Key Financial Highlights

An overview of our financial strength as of 31st March 2025 reflecting consistent growth, operational efficiency, and strong member trust across deposits, loans, and asset management.
Metric Value
Net Working Capital₹1,25,59,32,912.24
Total Deposits (Fixed, Recurring, Savings)₹91,41,42,777.05
Total Loans Disbursed (All categories)₹88,36,70,062.12
Operating Profit (before provisions)₹54,65,122.49
Investments ₹35,65,21,663.75
Share Capital₹4,19,93,035.00
Reserve Fund₹3,74,57,141.42
Total Assets₹13,72,91,141.42
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