Sr No.
Menu Name Report Name Report Desc
1 ADVRPT ACCDRT Position of Cases Referred to DRT
2 ADVRPT ACCTWDCB ACCOUNT WISE DCB POSITION
3 ADVRPT ACCT_CLOSE Account Closed Details
4 ADVRPT ACP ASSET CLASSICIFICATION AND PROVISION
5 ADVRPT ACREGSTPRFRE Acknowledge Register for Statmnt. Printed
6 ADVRPT ACRINTSUB Statement of accured interest and charges due
7 ADVRPT ACTIVITY_PEND Activity Pending Report
8 ADVRPT ACTIVITY_PROG Activity wise Progress report
9 ADVRPT ADDLLMTRESH Tracking of Fresh Loan Rescheduled Ac
10 ADVRPT ADSPRTN Agri. Spl. Return II
11 ADVRPT ADV ADVANCES ANALYSIS BY BRANCH
12 ADVRPT ADVANCES Due dates for each limit
13 ADVRPT ADVANSAN Adv Sanction Repot for All activity
14 ADVRPT ADVICELET Interest Rate Change Intimation Letter
15 ADVRPT ADVINT Advances Intrest Rate Report
16 ADVRPT ADVPROV Cust/Catagory wise advance and provision
17 ADVRPT ADVSANCLT ADVANCE SANCTION LIMIT REPORT
18 ADVRPT ADV_SANCTION Inward/Sanction/Disbursement Report
19 ADVRPT AGEWISESUIT Agewise Classification of Suit filed
20 ADVRPT AGEWISE_BILLS Details of Overdue Bills-Agewise
21 ADVRPT AGRI_ALLIED Stmnt Of Agri Allied Activities
22 ADVRPT AGRI_NEW Progress Agri newly Schedule
23 ADVRPT AMMENDLETTER Ammendment Letter for ODA
24 ADVRPT ANALYSIS Activity Wise Analysis
25 ADVRPT ANNEXURE1 OverDue Credit Proposal
26 ADVRPT ANNEXURE2 OverDue Credit Proposal above 1 to 10 Lacs
27 ADVRPT ANNEXURE3 OverDue Credit Proposal above 10 to 50 Lacs
28 ADVRPT ANNEXURE4 OverDue Credit Proposal above 50 to 100 Lacs
29 ADVRPT ANNEXURE5 OverDue Credit Proposal above 100 to 500 Lacs
30 ADVRPT ANNEXURE6 OverDue Credit Proposal above 500 Lacs
31 ADVRPT ANNUALCRPLAN Performance of annualCreditPlan Non-Lead Dis
32 ADVRPT AREA_WISE_ASSE Areawise Asset Class of NPA
33 ADVRPT ASSET_CLASS Asset Classification under Diff Catagory
34 ADVRPT BLANK_MOC Blank MOC Format
35 ADVRPT BORR_BILLS List of borrowers enjoying bills limit
36 ADVRPT BPLR Accounts enjoying below BPLR facility
37 ADVRPT BR Borrower Register Report
38 ADVRPT BR-RO-D3 Advances granted by Br. Manager
39 ADVRPT BR-RO-M1 Monitoring Control Return Annexure M1
40 ADVRPT BR-RO-M2 Monitoring Control Return Annexure M2
41 ADVRPT BR-RO-M3 Monitoring Control Return Annexure M3
42 ADVRPT BR-RO-M4 A/C INSPECTION PENDING REPORT
43 ADVRPT BR-RO-M5 MonConRtn-AnnexM5
44 ADVRPT BR-RO-M6 PROP. OVERDUE MORE THAN SIX MONTHS
45 ADVRPT BR-RO-M7 DOCUMENT RENEWAL REPORT
46 ADVRPT BR-RO-M8 Statement of guarantee-Annexure M-8
47 ADVRPT BR-RO-M9 TOD O/S REPORT
48 ADVRPT BREAKUPOSBAL Break up of Outstanding Balance
49 ADVRPT BR_M2_RO Advances Sanctioned/Renewed by Br Mgr
50 ADVRPT BR_WISE_SCHM Branch wise Scheme Analysis
51 ADVRPT BSRB Outstanding Bal Statement of Agriculture
52 ADVRPT BWCDA BWCDA
53 ADVRPT BWISECDA BRANCH WISE CREDIT DISTRIBUTION
54 ADVRPT CASEREGISTER Customer Court Case Details
55 ADVRPT CATEGORISATION Categ. Wise suite filed/decreed Account
56 ADVRPT CDARP Classification Of Direct Agri
57 ADVRPT CDR/BIFR Account subjected to CDR or BIFR mechanism
58 ADVRPT CENGOVTGUA List of Account where central govt. available
59 ADVRPT CGTSI GURANTEE PROVISION FOR CGTSI
60 ADVRPT CGTSI_FEE CGTSI UPFRONT FEE
61 ADVRPT CHARGES Various Charges/Waived for the period
62 ADVRPT CHARGESFORYEAR Various Chrg/Penal Int/Comm. during the year
63 ADVRPT CLSRETFORMC Master Summary - Form-C
64 ADVRPT CLSRETURN Closing Returns
65 ADVRPT COAP_NPA classification of adv against NPA
66 ADVRPT COLLFREE Collateral Free Loans
67 ADVRPT COMPOSITIONCR Composition Of Credits
68 ADVRPT COMPROMISE COMPROMISE SET. OF NPA
69 ADVRPT COMPRPT LOAN UNDER COMPROMISE REPORT
70 ADVRPT COMP_PROPOSAL Statement of Compromise Proposal
71 ADVRPT CONSOR Consortium Loan Details
72 ADVRPT CONTI_SECURITY Common Collateral Assets
73 ADVRPT CREDIT TO GRP LARGE CREDIT TO GROUPS
74 ADVRPT CREDIT-EXP TOP 10 CREDIT EXPOSURE TO BANK
75 ADVRPT CREDITFARMERS AGGREGATE LIMIT OF CREDIT FACILITIES
76 ADVRPT CREDITLIMIT Utilisation Of Credit Limit
77 ADVRPT CREDITMON CREDIT MONITORING REPORT
78 ADVRPT CREDITRATING Credit rating wise performance advances
79 ADVRPT CRE_MON CREDIT MONTIORING SYSTEM
80 ADVRPT CRWOMEN Credit to Women Beneficiary Report
81 ADVRPT CR_DISB_AGR Credit Disbursement To Agriculture Sector
