Wednesday 8 July 2015

Major mistakes observed at Delivery Post offices in handling Parcel COD articles.

1)   COD Articles are taken receipt as Registered Parcel/VP Parcel at the time of Bag Opening:
v Check all the Parcels physically and take receipt of all COD parcels as COD only in Bag Opening option of Postman module. 
v Even though RMS (Parcel Hub) invoices the article as RP/VPP in the Parcel list, the delivery Post Office is supposed to take receipt of the article as COD only and raise error entry
v If the article is taken receipt as Registered Parcel/VP Parcel by mistake, don’t invoice the article as Registered Parcel/VP Parcel.   There is an option to the Supervisor of the Postman module to change the Non COD article into a COD Parcel.   Use this option, before invoicing the article to Postman/BO and change the article type to COD Parcel.

2.    Not requesting for electronic data if the article is physically received at an office other than the pin code to which it is booked

v By default, electronic data will be transmitted to the office to which the article is booked.
v If the article is received at an office other than the office to which it is booked, that office has to give request for electronic data.
v Electronic data will be sent within 3 hours
v If electronic data is not received within 3 hours, check the tracking of the article.
v If the article is already marked as RTS by some other office, the article has to be returned to sender by manual process

3.    Non usage of Sub Accounts module:
v Sub Accounts module should be in operation in all the HOs/SOs.
v The data of the articles delivered at Branch Post Offices will be transmitted to e Payment Server only if the amount of BO delivered articles and the amount entered under proper head in BO Daily account (sub accounts module) is tallied.
v Therefore, the BO Daily account has to be entered in Sub Accounts module properly.

4.    Non performing BO Verification:
v BO Verification is compulsory in order to transmit the data of COD Parcels delivered at Branch Post offices.
v For this purpose, the returns in Postman module has to be taken on the same day of BO Daily Account.
5.    Mismatch between the names in Sub Accounts module and Postman module
v There should not be any mismatch between the BO names appearing in Postman module and Sub Accounts module.   If any mismatch is there, then the articles delivered by such B.O.s will not be transmitted to ePayment Server. 

v Therefore, modify such BO names in Sub Accounts module to exactly match with that available in Postman module. 

CBS ADDON V2.08 DATED 29.06.2015 FOR CLEAR DISCREPANCIES

Tool For Clear Discrepancies : CBS Addon 29.06.2015

Revised Tool of CBS Addon had been published on 29.06.2015 to clear the discrepancies of DPT Tool.
  1. Ensure that you are using Sanchay Post v7.5 and above.
  2. Take backup of all databases before running this software.

Download CBS Addon V2.08

FIX YOUR PC PROBLEMS WITH FIXWIN IN A CLICK

Download FixWin Utility From Google Drive

Many of us are not expert of computer systems so we have to depend on other people to fix the issues of our computer.
We run lots of programs and internet applications on daily basis. Lots of temporary files are stored in our computer and due to malicious and unwanted software installation from the internet sometimes our computer behave like not recognizing CD/DVD drive, Unable to open task manager or registry editor like that.
FixWin is there, it is a freeware utility to repair & fix common Windows issues for Windows 7 & Vista.

Download FixWin Utility and avail the benefits of this application. This application supports both 32bit and 64bit version.

After downloading FixWin utility run it and you can fix many issues without getting knowledge of registry. Following screenshots will give you a quick look about FixWin utility.

