GURU’S DAILY INSIGHT
Total of closing balance not written in both words and figures.
Retention of cash in excess without liability.
Failure to furnish the reason for retention cash in excess/short than minimum authorised balance
Mismatch of CB in physical daily account of BO andactual CB of BODA generated in RICT device
Noting of wrong Authorized balance of SO/BO
Date stamp of office impressed with wrong type fixed..
Non preparation of Excess Cash memo for SO & BO ( ECB should be furnished by the SPM of A class, B class & C class Offices)
Difference in no assigned to ECB . (ECB should be assigned serial no.1 every month)
Non/wrong furnishing of particulars of remittance
Non furnishing of Balance of initial credit/additional credit
Non furnishing of cheque no if cash withdrawal made from Bank drawings
Common Omissions/irregularities in Daily Transaction report (Daily account?
Total of closing balance not written in both words and figures.
Retention of cash in excess without liability.
Failure to furnish the reason for retention cash in excess/short than minimum authorised balance
Mismatch of CB in physical daily account of BO andactual CB of BODA generated in RICT device
Noting of wrong Authorized balance of SO/BO
Date stamp of office impressed with wrong type fixed..
Non preparation of Excess Cash memo for SO & BO ( ECB should be furnished by the SPM of A class, B class & C class Offices)
Difference in no assigned to ECB . (ECB should be assigned serial no.1 every month)
Non/wrong furnishing of particulars of remittance
Non furnishing of Balance of initial credit/additional credit
Non furnishing of cheque no if cash withdrawal made from Bank drawings
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