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WORK FLOW IN A POST OFFICE (After APT Rollout)


 


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WORK FLOW IN A POST OFFICE

(After APT Rollout)

 

1.      Login the URL https://app.indiapost.gov.in/employeeportal/home

2.      Day Begin In Treasury

3.      Counter allocation in Treasury

4.      Shift begin in Booking Solution and cash flow

5.      Cash Adjustment in finacle through HTM

6.      Shift begin In PDMS

7.      Work in Bag management, Sub Accounts and Treasury and Finacle

8.       HTM and HISCOD,CSMDAY in Finacle, Shift end in PDMS,

9.       Shift End in Booking Solution

10.  Day End in Treasury and Report Generation

 

AT THE TIME OF DAY BEGIN


DAY BEGIN AND SHIFT BEGIN

SPM--treasury—daybegin , SPM--booking solution—counter operation—allocate counter to operator

PA--booking solution—counter operation—begin your shift, PA— booking solution—counter operation—request cash – request cash from treasury – cash and value and submit, SPM—treasury – cash/cheque –cash request – check source – process –cash denomination and submit, PA-- booking solution—counter operation— request cash – acknowledge cash and authorize ( this should be done By all counter. Process is same for inventory and stamp only )

All counter work would be done in booking solution card.

 

SB COUNTER WORKS

After acknowledgement of cash in booking solution card the PA has to open finacle and do as follow

HTMàAddàCash/Cash transferàGoàEnter Debit Account ID (Teller cash Account IDà Copy from HTCPIAE)àEnter Cashà Click Addà Enter Account ID (Sol ID+ 0406)àClick Get contra button next to the Amount columnà Note the Tran ID and verify in Supervisor

 

AT THE TIME OF DAY END

 

SB COUNTER WORKS

HTMàAddàCash/Cash transferàGoàEnter Debit Account ID (Sol ID+ 0406) à Copy from HTCPIAE)àEnter Cashà Click Addà Enter Account ID ) (Teller cash Account ID) àClick Get contra button next to the Amount columnà Note the Tran ID and verify in Supervisor. The PA adjust the cash figure as follow

Booking Solution – Counter Operation – Miscellaneous Transactions Accounting –Wallet Adjustment (receipt and payments) in receipt side total sb receipt and in payment side total SB payment figure would be enter and verify the figure with finacle figure and do needful. After that PA—booking Solution – Counter Operation – Transfer Cash, SPM--Treasury – Cash/cheque – Cash Process and confirm

SPM – Tools – Fetch CBS data and submit

 

SHIFT END and DAY END

First shift end of PDMS then PA-- Booking                           Solutionà                    Counter                 OperationsàCommon submit  Accounts àClick Generate AccountsàClick Check StatusàClick RefreshàClick Fetch Accountà Confirm Receipt and Payments difference should be zeroà Click download PDFàClick Submit Account.  SPM -- Booking Solutionà Counter OperationsàCommon submits Accounts SupervisoràSelect Employee IDà Verify Accounts. PA: Booking Solutionà Counter Operationsà Click End your shiftàClick Shift End.

SPM: Booking Solutionà Counter Operationsà View Counter Status

 

SOME WORKFLOW IN Advanced Postal Technology [APT]

SPM- SUPERVISOR ,PA- POSTAL ASSISTANT ,TR-TREASURY, AC- ACCOUNTS ,BS-BOOKING SOLUTION, BM- BAG MANAGEMENT, CO – COUNTER OPERATION,BO – BAGGING OPERATION

Mail booking

BS – quick book domestics

BS – Mail Booking – Book Domestic Mail

Insured article verification

SPM—BS –CO – Insured article authorization

eMO booking

PA – BS – Money Remittance—domestic MO booking

SPM – BS – CO – authorize MO – fetch records – authorize

Stamp sales

PA – BS – Retail Service -- stamp and stationary sales

Duplicate receipt

PA -- Barcode and Lable management – Mails – enter detail -- print

Bag receipt and open

BM – bagging operation – bag receive/open – fetch – scan

Print e MO

PDMS—eMO view/print – receive eMO—fetch-- print

Invoice of Article and emo

PDMS – Delivery option – Invoice Tag – select channel

eMO approval

SPM – PDMS –Delivery option – Supervisor operation –approve

Cash to Postman

SPM – TR –cash/ cheque – cash process – submit – confirm

Missent Article/ window delivery/ Postman Return

PA --PDMS—delivery option – To be invoice

Postman window delivery Submit Account

PA--PDMS—delivery option – Submit account – select postman or window delivery – select – fetch --

Cash from postman

SPM – TR – cash/cheque – cash process – postman – process -- confirm

Cash and Stamp to BO after initiated request by BPM

PA/TR – TR – Cash/Cheque or Stamp transaction – process—enter –submit – confirm

SPM – TR – Approval –Cash Approval –

SPM – TR – stamp transaction status –acknoledgement—submit – confirm

PA/TR – TR – cash / cheque –Cash bag – select and submit – confirm

BO slip and BO Account Bag

PA—AC – bo slip and bag – bo slip generation – entry and submit –preview bo slip –generate bo slip and print –Close bag and give bag ID – Submit and close bag

Dispatch of bo bag

PA – BM – bagging operation – bag dispatch – select and fetch – print dispatch list

Cash remittance to BO Special remittance

PA—TR—cash / chq—cash remittance--

Receiving BO  bag

PA – BM – BO –bag receive – schedule fetch scan bag – Add – receiceve

Opening of BO bag

PA – AC –BO slip and Bag – open bag bag

Receipt cash from BO bag

PA/TR –cash/chq – cash process --  SPM—TR—Approval –Cash approval

BO account verification

PA—SUB AC—account verification – verify BODA—select date and fetch – verify – confirm- verify BO one by one

