Skip to main content

Week 38 09-17-2024

MANAGEMENT MEETING
Duration: 8:30am - 10:30am
Venue: Virtual Via Google Meet

Presided by: Faith Ozegbe

ATTENDEES

ABDULLAHI NAJIMUDEEN        - Lead, Internal Operations
ADETAYO OLUKOGA                - National Channels Manager
ANTHONIA OGBU                    - Lead, Underwriting
CHIMA AGU                              - Ag, Lead Client Experience Management
CHUKWUMA OKONJI              - Telesales
EMMANUEL DOE                      - Transformation
EMMANUEL ONAKOYA             - Lead, CRM
GODFREY EGBUOKPORO          - Lead, Communications
ITIEKHAO IKPEMINOGENA        - General Manager
FAITH OZEGBE                           -  Acting Secretary
JOHN ESAN                               - Product Manager,
LINDA OTTAH-IJEKEYE                -  Brokers Admin
OLUSEGUN AKEJU                       - Lead Data Science Unit/Loan Portfolio Unit
OLUWAFEMI SIYANBOLA            - Sales
OLUWOLE EWEJOBI                     -  Head, Information Technology
OMOWASINUOLA IJASANMI       - Product Manager
OWOICHO AGADA                      - Ag. Head, Human Resources
PETER OJUKWU                           - Asset Remedial
RALPH BRAYILLA                         - Head, Business Operations
SAMUEL OTTAH                            - Product Development 
SOPHIA DAGI                               -  Deputy National Channel Manager
SUNDAY KALU                             - Brokers

Sunday Kalu said the opening prayer 

Peter Ojukwu seconded by  Faith Ozegbe adopted the minutes

ORDER OF PRESENTATION
 Asset Creation, Telesales, Wealth Management, Credit Risk Management, Product Development, Business Operations, Legal,

ACTIVITY REPORT (9th – 13th September, 2024)

Tele-sales Team Report
The total amount consummated by the team for the week in review is 18.3M  with the core telesales and customer retention team consummating 9.3M (94% of the week’s target) at 7 counts and 8.9M (47% of the week’s target) at 4 counts respectively.

 Asset Creation report
For the period in review, 
Transactions disbursed are 147.5M. The total consummated by all sales channel is 166.4M

Wealth Management Global Report
The week in review shows total netflow as -16M

Brokers Team Report
The week in review shows liability generation is 27.53% (15.8M) of the budget. Risk Asset Transaction Disbursed for the week Nil, Fresh Fund (RTN) for the Week 3.7M, Reap Fund for the week 100K, Rollover for the week 12.1M, Liquidation for the week 30M. 

Wealth Management Team Report
ForThe report captures the weekactiivities for the period in reviewreview. Executive summary shows the Liquidity Requirement status as CRITICAL (25%28%). W

Credit Risk Management Report
The report shows Core underwriters approved 138 transactions and pushed back 128 transactions. The senior underwriters approved 192 transactions and pushed back 19. In the recovery space, the total recovery is  broken down as PDO is 4.7M (12.38% of the target). Extended interest recovery as 1.3M  (25.37% of the target), Provisioned Accounts recovery as 5.6M at 15 counts (91.5% of the target).

RISK ASSET GENERATION REPORT

ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       LAGOS BRANCH PERFORMANCE        
  WEEK 37   Ending       14-Sep-24  
  BAL B/F WEEK 37 ACTUAL PERFORMANCE ACTUAL NET PERFORMANCE CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
% CHANGE BETWEEN 2024 & 2023
    ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE        
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 1,611,718,421.00 89,124,000.00 1,700,842,421.00 - 1,700,842,421.00 3,264,059,731.47 -48% 1,356,255,786.84 25%
Consumer Leases 349,520.00   349,520.00   349,520.00 13,979,169.15 -97% 4,533,941.97 -92%
Asset Cash Loan     -   -   0%
SPBS     -   -   0%
Sub-Total 1,612,067,941.00 89,124,000.00 1,701,191,941.00 - 1,701,191,941.00 3,278,038,900.63 -48.10% 1,360,789,728.81 25%
Corporate Leases 92,125,000.00   92,125,000.00   92,125,000.00 24,885,098.94 0%   270%
Operating Leases -   -   - 707,991,980.86 0% 55000000 -100%
Business Support Loan/ACL-Corporate 34,000,000.00   34,000,000.00   34,000,000.00 7,273,448.20 0% 20000000 367%
Sub-Total 126,125,000.00 - 126,125,000.00 - 126,125,000.00 740,150,527.99 -82.96% 75,000,000.00 68%
                   
