15.05.2013 Views

Administration Manual - B.E.S.T. Undertaking.

Administration Manual - B.E.S.T. Undertaking.

Administration Manual - B.E.S.T. Undertaking.

SHOW MORE
SHOW LESS

Create successful ePaper yourself

Turn your PDF publications into a flip-book with our unique Google optimized e-Paper software.

1190<br />

Balance if any, at the end of two months, will be returned to OAP at Cash<br />

Department (South).<br />

RECOUPMENT OF IMPREST CASH :<br />

List of daily payments made out of the Imprest Cash is prepared and got<br />

it audited on day-to-day basis. All these lists are combined and a summary<br />

sheet is prepared when Recoupment Bill Voucher is required to be initiated.<br />

All these preaudited lists and summary sheet are attached to recoupment bill<br />

voucher. An entry of Recoupment Bill Voucher is taken on Imprest Cash<br />

Register as well as Bill Register and get audited. Then it is sent to H.O. Colaba<br />

for recoupment. A cheque received as proceeds of recoupment is got encashed<br />

from Receiving Supervisor Counter at Cash Department (N) and the cash is<br />

included in Imprest Cash standing with Imprest Cash Clerk.<br />

DISHONOUR CHEQUES<br />

Cheques dishonourd by Banks for the reasons mentioned on memos<br />

attached to them, are collected by Banking Supervisor from our Bankers and<br />

handed over to Dishonour Cheque Clerk. Dishonour Cheques Clerk enters the<br />

particulars of the dishonoured cheques in Dishonoured Cheques Register and<br />

Sr.No. of the Register is noted on the reverse of the respective cheque. These<br />

dishonoured cheques are then forwarded to Consumers Department (North) or

Hooray! Your file is uploaded and ready to be published.

Saved successfully!

Ooh no, something went wrong!