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Postal Manual Vol. VIII - India Post

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120. Method of securing office safe<br />

121. Scrutiny of service messages.<br />

Superintendent of <strong>Post</strong> offices<br />

122. Distribution of work in head and sub –offices<br />

123. Relaxation of duties of delivery agents on Sundays and <strong>Post</strong> office holidays.<br />

124. Beat Instruction register<br />

125. Separation of articles placed in deposit<br />

126. Use of deposit account by sub- offices<br />

127. Payment of of money orders by postmen and village postmen<br />

127-A. Stock and sale of <strong>India</strong>n <strong><strong>Post</strong>al</strong> Orders and payment of British and<br />

Irish <strong><strong>Post</strong>al</strong> Orders<br />

127-B. Payment of British or Irish <strong><strong>Post</strong>al</strong> orders which are defective or which<br />

are payable to persons who are dead.<br />

127-C.Payment of <strong>India</strong>n <strong><strong>Post</strong>al</strong> Orders which are defective or which are<br />

payable to persons who are dead<br />

127-D.Refund of value of <strong>India</strong>n <strong><strong>Post</strong>al</strong> Orders.<br />

127-E.Application regarding miscarriage loss or destruction of <strong>India</strong>n <strong><strong>Post</strong>al</strong><br />

Orders.<br />

128. Sorting sub-offices<br />

129. Mail communication between sub and branch offices.<br />

130. Special procedure for closing of branch office bags.<br />

131. Disposal of telegrams booked by receiving offices<br />

132. Beats of village postmen<br />

133. Omitted<br />

134. Village return.<br />

135. Letter-boxes.<br />

136. Monthly copies of sub –office accounts<br />

137. Deleted<br />

138. Minimum cash balance<br />

139. Maximum cash balance<br />

140. Instructions for fixing minimum and maximum cash balances<br />

141. Cash balance in post offices<br />

142. Maximum cash balance in stamps<br />

143. Memo of authorized balances<br />

144. Consolidated memo of authorized balances<br />

145. Cash offices<br />

146. Regulations of sub- office funds.<br />

147. Disposal of surplus cash<br />

148. Mode of transmission of cash<br />

149. Deleted<br />

150. Check of excess cash balances<br />

Rule<br />

151. Custody of cash in branch offices<br />

151-A& 151-B. Custody of cash in the Extra departmental sub-offices.<br />

152. Deleted<br />

153. Deleted<br />

154. Check on clearance of date-stamp impressions<br />

Superintendents of R.M.S

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