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Ministry of Rural Development
Department of Rural Development
The Mahatma Gandhi National Rural Employment Guarantee Act 18-Jun-2024 08:12:32 AM 
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FTO Transaction Details

State : ODISHA District : NAYAGARH Block : BHAPUR
Fto No. : OR2422010_310522APB_FTO_173318
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 BHAPUR OR-22-010-013-004/1872
(NIMANI)
2422010000NRG23310520220081774 31/05/2022 RAJ KISHORE NAYAK 2422010WL0005208 RAJ KISHORE NAYAK 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370131 RAJA KISHORE NAIK INDIAN OVERSEAS BANK(508541)
2 BHAPUR OR-22-010-013-004/1898
(NIMANI)
2422010000NRG23310520220081780 31/05/2022 Bijay Kumar Sitha 2422010WL0005208 Bijay Kumar Sitha 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370138 BIJAYA KUMAR SETHI INDIAN OVERSEAS BANK(508541)
3 BHAPUR OR-22-010-013-004/1898
(NIMANI)
2422010000NRG23310520220081781 31/05/2022 MITA SETHI 2422010WL0005208 MITA SETHI 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370156 MITA SETHI INDIAN OVERSEAS BANK(508541)
4 BHAPUR OR-22-010-013-004/1911
(NIMANI)
2422010000NRG23310520220081783 31/05/2022 JHUNI ROUT 2422010WL0005208 JHUNI ROUT 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370132 JHUNILATA ROUT INDIAN OVERSEAS BANK(508541)
5 BHAPUR OR-22-010-013-004/1911
(NIMANI)
2422010000NRG23310520220081782 31/05/2022 MADHUSUDAN ROUT 2422010WL0005208 MADHUSUDAN ROUT 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370145 MADHUSUDAN ROUT INDIAN OVERSEAS BANK(508541)
6 BHAPUR OR-22-010-013-004/1930
(NIMANI)
2422010000NRG23310520220081786 31/05/2022 KASINAth SETHI 2422010WL0005208 KASINAth SETHI 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370157 KASINATH SETHI INDIAN OVERSEAS BANK(508541)
7 BHAPUR OR-22-010-013-004/1956
(NIMANI)
2422010000NRG23310520220081791 31/05/2022 RITANJALI MAHAKHODA 2422010WL0005208 RITANJALI MAHAKHODA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370129 RITANJALI MAHAKHOD INDIAN OVERSEAS BANK(508541)
8 BHAPUR OR-22-010-013-004/1974
(NIMANI)
2422010000NRG23310520220081794 31/05/2022 SHIKHAR SWAIN 2422010WL0005208 SHIKHAR SWAIN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370139 SHIKHAR SWAIN INDIAN OVERSEAS BANK(508541)
9 BHAPUR OR-22-010-013-004/1974
(NIMANI)
2422010000NRG23310520220081795 31/05/2022 SIKHAR SWAIN 2422010WL0005208 SIKHAR SWAIN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370165 GULEI DEI INDIAN OVERSEAS BANK(508541)
10 BHAPUR OR-22-010-013-004/1991
(NIMANI)
2422010000NRG23310520220081796 31/05/2022 SANTOSH SETHI 2422010WL0005208 SANTOSH SETHI 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370130 SANTOSH SETHI INDIAN OVERSEAS BANK(508541)
11 BHAPUR OR-22-010-013-004/1991
(NIMANI)
2422010000NRG23310520220081797 31/05/2022 URMILA SETHI 2422010WL0005208 URMILA SETHI 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370166 URMILA SETHY INDIAN OVERSEAS BANK(508541)
12 BHAPUR OR-22-010-013-004/1999
(NIMANI)
2422010000NRG23310520220081798 31/05/2022 SADANANDA RATANA 2422010WL0005208 SADANANDA RATANA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370167 SADANANDA RATAN INDIAN OVERSEAS BANK(508541)
13 BHAPUR OR-22-010-013-004/2002
(NIMANI)
2422010000NRG23310520220081800 31/05/2022 NILAMBAR BEHERA 2422010WL0005208 NILAMBAR BEHERA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370160 ANGULI BEHERA INDIAN OVERSEAS BANK(508541)
14 BHAPUR OR-22-010-013-004/2007
(NIMANI)
2422010000NRG23310520220081805 31/05/2022 BHIKARI JENA 2422010WL0005208 BHIKARI JENA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370168 MR RABINDRA KUMAR JENA STATE BANK OF INDIA(508548)
