FORM NL-15-CASH AND BANK BALANCE SCHEDULE
Name of the Insurer:--GENERAL INSURANCE CORPORATION OF INDIA-
CASH AND BANK BALANCES
- Particulars As at 31.03.2011 As at 31.03.2010 for the
corresponding previous year
- - (Rs '000) (Rs '000)
1 Cash (including cheques, drafts and stamps)  65  50
2 Bank Balances - -
- (a)-----Deposit Accounts - Short-term (due within 12 months) 43589 907 26079 850
- (b)-----Current Accounts 3290 198 1112 609
- (c)- Remittances in Transit Nil Nil
- - - -
- - - -
- - - -
3 Money at Call and Short Notice - -
- (a)With Banks 194 369 47 416
- (b);With other Institutions 491 502 491 223
4 Others (to be specified) - -
- TOTAL 47566 041 27731 148
- Balances with non-scheduled banks NIL NIL