Indian Overseas Bank Virudhunagar bsr code

Find BSR Code for IOB Bank Virudhunagar

Overseas Bank Virudhunagar list of BSR Codes

BSR Code
Bank Name Indian Overseas Bank
Link BSR Code 272409
Nodal BSR Code 272409
Address Virudhunagar 103 / An R Plazakutcheri Road
City Virudhunagar
District Virudhunagar
State Tamil Nadu
Pin Code 626001
BSR Code
Bank Name Indian Overseas Bank
Link BSR Code 0
Nodal BSR Code 0
Address 173, Old No. 74, Sukadh, Railway Feeder Road,
City Virudhunagar
District Virudhunagar
State Tamil Nadu
Pin Code 626001
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Search Indian Overseas Bank BSR Codes in virudhunagar

You can search BSR Code of Indian Overseas Bank in virudhunagar by using the search box or you can browse through the table for all the branches of Overseas Bank.

Indian Overseas Bank branches with bsr codes are available in 17 cities-

>>Alangulam >>Aruppukottai >>Chatrapatti >>Kariapatti >>Malaipatti >>Mudukkankulam >>Narikkudi >>O.Mettupatti >>Rajapalaiyam >>Sattur >>Sivakasi >>Srivilliputtur >>Thayilpatti >>Tiruchuli >>Vembakottai >>Virudhunagar >>W.Pudupatti

Where to find Indian Overseas Bank BSR codes in virudhunagar?

Indian Overseas Bank BSR codes for virudhunagar branches are provided along with the contact details and the addresses. You can use BSR codes along with the IOB Bank serial number and the date for filling the TDS/TCS returns report.

IOB Bank virudhunagar branch BSR code for TDS/TCS returns report

Indian Overseas Bank BSR code figures should be reported correctly and legibly. Overwriting of figures should be avoided. Only one code or figure should be recorded in a column against each account. virudhunagar Overseas Bank officials submits the return to the Head/Zonal/Regional Office. The head office of IOB Bank sends the branch wise TDS/TCS returns to the Department of Statistical Analysis and Computer Services of the Reserve Bank.

IOB Bank, virudhunagar BSR fund transfer report

BSR fund transfer relates to bank credit. Each branch/office virudhunagar of a IOB Bank is required to submit the report of TDS/TCS return to the Reserve bank of India as on 31st March. The bank credit required to be reported comprises cash credits, overdrafts, loans and inland bills purchased and discounted, foreign bills purchased and discounted.

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