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

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

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1174<br />

carried to the Bank for deposit in respect of main cash collection and cash in<br />

lieu of dishonoured cheques. They are then got audited from Audit<br />

Department.<br />

Banking Supervisor verifies the aggregate physical cash merged by other<br />

Supervisors, denomination wise as per his pay-in-slips. After confirming the<br />

same, kit bags are filled and locked in his presence and charge of the key of the<br />

kit bag is taken by him.<br />

Banking Supervisor then carries the cash to the Bank with the help of one<br />

Sepoy in a cash van provided by the Consumers Department (North) under the<br />

watch of two security guards of the <strong>Undertaking</strong> for deposition.<br />

An imprest cash of about Rs. 4000/- is carried by the Supervisor to the<br />

bank for exchange of soiled / fake notes returned by our bankers. The Cash<br />

Department maintains the record of soiled / fake notes returned by the bank.<br />

Banking Supervisor is required to stay at the Bank till the whole cash is<br />

duly received and acknowledged by the Bank.<br />

BANKING OF THE DAILY CHEQUE COLLECTION :<br />

All the receipts in the form of cheques are received by the ‘B’ Counter<br />

Clerk. After verifying the Number of cheques entered on the challan and<br />

actual cheques received by him, he acknowledges the receipt of the same. All

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