B2C - Products 1,612,067,941.00 89,124,000.00 1,701,191,941.00 - 1,701,191,941.00 3,278,038,900.63 -48% 1,360,789,728.81 25%
B2B - Products 126,125,000.00 - 126,125,000.00 - 126,125,000.00 740,150,527.99 -83% 75,000,000.00 68%
TOTAL FOR LAGOS 1,738,192,941.00 89,124,000.00 1,827,316,941.00 - 1,827,316,941.00 4,018,189,428.62 -54.52% 1,435,789,728.81 27%
                   
Cash Backed loan / Credit Card 59,350,000.00 1,800,000.00 61,150,000.00   61,150,000.00 218,457,911.16 -72% 15,850,000.00 286%
                   
Total Risk Assets & Cash-Backed Loan 1,797,542,941.00 90,924,000.00 1,888,466,941.00 - 1,888,466,941.00 4,236,647,339.78 -55.43% 1,451,639,728.81 30%
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       ABUJA BRANCH PERFORMANCE        
  WEEK 37   Ending       14-Sep-24  
  BAL B/F WEEK 37 ACTUAL PERFORMANCE ACTUAL NET PERFORMANCE CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
% CHANGE BETWEEN 2024 & 2023
    ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE        
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 376,091,150.28 26,574,000.00 402,665,150.28 - 402,665,150.28 2,366,443,305.32 -83% 346,094,011.86 16%
Consumer Leases     -   - 5,083,334.23 -100% - 0%
Asset Cash Loan     -   - 0% 0%
SPBS     -   - 0% 0%
Sub-Total Abuja 376,091,150.28 26,574,000.00 402,665,150.28 - 402,665,150.28 2,371,526,639.55 -83% 346,094,011.86 16%
Corporate Lease     -   - 3,555,014.13 -100%   0%
Operating Leases     -   - 110,132,085.91 -100%   0%
Business Support Loan/ACL-Corporate     -   - 4,000,396.50 -100%   0%
Sub-Total B 2 B Leases - - - - - 117,687,496.55 -100% - 0%
          -        
B2C - Products 376,091,150.28 26,574,000.00 402,665,150.28 - 402,665,150.28 2,371,526,639.55 -83% 346,094,011.86 16%
B2B - Products - - - - - 117,687,496.55 -100% - 0%
TOTAL FOR ABUJA 376,091,150.28 26,574,000.00 402,665,150.28 - 402,665,150.28 2,489,214,136.10 -84% 346,094,011.86 16%
                   
Cash Backed loan / Credit Card     -   - 21,845,791.12 -100%   0%
                   
Total Risk Assets & Cash-Backed Loan 376,091,150.28 26,574,000.00 402,665,150.28 - 402,665,150.28 2,511,059,927.22 -84% 346,094,011.86 16%
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       PORT-HARCOURT BRANCH PERFORMANCE        
  WEEK 37   Ending       14-Sep-24  
  BAL B/F WEEK 37 PERFORMANCE YEAR TO DATE 2024 PRE-LIQUIDATED LOANS 2024 NET PERFORMANCE 2023 CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 & 2023
    ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE        
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 448,576,993.33 29,041,000.00 477,617,993.33 - 477,617,993.33 2,529,646,291.89 -81% 397,214,596.08 20%
Consumer Leases 159,300.00   159,300.00   159,300.00 6,354,167.80 -97%   0%
Asset Cash Loan     -   - 0%   0%
SPBS     -   - 0% 7,150,000.00 -100%
Sub-Total Port Harcourt 448,736,293.33 29,041,000.00 477,777,293.33 0 477,777,293.33 2,536,000,459.68 -81.16% 404,364,596.08 18%
Corporate Leases     -   - 7,110,028.27 -100%   0%
Operating Leases     -   - 755,191,446.25 -100% 336,000,250.00 -100%
Business Support Loan/ACL-Corporate     -   - 6,909,775.79 -100% 15,400,000.00 -100%
Sub-Total B 2 B Leases 0 0 0 0 0 769,211,250.30 -100.00% 351,400,250.00 -100%
              -   0%
B2C - Products 448,736,293.33 29,041,000.00 477,777,293.33 - 477,777,293.33 2,536,000,459.68 -81% 404,364,596.08 18%
B2B - Products - - - - - 769,211,250.30 -100% 351,400,250.00 -100%
TOTAL FOR PORT HARCOURT 448,736,293.33 29,041,000.00 477,777,293.33 0 477,777,293.33 3,305,211,709.98 -85.54% 755,764,846.08 -37%
              0%   0%
Cash Backed loan / Credit Card 50,000,000.00   50,000,000.00   50,000,000.00 71,779,027.95 -30% 550,000.00 8991%
              0%   0%
Total Risk Assets & Cash-Backed Loan 498,736,293.33 29,041,000.00 527,777,293.33 0 527,777,293.33 3,376,990,737.94 -84.37% 756,314,846.08 -30%
                   
