Articles by "SO"

15G 15H 7th CPC Aadhaar Aadhaar Fees Aadhaar Operations Aadhaar Software Aadhaar Survey AAO ABVKY Account Account Opening Form Accountant Exam Books Accountants Accounts Officers Active Directory AD login AD Rollout Adhoc Norms Agent Creation Agent Portal Agents Air Tickes Allowance Android App APAR APS Accounts APY Arrears ATM ATM Cash Loading ATM Form Audit Para AV Rollout Bank Reconciliation Bank Transfer Biometric Device Black Money Blocking Validations BNPL BO BO Device BO Rules BO Slip BO Slip Generator BO Transactions Bonus BOOKS BPC BPM BPM Arrears Table BPM Transfer Branch Office Browser Settings Budget Bulk Bulk Booking Bulk Closure Bulk Upload Bulk Upload File Creator Business Business Hours Business Parcel Cadre Restructuring Calculator Cash & Bank Cash Handling Allowance Cash Management Casual Labour CBS CBS Commands CBS FAQ CBS-CSI CCS Rules CEA Central Government Employees Central Vigilance Commission Certificate Printing CGEGIS CGHS Check List Cheque Cheque Book Cheque Lot Creation Cheque Request Cheques Clearing Child Card Leave Children Education Allowance Circulars & Orders CIS Claim Settlement Clarification Close Account Closure COD Compare and Book Configuration Contract Creation Court News CPAO Orders Creation of CIF CRM Portal CSD CSI CSI Daily Work Flow CSI Hand Book for RMS CSI Helper Tool CSI Master Guide CSI Templates CSI Tool CSI Tools CSI Training Manual CSI Updates CSI Utility Tool CSV File Generator CSV Uploading Currency Ban Currency Exchange Customer Creation Customer Portal DA DA Freeze DA News DA Orders DARPAN Dearness Allowance Dearness Relief Death Claim Default Fee Demonetization Department Exams Department of Expenditure Department of Posts Departmental Examination Desktop Configuration Desktop Settings Despatch Despatch Schedule DEST Digital India Digital Life Certificate Digital Payment Directorate Directorate Appeal Directorate Order Disbursement Discrepancies Document Reversal DOP DOP Core Solutions DOP CSI Hand Book DOP Finacle Guide DOP IFSC Code DOP Internet Banking DOP Mobile Banking DOP News DOP Orders DOP Rulings DoPT DoPT Order DoT DPMS Drivers DSA Dte Orders Duplicate e-Banking Form e-Commerce e-Commerce Portal e-Services Earned Leave ECB Memo ECMS ECMS Settings Emergency Leave eMO eMO Workflow EMOs EMOs Procedure Employee Online Employee Portal Employee Transfer Employment News End User Enumeration EO App EOD ePay Billers ePayment ePost Epson Errors & Solutions ESS Establishment Register EWS Reservation Express Parcel Extension External Antenna F&A Family Pension FAQ Finacle Finacle Guide Finacle Guide Book Finacle Updates Financial Powers First Day on Finacle Five Day Week Fixed Stationary Charges Flow Chart Fmenu Form 60 Forms Forms & Documents Franchised Outlet FRSR FSC Gazette Notification GDS GDS Committee Report GDS New Pay Table GDS Transfer Policy GEM General General Financial Rules General Ledger Sub Head Code General News GL Accounts GL Codes GL Integration Govt Orders GPF Gratuity GST Guide Lines Guidelines HBA Rules HFINRPT Hindi HO Honorarium House Building Advance HR HR Solutions HRA Identity Card Form iMO Incentive Incentive Structure Income Tax Income Tax Saving Increment India Post India Post Mail India Post Toll Free Info Type Inspector of Posts Install Mantra Device Installation Inter SOL Interest Calculator Lite Interest Rates Interest Rates Data Interest Statement International Mail International Parcel Internet Banking Internet Explorer Settings Inventory Inventory Management Inventory Movement Inventory Status Report Inward Clearing Inward Rejection IP IP Exam Syllabus IP&ASP IPO Indent IPOs IPPB IPPB CBS MENUS IPPB