Piravom Municipality Budget 2025–2026
The budget of Piravom Municipality for the financial year 2025–2026 aims to strengthen infrastructure, housing, sanitation, welfare, and public services while maintaining financial stability. The municipality has proposed a total income of ₹36.69 crore and a total expenditure of ₹36.66 crore, resulting in an estimated closing balance of ₹3.08 crore.
Key Budget Highlights
- Total Revenue Income: ₹25.34 crore
- Total Capital Income: ₹11.35 crore
- Total Budget Income: ₹36.69 crore
- Total Expenditure: ₹36.66 crore
- Expected Closing Balance: ₹3.08 crore
Major Revenue Sources
- Property Tax, Profession Tax, Service Cess and other local taxes.
- State and Central Government grants, including Development Fund, Maintenance Fund, General Purpose Fund, PMAY, AMRUT, and Finance Commission Grants.
- User charges, license fees, building permit fees, and rental income from municipal properties.
Major Expenditure Priorities
- Housing Schemes: ₹3.16 crore for housing and electrification programmes.
- Road Development: ₹3.71 crore for road infrastructure.
- Water Conservation: ₹1.00 crore.
- Solid Waste Management: ₹1.50 crore for integrated and centralized waste-processing projects.
- Poverty Eradication Programmes: ₹1.90 crore.
- Health, Education and Welfare Activities: Significant allocations for hospitals, anganwadis, child welfare, women welfare, elderly care, and support for differently-abled persons.
- Social Security Pensions: Major provisions for old-age pension, widow pension, agricultural workers’ pension, and disability pension.
Overall Objective
The 2025–2026 budget focuses on sustainable urban development, improved public infrastructure, environmental management, social welfare, and enhanced civic services, ensuring balanced growth and better quality of life for the residents of Piravom Municipality.