This website is currently under construction. The content is incomplete.
Budget Report 2025 - 26

Kootickal Grama Panchayat Budget 2025–26: Analytical Report

1. General Overview

The budget for the financial year 2025–26 identifies the Panchayat’s major sources of revenue as:

  • Tax Revenue
  • Non-Tax Revenue
  • Fees and User Charges
  • Rental Income from Panchayat Assets
  • Deposits and Refunds

2. Revenue Income – Taxes

Item2023–24 Actual2024–25 Budget2025–26 Budget
Property Tax₹33.89 lakh₹42.00 lakh₹45.00 lakh
Profession Tax₹10.49 lakh₹11.00 lakh₹11.50 lakh
Total₹44.38 lakh₹53.00 lakh₹56.50 lakh

Assessment

  • The Panchayat aims for an approximately 6–7% increase in tax revenue.
  • Property tax continues to be the Panchayat’s primary and most stable source of income.

3. Rental Income from Panchayat Assets

Item2023–242025–26
Land/Building Rent₹80,760₹1.20 lakh
Auditorium/Hall Rent₹29,000₹50,000
Total₹1.10 lakh₹1.70 lakh

Assessment

  • The budget reflects efforts to increase revenue by making better use of Panchayat-owned assets.
  • A revenue growth target of approximately 55% has been set in this category.

4. Fees and User Charges

Major Components

Item2025–26 Budget
License Fees₹1.75 lakh
Permit Fees₹9.00 lakh
Penalties and Fines₹1.30 lakh
Various Fees₹1.00 lakh
Administrative Charges₹1.00 lakh
Total₹14.23 lakh

Assessment

  • Permit fees constitute the largest share of this revenue category.
  • The Panchayat is attempting to strengthen service-based revenue generation.

5. Sales and Hire Charges

Item2025–26 Budget
Product Sales₹2.00 lakh
Form Sales₹15,000

Assessment

  • Revenue estimates appear more realistic compared to previous years.
  • This reflects a practical approach to forecasting income from sales-related activities.

6. Deposits and Refunds

Item2025–26 Budget
Earnest Money Deposit₹2.00 lakh
Security Deposit₹1.50 lakh
Retention Amount₹50,000
Recoveries Payable₹2.00 lakh
Total₹6.00 lakh

Assessment

  • These figures indicate the continued flow of contract- and project-related deposit transactions.
  • The budget assumes a stable level of such financial activities.

Key Findings

Strengths

✅ Steady growth in tax revenue.

✅ Efforts to generate additional income through better utilization of Panchayat assets.

✅ Increasing self-generated revenue through permits, licenses, and service fees.

Challenges

⚠️ Some revenue targets are significantly higher than previous years’ actual collections, making collection efficiency crucial.

⚠️ The Panchayat continues to rely heavily on tax revenue as its primary source of income.

Recommendations

  • Strengthen the collection of arrears and outstanding taxes.
  • Maximize the utilization of Panchayat halls, buildings, and other public assets.
  • Improve revenue collection through digital payment systems and online licensing services.
  • Attract more external funding, grants, and development assistance for infrastructure and welfare projects.

Conclusion

The 2025–26 Budget of Kootickal Grama Panchayat appears to be a relatively realistic and growth-oriented budget that seeks to increase self-generated revenue and improve the utilization of Panchayat assets. Tax revenue and fee-based income are expected to remain the primary pillars of the Panchayat’s financial stability, while efforts to diversify revenue sources could strengthen its long-term fiscal sustainability.

  • ബജറ്റ് 2025-26