Govt. of India
Ministry of Rural Development
Department of Rural Development
The Mahatma Gandhi National Rural Employment Guarantee Act 29-May-2024 11:00:39 PM 
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FTO Transaction Details

State : TAMIL NADU District : ERODE Block : SATHY
Fto No. : TN2910018_041122APB_FTO_1105325
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)
2910018000NRG23041120221780748 04/11/2022 Ramasamy 2910018WL053809 Ramasamy 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Ramasamy INDIAN OVERSEAS BANK(508541)
2 SATHY TN-10-018-013-001/1219-A
(SADMUGAI)
2910018000NRG23041120221780750 04/11/2022 Rangammal.R 2910018WL053809 Rangammal.R 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Rangammal.R INDIAN OVERSEAS BANK(508541)
3 SATHY TN-10-018-013-001/1228-A
(SADMUGAI)
2910018000NRG23041120221780751 04/11/2022 Vijaya 2910018WL053809 Vijaya 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Vijaya INDIAN OVERSEAS BANK(508541)
4 SATHY TN-10-018-013-001/1262-A
(SADMUGAI)
2910018000NRG23041120221780754 04/11/2022 Rangal 2910018WL053809 Rangal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Rangal INDIAN OVERSEAS BANK(508541)
5 SATHY TN-10-018-013-001/1376-A
(SADMUGAI)
2910018000NRG23041120221780757 04/11/2022 Ponniammal 2910018WL053809 Ponniammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Ponniammal INDIAN OVERSEAS BANK(508541)
6 SATHY TN-10-018-013-001/1393-A
(SADMUGAI)
2910018000NRG23041120221780758 04/11/2022 Chinnammal 2910018WL053809 Chinnammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Chinnammal INDIAN OVERSEAS BANK(508541)
7 SATHY TN-10-018-013-001/1396
(SADMUGAI)
2910018000NRG23041120221780759 04/11/2022 Ponkiyammal 2910018WL053809 Ponkiyammal 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Ponkiyammal INDIAN OVERSEAS BANK(508541)
8 SATHY TN-10-018-013-001/1406-A
(SADMUGAI)
2910018000NRG23041120221780761 04/11/2022 Mani 2910018WL053809 Mani 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 Mani INDIAN OVERSEAS BANK(508541)
9 SATHY TN-10-018-013-001/1428-A
(SADMUGAI)
2910018000NRG23041120221780762 04/11/2022 Selvi 2910018WL053809 Selvi 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Selvi INDIAN OVERSEAS BANK(508541)
10 SATHY TN-10-018-013-001/1430-A
(SADMUGAI)
2910018000NRG23041120221780763 04/11/2022 Ponnammal 2910018WL053809 Ponnammal 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Ponnammal INDIAN OVERSEAS BANK(508541)
11 SATHY TN-10-018-013-001/1472-A
(SADMUGAI)
2910018000NRG23041120221780764 04/11/2022 Murukathal 2910018WL053809 Murukathal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Murukathal INDIAN OVERSEAS BANK(508541)
12 SATHY TN-10-018-013-001/1479-A
(SADMUGAI)
2910018000NRG23041120221780766 04/11/2022 Karupi 2910018WL053809 Karupi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Karupi INDIAN OVERSEAS BANK(508541)
13 SATHY TN-10-018-013-001/1480-A
(SADMUGAI)
2910018000NRG23041120221780767 04/11/2022 Devi 2910018WL053809 Devi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Devi INDIAN OVERSEAS BANK(508541)
14 SATHY TN-10-018-013-001/1651-A
(SADMUGAI)
2910018000NRG23041120221780768 04/11/2022 Venkattammal 2910018WL053809 Venkattammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Venkattammal STATE BANK OF INDIA(508548)
