022 Poongodi 2910018WL023791 Poongodi 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Poongodi INDIAN OVERSEAS BANK(508541)
16 SATHY TN-10-018-013-001/1676-A
(SADMUGAI)
2910018000NRG23020720220753500 03/07/2022 Santhi 2910018WL023791 Santhi 00177 IOBA0001829 500 500 Processed 09/07/2022 017186171 Santhi INDIAN OVERSEAS BANK(508541)
17 SATHY TN-10-018-013-001/1679-A
(SADMUGAI)
2910018000NRG23020720220753501 03/07/2022 Sagunthala 2910018WL023791 Sagunthala 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Sagunthala CANARA BANK(508532)
18 SATHY TN-10-018-013-001/1688-A
(SADMUGAI)
2910018000NRG23020720220753502 03/07/2022 Saroja 2910018WL023791 Saroja 00177 IOBA0001829 1000 1000 Processed 09/07/2022 017186171 Saroja INDIAN OVERSEAS BANK(508541)
19 SATHY TN-10-018-013-001/1740-A
(SADMUGAI)
2910018000NRG23020720220753503 03/07/2022 Pappannan 2910018WL023791 Pappannan 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Pappannan INDIAN OVERSEAS BANK(508541)
20 SATHY TN-10-018-013-001/1770-A
(SADMUGAI)
2910018000NRG23020720220753504 03/07/2022 Pappathi 2910018WL023791 Pappathi 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Pappathi STATE BANK OF INDIA(508548)
21 SATHY TN-10-018-013-001/1783-A
(SADMUGAI)
2910018000NRG23020720220753505 03/07/2022 Guruval 2910018WL023791 Guruval 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Guruval INDIAN OVERSEAS BANK(508541)
22 SATHY TN-10-018-013-001/1788-A
(SADMUGAI)
2910018000NRG23020720220753506 03/07/2022 Nagammal 2910018WL023791 Nagammal 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Nagammal INDIAN OVERSEAS BANK(508541)
23 SATHY TN-10-018-013-001/1802
(SADMUGAI)
2910018000NRG23020720220753507 03/07/2022 Bannal 2910018WL023791 Bannal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Bannal INDIAN OVERSEAS BANK(508541)
24 SATHY TN-10-018-013-001/1830-A
(SADMUGAI)
2910018000NRG23020720220753508 03/07/2022 Radha 2910018WL023791 Radha 00177 IOBA0001829 250 250 Rejected 11/07/2022 017186171 KYC Documents Pending
25 SATHY TN-10-018-013-001/1860-A
(SADMUGAI)
2910018000NRG23020720220753510 03/07/2022 Amutha 2910018WL023791 Amutha 00177 IOBA0001829 1000 1000 Processed 08/07/2022 017186171 Amutha CANARA BANK(508532)
26 SATHY TN-10-018-013-001/1878-A
(SADMUGAI)
2910018000NRG23020720220753511 03/07/2022 Kaniyammal 2910018WL023791 Kaniyammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kaniyammal INDIAN OVERSEAS BANK(508541)
27 SATHY TN-10-018-013-001/1879-A
(SADMUGAI)
2910018000NRG23020720220753512 03/07/2022 Arumugam 2910018WL023791 Arumugam 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Arumugam INDIAN OVERSEAS BANK(508541)
28 SATHY TN-10-018-013-001/1889-A
(SADMUGAI)
2910018000NRG23020720220753513 03/07/2022 Radha 2910018WL023791 Radha 00177 IOBA0001829 500 500 Processed 09/07/2022 017186171 Radha INDIAN OVERSEAS BANK(508541)
29 SATHY TN-10-018-013-001/1897-A
(SADMUGAI)
2910018000NRG23020720220753514 03/07/2022 Shanmugavalli 2910018WL023791 Shanmugavalli 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Shanmugavalli INDIAN OVERSEAS BANK(508541)
30 SATHY TN-10-018-013-001/1905-A
(SADMUGAI)
2910018000NRG23020720220753515 03/07/2022 Brindha 2910018WL023791 Brindha 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Brindha INDIAN OVERSEAS BANK(508541)
31 SATHY TN-10-018-013-001/1916-A
(SADMUGAI)
2910018000NRG23020720220753520 03/07/2022 Kaliyammal 2910018WL023791 Kaliyammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kaliyammal INDIAN OVERSEAS BANK(508541)
32 SATHY TN-10-018-013-001/1921-A
(SADMUGAI)
2910018000NRG23020720220753524 03/07/2022 Rani 2910018WL023791 Rani 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Rani INDIAN OVERSEAS BANK(508541)
33 SATHY TN-10-018-013-001/1922-A
(SADMUGAI)