FAQ IPPB Finacle Menus Issue Issue Cheque Issue Cheque Book Issue Duplicate Certificates Jan Suraksha Java Jeevan Pramaan Judgement KVP KYC LDCE Leave Leave Management Leave Rules Ledger Inquiry Legacy Document Upload Letter to Dte LGO Exam Liability Document Life Certificate Lipi Passbook Printer List Of Balance List of Holidays List of Office Accounts List of Run Commands Live Account Report Loan Loan Account Loan Account Opening Loan Repayment LTC MACP Mail Booking Mail Guard Mail Operations Marketing Marketing Executives Mass Official Transfer Material Material Balance Maternity Leave Maturity Calculation McCamish MCD MDM Meghdoot Menu List Merchant Mobile App MGNREGA Micro ATM Ministry of Finance MIS MIS Server Mobile Banking Mobile Banking Form Mobile Charges Mobile Number Mobile Wallet MPKBY MTS Name Change National Pension System New Pension Scheme New Policy Bond Formats New Services NJCA NJCA Meeting Nominal Role Nominee NPS NSC NSS Objections Official Transfer Offline Update Online Online Payment Online Registration Online Training Open Account Operations Guide OSL OT Outsource Agents Outstation Cheques Outward Cheque Status Outward Clearing Outward Rejection Overview Ownership Change Part Closure Part Withdrawal Passbook Printing Passbook Reprinting Paternity Leave Pay & Allowance Pay Commission Pay Fixation Pay Revision PAYROLL Payslip Pension Pension Upload Pensioners Pensioners News PFRDA Pincode Tool Pineapple PLI PLI Bonus PLI Terms PMJJBY PMLA PMSBY PO Finacle Guide Point of Sale POLI Rules POS POS Back Office PoS Machine POS Server POSB Post Office Post Office IFSC Code Post Office Operation Guide Post Office Workflow Postal Assistants Postal Exams Postal Manuals Postal Savings Schemes Postman Postman Examination Postman Mobile Application Postmaster Cadre Postmaster Grade-1 PPF PPF Deposit Precautions Prerequisites Prevent Frauds Print Bond Queue Printer Settings Printing Procedure Promotion Proposal Forms Pushback QR Cards Questions & Answers Quick TCB RBI RBI Order RD RD Deposit RD Loan RD Loan Account RD Services Ready Reckoner Receipt Cancellation Recruitment Recruitment Rules Register Letter Reimbursement Remuneration Pay Renewal Report Reports Reservation Retirement Reversal Reversal of Clearing Document Revised Service Request Forms Revision of Interest Rates RFMS Tcodes RICT Risk Allowance Rlist RMFS RMS CSI Guide Rotational Transfers RPLI Rule 38 Rules Rulings Rural ICT Salary Salary Account Salary Upload SAP Saving Schemes Savings Account Savings Schemes SB SB Deposit SB Orders SB Withdrawal SBCO SBI Buddy SCSS Security Tips Senior Citizen Seniority Service Desk Service Tax SETID Settings SGB Short Notes Shortcut Keys Simple CSI Assist SMS Alerts SMS Banking SO SO Slip SO Slip Generator Software Configuration Softwares SOP Sorting Assistants Sovereign Gold Bonds Speedpost Speedpost Booking Machine Split Cheque Book Sports SSA SSC CHSL 2016 Staff Scheduling System Stamp Balance Stamp Indent Stamps Standing Instruction Stenographer Step by Step CSI Guide Stock Stop Payment StopDB Strike Study Materials Super User Syllabus Symantec Sync Issues System Administrators T-Codes Tarrif Tax Slabs TCB TD TDS Teller Cash Balance Tenure Tools TPTA Training Allowance Training Application Training Manual Transfer Transfer In Transfer of Accounts Transfers & Postings Travelling Allowance Treasury Allowance Trial Close UIDAI UIDAI Circular Union Union News Updates UPSC User Guide User Manual Vault Operations Video Viewing Documents Vigilance VP Articles VP Intimation Weblink Webmail Welfare Will Windows Tips Withdrawal Workaround Workflow WUMTS
Showing posts with label SO. Show all posts



