Revenu Earning Scheme
This plan scheme hasbeen continuing since 1957-58 with a view to augment the financial position ofthe Gram Panchayat/Panchayat Samitis in the State and to enable them to takeupdevelopmental works in their respective area for the benefit ofPanchayats/Panchayat Samitis. Under this scheme interest free loan is given toPanchayat/Panchayat Samitis for installation of Tube-wells, Pumping sets onshamilat land, construction of shops at bus stand, construction of staff quartersetc. The loan is recoverable in 30 yearly installments. Under this scheme an amount ofRs.1833.00 lac was approved for the 11th Five Year Plan (2007-2012).An amount of Rs. 337.00 lac was approved for the year 2011-12 out of whichRs.226.06 lac was sanctioned. Under this scheme an amount of Rs. 1900.00 Lachas been earmarked for the 12th Five Year Plan (2012-17). Rs.354.00Lac has been approved for the annual plan 2012-13 which is reduced toRs.218.00 in Revised Outlay 2012-13. Out of Which Rs. 217. 90 Lakh has been sanctioned. Rs. 372.00 lakh has been earmarked for the year 2013-14.
This plan scheme has been continuing since 1957-58 with a view to augment the financial position of the Gram Panchayat/ Panchayat Samitis in the State and to enable them to take up development works in their areas for the benefit of Panchayat/ Panchayat Samitis. Under this scheme interest free loan is given to Panchayat/ Panchayat Samitis for installation of Tube wells, Pumping sets on shamlat land, construction of shops at bus stand and construction of staff quarter etc. The loan is recoverable in 30 yearly installments.
Under the scheme, an amount of Rs.1900.00 lacs has been approved for the 12th Five Year Plan (2012-17). An outlay of Rs.150.00 lakhs had been provided for the year 2016-17, out of which Rs.38.90 lakhs have been released. In the year 2017-18, an amount of Rs.120.00 lakhs were sanctioned in the revised budget, out of which Rs.32.25 lakhs had been released. An amount of Rs.281.30 lakhs have been spent during the present Govt.tennure. An amount of Rs.180.00 lakhs has been made for the year 2018-19, out of which an amount of Rs.148.10 lakh have been released so. A budget provision of Rs.180.00 lakhs has been made for the year 2019-20.
Original Budget | Revised Budget | Expenditure | |
---|---|---|---|
2013-14 | 524 | 250 | 206.19 |
2014-15 | 200 | 200 | 109.27 |
2015-16 | 250 | 200 | 154.32 |
2016-17 | 250 | 250 | 152 |
2018-19 | 180 | ------------ | 57.25 |
2019-20 | 180 | ---------------- | 180 |