15 BHAPUR OR-22-010-013-004/2010
(NIMANI)
2422010000NRG23310520220081807 31/05/2022 SEBATI SWAIN 2422010WL0005208 SEBATI SWAIN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370158 SEBATI DEI ODISHA GRAMYA BANK(607060)
16 BHAPUR OR-22-010-013-004/2032
(NIMANI)
2422010000NRG23310520220081809 31/05/2022 BASANTI BEHERA 2422010WL0005208 BASANTI BEHERA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370136 BASANTI BEHERA INDIAN OVERSEAS BANK(508541)
17 BHAPUR OR-22-010-013-004/2032
(NIMANI)
2422010000NRG23310520220081808 31/05/2022 NARASINGHA BEHERA 2422010WL0005208 NARASINGHA BEHERA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370142 NARASINGHA BEHERA INDIAN OVERSEAS BANK(508541)
18 BHAPUR OR-22-010-013-004/2034
(NIMANI)
2422010000NRG23310520220081811 31/05/2022 API ROUT 2422010WL0005208 API ROUT 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370135 SAROJINI ROUT INDIAN OVERSEAS BANK(508541)
19 BHAPUR OR-22-010-013-004/2034
(NIMANI)
2422010000NRG23310520220081810 31/05/2022 BALARAM ROUT 2422010WL0005208 BALARAM ROUT 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370140 BALRAM ROUT INDIAN OVERSEAS BANK(508541)
20 BHAPUR OR-22-010-013-004/2041
(NIMANI)
2422010000NRG23310520220081813 31/05/2022 BISIKHA ROUT 2422010WL0005208 BISIKHA ROUT 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370134 BISHIKA ROUT INDIAN OVERSEAS BANK(508541)
21 BHAPUR OR-22-010-013-004/2050
(NIMANI)
2422010000NRG23310520220081814 31/05/2022 GOBINDA CHANDRA SAHOO 2422010WL0005208 GOBINDA CHANDRA SAHOO 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370143 GOBINDA CH SAHU INDIAN OVERSEAS BANK(508541)
22 BHAPUR OR-22-010-013-004/2068
(NIMANI)
2422010000NRG23310520220081816 31/05/2022 Prabhat Rout 2422010WL0005208 Prabhat Rout 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370141 PRABHAT RAUT INDIAN OVERSEAS BANK(508541)
23 BHAPUR OR-22-010-013-004/2068
(NIMANI)
2422010000NRG23310520220081817 31/05/2022 Sonita Pradhan 2422010WL0005208 Sonita Pradhan 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370133 SONITA PRADHAN INDIAN OVERSEAS BANK(508541)
24 BHAPUR OR-22-010-013-004/2118
(NIMANI)
2422010000NRG23310520220081818 31/05/2022 Ganeswar Swain 2422010WL0005208 Ganeswar Swain 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370159 GANESWAR SWAIN INDIAN OVERSEAS BANK(508541)
25 BHAPUR OR-22-010-013-004/2118
(NIMANI)
2422010000NRG23310520220081819 31/05/2022 MANIKA SWIAN 2422010WL0005208 MANIKA SWIAN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370137 MANIKA SWAIN INDIAN OVERSEAS BANK(508541)
26 BHAPUR OR-22-010-013-004/2119
(NIMANI)
2422010000NRG23310520220081820 31/05/2022 MADHAB CHANDRA MAHARANA 2422010WL0005208 MADHAB CHANDRA MAHARANA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370164 MADHAB CHANDRA MAHARANA INDIAN OVERSEAS BANK(508541)
27 BHAPUR OR-22-010-013-004/2132
(NIMANI)
2422010000NRG23310520220081822 31/05/2022 AKHILA SWAIN 2422010WL0005208 AKHILA SWAIN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370161 AKHILA KUMAR SWAIN INDIAN OVERSEAS BANK(508541)
28 BHAPUR OR-22-010-013-004/2132
(NIMANI)
2422010000NRG23310520220081823 31/05/2022 RAJANIRANI SWAIN 2422010WL0005208 RAJANIRANI SWAIN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370169 RAJANI RANI SWAIN INDIAN OVERSEAS BANK(508541)
29 BHAPUR OR-22-010-013-004/2146
(NIMANI)
2422010000NRG23310520220081824 31/05/2022 BHIKARI SWAIN 2422010WL0005208 BHIKARI SWAIN 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370146 BHIKARI SWAIN INDIAN OVERSEAS BANK(508541)
30 BHAPUR OR-22-010-013-004/2176
(NIMANI)