82 ADVRPT CR_FACILITY Standard balance Confirmation Letter
83 ADVRPT CSN Customer Status note
84 ADVRPT CSSIIND SICK SSI INDUSTRIES
85 ADVRPT CUST_FB_NFB Total outstanding (cumulative) Report
86 ADVRPT CUST_GUAR Deposit A/c maintained by customer/Guarantor
87 ADVRPT CW OVERDUE Category Wise Overdue Statement
88 ADVRPT CWDNPA NPA AND CAD Report
89 ADVRPT DCB_RPT DCB Report
90 ADVRPT DEFBORRW50LAC Deflt borr all borr a/c of 50 lacs and abv
91 ADVRPT DEGRADATION Cumm Degration report
92 ADVRPT DFTBORRW10LAC Default borrower account of 10 lacs and above
93 ADVRPT DISB_SEC Advance Disbursement
94 ADVRPT DISTCRAN Dist wise credit Analysis Report
95 ADVRPT DOCEXP DOCUMENTS EXPIRING AS ON DATE REPORT
96 ADVRPT DOCEXP1 DOCUMENTS EXPIRING-NEXT WORKING DAY
97 ADVRPT DOCEXP2 DOCUMENTS EXPIRING-X DAYS
98 ADVRPT DOCEXP3 DOCUMENTS PENDING- RANGE OF ACCOUNTS
99 ADVRPT DOCEXP4 DOCUMENTS DUE FOR RENEWAL 3 MONTHS
100 ADVRPT DOCEXP_DATE Document Expiry Report
101 ADVRPT DOFSW Deployment of Funds
102 ADVRPT DRISHG SHG Bank Linkage Program
103 ADVRPT DRT RECOVERY DRT Recovery Details
104 ADVRPT DTLSOFOVD Details of Overdue
105 ADVRPT EDU_LA Education Loan
106 ADVRPT EDU_PROGRESS Educational Loan Scheme Progress
107 ADVRPT EDU_RECOVERY Educational Loan Scheme Recovery
108 ADVRPT EROSION Track Erosion of Security
109 ADVRPT EXCEEDRPT Exceeding Report for CCA and ODA Type
110 ADVRPT EXCEEDTODBILL Exceeding Report
111 ADVRPT FACBAL Facility wise Above 1 Cr
112 ADVRPT FCLPW Facility wise Provision
113 ADVRPT FINASST_WMN Finacial Assistance to Women
114 ADVRPT FINTO_SICK Statement of financing to Sick Units
115 ADVRPT FLOW/DISPOSAL FLOW AND DISPOSAL OF APPLNS UNDER GOVT SPONS
116 ADVRPT FORM-C-BRWISE Form C- Region wise
117 ADVRPT FORMAT-D1 Detail D1 Report
118 ADVRPT FORMAT-D1-BR Format D1 Branch Wise
119 ADVRPT FORMAT-D2 Detail D2 Report
120 ADVRPT FORMAT-D2-BR Format D2 Branch Wise
121 ADVRPT FORMAT-D3 Detail D3 Report
122 ADVRPT FORMAT-D3-BR Format D3 Branch Wise
123 ADVRPT FORMAT-D4 Detail D4 Report
124 ADVRPT FORMAT-D4-BR Format D4 Branch Wise
125 ADVRPT FORMAT-D5 Detail D5 Report
126 ADVRPT FORMAT-D5-BR Format D5 Branch Wise
127 ADVRPT GJRHFS GOLDEN JUBLEE HOUSING FINANCE SCHEME
128 ADVRPT GJRHFSQI GJRH Finance Scheme
129 ADVRPT GJRHFS_1 GJRHS
130 ADVRPT GOVT_PS NPA UNDER GOVT SPONSORED SCHEME
131 ADVRPT HIS_ASSET History of Asset Movement
132 ADVRPT HIS_PIC History of Principal Int and Charges
133 ADVRPT HIS_SANCT_DP History of Sanction and DP
134 ADVRPT HIS_STMNT History of Sub of Periodic Stmnts
135 ADVRPT HOUSE_REPAIR Loans given for Repair of Houses
136 ADVRPT H_LOAN PROGRESS IN HOUSING LOAN
137 ADVRPT INDSSI Industry Wise Classification SSI
138 ADVRPT INDSSI_SUM Industry Wise Classification SSI summary
139 ADVRPT INDUSSICK INDUSTRYWISE SICK REPORT
140 ADVRPT INDUSTRY WISE Industry Classification of Sick Units
141 ADVRPT INDUSTRY_RATE Industry wise Performing Advance
142 ADVRPT INDUSTRY_RATIN Industry Wise Distribution of Advances
143 ADVRPT INDUSWISEEXP Industry wise Exposure
144 ADVRPT INDUSWISEEXPTO Industry wise Total Exposure
145 ADVRPT IND_CLA Industry Classification
146 ADVRPT IND_LIM Industry Limit wise Report
147 ADVRPT INS Insurance Due Date Diary Report
148 ADVRPT INSP-ADV FACILITY WISE BREAKUP OF ADVANCES
149 ADVRPT INSTOVERDUE Accountwise instalment overdue breakup
150 ADVRPT INSUFFBAL Account with Insufficient Balance
151 ADVRPT INTERESTRECOVE Statement of Interest recovered report
152 ADVRPT INTRANGE Int Range Wise Rpt
153 ADVRPT INT_BK INTEREST RECEIVABLE
154 ADVRPT INT_DBT Interest debit as on Particular date
155 ADVRPT IRR Freqency Interest Range Report
156 ADVRPT IRRGBROW IRREGULAR BORROWER REPORT
157 ADVRPT IRRG_BORROW Irrg Borrowal Accts Categorywise
158 ADVRPT KCC Dena Kisan Card
159 ADVRPT LAA_BAL Int/loans not recovered for insufficient bal
160 ADVRPT LAA_INTEREST INTEREST REPORT
161 ADVRPT LAD LAD Due Date Diary/LAD Due Status Report
162 ADVRPT LARGE CR IND Large credit to Individuals
163 ADVRPT LAWYER_CASE Lawyer Case Details
164 ADVRPT LA_CLS_LETTER LOAN ACCOUNTS CLOSED LETTER
165 ADVRPT LA_DETAIL LOAN DETAILS Break up of P/I/C
166 ADVRPT LBR U2 LBR U2 REPORT
167 ADVRPT LEADBANKSCHEME Lead bank scheme (outstanding advances)
