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Handling of cheque collected through ePayment in Point of Sale 01. For accepting bills in Point of Sale through ePayment, use the option Financials-ePayment
02. Expand ePayment transactions & select the concerned biller. Enter the correct particulars in the transaction screen:
03. Transfer the cheques collected through POS counter to the Treasurer through the option Treasury – Cash Entry under 'Counter Cheques' option
04. In Treasury module, receive the cheques from POS counter as treasurer using the option Receipts –Counters
Post offices sending cheques to Bank05. If PO is attached to a Bank, the Cheques received from POS counter are to be sent to Bank using the option Payments — Bank Remittance in treasury module as treasurer 06. Select bank details, Voucher No., Clearance House, if required, and Click on OK. Voucher No will come automatically. If it does not match with the actual no of remittance to bank, it should be cleared & correct number should be entered. 07. In the next menu, select the cheque concerned & click on OK
08. When the clearance particulars are received from Bank, the same should be entered in Treasury module using the option Tools —>Cheques Cleared 09. Select the correct bank details, Designation of the Treasurer, Transactions date on which cheque sent to Bank, Voucher No. and the Date of Clearance of the Cheque and Click on OK.
10. Select the cheque concerned & click on Cleared option in the next menu. 11. Then Check the confirmation message and Click on ‘Yes’ Button. Here, the Clearance particulars will be updated in Treasury Database as well as e-counter database, if the cheque particulars are received from POS counter as ‘counter cheque’ Option only.
12. The details of cheques cleared by the Treasurer are to be verified by the Supervisor using the option Tools – Cheques - Cheques Verification.
13. Click on Fetch button, to get the data for the day, Click on the Voucher Number, Select the Cheque Concerned then Click on OK.
Post offices sending cheques to Head Post Offices
01. Select the HO Name, cheques to be sent & click on OK
When the clearance particulars are received from HO, the same should be entered in Treasury module using the option Tools ->Cheques Cleared as mentioned at Sl No 08 to Sl No 11. Here, instead of bank, select the concerned HO The details of cheque cleared need not be verified by Supervisor in this case as the same will be updated in treasury database & ecounter database automatically once the verification is done at HO. |
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