15 SATHY TN-10-018-013-001/1671-A
(SADMUGAI)
2910018000NRG23041120221780769 04/11/2022 Poongodi 2910018WL053809 Poongodi 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Poongodi INDIAN OVERSEAS BANK(508541)
16 SATHY TN-10-018-013-001/1675-A
(SADMUGAI)
2910018000NRG23041120221780770 04/11/2022 Sevathal 2910018WL053809 Sevathal 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 Sevathal INDIAN OVERSEAS BANK(508541)
17 SATHY TN-10-018-013-001/1676-A
(SADMUGAI)
2910018000NRG23041120221780771 04/11/2022 Santhi 2910018WL053809 Santhi 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Santhi INDIAN OVERSEAS BANK(508541)
18 SATHY TN-10-018-013-001/1679-A
(SADMUGAI)
2910018000NRG23041120221780772 04/11/2022 Sagunthala 2910018WL053809 Sagunthala 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 Sagunthala CANARA BANK(508532)
19 SATHY TN-10-018-013-001/1688-A
(SADMUGAI)
2910018000NRG23041120221780773 04/11/2022 Saroja 2910018WL053809 Saroja 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 Saroja INDIAN OVERSEAS BANK(508541)
20 SATHY TN-10-018-013-001/1740-A
(SADMUGAI)
2910018000NRG23041120221780774 04/11/2022 Pappannan 2910018WL053809 Pappannan 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Pappannan INDIAN OVERSEAS BANK(508541)
21 SATHY TN-10-018-013-001/1770-A
(SADMUGAI)
2910018000NRG23041120221780775 04/11/2022 Pappathi 2910018WL053809 Pappathi 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Pappathi STATE BANK OF INDIA(508548)
22 SATHY TN-10-018-013-001/1783-A
(SADMUGAI)
2910018000NRG23041120221780776 04/11/2022 Guruval 2910018WL053809 Guruval 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Guruval INDIAN OVERSEAS BANK(508541)
23 SATHY TN-10-018-013-001/1787-A
(SADMUGAI)
2910018000NRG23041120221780777 04/11/2022 Palaniyammal 2910018WL053809 Palaniyammal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Palaniyammal INDIAN OVERSEAS BANK(508541)
24 SATHY TN-10-018-013-001/1802
(SADMUGAI)
2910018000NRG23041120221780778 04/11/2022 Bannal 2910018WL053809 Bannal 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Bannal INDIAN OVERSEAS BANK(508541)
25 SATHY TN-10-018-013-001/1828-A
(SADMUGAI)
2910018000NRG23041120221780779 04/11/2022 Nirmaladevi 2910018WL053809 Nirmaladevi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Nirmaladevi INDIAN OVERSEAS BANK(508541)
26 SATHY TN-10-018-013-001/1830-A
(SADMUGAI)
2910018000NRG23041120221780780 04/11/2022 Radha 2910018WL053809 Radha 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Radha INDIAN OVERSEAS BANK(508541)
27 SATHY TN-10-018-013-001/1840-A
(SADMUGAI)
2910018000NRG23041120221780782 04/11/2022 Saraswathi 2910018WL053809 Saraswathi 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Saraswathi INDIAN OVERSEAS BANK(508541)
28 SATHY TN-10-018-013-001/1878-A
(SADMUGAI)
2910018000NRG23041120221780784 04/11/2022 Kaniyammal 2910018WL053809 Kaniyammal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Kaniyammal INDIAN OVERSEAS BANK(508541)
29 SATHY TN-10-018-013-001/1879-A
(SADMUGAI)
2910018000NRG23041120221780785 04/11/2022 Arumugam 2910018WL053809 Arumugam 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Arumugam INDIAN OVERSEAS BANK(508541)
30 SATHY TN-10-018-013-001/1889-A