168 ADVRPT LET OF ACK LETTER OF ACKNOWLEDGE OF DEBT
169 ADVRPT LIENRVK Lien Revoke Report
170 ADVRPT LINKEDNPAAC List of linked account termed as NPA
171 ADVRPT LINKNPAUPGRAC List of upgraded linked account termed as NPA
172 ADVRPT LNS Loans And Advances To Staff Report
173 ADVRPT LN_DISB_CATEG Loan Disbursed by Category
174 ADVRPT LOANDMDREMIN Loan Demand Remainder
175 ADVRPT LOANIRRG Irregularity of Loan
176 ADVRPT LOANPOSITION Statement of Loan Position
177 ADVRPT LOANTIEUPS Loans under various Tie-ups
178 ADVRPT LOSSASSETS LOSS - ASSETS SUIT NOT FILED REPORT
179 ADVRPT LOSS_NPA LOSS NPA ACCOUNTS
180 ADVRPT LST_FRI_RPT Last Friday Report
181 ADVRPT MINORITYFIN Finance to Minority Report
182 ADVRPT MINORITY_PS Priority Sec adv Minority Communities
183 ADVRPT MONTRPT LOAN MONITORING REPORT
184 ADVRPT MORTALITY SHORT MORTALITY REPORT
185 ADVRPT MTY_PMRY PMRY REPORT
186 ADVRPT NBFC_FINANCE List of NBFC financed
187 ADVRPT NEXTSTKDATE submission of stock statement Advice
188 ADVRPT NFLD Non Funded Details
189 ADVRPT NOCRPT NO OBJECTION CERTIFICATE
190 ADVRPT NODUERPT NO DUE CERTIFICATE
191 ADVRPT NON_SUITNPA Non Suit filed NPA Accounts
192 ADVRPT NOOFCHEQUE No of Cheque return Report
193 ADVRPT NOTIFYCENGUA List of Account where notification received
194 ADVRPT NO_DEFAULT Number of Default Accounts
195 ADVRPT NO_OVERDUE NO OVERDUES CERTIFICATE
196 ADVRPT NPA NPA REPORT
197 ADVRPT NPAACTBAL INTEREST DUE ON NON PERFORMING LOAN
198 ADVRPT NPAEXPREC List of Accounts where expenses incurred
199 ADVRPT NPA_ABV_X_AMT LIST OF NPA A/C BEYOND CUT-OFF AMT
200 ADVRPT NPA_CUTOFF NPA cut off date/ range of dates
201 ADVRPT NPA_STAFF NPA STAFF REPORT
202 ADVRPT NULL_DOCUMENT DOCUMENT DETAILS UNAVAILABLE ACCOUNTS
203 ADVRPT OD_INSTL_LMI Statement Of OverDue Installment
204 ADVRPT OTS_STLMNT Statement of Writeoff
205 ADVRPT OUTOFORDER List of Account going out of Order
206 ADVRPT OVERDRCCOD No. of times CC/OD accounts overdrawn
207 ADVRPT OVERDUE_MSME Overdue to Outstanding
208 ADVRPT PENDINGDOCDTLS List of pending document details
209 ADVRPT PLANT_MACHIN Dtl.SSI/SME based on Invest in P_M
210 ADVRPT PMTM Monthly Progress of Scheme toward implm
211 ADVRPT POSOFRECOVERY Postion of recovery made under recovery act
212 ADVRPT POSTDTCHEQUE STATEMENT FOR POST DATED CHEQUE
213 ADVRPT POSTREV Post Sanction Review Details
214 ADVRPT POTNPALST Potential NPA -customerwise
215 ADVRPT PREANDNPAAGE Age of A/c classified into pre-NPA and NPA
216 ADVRPT PREMOCRET Pre MOC Closing Returns
217 ADVRPT PREMOCSUM Pre MOC Master Summary
218 ADVRPT PRI_SECT_OUT NPA Under PS
219 ADVRPT PROCESSFEES Processing Charges Collected A/cs
220 ADVRPT PROFEEADHLMT TRACK ADHOC LIMIT SANCTIONED FOR AN ACCOUNT
221 ADVRPT PROGDRI Advances under DRI scheme
222 ADVRPT PROGRESS Schemwise Prog. Report
223 ADVRPT PROGRESS_PMRY Progress Under PMRY
224 ADVRPT PROGRESS_SJSRY Progress Under SJSRY
225 ADVRPT PROGRESS_SLRS Progress Under SLRS
226 ADVRPT PROG_MINORITY PROGRESS IN MINORITY COMMUNITY
227 ADVRPT PROG_WS PROGESS REPORT IN WEAKER SECTION
228 ADVRPT PROJACT Projected and actual Report
229 ADVRPT PROPOSE_INWD Proposal Inward Report
230 ADVRPT PROVCERT_EDU PROVISIONAL CERTIFICATE FOR EDUCATION LOAN
231 ADVRPT PROVCERT_HL PROVISIONAL CERTIFICATE FOR HOUSING LOAN
232 ADVRPT PROVSTAT PROVSTAT REPORT
233 ADVRPT PRUDENTIAL Schm Sect Activity NPA Writoff
234 ADVRPT PS-WEEKER PS Weeker Sections Report
235 ADVRPT PSCREDIT Priority Sector Credit
236 ADVRPT PS_ADV PRIORITY SECTOR ADVANCES REPORT
237 ADVRPT PS_ASSET_CL PS Asset Classification-I
238 ADVRPT PURCHASEDCHQ Statement of Purchased Cheques
239 ADVRPT QPOL Qtr Position Of Loan
240 ADVRPT QTRLYSTMNTNPA Statement of NPA - Quarterly
241 ADVRPT QUARSTOFRENREV Statement of Review/Renew of working capital
242 ADVRPT RANGE_ADV_1 LIMIT WISE ADVANCE SUMMARY PART-1
243 ADVRPT RANGE_ADV_2 Limit Wise Advance Summary Part-II
244 ADVRPT RANWISEADV LIMIT WISE ADVANCES REPORT
245 ADVRPT RATING1 Rating Wise Distribution of Advances
246 ADVRPT RBI-RETURN II RBI-Special Return II Agri Advance
247 ADVRPT RECOVERYDUE RECOVERY DUE REPORT
248 ADVRPT RECOVERYNPA RECOVERY IN NPA ACCCOUNT
249 ADVRPT RECOV_PCNT Details of Recovery Percentage Report
