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OPERATIONAL GUIDELINES - Agmarknet

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Annexure III.Format for Utilization Certificate(FOR THE USE OF FINANCING BANK TO BE SUBMITTED, IN TRIPLCIATE, TO THE REGIONAL OFFICE OF NABARD)SCHEME FOR DEVELOPMENT/STRENGTHENING OF AGRICULTURALMARKETING INFRASTRUCTURE, GRADING AND STANDARDIZATION1. Name, address and location of the beneficiary and project:2. Name of the financing bank:3. Name & address of the financing branch :4. Date of sanction of loan by bank:5. Date of inspection by Joint Inspection Committee:6. Date of commission of the unit:7. (i) Total financial outlay -Rs.(ii) Margin money -Rs.(iii) Bank loan -Rs.(iv) Subsidy received Date of receipt Amount Date of credit to thefrom NABARD (Rs.) Subsidy ReserveFund A/c of the Borrower(a) 50% Advance Subsidy(b) Final instalment of subsidy8. Brief description of facilities created with capacity etc.:9. Rates of Interest charged by the financial bank %p.a.(a) In the case of CBs PLR% p.a.(b) In the case of others-PLR of convenor bank of SLBC10. The bank has/has not availed refinance from NABARD.11. This is to certify that the full amount of subsidy received in respect of theabove project has been fully utilized (by way of crediting to the “ SubsidyReserve Fund Account-borrower-wise) and adjusted in the books ofaccount under the sanctioned terms and conditions of the project withinthe overall guidelines of the scheme.PlaceDateSeal & Signature of theBranch Manager (Financing bank)

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