Scheduled Banks’ Statement of Position in India as on 2 May 2025 [RBI Data]The Reserve Bank of India (RBI) has released statement of position of Scheduled Banks in India as on 2 May 2025.

Scheduled Banks’ Statement of Position in India as on Friday, May 02, 2025
(Amount in ₹ crore) |
| SCHEDULED COMMERCIAL BANKS(Including RRBs, SFBs and PBs) | ALL SCHEDULED BANKS |
03-May-2024 | 18-Apr-2025* | 02-May-2025* | 03-May-2024 | 18-Apr-2025* | 02-May-2025* |
I | LIABILITIES TO THE BKG.SYSTEM (A) | | | | | | |
| a) Demand & Time deposits from banks | 291055.36 | 346519.46 | 350035.11 | 295223.02 | 352576.56 | 356073.79** |
| b) Borrowings from banks | 167685.78 | 105133.47 | 110267.74 | 167685.78 | 105135.36 | 110368.75 |
| c) Other demand & time liabilities | 76526.46 | 23924.94 | 23236.44 | 76795.51 | 24211.61 | 23597.28 |
II | LIABILITIES TO OTHERS (A) | | | | | | |
| a) Deposits (other than from banks) | 20938380.97 | 22860864.86 | 23033418.26 | 21400857.94 | 23356509.96 | 23525355.11 |
| i) Demand | 2437589.89 | 2638562.44 | 2918195.75 | 2489234.72 | 2690588.91 | 2969055.10 |
| ii) Time | 18500791.07 | 20222302.42 | 20115222.52 | 18911623.21 | 20665921.05 | 20556300.01 |
| b) Borrowings @ | 780233.57 | 868605.09 | 868035.30 | 784814.04 | 873320.89 | 872371.33 |
| c) Other demand & time liabilities | 902769.07 | 1015085.48 | 1035053.18 | 914406.38 | 1027787.12 | 1048202.24 |
III | BORROWINGS FROM R.B.I. (B) | 171359.00 | 24763.00 | 23458.00 | 171359.00 | 24763.00 | 23458.00 |
| Against usance bills and / or prom. Notes | | | | | | |
IV | CASH | 89478.77 | 81712.53 | 85733.14 | 92022.63 | 84423.94 | 88483.41 |
V | BALANCES WITH R.B.I. (B) | 961716.53 | 909268.82 | 933070.35 | 982148.68 | 927991.20 | 952554.47 |
VI | ASSETS WITH BANKING SYSTEM | | | | | | |
| a) Balances with other banks | | | | | | |
| i) In current accounts | 8461.14 | 10484.78 | 11989.03 | 11299.85 | 13240.17 | 14243.87 |
| ii) In other accounts | 183008.89 | 227718.73 | 218568.59 | 229640.56 | 290362.23 | 280652.29 |
| b) Money at call & short notice | 15069.44 | 22294.16 | 22530.69 | 33132.70 | 44065.03 | 41158.85 |
| c) Advances to banks (i.e. due from bks.) | 54116.09 | 40266.90 | 38603.93 | 56255.18 | 43717.30 | 41591.22£ |
| d) Other assets | 109550.23 | 71218.75 | 76467.41 | 112429.72 | 75052.37 | 80424.97 |
VII | INVESTMENTS (At book value) | 6220688.65 | 6693442.78 | 6713520.88 | 6372797.09 | 6849167.59 | 6867664.08 |
| a) Central & State Govt. securities+ | 6219571.73 | 6692826.97 | 6712907.18 | 6365065.55 | 6840490.40 | 6859328.65 |
| b) Other approved securities | 1116.92 | 615.81 | 613.70 | 7731.54 | 8677.19 | 8335.43 |
VIII | BANK CREDIT (Excluding Inter-Bank Advances) | 16631720.36 | 18187867.93 | 18286312.85 | 17067755.04 | 18657266.91 | 18753775.81 |
| a) Loans, cash credits & Overdrafts $ | 16317883.56 | 17846425.70 | 17945698.30 | 16750609.24 | 18312344.48 | 18409668.21 |
| b) Inland Bills purchased | 64556.15 | 79292.81 | 80615.14 | 64560.55 | 80747.25 | 82034.32 |
| c) Inland Bills discounted | 209492.68 | 224769.76 | 223815.01 | 212140.80 | 226185.70 | 224783.95 |
| d) Foreign Bills purchased | 15915.90 | 14726.69 | 14046.74 | 16138.39 | 14964.36 | 14268.82 |
| e) Foreign Bills discounted | 23872.07 | 22652.97 | 22137.66 | 24306.06 | 23025.11 | 23020.51 |