(SADMUGAI)
2910018000NRG23041120221780786 04/11/2022 Radha 2910018WL053809 Radha 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 Radha INDIAN OVERSEAS BANK(508541)
31 SATHY TN-10-018-013-001/1897-A
(SADMUGAI)
2910018000NRG23041120221780787 04/11/2022 Shanmugavalli 2910018WL053809 Shanmugavalli 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Shanmugavalli INDIAN OVERSEAS BANK(508541)
32 SATHY TN-10-018-013-001/1905-A
(SADMUGAI)
2910018000NRG23041120221780788 04/11/2022 Brindha 2910018WL053809 Brindha 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Brindha INDIAN OVERSEAS BANK(508541)
33 SATHY TN-10-018-013-001/1916-A
(SADMUGAI)
2910018000NRG23041120221780793 04/11/2022 Kaliyammal 2910018WL053809 Kaliyammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Kaliyammal INDIAN OVERSEAS BANK(508541)
34 SATHY TN-10-018-013-001/1921-A
(SADMUGAI)
2910018000NRG23041120221780797 04/11/2022 Rani 2910018WL053809 Rani 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Rani INDIAN OVERSEAS BANK(508541)
35 SATHY TN-10-018-013-001/1922-A
(SADMUGAI)
2910018000NRG23041120221780798 04/11/2022 Pannal 2910018WL053809 Pannal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Pannal INDIAN OVERSEAS BANK(508541)
36 SATHY TN-10-018-013-002/1284-A
(SADMUGAI)
2910018000NRG23041120221780852 04/11/2022 Kulanthaysamy 2910018WL053809 Kulanthaysamy 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Kulanthaysamy INDIAN OVERSEAS BANK(508541)
37 SATHY TN-10-018-013-008/1835-A
(SADMUGAI)
2910018000NRG23041120221780861 04/11/2022 lakshmi 2910018WL053809 lakshmi 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 lakshmi STATE BANK OF INDIA(508548)
38 SATHY TN-10-018-013-013/10-A
(SADMUGAI)
2910018000NRG23041120221780870 04/11/2022 Mallika 2910018WL053809 Mallika 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Mallika CANARA BANK(508532)
39 SATHY TN-10-018-013-013/1012-A
(SADMUGAI)
2910018000NRG23041120221780871 04/11/2022 SUMATHI 2910018WL053809 SUMATHI 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 SUMATHI INDIAN OVERSEAS BANK(508541)
40 SATHY TN-10-018-013-013/1051-A
(SADMUGAI)
2910018000NRG23041120221780872 04/11/2022 RANGAL 2910018WL053809 RANGAL 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 RANGAL INDIAN OVERSEAS BANK(508541)
41 SATHY TN-10-018-013-013/1060-A
(SADMUGAI)
2910018000NRG23041120221780873 04/11/2022 Karupayi 2910018WL053809 Karupayi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Karupayi INDIAN OVERSEAS BANK(508541)
42 SATHY TN-10-018-013-013/1091
(SADMUGAI)
2910018000NRG23041120221780874 04/11/2022 SELVI 2910018WL053809 SELVI 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 SELVI INDIAN OVERSEAS BANK(508541)
43 SATHY TN-10-018-013-013/1116-A
(SADMUGAI)
2910018000NRG23041120221780875 04/11/2022 Arukani 2910018WL053809 Arukani 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Arukani INDIAN OVERSEAS BANK(508541)
44 SATHY TN-10-018-013-013/1121-A
(SADMUGAI)
2910018000NRG23041120221780876 04/11/2022 Nathiya 2910018WL053809 Nathiya 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Nathiya INDIAN OVERSEAS BANK(508541)
45 SATHY TN-10-018-013-013/1136-A
(SADMUGAI)