250 ADVRPT RECPERFORM Recovery Performance Branch Wise
251 ADVRPT RECPERFORM1 Recovery Performance (Summary)
252 ADVRPT RECPOSSEDAC Recovery Postion suite filed/decreed Account
253 ADVRPT REC_DECREE RECOVERY DECREE
254 ADVRPT REGION_RATE Region Wise rating of Advance
255 ADVRPT REJCHEQUE REJECTION CHEQUE DETAILS
256 ADVRPT RELIGIOUSMINO Statement of religious minority community
257 ADVRPT REMLAOV letter for Loan overdue amounts
258 ADVRPT RESCH_ACCT Loans Rescheduled/Restructured
259 ADVRPT RESTDET RESTRUCTURE A/C DETAILS
260 ADVRPT REVIEW Review Status Report
261 ADVRPT RPCBWISE Agril Advances Rec status of Chronic Brs
262 ADVRPT SANCLMT DISTRIBUTION OF ADVANCES BASED ON LIMITS
263 ADVRPT SANCRPT SANCTION WISE/STATUS WISE ADV. REPORT
264 ADVRPT SANCTIONADV Sanction of adv in excess of delegated powers
265 ADVRPT SBSDYAMTLOAN Total subsidy amount Report
266 ADVRPT SCHEMATIC SCHEMATIC REPORT
267 ADVRPT SCHEMEWISE_NPA Scheme wise NPA Position
268 ADVRPT SCHMDIST_CR Sector/Scheme Wise Dist of Cr
269 ADVRPT SCHMWISE FORMAT RETAIL BANKING REPORT
270 ADVRPT SCHM_OUTSTAN TOTAL OUTSTANDING SCHEMATIC LENDING
271 ADVRPT SCHW_ANALYSIS Scheme Wise Analysis Report
272 ADVRPT SCNR Sanction - Noting Form
273 ADVRPT SCPAPW Schematic Pending (No of Application wise)
274 ADVRPT SCPRP Schematic Pending (No of A/C wise)
275 ADVRPT SCSTBENEFICIAR ASSISTANCE TO SC/ST BENEFICIARIES
276 ADVRPT SECDISBURSE SECTORWISE DISBURSEMENT OF LOAN
277 ADVRPT SECTORPERFORM Sectorwise Performance Statement
278 ADVRPT SECTOR_EXPO Sectorial Exposure Report
279 ADVRPT SECTOR_NPA SECTOR NPA REPORT
280 ADVRPT SECTOR_RATE Sector wise Rating
281 ADVRPT SECTOR_RATING Rating Wise Disb of Advance Industry Wise
282 ADVRPT SECUNSECADV Statement of secured and unsecured advances
283 ADVRPT SECU_REGUL Additional securities requirement advice
284 ADVRPT SEGMENT_NPA Size wise position of Gross NPA
285 ADVRPT SFDD Status of Suit field and Decreed
286 ADVRPT SFOIO STIP-FREQ-OF-INSPECT-OVERDUE REPORT
287 ADVRPT SF_NSF Defaulting Borrower -SuitFiled/Not Filed
288 ADVRPT SGSY SGSY REPORT
289 ADVRPT SGSY_INDV Recovery Position SGSY Individuals
290 ADVRPT SGSY_INDVSHG Recovery Position SGSY Individuals and SHG
291 ADVRPT SGSY_SHG Recovery Position SGSY SHG
292 ADVRPT SHARES Credit Sanctioned Against Shares
293 ADVRPT SHARE_DET CreditSanctioned Against Shares Detail
294 ADVRPT SICKSSI Sick SSI Report
295 ADVRPT SICK_INDUST Non Sick/Non Week SSI
296 ADVRPT SIZEWISESUIT Sizewise Classification of Suit filed
297 ADVRPT SJSRY SJSRY REPORT
298 ADVRPT SLRS_LA SLRSS REPORT
299 ADVRPT SME_PS SSI advances
300 ADVRPT SOFTWARE Advance to Software Industry
301 ADVRPT SOR Recovery Statement
302 ADVRPT SPLAGRRTN1 SPECIAL AGRICULTURE RETURN NO 1
303 ADVRPT SPLQUARRET SPECIAL QUARTERLY RETURN VI-A
304 ADVRPT SPLRETURNIII Special return III
305 ADVRPT SPL_AGR_RTN_I Spl Agriculture Return I
306 ADVRPT SPL_MSME Report Of Specialized SSI Branches
307 ADVRPT SSI_SOL Summary of Sick SSI Units II
308 ADVRPT STADVANCE Statement of Advances
309 ADVRPT STAFFLOAN_OS Outstanding Of Staff Loan
310 ADVRPT STMTOFCHARGES Statement of Charges/commission Collected
311 ADVRPT STMTOFINSTL Statement Of Instalment Arrears
312 ADVRPT STMTOFRENEWAL Statement of Renewal of Working Capitals
313 ADVRPT STOCK_MONITOR Stock Monitor Register
314 ADVRPT STOCK_REM_LET STOCK DUE REMAINDER LETTER
315 ADVRPT SUBSIDY LOANS WHERE SUBSIDY AMOUNT BY GOVT
316 ADVRPT SUBS_BGLC Subsequent Disbursal/BG/DPG/LC
317 ADVRPT SUIT_ABV1CR Suit filed/decreed a/cs of Rs 1 cr and above
318 ADVRPT SUIT_DECRE Suit Decreeed account
319 ADVRPT SUIT_DECREED Suit Filed And Decreed
320 ADVRPT SUMMARY-D3 Summary D3 Report
321 ADVRPT SUMMARY_D1 SUMMARY D1 Report
322 ADVRPT SUMMARY_D2 Summary D2 Report
323 ADVRPT SUMMARY_D4 Summary D4 Report
324 ADVRPT SUMMARY_D5 Summary D5 Report
325 ADVRPT SWCA Size wise classification of Advances
326 ADVRPT TECH/REG List of Technical and Regular Npa
327 ADVRPT TLINSREDBAL Term Loan Reducing Balance Rpt
328 ADVRPT TOD_CLEARING No. of chq issued in overdrawn positions
329 ADVRPT TOP-NPA-BR TOP NPA BRANCHES REPORT
330 ADVRPT TOPNCUSTOMER TOP N CUSTOMER REPORT
331 ADVRPT TOPNSTICKYADV Statement of top 20 sticky advances
332 ADVRPT TOP_NPA_CUST Top NPA Borrower