2910018000NRG23020720220753525 03/07/2022 Pannal 2910018WL023791 Pannal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Pannal INDIAN OVERSEAS BANK(508541)
34 SATHY TN-10-018-013-002/1284-A
(SADMUGAI)
2910018000NRG23020720220753581 03/07/2022 Kulanthaysamy 2910018WL023791 Kulanthaysamy 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kulanthaysamy INDIAN OVERSEAS BANK(508541)
35 SATHY TN-10-018-013-002/1365-A
(SADMUGAI)
2910018000NRG23020720220753582 03/07/2022 Palaniyammal 2910018WL023791 Palaniyammal 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Palaniyammal STATE BANK OF INDIA(508548)
36 SATHY TN-10-018-013-013/10-A
(SADMUGAI)
2910018000NRG23020720220753598 03/07/2022 Mallika 2910018WL023791 Mallika 00177 IOBA0001829 750 750 Processed 08/07/2022 017186171 Mallika CANARA BANK(508532)
37 SATHY TN-10-018-013-013/1012-A
(SADMUGAI)
2910018000NRG23020720220753599 03/07/2022 SUMATHI 2910018WL023791 SUMATHI 00177 IOBA0001829 1000 1000 Processed 09/07/2022 017186171 SUMATHI INDIAN OVERSEAS BANK(508541)
38 SATHY TN-10-018-013-013/1051-A
(SADMUGAI)
2910018000NRG23020720220753600 03/07/2022 RANGAL 2910018WL023791 RANGAL 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 RANGAL INDIAN OVERSEAS BANK(508541)
39 SATHY TN-10-018-013-013/1060-A
(SADMUGAI)
2910018000NRG23020720220753601 03/07/2022 Karupayi 2910018WL023791 Karupayi 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Karupayi INDIAN OVERSEAS BANK(508541)
40 SATHY TN-10-018-013-013/1086
(SADMUGAI)
2910018000NRG23020720220753602 03/07/2022 Rani 2910018WL023791 Rani 00177 IOBA0001829 250 250 Processed 09/07/2022 017186171 Rani INDIAN OVERSEAS BANK(508541)
41 SATHY TN-10-018-013-013/1091
(SADMUGAI)
2910018000NRG23020720220753603 03/07/2022 SELVI 2910018WL023791 SELVI 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 SELVI INDIAN OVERSEAS BANK(508541)
42 SATHY TN-10-018-013-013/1116-A
(SADMUGAI)
2910018000NRG23020720220753604 03/07/2022 Arukani 2910018WL023791 Arukani 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Arukani INDIAN OVERSEAS BANK(508541)
43 SATHY TN-10-018-013-013/1136-A
(SADMUGAI)
2910018000NRG23020720220753605 03/07/2022 Ponkiammal 2910018WL023791 Ponkiammal 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Ponkiammal INDIAN OVERSEAS BANK(508541)
44 SATHY TN-10-018-013-013/1145
(SADMUGAI)
2910018000NRG23020720220753606 03/07/2022 Sagunthala 2910018WL023791 Sagunthala 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Sagunthala INDIAN OVERSEAS BANK(508541)
45 SATHY TN-10-018-013-013/1161-A
(SADMUGAI)
2910018000NRG23020720220753608 03/07/2022 Mallika 2910018WL023791 Mallika 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Mallika INDIAN OVERSEAS BANK(508541)
46 SATHY TN-10-018-013-013/1162-A
(SADMUGAI)
2910018000NRG23020720220753609 03/07/2022 Mallika 2910018WL023791 Mallika 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Mallika INDIAN OVERSEAS BANK(508541)
47 SATHY TN-10-018-013-013/12-A
(SADMUGAI)
2910018000NRG23020720220753610 03/07/2022 Sarasaal 2910018WL023791 Sarasaal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Sarasaal INDIAN OVERSEAS BANK(508541)
48 SATHY TN-10-018-013-013/1248-A
(SADMUGAI)
2910018000NRG23020720220753611 03/07/2022 Pathirammal 2910018WL023791 Pathirammal 00177 IOBA0001829 750 750 Processed 08/07/2022 017186171 Pathirammal STATE BANK OF INDIA(508548)
49 SATHY TN-10-018-013-013/1419-A
(SADMUGAI)
2910018000NRG23020720220753613 03/07/2022 Palaniyammal 2910018WL023791 Palaniyammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Palaniyammal INDIAN OVERSEAS BANK(508541)
50 SATHY TN-10-018-013-013/16-A
(SADMUGAI)
2910018000NRG23020720220753615 03/07/2022 Suppal 2910018WL023791 Suppal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Suppal INDIAN OVERSEAS BANK(508541)
51 SATHY TN-10-018-013-013/20-A
(SADMUGAI)