2910018000NRG23041120221780877 04/11/2022 Ponkiammal 2910018WL053809 Ponkiammal 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Ponkiammal INDIAN OVERSEAS BANK(508541)
46 SATHY TN-10-018-013-013/1145
(SADMUGAI)
2910018000NRG23041120221780878 04/11/2022 Sagunthala 2910018WL053809 Sagunthala 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Sagunthala INDIAN OVERSEAS BANK(508541)
47 SATHY TN-10-018-013-013/1161-A
(SADMUGAI)
2910018000NRG23041120221780880 04/11/2022 Mallika 2910018WL053809 Mallika 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Mallika INDIAN OVERSEAS BANK(508541)
48 SATHY TN-10-018-013-013/1162-A
(SADMUGAI)
2910018000NRG23041120221780881 04/11/2022 Mallika 2910018WL053809 Mallika 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Mallika INDIAN OVERSEAS BANK(508541)
49 SATHY TN-10-018-013-013/12-A
(SADMUGAI)
2910018000NRG23041120221780882 04/11/2022 Sarasaal 2910018WL053809 Sarasaal 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 Sarasaal INDIAN OVERSEAS BANK(508541)
50 SATHY TN-10-018-013-013/1248-A
(SADMUGAI)
2910018000NRG23041120221780883 04/11/2022 Pathirammal 2910018WL053809 Pathirammal 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 Pathirammal STATE BANK OF INDIA(508548)
51 SATHY TN-10-018-013-013/1419-A
(SADMUGAI)
2910018000NRG23041120221780885 04/11/2022 Palaniyammal 2910018WL053809 Palaniyammal 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Palaniyammal INDIAN OVERSEAS BANK(508541)
52 SATHY TN-10-018-013-013/16-A
(SADMUGAI)
2910018000NRG23041120221780887 04/11/2022 Suppal 2910018WL053809 Suppal 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 Suppal INDIAN OVERSEAS BANK(508541)
53 SATHY TN-10-018-013-013/20-A
(SADMUGAI)
2910018000NRG23041120221780888 04/11/2022 Nagammal 2910018WL053809 Nagammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Nagammal INDIAN OVERSEAS BANK(508541)
54 SATHY TN-10-018-013-013/23-A
(SADMUGAI)
2910018000NRG23041120221780889 04/11/2022 PALANAL 2910018WL053809 PALANAL 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 PALANAL INDIAN OVERSEAS BANK(508541)
55 SATHY TN-10-018-013-013/26-A
(SADMUGAI)
2910018000NRG23041120221780891 04/11/2022 Mayilal 2910018WL053809 Mayilal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Mayilal INDIAN OVERSEAS BANK(508541)
56 SATHY TN-10-018-013-013/29-A
(SADMUGAI)
2910018000NRG23041120221780893 04/11/2022 Kannammal 2910018WL053809 Kannammal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Kannammal INDIAN OVERSEAS BANK(508541)
57 SATHY TN-10-018-013-013/318-A
(SADMUGAI)
2910018000NRG23041120221780895 04/11/2022 Vengittammal 2910018WL053809 Vengittammal 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Vengittammal INDIAN OVERSEAS BANK(508541)
58 SATHY TN-10-018-013-013/322-A
(SADMUGAI)
2910018000NRG23041120221780897 04/11/2022 Angayaal 2910018WL053809 Angayaal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Angayaal INDIAN OVERSEAS BANK(508541)
59 SATHY TN-10-018-013-013/323-A
(SADMUGAI)
2910018000NRG23041120221780898 04/11/2022 pappu 2910018WL053809 pappu 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 pappu INDIAN OVERSEAS BANK(508541)
60 SATHY TN-10-018-013-013/338-A
(SADMUGAI)
2910018000NRG23041120221780900 04/11/2022 Poongothai 2910018WL053809 Poongothai 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Poongothai CANARA BANK(508532)