333 ADVRPT TOTDRI Total DRI Advances
334 ADVRPT TOT_EXP_GRP TOTAL EXPOSURE OF GROUP(SUMMARY/DETAIL)
335 ADVRPT UDYAMI DENA LAGHU UDYAMI CREDIT CARD
336 ADVRPT UNREALISEDINT Movement of Unrealised Interest
337 ADVRPT UPGRADE Cumm Upgradation Report
338 ADVRPT VEHICLE_LOAN Detail of No. Of Vehicle possesed by Borrower
339 ADVRPT VILLAGE_NPA VILLAGE WISE NPA
340 ADVRPT VILLAGE_POT Village Wise Potential NPA
341 ALMRPT ALMIN ALM inflow report
342 ALMRPT ALMOUT ALM out flow report
343 ASCIFILE DDRDUMP ASCII FILE GENERATION FOR DDR
344 ASCIFILE DDRRO REGIONWISE DDR ASCII FILE GENERATION
345 ASCIFILE IBRCBS ASCII FILE FOR MANUAL CBS GL
346 ASCIFILE IBRDUMP ASCII FILE GENERATION FOR IBR
347 ASCIFILE IBRRO REGIONWISE IBR ASCII FILE GENERATION
348 ASCIFILE MCGLB ASCII FILE FOR MULTI CRNCY GL
349 ASONRPT AGENCYCOMM AGENCY COMMISSION REPORT
350 ASONRPT ALMFOREIGN Statement of Foreign Asset/Liab
351 ASONRPT BANKCERT BANK CERTIFICATE OF EXPORT AND REALISATION
352 ASONRPT BG Guarantee O/s Report
353 ASONRPT BGDC_INVOKE Stmnt of BG Invoked/DC Delinked
354 ASONRPT BILLCOMM InLand/Fgn Bill Commission Report
355 ASONRPT BILLNOTACPT Lc Bills Yet to be Accepted
356 ASONRPT BOERRPT BILL OF ENTRY REMINDER
357 ASONRPT COMPARE_BGDC COMPARITIVE FIGURE OF BG/DC
358 ASONRPT COVERINGLETTER R-RETURN COVERING LETTER
359 ASONRPT CRYSTALIZATION Bills crystallization Reminder letter
360 ASONRPT DC Doc Credit O/S report
361 ASONRPT DCRPT DC With Margin RPT
362 ASONRPT EXPBG LETTER FOR EXPIRED BANK GUARANTEE
363 ASONRPT FB REPORT FOREIGN BILLS TOTAL EXPOSURE REPORT
364 ASONRPT FBDLINK FOREIGN_DLINKED BILLS REPORT
365 ASONRPT FOREIGN Export Fgn Bill O/s Report
366 ASONRPT FORM-C EXPORT CREDIT FORM-C REPORT
367 ASONRPT FORMA-1 FORMA-1 REPORT
368 ASONRPT FORMA-2 FORMA-2 REPORT
369 ASONRPT FRG-IMP IMPORT Fgn Bills O/S under LC/Non LC
370 ASONRPT GUARANTEE EXP GUARANTEE EXPIRY REMINDER LETTER
371 ASONRPT IMLCRPT Cons Import LC liab Ledger Report
372 ASONRPT INCOME FOREX INCOME REPORT
373 ASONRPT INCRPT Cons Inland Lc Liab Ledger Report
374 ASONRPT INW/OUT INLAND Inward and Outward O/S Bill report
375 ASONRPT MTENOR BILL MTENOR BILL COVERING LETTER
376 ASONRPT PACK CR Packing Credit O/S Report
377 ASONRPT PCAD_PCLRPT Packing Credit Advice (PCL PCFC)
378 ASONRPT PCAD_RPCRPT Packing Credit Advice (RPC RPCFC)
379 ASONRPT PCFCRPT Cons PCFC Liab Ledger Report
380 ASONRPT PCLRPT Cons PCL Liab Ledger Report
381 ASONRPT PSLRPT Cons PSL Balance Report
382 ASONRPT REMIT_EXPORT Status of ADVANCE REMITT AGAINST EXPRT REPORT
383 AUDITRPT BILLDISHON FREQ BILLS DISHONOURED REPORT
384 AUDITRPT CASHFREQ CASH TRANSACTION REPORT
385 AUDITRPT CASHVARIANT CASH ON HAND VARIATION REPORT
386 AUDITRPT C_MSGOIRP HIGH VALUE /AGEWISE MOVEMENT OF OTHER ASSETS
387 AUDITRPT EXCESSTOD FREQUENT TOD REPORT
388 AUDITRPT VAR_DEPADV VARIATIONS IN DEPOSITS/ADVANCES
389 AUDITRPT YEARLYCASH YEARLY CASH TRAN REPORT
390 BCTTRPT BCFYRPT Banking Cash Trans Financial Year Report
391 BCTTRPT BCTRPT Banking Cash Transaction Tax Report
392 BCTTRPT BCTSHRPT BCT TAX SCHEDULE
393 BCTTRPT BCTT_INSERT updating records into BCTT table
394 BCTTRPT TBTRPT Taxable Banking Transactions
395 BCTTRPT WDTAXRPT WITHDRAWAL TAX REGISTER
396 CTRPT CBAACC DATA STRUCTURE OF ACCOUNT DATA FILE
397 CTRPT CBABRC DATA STRUCTURE OF BRANCH DATA FILE
398 CTRPT CBACT1 BRANCH CONTROL FILE
399 CTRPT CBAINP DATA STRUCTURE OF INDIVIDUAL DATA FILE
400 CTRPT CBALPE DATA STRUCTURE LEGAL PERSON/ENTITY DATA FILE
401 CTRPT CBATRN DATA STRUCTURE OF TRANSACTION DATA FILE
402 DENAJEEVAN AGEMONTH AgeWise/month wise premium collected
403 DENAJEEVAN ANNEX10 Monthly Summary Sheet(By Org Br to Nodal Br)
404 DENAJEEVAN ANNEX11 Monthly Summary Sheet(By Nodal Br to LIC)
405 DENAJEEVAN ANNEX12A (A) Forwarding Letter by Org Br to Nodal Br
406 DENAJEEVAN ANNEX12B (B) Forwarding Letter by Nodal Br to LIC
407 DENAJEEVAN ANNEX13A_B Progress of deposit linked with SB A/c
408 DENAJEEVAN ANNEX2_3 Consent Cum Authorizaton / NOC
409 DENAJEEVAN ANNEX4 Recepit for Insurance Premium
410 DENAJEEVAN ANNEX5 Table of proportinate premium for A/c Holders
411 DENAJEEVAN ANNEX6 Letter of Discontinuation
412 DENAJEEVAN ANNEX7 Claimant Statement Cum Discharge Form
