2024-25 ANNUAL FINANCIAL STATEMENT

ANNUAL FINANCIAL SNAPSHOT: 2024–2025

A transparent visualization of receipts, payments, and key financial health indicators, based on the annual statement.

 

1. Key Performance Summary

₹2.28 Crore
Total Operating Receipts

All revenue sources collected.

₹2.05 Crore
Estimated Operating Payments

Total spent on operations & projects.

₹23 Lakh
Net Operating Surplus

Fiscal health and savings achieved.

₹8.70 Crore
Opening Cash & Bank Balance

Balance at the start of the year.

2. Source of Funds & Reserves

Primary Income Channels (₹2.28 Cr)

Revenue Grants & Contributions (₹1.68 Cr) - 74%

 

Tax Revenue (₹18.25 Lakh) - 8%

 

Fees & User Charges (₹17.25 Lakh) - 7.5%

 

Interest, Rental & Others - 10.5%

 

Key Reserves and Liability Movements

  • Movement in Reserves (312000000) + ₹1.29 Crore
  • Increase in Other Liabilities (350000000) + ₹21.86 Lakh
  • Decrease in Specific Grants (320000000) - ₹61.94 Lakh
  • Secured Loans Movement (330000000) - ₹12.37 Lakh
  • Net Cash from Operating Activities ₹2.24 Crore

  • 2024-25 വാർഷിക ധനകാര്യ പത്രിക