Annual Performance Reports

জোতবাজার বণিক সমবায় সমিতি লিমিটেড

Jotbazar Banik Somobay Somity Limited

Comprehensive financial and operational reports showcasing our cooperative society's growth, achievements, and financial transparency

Address: Jotbazar, Manda, Naogaon

Registration: Reg. No. 06, Date: 09/11/2004 (Amended: Reg. No. 85, Date: 18/09/2019)

2024

Latest

Comprehensive annual report covering financial performance, member growth, and community impact. Total income reached ৳27.70 crores with net profit of ৳1.62 crores.

Total Income৳27,70,64,751
Net Profit৳1,62,02,913
Savings Collection৳24,41,18,366
Loan Disbursement৳23,10,47,551

2023

Available

Annual performance report highlighting business expansion and financial stability. Total income of ৳26.80 crores with strong member growth.

Total Income৳26,80,68,149
Net Profit৳1,24,43,515
Savings Collection৳24,23,10,281
Loan Disbursement৳20,80,99,771

2022

Available

Year-end report showcasing recovery and growth during challenging times. Total income of ৳24.53 crores with consistent performance.

Total Income৳24,53,07,437
Net Profit৳1,23,52,757
Savings Collection৳22,15,00,852
Loan Disbursement৳18,17,54,771

2021

Available

Annual report demonstrating resilience and community support initiatives. Total income of ৳22.15 crores with steady growth.

Total Income৳22,15,74,667
Net Profit৳1,17,12,475
Savings Collection৳20,02,41,892
Loan Disbursement৳16,59,74,771

2020

Available

Annual report showing strong foundation with total income of ৳20.25 crores and net profit of ৳1.01 crores.

Total Income৳20,25,75,232
Net Profit৳1,01,81,836
Savings Collection৳18,34,21,186
Loan Disbursement৳14,51,18,271

Key Financial Highlights

Total Income (2024)

৳27.70 Crore

Net Profit (2024)

৳1.62 Crore

Savings Collection

৳24.41 Crore

Loan Disbursement

৳23.10 Crore

Active Members

500+

Years of Service

20+ Years

Performance Metrics

Metric202420232022Growth (2023-2024)
Total Income৳27.70 Cr৳26.80 Cr৳24.53 Cr 3.4%
Net Profit৳1.62 Cr৳1.24 Cr৳1.23 Cr 30.6%
Savings Collection৳24.41 Cr৳24.23 Cr৳22.15 Cr 0.7%
Loan Disbursement৳23.10 Cr৳20.81 Cr৳18.18 Cr 11%
Share Collection৳1.09 Cr৳0.96 Cr৳0.88 Cr 13.5%
Reserve Fund৳0.59 Cr৳0.38 Cr৳0.27 Cr 55.3%

Financial Summary (2024)

Income Breakdown
Savings Collection:৳24,41,18,366
Profit Collection:৳1,62,02,913
Share Collection:৳1,08,60,700
Reserve Collection:৳58,82,772
Total Income:৳27,70,64,751
Capital Position
Loan Disbursement:৳23,10,47,551
Bank FDRs:৳1,41,00,000
Bank Deposits:৳2,99,61,386
Cash in Hand:৳15,77,532
Outstanding Dues:৳3,78,282

Need More Information?

For detailed financial reports or specific inquiries, please contact our finance department.