61 SATHY TN-10-018-013-013/34-A
(SADMUGAI)
2910018000NRG23041120221780901 04/11/2022 Nimala 2910018WL053809 Nimala 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Nimala INDIAN OVERSEAS BANK(508541)
62 SATHY TN-10-018-013-013/348-A
(SADMUGAI)
2910018000NRG23041120221780902 04/11/2022 Subbayal 2910018WL053809 Subbayal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Subbayal STATE BANK OF INDIA(508548)
63 SATHY TN-10-018-013-013/36-A
(SADMUGAI)
2910018000NRG23041120221780903 04/11/2022 Chitra 2910018WL053809 Chitra 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 Chitra INDIAN OVERSEAS BANK(508541)
64 SATHY TN-10-018-013-013/38-A
(SADMUGAI)
2910018000NRG23041120221780904 04/11/2022 Karuppan 2910018WL053809 Karuppan 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 Karuppan STATE BANK OF INDIA(508548)
65 SATHY TN-10-018-013-013/40-A
(SADMUGAI)
2910018000NRG23041120221780905 04/11/2022 Kittammal 2910018WL053809 Kittammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Kittammal INDIAN OVERSEAS BANK(508541)
66 SATHY TN-10-018-013-013/48-A
(SADMUGAI)
2910018000NRG23041120221780907 04/11/2022 Kannatti 2910018WL053809 Kannatti 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Kannatti INDIAN OVERSEAS BANK(508541)
67 SATHY TN-10-018-013-013/52-A
(SADMUGAI)
2910018000NRG23041120221780908 04/11/2022 Pannal 2910018WL053809 Pannal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Pannal INDIAN OVERSEAS BANK(508541)
68 SATHY TN-10-018-013-013/58-A
(SADMUGAI)
2910018000NRG23041120221780910 04/11/2022 Sarasal 2910018WL053809 Sarasal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Sarasal INDIAN OVERSEAS BANK(508541)
69 SATHY TN-10-018-013-013/61-A
(SADMUGAI)
2910018000NRG23041120221780911 04/11/2022 Karal 2910018WL053809 Karal 00177 IOBA0001829 250 250 Processed 11/11/2022 020476915 Karal INDIAN OVERSEAS BANK(508541)
70 SATHY TN-10-018-013-013/63-A
(SADMUGAI)
2910018000NRG23041120221780913 04/11/2022 Chinna 2910018WL053809 Chinna 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Chinna INDIAN OVERSEAS BANK(508541)
71 SATHY TN-10-018-013-013/697-A
(SADMUGAI)
2910018000NRG23041120221780916 04/11/2022 Nagammal 2910018WL053809 Nagammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Nagammal STATE BANK OF INDIA(508548)
72 SATHY TN-10-018-013-013/7-A
(SADMUGAI)
2910018000NRG23041120221780917 04/11/2022 Sarasaal 2910018WL053809 Sarasaal 00177 IOBA0001829 1000 1000 Processed 11/11/2022 020476915 Sarasaal INDIAN OVERSEAS BANK(508541)
73 SATHY TN-10-018-013-013/74-A
(SADMUGAI)
2910018000NRG23041120221780919 04/11/2022 Nanchi 2910018WL053809 Nanchi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Nanchi STATE BANK OF INDIA(508548)
74 SATHY TN-10-018-013-013/76-A
(SADMUGAI)
2910018000NRG23041120221780921 04/11/2022 Rukumani 2910018WL053809 Rukumani 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Rukumani INDIAN OVERSEAS BANK(508541)
75 SATHY TN-10-018-013-013/77-A
(SADMUGAI)
2910018000NRG23041120221780922 04/11/2022 Kannammal 2910018WL053809 Kannammal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Kannammal INDIAN OVERSEAS BANK(508541)
76 SATHY TN-10-018-013-013/81-A
(SADMUGAI)