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       ANAMBRA BRANCH PERFORMANCE        
  WEEK WEEK 37   Ending       PERFORMANCE
YEAR TO DATE 2023
 
  BAL B/F ACTUAL PERFOMANCE PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2022 NET PERFORMANCE 2023 CUMULATIVE 2022 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023
    ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE        
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 29,787,000.00 1,630,000.00 31,417,000.00   31,417,000.00   0% 29,094,000.00 8%
Consumer Leases     -   -   0%   0%
Asset Cash Loan     -   - 0%   0%
SPBS     -   - 0%   0%
Sub-Total Port Harcourt 29,787,000.00 1,630,000.00 31,417,000.00 0 31,417,000.00 0 0.00% 29,094,000.00 8%
Corporate Leases     -   -   0%   0%
Operating Leases     -   -   0%   0%
Business Support Loan/ACL-Corporate     -   -   0%   0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%
              -   0%
B2C - Products 29,787,000.00 1,630,000.00 31,417,000.00 - 31,417,000.00 - 0% 29,094,000.00 8%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR ANAMBRA 29,787,000.00 1,630,000.00 31,417,000.00 0 31,417,000.00 0 0.00% 29,094,000.00 8%
              0%   0%
Cash Backed loan / Credit Card             0%   0%
              0%   0%
Total Risk Assets & Cash-Backed Loan 29,787,000.00 1,630,000.00 31,417,000.00 0 31,417,000.00 0 0.00% 29,094,000.00 8%
                   
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       OYO BRANCH PERFORMANCE        
  WEEK ACTUAL PERFOMANCE   Ending       PERFORMANCE
YEAR TO DATE 2023
 
  BAL B/F ACTUAL PERFOMANCE PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2022 NET PERFORMANCE 2023 CUMULATIVE 2024 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023
    ACTUAL PERFOMANCE YEAR TO DATE PRE-LIQUIDATED LOANS YEAR TO DATE        
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 37,066,000.00 670,000.00 37,736,000.00   37,736,000.00   0% 29,280,000.00 29%
Consumer Leases         -   0%   0%
Asset Cash Loan         - 0%   0%
SPBS         - 0%   0%
Sub-Total Port Harcourt 37,066,000.00 670,000.00 37,736,000.00 0 37,736,000.00 0 0.00% 29,280,000.00 29%
Corporate Leases         -   0%   0%
Operating Leases         -   0%   0%
Business Support Loan/ACL-Corporate         -   0%   0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%
              -   0%
B2C - Products 37,066,000.00 670,000.00 37,736,000.00 - 37,736,000.00 - 0% 29,280,000.00 29%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR OYO 37,066,000.00 670,000.00 37,736,000.00 0 37,736,000.00 0 0.00% 29,280,000.00 29%
              0%   0%
Cash Backed loan / Credit Card             0% 0 0%
              0%   0%
Total Risk Assets & Cash-Backed Loan 37,066,000.00 670,000.00 37,736,000.00 0 37,736,000.00 0 0.00% 29,280,000.00 29%
                   
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       ONDO BRANCH PERFORMANCE        
  WEEK ACTUAL PERFOMANCE   Ending       PERFORMANCE
YEAR TO DATE 2023
 
