FORM NL-15-CASH AND BANK BALANCE SCHEDULE | |||
Name of the Insurer: GENERAL INSURANCE CORPORATION OF INDIA | |||
CASH AND BANK BALANCES | |||
( ₹ in 000) | |||
Particulars | 31.03.2021 | 31.03.2020 | |
1 | Cash & stamps | 56 | 84 |
2 | Bank Balances | ||
(a) Deposit Accounts - Short-term (due within 12 months) | 165151 655 | 136366 291 | |
(b) Current Accounts | 7652 649 | 7200 673 | |
(c) Remittances in Transit | 0 | 26 568 | |
3 | Money at Call and Short Notice | ||
(a) With Banks | 2186 736 | 554 404 | |
(b) With other Institutions | 7949 831 | 14389 821 | |
4 | Others (to be specified) | ||
TOTAL | 182940 927 | 158537 841 | |
Balances with non-scheduled banks | NIL | NIL | |
0 | 0 | ||
Note : Bank balance may include remittances in transit. If so, the nature and amount should be separately stated. |