413 DENAJEEVAN ANNEX8 Membership Particulars
414 DENAJEEVAN ANNEX9 Format for recording Ins.Premium
415 DENAJEEVAN IPNODAL Insur Premium Collected for Nodal Branches
416 DENAJEEVAN JIDELCOL Deletion of Jeevan Record From Collection Br
417 DENAJEEVAN JIDELNODAL Deletion of Jeevan Record From Nodal Br
418 DENAJEEVAN JIDLY Succsess / Failure Report
419 DENAJEEVAN JIVANDEL Delete Dena Jeevan Record
420 DENAJEEVAN JIVANRPT Jivan Report
421 DENAJEEVAN JIVANRPT1 Jivan Monthly Report
422 DENAJEEVAN LSTCHG Rep on Record Added through CJIVAN
423 DENAJEEVAN PROGRESS Progress of deposit linked with SB A/c
424 DLYRPT ACCT LEDGER ACCOUNT LEDGER REPORT
425 DLYRPT ACCT_LABELDET Details of all collectio n
426 DLYRPT ACCT_STAT Notice To Customer When A/c Status Is Changed
427 DLYRPT ACOPCL SCHEME WISE ACCOUNT OPEN/CLS REPORT
428 DLYRPT ACRENRPT RENEWAL ACCOUNTS REPORT
429 DLYRPT ALBACHAT Dena Alpa Bachat Scheme
430 DLYRPT AOCRPT A/C OPENED / CLOSED TODAY
431 DLYRPT AUDIT ASSESS Statement of Result of RBIA
432 DLYRPT AUDITPLAN Branch wise Audit Plan
433 DLYRPT BALCERT Balance Certificate
434 DLYRPT BR - 02 IBR - BR02 REPORT
435 DLYRPT BR - 03 IBR - BR03 REPORT
436 DLYRPT BR - 05 IBR - BR05 REPORT
437 DLYRPT BR - 06 IBR - BR06 REPORT
438 DLYRPT BR - 18 IBR - BR18 REPORT
439 DLYRPT BSR2 BSR 2 REPORT
440 DLYRPT CAARPT BALANCES FOR CAA ACCOUNTS
441 DLYRPT CALRPT CASH PAYMENT/RECEIPT (ACCOUNT)
442 DLYRPT CARDREJ Card Rejection Report
443 DLYRPT CASA_RPT CASA - FRIDAY REPORT
444 DLYRPT CASH Large Cash Deposit/Withdrawal Report
445 DLYRPT CCABAL BAL FOR A/C TYPE CCA SCHEME GENERAL
446 DLYRPT CCARPT BALANCES FOR CCA ACCOUNTS
447 DLYRPT CIF_MASTER CIF MASTER DETAIL REPORT
448 DLYRPT CLGINSTRPT Instruments Collected under Clearing
449 DLYRPT CLGIWRTNMEMO Inward Cheque Return Memo
450 DLYRPT CLOSURE CLOSURE LETTER
451 DLYRPT CRERPT CREDIT BAL IN CC/OD REPORT
452 DLYRPT CRPRPT A/C HAVING TRANSACTION MORE THAN 500000
453 DLYRPT CSLRPT CASH PAYMENT/RECEIPT (SCHEME)
454 DLYRPT CSORPT CASH PAYMENT/RECEIPT (CONSOLIDATE)
455 DLYRPT CUSTDRPT CUSTOMER TRANSACTION DETAILS
456 DLYRPT CUSTRPT List of Customized Reports
457 DLYRPT CUST_DETAILS CUSTOMER DETAIL REPORT
458 DLYRPT CUST_NULL CUSTOMER DETAIL NULL REPORT
459 DLYRPT CUST_TYPE Customer Type Wise Report
460 DLYRPT CWREP Cust ID Report Details
461 DLYRPT DAILY POSITION DAILY POSITION REPORT
462 DLYRPT DCCPR Dena Cash Cert.Performance Rpt
463 DLYRPT DDADV_FS DD advice for DDs drawn outside system
464 DLYRPT DDPRPT_RFP DD PAID SCHEDULE REPORT
465 DLYRPT DELCHANNEL Transactions-Delivery Channel wise
466 DLYRPT DI-02RET DI-02 Returns
467 DLYRPT DOCEXP DOCUMENTS EXPIRING AS ON DATE REPORT
468 DLYRPT DOCEXP1 DOCUMENTS EXPIRING-NEXT WORKING DAY
469 DLYRPT DOCEXP2 DOCUMENTS EXPIRING-X DAYS
470 DLYRPT DOCEXP3 DOCUMENTS PENDING- RANGE OF ACCOUNTS
471 DLYRPT DOCEXP4 DOCUMENTS DUE FOR RENEWAL 3 MONTHS
472 DLYRPT DORMANT Account Turning Dormant Report
473 DLYRPT DORRPT DORMENT INACTIVE REPORT
474 DLYRPT DR - 01 DD - DR01 REPORT
475 DLYRPT DR - 02 DD - DR02 REPORT
476 DLYRPT DR - 03 DD - DR03 REPORT
477 DLYRPT DR - 04 DD - DR04 REPORT
478 DLYRPT DSHRPT DAY SHEET REPORT
479 DLYRPT EE_BAL_LIEN ACC. EEFECTIVE BAL. AND LEIN SUMMARY
480 DLYRPT EODTIME EOD PROCESS TIMING REPORT
481 DLYRPT EXCEEDRPT Exceeding Report for CCA and ODA Type
482 DLYRPT FRTRPT TRANSACTION IN FREEZE A/C
483 DLYRPT GL_POSTED Trans Directly Posted To General Ledger
484 DLYRPT HDFCDD HDFC DD Report
485 DLYRPT HDFCDDCOM HDFC DD Commission Report
486 DLYRPT HOINT HO INTEREST CALCULATION
487 DLYRPT HOINT1 HO INTEREST CALCULATION FOR AN A/C
488 DLYRPT INOPER_AC INOPERATIVE ACCOUNT DETAILS
489 DLYRPT INOP_DORM_STS ACCT STATUS: INOPERATIVE/DORMANT
490 DLYRPT INTPAIDSB Interest Paid Report for SB Accounts
491 DLYRPT INTPAIDTD Interest Paid Report for TD Accounts
492 DLYRPT INTPAYSB Interest Payable on SB Accounts
493 DLYRPT INTPAYTD Interest Payable on TD Accounts
494 DLYRPT INVENT_STATUS INVENTORY STATUS
495 DLYRPT INWARD INWARD CLEARING REPORT
496 DLYRPT INWREJ PROBABLE REJECT INWARD REPORT
497 DLYRPT INWREJTOBR INWARD REJECT REPORT TO BANK
498 DLYRPT IN_CHQRETURN INWARD CHEQUE RETURN REGISTER
499 DLYRPT ISTRPT INTERSOL TRANSACTION REPORT
500 DLYRPT KYC_UPDATE KYC updation details