2422010000NRG23310520220081825 31/05/2022 LAXMAN KUMAR SAMANTARAY 2422010WL0005208 LAXMAN KUMAR SAMANTARAY 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370155 MR LAXMAN KUMAR SAMANTRAY STATE BANK OF INDIA(508548)
31 BHAPUR OR-22-010-013-004/2181
(NIMANI)
2422010000NRG23310520220081826 31/05/2022 KASHINATH SITHA 2422010WL0005208 KASHINATH SITHA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370162 KASINATH SITHA INDIAN OVERSEAS BANK(508541)
32 BHAPUR OR-22-010-013-004/2194
(NIMANI)
2422010000NRG23310520220081828 31/05/2022 DAMODAR MAHARANA 2422010WL0005208 DAMODAR MAHARANA 00177 IOBA0001173 1332 1332 Processed 03/06/2022 1928370144 DAMODAR MAHARANA INDIAN OVERSEAS BANK(508541)
SubTotal 42624 42624
33 BHAPUR OR-22-010-013-004/2181
(NIMANI)
2422010000NRG23310520220081827 31/05/2022 jhunu kumari sitha 2422010WL0005208 jhunu kumari sitha 00177 IOBA0002664 1332 1332 Processed 03/06/2022 1928370163 JHUNA KUMARI SITHA INDIAN OVERSEAS BANK(508541)
SubTotal 1332 1332
34 BHAPUR OR-22-010-013-004/1934
(NIMANI)
2422010000NRG23310520220081789 31/05/2022 PRAMILA SWAIN 2422010WL0005208 PRAMILA SWAIN 00415 SBIN0012033 1332 1332 Processed 03/06/2022 1928370150 MRS PRAMILA SWAIN STATE BANK OF INDIA(508548)
SubTotal 1332 1332
35 BHAPUR OR-22-010-013-004/2206
(NIMANI)
2422010000NRG23310520220081830 31/05/2022 JOYTSNA RANI DAS 2422010WL0005208 JOYTSNA RANI DAS 00415 SBIN0012042 1332 1332 Processed 03/06/2022 1928370148 ANANTA KISHOR DASH AXIS BANK(607153)
SubTotal 1332 1332
36 BHAPUR OR-22-010-013-004/1960
(NIMANI)
2422010000NRG23310520220081792 31/05/2022 BIDYDHARA SWAIN 2422010WL0005208 BIDYDHARA SWAIN 00415 SBIN0013602 1332 1332 Processed 03/06/2022 1928370149 ROUTRA BIDYADHAR SWAIN INDIAN OVERSEAS BANK(508541)
37 BHAPUR OR-22-010-013-004/2003
(NIMANI)
2422010000NRG23310520220081802 31/05/2022 BISIKESAN ROUT 2422010WL0005208 BISIKESAN ROUT 00415 SBIN0013602 1332 1332 Processed 03/06/2022 1928370153 BISHIKESHAN ROUT INDIAN OVERSEAS BANK(508541)
38 BHAPUR OR-22-010-013-004/2003
(NIMANI)
2422010000NRG23310520220081803 31/05/2022 BISIKESAN ROUT 2422010WL0005208 BISIKESAN ROUT 00415 SBIN0013602 1332 1332 Processed 03/06/2022 1928370154 ANJALI ROUT INDIAN OVERSEAS BANK(508541)
39 BHAPUR OR-22-010-013-004/2194
(NIMANI)
2422010000NRG23310520220081829 31/05/2022 TILOTTAMA DEI 2422010WL0005208 TILOTTAMA DEI 00415 SBIN0013602 1332 1332 Processed 03/06/2022 1928370152 MR TILOTAMA DEI LTI0 STATE BANK OF INDIA(508548)
40 BHAPUR OR-22-010-013-004/2241
(NIMANI)
2422010000NRG23310520220081832 31/05/2022 ALOKA KUMAR ROUTRAY 2422010WL0005208 ALOKA KUMAR ROUTRAY 00415 SBIN0013602 1332 1332 Processed 03/06/2022 1928370147 ALOK KUMAR ROUTARAY INDIAN OVERSEAS BANK(508541)
SubTotal 6660 6660
41 BHAPUR OR-22-010-013-004/1999
(NIMANI)
2422010000NRG23310520220081799 31/05/2022 MAMATA RATAN 2422010WL0005208 MAMATA RATAN 00415 SBIN0017542 1332 1332 Processed 04/06/2022 1928370151 MAMATA RATANA AIRTEL PAYMENTS BANK LIMITED(990288)
SubTotal 1332 1332
Total 54612 54612

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S.No. Block_name Fto No Bank Name/HO Name Branch Code/SO Code Branch Name Amount
1 BHAPUR OR2422010_310522APB_FTO_173318 Indian Overseas Bank IOBA0001173 BHAPUR 42624
2 BHAPUR OR2422010_310522APB_FTO_173318 Indian Overseas Bank IOBA0002664 PUANIA 1332
3 BHAPUR OR2422010_310522APB_FTO_173318 State Bank of India SBIN0012033 KHANDAPADA 1332
4 BHAPUR OR2422010_310522APB_FTO_173318 State Bank of India SBIN0012042 KALAPATHAR 1332
5 BHAPUR OR2422010_310522APB_FTO_173318 State Bank of India SBIN0013602 BHAPUR 6660
6 BHAPUR OR2422010_310522APB_FTO_173318 State Bank of India SBIN0017542 SAGARGAON 1332

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