Step by Step Procedure Lodging of Cheques in Counter PA login
  • Invoke the HOMSO then the system will display the screen as shown in the below  figure

Then select the function as "ADD" then the system auto fills the date as shown in the figure


Then click on Go then the system will display the screen as shown in the figure


Then enter the following details as mentioned below
  1. Enter the account number ______________
Account number to be entered in this field should be as follows
  • For SB subsequent deposits enter the customer SB account number
  • For remaining accounts subsequent deposits (RD/PPF/SSA) enter the account id as SOLID+0017 
  • For opening of New Account enter SOLID+0382
   2.    Enter the amount _______________
   3.    Enter the Cheque number _______________
   4.   Enter the MICR code  _____________________
   5.  Enter the Cheque date ____________________
   6.  Enter the Tran code as '10'

Then click on Submit then the system will display the messade Data Added Successfully.
Repeat this process for all the cheques.
Verification of Cheques in Supervisor Login

  • Invoke the menu HOMSO then the system will display the screen as shown in the below


Then select the funciton code as "Verify" and enter the date as current  date as shown in the figure



Then clcik on Go then the system will display the list of cheques entered by the counter PA then click on Submit.Then the sysetm will display the message Data Verified Successfully.
Generation of  Report at Sub Offices

  • Invoke the menu HOMSOEX in counter PA login then the system will display the screen as shown in the below 


Then enter the following
Enter the SOLID ________
date of lodging  _____________
select the File/Report type as "Rport"   as shown in the below figure




Then clcik on Submit then the system will display the message "File Generated successfully" as shown



Viewing the Report
  • Invoke the menu HPR(Print Report) then the system will shown the sreen as shown

Then click on GO then the system will display the list of reports geenrated in the background from the list of reports select the report CHQLODGED.RPT as shown in the figure



Then click on View details as marked in the below screen click on the explode button as shown



Then the system will display the following screen as shown in the below figure


Send the file path as marked in the above screen so that we can genearate the txt file by below procedure
  • Invoke the menu HTRFTOPC for text file generation then the system will display the screen as shown in the below figure

Then the system will ask two parameteres i.e., souce file and destionation directory
Enter the souce file as " /finreports/CDCI_LOGS/RAMADEVI1996/CL13.rpt " (in our example)
Enter the destination directory  _________________  (Ex;-D:/ or C:/)  as shown in the below figure




In our example we gave destination directory as 'D' drive then the text file will created in that 'D' drive by file name CL13.rpt (For example)
Send the cheques along with the hard copy to HO(Head Office)
Text file created in the system can be shared by email to the concerned HO.



AT CBS SUB OFFICE from where the Cheques are sent to CBS HO dealing with Clearing for clearance

Ø  Invoke the menu HOMSO
Ø  Select the function “Add”. Date will appear automatically
Ø  Click on GO
Ø  In case of subsequent deposit in Savings Account, Enter customer’s savings Account Number irrespective of where the account stands.
Ø  In case of cheques presented through MPKBY Agent LOT, enter or select from searcher SO SOLID0017 as Account number.
Ø  In case of RD Subsequent Deposit at counter, enter or select from searcher, HO SOLID0017 as Account Number.
Ø  In case of PPF Subsequent Deposit at counter, enter or select from searcher HO SOLID0017 as Account Number.
Ø  For new accounts/certificates opened by cheque, enter or select from searcher, SO SOLID0382 as Account Number.
Ø  Enter the amount of cheque
Ø  Enter the cheque number
Ø  Enter the MICR code available in the cheque (this is mandatory)
Ø  Enter the cheque date
Ø  Enter the Tran Code as 10
Ø  Click on Submit if only one cheque is available
Ø  If multiple cheques are available, click on ADD and enter the cheque details of other cheques as detailed in above steps.
Ø  Supervisor need to verify the cheques entered using same menu HOMSO
Ø  Select the function VERIFY and enter the date
Ø  Data verified successfully message will be displayed
Ø  Take the report using the menu CHLR. This menu is accessible only for OPERATOR
Ø  Report can be generated using menu CHLR
Ø  Softcopy of cheques lodges can be viewed by clicking on the explode icon
Ø  Copy the filepath from the above location
Ø  Invoke the menu HTRFTOPC. Enter the source file name (the copied content can be pasted here) and the destination directory
Ø  The txt file will be copied to the said location in the local drive.
Ø  Send this txt file along with CHEQUES to HO

Note:- Same procedure will be followed by CBS HO not dealing with clearing house but attached with another CBS HO dealing with Clearing House.

Process at SO on receipt of Intimation of clearing.       

                                                                                                      
Ø  On receipt of intimation from HO, Sub Office will post the agent lists by debiting their SOLID0017 office account.
Ø SO will open new accounts/certificates and fund these accounts by debiting their SOLID0382 office account.
Ø  SO will account for this amount as Remittance to HO or Clearing House HO against intimation of clearing received.

Author Name

Contact Form

Name

Email *

Message *

Powered by Blogger.