SB order No. 14 /2015
1. General :
1.
In
case of RD deposits accepted through MPKBY agents, two copies of LOT is to be
taken from agent. One copy should be
kept in the office guard file and
another copy should be attached with the Pay-in slip and placed at the end of
RD voucher bundle.[Point 1.4]
2.
Account
opening form or SB – 3 card of an
account which is opened on obtaining KYC documents, at the first time, need not be sent to SBCO at the time of
closure along with the closed voucher. The remarks “SB-3 / AOF retained with
KYC documents” should be recorded on the
closed voucher under the signature of ASPM /SPM. [Point
1.5]
3.
AOF
obtained for the subsequently opened accounts should be attached with the
closed voucher and sent to SBCO.[Point
1.5]
4. In case of accounts
closed at the Post office other than the office where they are opened, Account Transfer Form is to be collected at
the time of closure and should be attached with the Closure voucher. [Point1.5]
5.
In
case of any Interest adjustment and adjustment related to pre-migration period
,if required, SPM / ASPM will write error book entry and raise the issue with
Head Postmaster [Point 1.6 ]
2. Change in Procedure of Sealing of
vouchers and LOT by CBS Post offices:
1.Post
office staff should write the name of
Scheme and TRAN ID in red ink on the right hand side of the voucher [ Point 2.1
]
2. One
deposit slip and one withdrawal slip will be prepared for auto credit of MIS /
SCSS / TD to Savings account and Savings account to RD category accounts.[ Point 2.2 ]
3.One
deposit slip will be prepared for the total of each type of Agent Commission
credited in to Savings accounts supported by consolidated list of commission
paid.[ Point 2.3 ]
4.One
withdrawal slip will be prepared by SPM for the POSB cheque clearing amount
(based on the clearing amount intimated to clearing House / HO ) and print out
of cheque’s image should be attached to it.[
Point 2.4 ]
5. At the
closing of counter hours, all vouchers
should be sorted scheme-wise, TRAN ID wise. Vouchers should be tallied with the
LOT shown in the system by the Counter PA and SPM / ASPM [ Point 2.5 ]
6. A consolidation of the scheme
should be generated and two copies of print out taken [Pt. 2.6 ]
7. ASPM /
SPM will sign the consolidation and write the amount of all heads in words and figures along with no. of
deposits and withdrawal vouchers included in the bundle of each category. If any manual correction is made, it should
be supported by copy of Error Book (One copy to be attached with the voucher,
one copy with the office copy of consolidation and one copy to be sent to
Divisional office. ) [ Point 2.7 ]
8.All
vouchers including closed vouchers are to be sealed along with the one copy of
print out of consolidation. Another copy of the consolidation should be
preserved in guard file scheme wise and date wise for each category. [
Point 2.7 ]
Further, the old
SB-3 cards pertaining to Suboffices shall be dispatched to concerned sub offices from HO, which may be
preserved at SO.
whether printing of LOTs is mandatory?
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