2910018000NRG23020720220753616 03/07/2022 Nagammal 2910018WL023791 Nagammal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Nagammal INDIAN OVERSEAS BANK(508541)
52 SATHY TN-10-018-013-013/23-A
(SADMUGAI)
2910018000NRG23020720220753617 03/07/2022 PALANAL 2910018WL023791 PALANAL 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 PALANAL INDIAN OVERSEAS BANK(508541)
53 SATHY TN-10-018-013-013/26-A
(SADMUGAI)
2910018000NRG23020720220753619 03/07/2022 Mayilal 2910018WL023791 Mayilal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Mayilal INDIAN OVERSEAS BANK(508541)
54 SATHY TN-10-018-013-013/29-A
(SADMUGAI)
2910018000NRG23020720220753621 03/07/2022 Kannammal 2910018WL023791 Kannammal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Kannammal INDIAN OVERSEAS BANK(508541)
55 SATHY TN-10-018-013-013/318-A
(SADMUGAI)
2910018000NRG23020720220753622 03/07/2022 Vengittammal 2910018WL023791 Vengittammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Vengittammal INDIAN OVERSEAS BANK(508541)
56 SATHY TN-10-018-013-013/322-A
(SADMUGAI)
2910018000NRG23020720220753624 03/07/2022 Angayaal 2910018WL023791 Angayaal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Angayaal INDIAN OVERSEAS BANK(508541)
57 SATHY TN-10-018-013-013/338-A
(SADMUGAI)
2910018000NRG23020720220753625 03/07/2022 Poongothai 2910018WL023791 Poongothai 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Poongothai CANARA BANK(508532)
58 SATHY TN-10-018-013-013/34-A
(SADMUGAI)
2910018000NRG23020720220753626 03/07/2022 Nimala 2910018WL023791 Nimala 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Nimala INDIAN OVERSEAS BANK(508541)
59 SATHY TN-10-018-013-013/348-A
(SADMUGAI)
2910018000NRG23020720220753627 03/07/2022 Subbayal 2910018WL023791 Subbayal 00177 IOBA0001829 1250 1250 Processed 08/07/2022 017186171 Subbayal STATE BANK OF INDIA(508548)
60 SATHY TN-10-018-013-013/36-A
(SADMUGAI)
2910018000NRG23020720220753628 03/07/2022 Chitra 2910018WL023791 Chitra 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Chitra INDIAN OVERSEAS BANK(508541)
61 SATHY TN-10-018-013-013/365-A
(SADMUGAI)
2910018000NRG23020720220753629 03/07/2022 Jayabharathi 2910018WL023791 Jayabharathi 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Jayabharathi CANARA BANK(508532)
62 SATHY TN-10-018-013-013/38-A
(SADMUGAI)
2910018000NRG23020720220753630 03/07/2022 Karuppan 2910018WL023791 Karuppan 00177 IOBA0001829 1250 1250 Processed 08/07/2022 017186171 Karuppan STATE BANK OF INDIA(508548)
63 SATHY TN-10-018-013-013/39-A
(SADMUGAI)
2910018000NRG23020720220753631 03/07/2022 Lakshmi 2910018WL023791 Lakshmi 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Lakshmi INDIAN OVERSEAS BANK(508541)
64 SATHY TN-10-018-013-013/40-A
(SADMUGAI)
2910018000NRG23020720220753632 03/07/2022 Kittammal 2910018WL023791 Kittammal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Kittammal INDIAN OVERSEAS BANK(508541)
65 SATHY TN-10-018-013-013/48-A
(SADMUGAI)
2910018000NRG23020720220753634 03/07/2022 Kannatti 2910018WL023791 Kannatti 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kannatti INDIAN OVERSEAS BANK(508541)
66 SATHY TN-10-018-013-013/52-A
(SADMUGAI)
2910018000NRG23020720220753635 03/07/2022 Pannal 2910018WL023791 Pannal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Pannal INDIAN OVERSEAS BANK(508541)
67 SATHY TN-10-018-013-013/61-A
(SADMUGAI)
2910018000NRG23020720220753637 03/07/2022 Karal 2910018WL023791 Karal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Karal INDIAN OVERSEAS BANK(508541)
68 SATHY TN-10-018-013-013/63-A
(SADMUGAI)
2910018000NRG23020720220753639 03/07/2022 Chinna 2910018WL023791 Chinna 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Chinna INDIAN OVERSEAS BANK(508541)
69 SATHY TN-10-018-013-013/7-A
(SADMUGAI)
2910018000NRG23020720220753643 03/07/2022 Sarasaal 2910018WL023791 Sarasaal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Sarasaal INDIAN OVERSEAS BANK(508541)
