Piravom Municipality Budget 2026–2027
The 2026–2027 Budget of Piravom Municipality focuses on sustainable urban development, infrastructure modernization, housing, water conservation, waste management, social welfare, and public service delivery. The municipality has projected total receipts of ₹56.52 crore, total expenditure of ₹54.95 crore, and an estimated closing balance of ₹1.57 crore, reflecting a balanced and development-oriented financial plan.
Key Budget Highlights
- Total Revenue Receipts: ₹22.36 crore
- Total Capital Receipts: ₹33.11 crore
- Total Expenditure: ₹54.95 crore
- Expected Closing Balance: ₹1.57 crore
Major Development Priorities
- Water Conservation and Environmental Projects: ₹9.50 crore.
- Housing and Electrification Schemes: ₹2.68 crore for individual housing and ₹1.31 crore for public housing infrastructure.
- Solid Waste Management: More than ₹2.5 crore for collection, processing, transportation, and integrated waste-management projects.
- Roads and Infrastructure Development: Significant allocations for roads, street lighting, drainage, public buildings, and urban amenities.
- Health and Education: Investments in hospitals, health centres, schools, anganwadis, and nutrition programmes.
- Agriculture and Livelihood Support: Funds earmarked for agriculture, animal husbandry, fisheries, self-employment, and poverty alleviation programmes.
Social Welfare Focus
The budget provides substantial allocations for:
- Old-age pensions
- Widow pensions
- Disability pensions
- Welfare of senior citizens, women, children, and differently-abled persons
- Poverty eradication and social security programmes.
Overall Objective
The 2026–2027 budget aims to improve urban infrastructure, strengthen environmental sustainability, enhance social welfare, and provide better civic services while ensuring inclusive and sustainable development for the residents of Piravom.