| FORM NL-15-CASH AND BANK BALANCE SCHEDULE | |||
| Name of the Insurer:GENERAL INSURANCE CORPORATION OF INDIA. | |||
|---|---|---|---|
| CASH AND BANK BALANCES | |||
| . | . | (Rs '000) | |
| . | Particulars | TWELVE MONTH ENDING 31.03.2013 | TWELVE MONTH ENDING 31.03.2012 |
| 1 | Cash & stamps | 340 | 5140 859 |
| 2 | Bank Balances | ||
| . | (a)Deposit Accounts - Short-term (due within 12 months) | 74233 842 | 62661 263 |
| . | (b)Current Accounts | 666 992 | 1185 479 |
| . | (c). Remittances in Transit | 0 | 0 |
| 3 | Money at Call and Short Notice | ||
| . | (a)With Banks | 107 270 | 144 148 |
| . | (b)....With other Institutions | 7334 344 | 11 993 |
| 4 | Others (to be specified) | ||
| . | TOTAL | 82342 788 | 69143 742 |
| . | Balances with non-scheduled banks | NIL | NIL |
| . | . | . | . |
| Note : Bank balance may include remittances in transit. If so, the nature and amount should be separately stated. | |||