70 SATHY TN-10-018-013-013/74-A
(SADMUGAI)
2910018000NRG23020720220753645 03/07/2022 Nanchi 2910018WL023791 Nanchi 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Nanchi STATE BANK OF INDIA(508548)
71 SATHY TN-10-018-013-013/76-A
(SADMUGAI)
2910018000NRG23020720220753647 03/07/2022 Rukumani 2910018WL023791 Rukumani 00177 IOBA0001829 1000 1000 Processed 09/07/2022 017186171 Rukumani INDIAN OVERSEAS BANK(508541)
72 SATHY TN-10-018-013-013/77-A
(SADMUGAI)
2910018000NRG23020720220753648 03/07/2022 Kannammal 2910018WL023791 Kannammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kannammal INDIAN OVERSEAS BANK(508541)
73 SATHY TN-10-018-013-013/815-A
(SADMUGAI)
2910018000NRG23020720220753650 03/07/2022 Petthiyammal 2910018WL023791 Petthiyammal 00177 IOBA0001829 1250 1250 Processed 09/07/2022 017186171 Petthiyammal INDIAN OVERSEAS BANK(508541)
74 SATHY TN-10-018-013-013/816-A
(SADMUGAI)
2910018000NRG23020720220753651 03/07/2022 saradha 2910018WL023791 saradha 00177 IOBA0001829 1000 1000 Processed 09/07/2022 017186171 saradha INDIAN OVERSEAS BANK(508541)
75 SATHY TN-10-018-013-013/847-a
(SADMUGAI)
2910018000NRG23020720220753653 03/07/2022 Marappan 2910018WL023791 Marappan 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Marappan INDIAN OVERSEAS BANK(508541)
76 SATHY TN-10-018-013-013/931-A
(SADMUGAI)
2910018000NRG23020720220753655 03/07/2022 KOMARAYAL 2910018WL023791 KOMARAYAL 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 KOMARAYAL INDIAN OVERSEAS BANK(508541)
77 SATHY TN-10-018-013-013/943-A
(SADMUGAI)
2910018000NRG23020720220753656 03/07/2022 Kariyammal 2910018WL023791 Kariyammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kariyammal INDIAN OVERSEAS BANK(508541)
78 SATHY TN-10-018-013-013/956-A
(SADMUGAI)
2910018000NRG23020720220753657 03/07/2022 Marayal 2910018WL023791 Marayal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Marayal INDIAN OVERSEAS BANK(508541)
79 SATHY TN-10-018-013-013/957-A
(SADMUGAI)
2910018000NRG23020720220753658 03/07/2022 N KUPPAYAL 2910018WL023791 N KUPPAYAL 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 N KUPPAYAL INDIAN OVERSEAS BANK(508541)
80 SATHY TN-10-018-013-013/975-A
(SADMUGAI)
2910018000NRG23020720220753660 03/07/2022 Rukmani 2910018WL023791 Rukmani 00177 IOBA0001829 750 750 Processed 09/07/2022 017186171 Rukmani INDIAN OVERSEAS BANK(508541)
81 SATHY TN-10-018-013-015/1253-A
(SADMUGAI)
2910018000NRG23020720220753661 03/07/2022 Kunjammal 2910018WL023791 Kunjammal 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Kunjammal INDIAN OVERSEAS BANK(508541)
82 SATHY TN-10-018-013-015/1399-A
(SADMUGAI)
2910018000NRG23020720220753662 03/07/2022 Thampiyappan 2910018WL023791 Thampiyappan 00177 IOBA0001829 1500 1500 Processed 08/07/2022 017186171 Thampiyappan CANARA BANK(508532)
83 SATHY TN-10-018-013-015/1535-A
(SADMUGAI)
2910018000NRG23020720220753663 03/07/2022 Rajathi 2910018WL023791 Rajathi 00177 IOBA0001829 1500 1500 Processed 09/07/2022 017186171 Rajathi INDIAN OVERSEAS BANK(508541)
SubTotal 101500 101500
84 SATHY TN-10-018-013-013/960-A
(SADMUGAI)
2910018000NRG23020720220753659 03/07/2022 Sivakami 2910018WL023791 Sivakami 00227 KVBL0001188 1000 1000 Processed 09/07/2022 017186171 Sivakami INDIAN OVERSEAS BANK(508541)
SubTotal 1000 1000
Total 102500 102500

Download In Excel

S.No. Block_name Fto No Bank Name/HO Name Branch Code/SO Code Branch Name Amount
1 SATHY TN2910018_030722APB_FTO_470894 Indian Overseas Bank IOBA0001829 BANNARI AMMAN PURA BRANCH, SATHYAMANGALAM 81250
2 SATHY TN2910018_030722APB_FTO_470894 Indian Overseas Bank IOBA0001829 IOB Bannariamman Pura Branch 20250
3 SATHY TN2910018_030722APB_FTO_470894 KarurVysyaBank(KVB) KVBL0001188 SATHYAMANGALAM 1000

Download In Excel