501 DLYRPT LAARPT BALANCES FOR LAA ACCOUNTS
502 DLYRPT LARGE_AC_CLS Large Account Closure Beyond X amount
503 DLYRPT LIENREVOK Lien Revoke Accounts Detail
504 DLYRPT LIENRPT STATEMENTS OF LIENS EXPIRING
505 DLYRPT LISTOFBANK LIST OF BANKS IN THE CENTER
506 DLYRPT MCGLB MULTI CURRENCY GL BALANCE REPORT
507 DLYRPT MEMOLTR Memo Report
508 DLYRPT MINMAJRPT Notification for Customer Major From Minor
509 DLYRPT MOST ACTIVE MOST ACTIVE A/CS
510 DLYRPT MTMRPT MINOR TO MAJOR CUSTOMER REPORT
511 DLYRPT NEFTINA NEFT Inward Acknowledgement
512 DLYRPT NEFTOUTA NEFT Outward Acknowledgement
513 DLYRPT NEGRPT DEBIT BAL IN SB/CA REPORT
514 DLYRPT NOTMINCA PREMIUM CURRENT ACCOUNTS
515 DLYRPT NOTMINSB PREMIUM SAVINGS ACCOUNTS
516 DLYRPT ODARPT BALANCES FOR ODA ACCOUNTS
517 DLYRPT OFF-SCHM OFFICE ACCT/SCHEME DETAILS
518 DLYRPT OLDNEW OLDNEW ACCOUNT LETTER
519 DLYRPT OLDNEWALL OLD A/C- NEW A/C ALL REPORTS
520 DLYRPT OUTWARDRET Clearing Cheque Return memo to Customer
521 DLYRPT OWCHQRETURN Cheques returned unpaid (outward)
522 DLYRPT OWCLG OUTWARD CLEARING PATTI
523 DLYRPT OWCLGDETAIL OUTWARD CLEARING DETAILS(WITH CHQ.)
524 DLYRPT OWCLGSUMMRY OUTWARD CLEARING SUMMARY REPORT
525 DLYRPT OWCLG_BK BankWise listing of chq for outward listing
526 DLYRPT PDLM post dated cheques of next working day
527 DLYRPT PLANNING_RPT PLANNING REPORT
528 DLYRPT PO_ISSUE PAYORDER REPORT
529 DLYRPT PRDMDFAIL Principal Demand Failure Report for LAA
530 DLYRPT PREAUDIT Pre-Audit Risk Assessment
531 DLYRPT PREAUDITRISK Statement on Result of Pre-Audit Risk
532 DLYRPT RETADV Clearing Cheque Return Advice to Customer
533 DLYRPT RETAILADV RETAIL ADVANCE REPORT
534 DLYRPT RETAILOS Retail Advance Oustanding Report
535 DLYRPT RTGSIN RTGS Inward Report
536 DLYRPT RTGSINA RTGS Inward Acknowledgement
537 DLYRPT RTGSOUT RTGS Outward Report
538 DLYRPT RTGSOUTA RTGS Outward Acknowledgement
539 DLYRPT RTRNASSMNT Return for the assessment of premium
540 DLYRPT SANCLMT DISTRIBUTION OF ADVANCES BASED ON LIMITS
541 DLYRPT SBACAA_RPT SBA/CAA Account Open Report
542 DLYRPT SBARPT BALANCES FOR SBA ACCOUNTS
543 DLYRPT SBCATURNOVER SBA/CAA TURN OVER REPORT
544 DLYRPT SBICARD SBI CARD REPORT
545 DLYRPT SGLRPT SCHEME WISE BALANCES
546 DLYRPT SIDELRPT List of Deleted Standing Instructions
547 DLYRPT SIFAIL/CANC STANDING ORDER FAILED/CANCELLED
548 DLYRPT SI_AMD Standing Instructions amended during the day
549 DLYRPT SI_COMP SI EXCECUTED FOR COMPANY
550 DLYRPT SI_DEL SI DELETED REPORT
551 DLYRPT SI_ENT SI CREATED REPORT
552 ` SI_EXEC SI EXECUTED REPORT
553 DLYRPT SI_EXP SI EXPIRED REPORT
554 DLYRPT SI_NOT SI NOT EXECUTED REPORT
555 DLYRPT SPPLTR STOP PAYMENT ACKNOWLEDGEMENT LETTER
556 DLYRPT STAFF STRENGTH DETAILS OF THE STAFF STRENGTH OF THE BRANCH
557 DLYRPT STMNTOFAUDIT Statement of Audit Conducted/Overdue
558 DLYRPT STMTOFCLSAUDIT Statement of Closure of Audit Report
559 DLYRPT STNDNGDETAILS REJ STANDING ORDERS PASSED BY HIGHER AUTH
560 DLYRPT STNDNGORDER RECEIPT OF STANDING ORDER
561 DLYRPT STNDNGORDFAIL STANDING ORDER FAILED MORE THAN X TIMES
562 DLYRPT STNDORDEXPIRY STANDING ORDER EXPIRED
563 DLYRPT STORDFAIL>2 STANDING ORDER FAILED EQUAL TO X TIMES
564 DLYRPT SUPPLI_RPT_DAT Supplementary of Transaction Report
565 DLYRPT SUPRPT SUPPLEMENTARY REPORT
566 DLYRPT TDARPT BALANCES FOR TDA ACCOUNTS
567 DLYRPT TELEGRAM_RPT TELEGRAM REPORT
568 DLYRPT TJMRPT TRANSFER JOURNAL (MANUAL)
569 DLYRPT TJSRPT TRANSFER JOURNAL (SYSTEM)
570 DLYRPT TNKS THANKS LETTER TO INTRODUCER
571 DLYRPT TNKS_A THANKS LETTER TO A/C HOLDER
572 DLYRPT TR1RTGSIN RTGS Inward Report (Treasury CSV)
573 DLYRPT TR1RTGSOUT RTGS Outward Report (Treasury CSV)
574 DLYRPT TRNEFTIN NEFT Inward Report (Treasury)
575 DLYRPT TRNEFTOUT NEFT Outward Report (Treasury)
576 DLYRPT TRNEFTREJ NEFT Inw Reject Report (Treasury)
577 DLYRPT TRRTGSIN RTGS Inward Report (Treasury)
578 DLYRPT TRRTGSIN1 RTGS NEW Inward Report (Treasury)
579 DLYRPT TRRTGSOUT RTGS Outward Report (Treasury)
580 DLYRPT TRRTGSOUT1 RTGS NEW Outward Report (Treasury)
581 DLYRPT USERVFY USER LIST
582 DLYRPT VOSINWRMT VOSTRO INW REMITANCE REG
583 DLYRPT VOSTRODD VOSTRO DD REPORT
584 DLYRPT VOS_STMT_A VOSTRO STATEMENT A
585 DLYRPT VOS_STMT_E VOSTRO STATEMENT E
586 DLYRPT VOUCHER_DET VOUCHERS DURING A PERIOD