  BAL B/F ACTUAL PERFOMANCE PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2024 NET PERFORMANCE 2023 CUMULATIVE 2022 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 6,130,000.00 1,800,000.00 7,930,000.00   7,930,000.00   0% 7,820,000.00 1%
Consumer Leases         -   0%   0%
Asset Cash Loan         - 0%   0%
SPBS         - 0%   0%
Sub-Total Port Harcourt 6,130,000.00 1,800,000.00 7,930,000.00 0 7,930,000.00 0 0.00% 7,820,000.00 1%
Corporate Leases         -   0%   0%
Operating Leases         -   0%   0%
Business Support Loan/ACL-Corporate         -   0%   0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%
              -   0%
B2C - Products 6,130,000.00 1,800,000.00 7,930,000.00 - 7,930,000.00 - 0% 7,820,000.00 1%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR ONDO 6,130,000.00 1,800,000.00 7,930,000.00 0 7,930,000.00 0 0.00% 7,820,000.00 1%
              0%   0%
Cash Backed loan / Credit Card             0% 0 0%
              0%   0%
Total Risk Assets & Cash-Backed Loan 6,130,000.00 1,800,000.00 7,930,000.00 0 7,930,000.00 0 0.00% 7,820,000.00 1%
                   
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       KANO BRANCH PERFORMANCE        
  WEEK ACTUAL PERFOMANCE   Ending       PERFORMANCE
YEAR TO DATE 2023
 
  BAL B/F   PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2024 NET PERFORMANCE 2023 CUMULATIVE 2022 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 37,614,000.00 2,380,000.00 39,994,000.00   39,994,000.00   0% 1,620,000.00 2369%
Consumer Leases         -   0%   0%
Asset Cash Loan         - 0%   0%
SPBS         - 0%   0%
Sub-Total Port Harcourt 37,614,000.00 2,380,000.00 39,994,000.00 0 39,994,000.00 0 0.00% 1,620,000.00 2369%
Corporate Leases         -   0%   0%
Operating Leases         -   0%   0%
Business Support Loan/ACL-Corporate         -   0%   0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%
              -   0%
B2C - Products 37,614,000.00 2,380,000.00 39,994,000.00 - 39,994,000.00 - 0% 1,620,000.00 2369%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR ONDO 37,614,000.00 2,380,000.00 39,994,000.00 0 39,994,000.00 0 0.00% 1,620,000.00 2369%
              0%   0%
Cash Backed loan / Credit Card             0% 0 0%
              0%   0%
Total Risk Assets & Cash-Backed Loan 37,614,000.00 2,380,000.00 39,994,000.00 0 39,994,000.00 0 0.00% 1,620,000.00 2369%
                   
                   
ROSABON FINANCIAL SERVICES LTD- RISK ASSET GENERATION REPORT       OSUN BRANCH PERFORMANCE        
  WEEK     Ending       PERFORMANCE
YEAR TO DATE 2023
 
  BAL B/F   PERFORMANCE YEAR TO DATE 2023 PRE-LIQUIDATED LOANS 2024 NET PERFORMANCE 2023 CUMULATIVE 2022 BUDGET BUDGET VARIANCE
YEAR TO DATE 2024
PERFORMANCE
YEAR TO DATE 2023
% CHANGE BETWEEN 2024 Vs 2023
    2024 2024 2024 2024 2024 2024 2023 2024 Vs 2023
PRODUCTS                  
Personal Loan / Public Sector Employee Loan / Group Loan 83,243,000.00 15,245,000.00 98,488,000.00   98,488,000.00   0% 98,488,000.00 0%
Consumer Leases         -   0%   0%
Asset Cash Loan         - 0%   0%
SPBS         - 0%   0%
Sub-Total Port Harcourt 83,243,000.00 15,245,000.00 98,488,000.00 0 98,488,000.00 0 0.00% 98,488,000.00 0%
Corporate Leases         -   0%   0%
Operating Leases         -   0%   0%
Business Support Loan/ACL-Corporate         -   0%   0%
Sub-Total B 2 B Leases 0 0 0 0 0 0 0.00% 0 0%
              -   0%
B2C - Products 83,243,000.00 15,245,000.00 98,488,000.00 - 98,488,000.00 - 0% 98,488,000.00 0%
B2B - Products - - - - - - 0% - 0%
TOTAL FOR ONDO 83,243,000.00 15,245,000.00 98,488,000.00 0 98,488,000.00 0 0.00% 98,488,000.00 0%
              0%   0%
Cash Backed loan / Credit Card             0% 0 0%
              0%   0%
Total Risk Assets & Cash-Backed Loan 83,243,000.00 15,245,000.00 98,488,000.00 0 98,488,000.00 0 0.00% 98,488,000.00 0%