2910018000NRG23041120221780924 04/11/2022 Kuppi 2910018WL053809 Kuppi 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Kuppi INDIAN OVERSEAS BANK(508541)
77 SATHY TN-10-018-013-013/815-A
(SADMUGAI)
2910018000NRG23041120221780926 04/11/2022 Petthiyammal 2910018WL053809 Petthiyammal 00177 IOBA0001829 750 750 Processed 11/11/2022 020476915 Petthiyammal INDIAN OVERSEAS BANK(508541)
78 SATHY TN-10-018-013-013/847-a
(SADMUGAI)
2910018000NRG23041120221780928 04/11/2022 Marappan 2910018WL053809 Marappan 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Marappan INDIAN OVERSEAS BANK(508541)
79 SATHY TN-10-018-013-013/897-A
(SADMUGAI)
2910018000NRG23041120221780929 04/11/2022 Dhanalakshmi 2910018WL053809 Dhanalakshmi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Dhanalakshmi INDIAN OVERSEAS BANK(508541)
80 SATHY TN-10-018-013-013/9-A
(SADMUGAI)
2910018000NRG23041120221780930 04/11/2022 Mani 2910018WL053809 Mani 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Mani INDIAN OVERSEAS BANK(508541)
81 SATHY TN-10-018-013-013/943-A
(SADMUGAI)
2910018000NRG23041120221780931 04/11/2022 Kariyammal 2910018WL053809 Kariyammal 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Kariyammal INDIAN OVERSEAS BANK(508541)
82 SATHY TN-10-018-013-013/956-A
(SADMUGAI)
2910018000NRG23041120221780932 04/11/2022 Marayal 2910018WL053809 Marayal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Marayal INDIAN OVERSEAS BANK(508541)
83 SATHY TN-10-018-013-013/957-A
(SADMUGAI)
2910018000NRG23041120221780933 04/11/2022 N KUPPAYAL 2910018WL053809 N KUPPAYAL 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 N KUPPAYAL INDIAN OVERSEAS BANK(508541)
84 SATHY TN-10-018-013-013/975-A
(SADMUGAI)
2910018000NRG23041120221780935 04/11/2022 Rukmani 2910018WL053809 Rukmani 00177 IOBA0001829 500 500 Processed 11/11/2022 020476915 Rukmani INDIAN OVERSEAS BANK(508541)
85 SATHY TN-10-018-013-015/1253-A
(SADMUGAI)
2910018000NRG23041120221780936 04/11/2022 Kunjammal 2910018WL053809 Kunjammal 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Kunjammal INDIAN OVERSEAS BANK(508541)
86 SATHY TN-10-018-013-015/1399-A
(SADMUGAI)
2910018000NRG23041120221780937 04/11/2022 Thampiyappan 2910018WL053809 Thampiyappan 00177 IOBA0001829 1250 1250 Processed 11/11/2022 020476915 Thampiyappan CANARA BANK(508532)
87 SATHY TN-10-018-013-015/1535-A
(SADMUGAI)
2910018000NRG23041120221780938 04/11/2022 Rajathi 2910018WL053809 Rajathi 00177 IOBA0001829 1500 1500 Processed 11/11/2022 020476915 Rajathi INDIAN OVERSEAS BANK(508541)
SubTotal 91000 91000
88 SATHY TN-10-018-013-013/960-A
(SADMUGAI)
2910018000NRG23041120221780934 04/11/2022 Sivakami 2910018WL053809 Sivakami 00227 KVBL0001188 1000 1000 Processed 11/11/2022 020476915 Sivakami INDIAN OVERSEAS BANK(508541)
SubTotal 1000 1000
Total 92000 92000

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S.No. Block_name Fto No Bank Name/HO Name Branch Code/SO Code Branch Name Amount
1 SATHY TN2910018_041122APB_FTO_1105325 Indian Overseas Bank IOBA0001829 BANNARI AMMAN PURA BRANCH, SATHYAMANGALAM 75000
2 SATHY TN2910018_041122APB_FTO_1105325 Indian Overseas Bank IOBA0001829 IOB Bannariamman Pura Branch 16000
3 SATHY TN2910018_041122APB_FTO_1105325 KarurVysyaBank(KVB) KVBL0001188 SATHYAMANGALAM 1000

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