587 DLYRPT WIRES WIRES REPORT
588 LOCKCALL LCKM LOCKER MASTER REPORT
589 LOCKCALL LCKOLD LOCKER TO KEY REPORT
590 LOCKCALL LCKOPER LOCKER OPERATIONS REPORT
591 LOCKCALL LCKREG LOCKER REGISTER REPORT
592 LOCKCALL LCKRNTD LOCKER RENT PAID REPORT
593 LOCKCALL LCKSTAF LOCKER DETAILS REPORT
594 LOCKCALL LCKVAC LOCKER VACCANT REPORT
595 LOCKRPT LCBKOP LOCKER BREAK OPEN REPORT
596 LOCKRPT LCCORT LOCKER LEGAL DISPUTE REPORT
597 LOCKRPT LCKACSS LOCKER ACCESS REPORT
598 LOCKRPT LCKAVAIL LOCKER AVAILABILTY REPORT
599 LOCKRPT LCKCLS LOCKER OPEN AND CLOSE REPORT
600 LOCKRPT LCKHIR LOCKER HIRE REPORT
601 LOCKRPT LCKISS LOCKER ISSUED REPORT
602 LOCKRPT LCKKEY LOCKER KEY REPORT
603 LOCKRPT LCKLOST LOCKER KEY LOST REPORT
604 LOCKRPT LCKOP LOCKERS NOT OPERATED SINCE
605 LOCKRPT LCKOVRD LOCKER OVERDUE REPORT BETWEEN DATES
606 LOCKRPT LCKPAYREC LOCKER PAYMENT RECEIVED REPORT
607 LOCKRPT LCKPOSTN LOCKER POSITION REPORT
608 LOCKRPT LCKRMD LOCKER REMINDER LETTER
609 LOCKRPT LCKRMDNO LOCKER REMINDER LETTER (LOCK NO)
610 LOCKRPT LCKRNT LOCKER RENT REPORT
611 LOCKRPT LCKSI LOCKER SI DUE REPORT
612 LOCKRPT LCKSIEXE LOCKER SI EXECUTION REPORT
613 LOCKRPT LCKSINEXE LOCKER SI NON EXECUTION REPORT
614 LOCKRPT LCKVACANT LOCKER VACANT CONSOLIDATED REPORT
615 LOCKRPT LCKWV LOCKER WAIVE REPORT
616 LOCKRPT LCLCK LOCKER LOCK UNLOCK REPORT
617 LOCKRPT LCLOSTRPT KEY LOST REPORT
618 LOCKRPT LCRENTDUE LOCKER DUE RENT REPORT
619 LOCKRPT LCRSI REVISION OF LOCKER RENT
620 LOCKRPT LCSMRPT LOCKER SURRENDER REPORT
621 LOCKRPT LCWAITRPT LOCKER WAITLIST REPORT
622 LOCKRPT LOCOVERAS LOCKER OVERDUE REPORT AS ON DATE
623 LOCKRPT LOCSI LOCKER SI DUE LETTER
624 LOCKRPT LOMOD LOCKER AUDIT REPORT
625 LOCKRPT LORNT RENT PAID RECEIPT REPORT
626 LOCKRPT LOWLSI LOCKER WAITING LIST OFFER LETTER
627 LOCKRPT REMINDER LOCKER RENT REMINDER DETAILS
628 MONTHRTN BR-RO-D3 Advances granted by Br. Manager
629 MONTHRTN BR-RO-M1 Monitoring Control Return Annexure M1
630 MONTHRTN BR-RO-M2 Monitoring Control Return Annexure M2
631 MONTHRTN BR-RO-M3 Monitoring Control Return Annexure M3
632 MONTHRTN BR-RO-M4 A/C INSPECTION PENDING REPORT
633 MONTHRTN BR-RO-M5 MonConRtn-AnnexM5
634 MONTHRTN BR-RO-M6 PROP. OVERDUE MORE THAN SIX MONTHS
635 MONTHRTN BR-RO-M7 DOCUMENT RENEWAL REPORT
636 MONTHRTN BR-RO-M8 Statement of guarantee-Annexure M-8
637 MONTHRTN BR-RO-M9 TOD O/S REPORT
638 MONTHRTN BR_M2_RO Advances Sanctioned/Renewed by Br Mgr
639 RBTRPT BP Suspense BP Suspense Ledger
640 RBTRPT Nostro Cash Nostro Cash Ledger
641 TDRPT AC PREMATE CLS ACCT PREMATURELY CLOSED REPORT
642 TDRPT ACCT CLS ACCOUNT CLOSED BETWEEN TWO DATES
643 TDRPT ACCT OPEN ACCOUNT OPEN BETWEEN TWO DATES
644 TDRPT AMT_WISE_RPT AMOUNT/RANGE WISE DEPOSIT REPORT
645 TDRPT BULK_DEP Deposit Acs > 1Cr including Bank Accounts
646 TDRPT DEPINT_WISE Deposit Interest Wise Report
647 TDRPT INTDEPREN INTIMATION TO DEPOSITOR FOR RENEWAL
648 TDRPT INTPROJ INTEREST PROJECTION
649 TDRPT INT_ACCR_RPT Interest Accrued Report
650 TDRPT LIEN REPORT TD ACCOUNT LIEN REPORT
651 TDRPT MATURING TDs MATURING REPORT
652 TDRPT MATURNOTCLS TD MATURED BUT NOT CLOSED REPORT
653 TDRPT NOMINI_REP Account Nomination Report
654 TDRPT OVD_INT_TD INTEREST SB RATE FOR ODTD
655 TDRPT RD_PENALTY Penalty on Rd instament
656 TDRPT REMAINDER TD Maturity Remainder
657 TDRPT RENEWALDET TD Account Renewal Report
658 TDRPT SI DETAIL ACCOUNTS WITHOUT SI REPORT
659 TDRPT TDRECPT TDR Receipt Report
660 TDRPT TDRLOST_REP TDR REPORTED LOST/TORN/UNUSABLE
661 TDSRPT CONSOL_TDS Consolidated status Report of TDS
662 TDSRPT CRTDRPT COLLECTION/REMITTANCE/REFUND OF TDS AMOUNT
663 TDSRPT FFD_STAT FFD Interest Detail Statement
664 TDSRPT FORM15G FORM15G
665 TDSRPT FORM15H FORM15H
666 TDSRPT FORM16A-NEW FORM 16 A New Format
667 TDSRPT FORM26Q FORM26Q - TDS DEDUCTED REPORT/ASCII FORMAT
668 TDSRPT FORM26QA FORM26QA REPORT/ASCII FORMAT
669 TDSRPT FORM26QAA FORM26QAA REPORT/ASCII FORMAT
670 TDSRPT PANRPT CUSTOMER PAN REPORT
671 TDSRPT RECTDS TDS DEDUCTED (RANGE) REPORT
672 TDSRPT RECTDS_CTGY Category wise TDS deducted report
673 TDSRPT TDSCAT TDS CATEGORY REPORT
674 TDSRPT TDSPROJ TDS PROJECTION REPORT
675 TDSRPT TDS_MINOR Minor A/c clubbed with Major for TDS
676 TDSRPT UTDSCP TDS PRINT_COUNT UPDATE