TREASURY MANAGEMENT REPORT

ROSABON FINANCIAL SERVICES LIABILITY GENERATION REPORT                
  WEEK 37 Ending 14-Sep-24          
                   
LAGOS BAL B/F INFLOW OUTFLOW NET FLOW CUM BUDGET
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
BUDGET VARIANCE
YEAR TO DATE
% CHANGE BETWEEN 2024 & 2023 (ACTUAL)
                   
    2024 2024 2024 2024 2024 2023 2024  
TENOR FUND 889,322,757.10 22,310,000.00 29,894,232.21 -7,584,232.21 2,497,353,340.97 881,738,524.89 -891,114,500.24 -1,615,614,816.08 -199%
R-WIN 6,907,242.90 2,283,000.00 1,740,000.00 543,000.00 53,135,177.47 7,450,242.90 -3,979,838.83 -45,684,934.57 -287%
REAP PRODUCT 27,329,039.74 750,000.00 400,000.00 350,000.00 106,270,354.94 27,679,039.74 5,827,358.17 -78,591,315.20 375%
RBIP                 -
TOTAL 923,559,039.74 25,343,000.00 32,034,232.21 -6,691,232.21 2,656,758,873.38 916,867,807.53 -889,266,980.90 -1,739,891,065.85 -203%
                   
ABUJA                  
TENOR FUND 151,342,065.42 1,250,000.00 3,591,588.92 -2,341,588.92 1,389,256,163.19 149,000,476.50 -25,019,377.69 -1,240,255,686.69 -696%
R-WIN -     - 29,558,641.77 - - -29,558,641.77 -
REAP PRODUCT -663,247.61     - 59,117,283.54 -663,247.61 -844,839.33 -59,780,531.15 -21%
TOTAL 150,678,817.81 1,250,000.00 3,591,588.92 -2,341,588.92 1,477,932,088.50 148,337,228.89 -25,864,217.02 -1,329,594,859.61 -674%
                   
OSUN                  
TENOR FUND -   - -   -   - 0%
R-WIN   - - -   - - - 0%
REAP PRODUCT   - - -   - - - 0%
TOTAL - - - - - - - - 0%
                   
TOTAL 1,074,237,857.55 26,593,000.00 35,625,821.13 -9,032,821.13 4,134,690,961.88 1,065,205,036.42 -915,131,197.92 - -216%
                   
PORT-HARCOURT                  
      WEEK 37            
TENOR FUND 41,008,477.61 3,885,000.00 11,325,527.04 -7,440,527.04 1,626,311,778.34 33,567,950.57 440,507,000.17 -1,592,743,827.77 -92%
R-WIN -1,903,486.88     - 34,602,378.26 -1,903,486.88 775,000.00 -36,505,865.14 -346%
REAP PRODUCT 2,554,959.55 150,000.00   150,000.00 69,204,756.53 2,704,959.55 545,771.11 -66,499,796.98 396%
                   
  41,659,950.28 4,035,000.00 11,325,527.04 -7,290,527.04 1,730,118,913.13 34,369,423.24 441,827,771.28 -1,695,749,489.89 -92%
                   
                   
CONSOLIDATED BAL B/F INFLOW OUTFLOW NET FLOW CUM BUDGET
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
PERFORMANCE
YEAR TO DATE
BUDGET VARIANCE
YEAR TO DATE
% CHANGE BETWEEN 2023 & 2022 (ACTUAL)
TENOR FUND 1,081,673,300.13 27,445,000.00 44,811,348.17 -17,366,348.17 5,512,921,282.50 1,064,306,951.96 -475,626,877.76 -4,448,614,330.54 -324%
R-WIN 5,003,756.02 2,283,000.00 1,740,000.00 543,000.00 117,296,197.50 5,546,756.02 -3,204,838.83 -111,749,441.48 -273%
REAP PRODUCT 29,220,751.68 900,000.00 400,000.00 500,000.00 234,592,395.00 29,720,751.68 5,528,289.95 -204,871,643.32 438%
RBIP -       - -     0%
  1,115,897,807.83 30,628,000.00 46,951,348.17 -16,323,348.17 5,864,809,875.00 1,099,574,459.66 -473,303,426.64 -4,765,235,415.34 -332%


MEETING ADJOURNMENT
Peter Ojukwu seconded by Faith Ozegbe adjourned the meeting