Download Fix Win Utility


DEDUCT PLI PAY SERVICE TAX IN ACCOUNTANT MODULE

Service Tax Deduction In PLI Pay Recovery 

  1. Configure PLI Tax Deduction in Accountant Pay Bill Module.
  2. It will automatically deducted when do drawal in accountant 

Configuration In Accountant Module

  • In Accountant > Modification Employee > Register > Other than loans and advances > select PLI/RPLI > add/modify

Query For Suspected Database in SQL 2000/2005/2008

SQL 2005 AND 2008

ALTER DATABASE yourDBname
SET EMERGENCY DBCC checkdb('yourDBname')
ALTER DATABASE yourDBname
SET SINGLE_USER WITH ROLLBACK IMMEDIATE
DBCC CheckDB ('yourDBname', REPAIR_ALLOW_DATA_LOSS)
ALTER DATABASE yourDBname

SET MULTI_USER


 SQL 2000


SP_DBOPTION 'yourDBName', 'SINGLE USER', 'TRUE'
DBCC CHECKDB ('yourDBName', REPAIR_ALLOW_DATA_LOSS)
SP_DBOPTION 'yourDBname', 'SINGLE USER', 'FALSE'

Procedure For Filling Tax Form For SCSS Account in DOP Finacle

PROCEDURE FOR FILLING TAX FORM FOR  SCSS

 


  • As per the DOP norms if the total interest amount on the SCSS principle exceeds Rs 10000/- then an amount of 10% TDS will be deducted.
  • If the TDS amount is deducted for a particular SCSS account then the same can be inquired using the menu HTDTRAN.
  • The total interest amount and TDS amount will be shown as in below figure by invoking the HTDTRAN menu as follows

  • If the customer submitted tax form(15G/15H) then we have to enter the same in account level and CIF level as mentioned below.

At CIF level

  • Invoke the menu CMRC then select the function as "Modify" and enter the CIF id of the customer as shown

  • Then click on Go in the next screen select the field tax deducted at source and fill the same with "NOTAX" from the searcher if the customer presents the tax form.

  • Then click on submit and verify the same CIF Id in the supervisor menu.

At Account Level:-

  • Invoke the menu CSCAM then select the function as "modify" and enter the account number as shown below


Then click on Go system will open a new application in the next screen enter the following
  • Enter the column Tax form as "15G/15H"
  • Select the field Tax category as "N-No Tax"  as shown

Then click on Submit and verify the same in the supervisor login

Note:-If any account modification is pending for TDA accounts(SCSS/TD and MIS account) then the system will not generate interest on the due date which can be inquired by using the menu HAFI or Scheduled reports available for System Admin,So immediately verify the account modification done for TDA accounts for smooth functioning.
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RD Loan Amount Disbursement in DOP Finacle

RD LOAN AMOUNT DISBURSEMENT PROCEDURE

After opening the RD Loan Account we have to disburse Loan Amount. LARDD command is used for this purpose. The following procedure of disbursement of RD Loan Amount.

  • Menu Shortcut - LARDD
  • GO
  • The following screen will be displayed.


  • Function - D-Disursement
  • Account No. -
  • Disbursement Amount -
  • Mode of Disbursement - Transfer
  • Credit A/c No.- SB Account or SOL ID + 0340
  • Submit
  • The following screen will be displayed
  • Now the verification will be done by supervisor in same command LARDD.
  • Menu Shortcut - LARDD
  • GO
  • The following screen will be displayed

  • Function - Verify 
  • Account No. 
  • Submit 
  • The following screen will be displayed.
  • Now check the Loan Account Balance In HACLI
  • You can also check the Loan Marking of RD account in HACCBAL.

RD Loan Account Opening in DOP Finacle

RD LOAN ACCOUNT OPENING PROCEDURE

CAOLARD stands for RD Loan Account Opening Menu in DOP Finacle. The following process is accepted for opening of RD Loan Account.
  • Menu Short Cut - CAOLARD
  • GO
  • The following screen will be displayed
  • Function - Open
  • CIF ID -
  • RD Account No. -
  • Scheme Code - LARD
  • GO
  • The following screen will be displayed
  • Loan Amount - 
  • No of Installment - 1
  • Installment Type - Bullet
  • Submit
  • The following screen will be displayed.
  • Log into Supervisor
  • Menu Short cut - CAOVLARD
  • GO
  • Fill the Loan Account ID
  • Submit
  • The following screen will be displayed