Fetching of article

PA—BM—BO—fetch from counter/return from BO and other -- accept

Change of article pincode

PA-BM—tools – change pincode --

Insured article verification

SPM – BM—supervisor –INS A verification-

Closing of Bag

PA—BM—BO—bag close at PO—to office—select and scan- close bag

Dispatch of bag

PA—BM—BO—bag dispatch – fetch acan and despatch

Mark Pending Article

SPM—BM—supervisor—change article status

Cash Request from Cash office

TR-TR—cash/chq—cash request—amount—select – submit

SPM- TR—approval [after formalities at cash office]

TR—TR—cash/chq—cash acknowledge-- confirm

Cash remittance to cash office

TR—TR—cash/chq—cash remittance—entry and submit

SPM--TR—approval – Cash approval [src]—approve—confirm

TR—TR—reports—Special Remittance – fetch and print

Cheque request from SO to HO

TR—TR—cash/chq—misc trans—transaction type payment—transactio mode cheque—payee name—remarks—account code—amount—insert—submit

after receiving cheque SPM—TR—Approval—misc trans approval—enter remark—view info—approve and confirm

PA—TR—cash/chque—cheque disposal—check and confirm

Stamp indent/ remittance and receipt/issue

TR—TR—stamps/stationary—request and confirm,

SPM—TR—approval—stamp request approval—view approve

TR—TR—stamps/stationary—process issue/receipt- view and submit

SPM—TR—Approval-stamp issue/receipt approval view and approve

Receive of AC bag from HO

PA--BM—BO—Bag Receipt—select fetch and scan

Opening of AC bag

PA--AC—Bo slips and bag—open SO ac bag—view and confirm

PA—TR—stamps/ stationary—acknowledgement—view and ack

Bill Paid

Same process for other receipt and payments

PA—TR—Cash/chq –misc trans –transaction type payment—made as cash—remarks—accounts head—amount—insert—submit

SPM—TR—approval—misc trans approval—check remark and view info—approve—confirm

PA—TR—Reports—misc traxn –generate --print

Bulk stamp sale

PA—TR—Stamps /stationary—bulk sale – entry –submit

SPM—TR—approvals—stamp bulk sale approval

Generate TCB

PA—TR—reports—TCB—print

Generate ECB

SPM—AC—ECB management—generate ECB—entry—Submit

Generate Daily Account

SPM—TR—Reports--DTR

Closing of SO account Bag

PA—AC—BO slips and BO bag—close AC bag to HO—Add List of Documents—close Bag—confirm—Submit and close bag

Dispatch of AC bag

PA—BM—BO—Bag Dispatch-

Treasurer Day End

SPM—Tools—Day end—day ends

 

 

 

MOSTLY USED FINACLE WORKFLOW

 

CIF(Customer Information File)

            CREATION – invokeCCRC> Function – Add > Go > Title > First Name > Middle Name

> Last name( here give the full name) > father/husband name >Date of birth>Gender>Tax status >PAN no >Income>Income type>Occupation type  >Document Details>document type>Doc code>enter ID > if more documents submitted click on  expands > preferred tag yes/no (one documents has to select yes) > fill address detail > fill Phone email detail >tds table code >primary relationship manager ID enter CIFRM   > short name > Submit and note down CIF No. verify it by Super invokingCCRC

            MODIFICATION – invoke CMRC> Function – Modify >make necessary modification  > Submit >Verify it by Super invokingCMRC

            MERGER– invoke HCCA> Function- Modify >A/c no whose cif has to change>Go        >Old CIF id

> New CIF id>Reason Code> Submit > verify it by HCCA

[ CICDcan be used to know CIF id of an accounts andCCIFINQ is used to know CIF by entering ADHAR NO or  MOBILE NO]

ACCOUNT OPENING

            SB- invokeCASBAO> Function- O-open >give CIF id>scheme code >GO>mode of operation >NO s of documents > Doc-code > Doc date > fill related party and nomination details if   any > Submit > OK > Note A/C NO.( Verify it by Super invokingCASBAV)

             RD- invoke CRDOAAC> Function- O-open >give CIF id>scheme code RDIPN >GO

>mode of operation >Monthly Installment > transaction type > debit A/C no if transaction type is transfer>documents details> nomination details if any > submit > flow id > submit > Note RD A/C NO and Transaction ID (if it is opened by agents then give agent id near monthly installment box) (verify it by Super Invoking CRDOAACV)

              SSA & PPF- invoke CPPFAO> Function- O-open >give CIF id>scheme code >GO >mode of operation>NO s of documents > Doc-code > Doc date > submit  > verify by CPPFAV. 

              TD,MIS,KVP,NSC,SCSSinvoke CMISAOP> Function- O –Open > Product Group > Scheme Code >Go > mode of operation > Deposit amount >agent id if any  > nomination detail if any > transaction type > document detail > interest credit account  > renewal option >

submit > flow > submit > Note down A/C NO and Transaction ID  > verify It by Super invoking CMISAOPV. 

               RD LOAN A/C- invokeCAOLARD> Function –Open>CIF ID >Scheme Code – LARD >Go >Name>Loan Amount>installment frequency>amount>Submit >OK note loan A/C id >verify with CAOVLARD

 MODIFICATION OF AC   SB –CASBAM, RD – CRDACM, SSA/PPF – CPPFAM, TD/MIS/SCSS/KVP/NSC -  CMISAM

DAILY TRANSACTIONS

            SB DEPOSIT / WITHDRAWAL - invokeCTM>Function – Add  > Function Type – deposit     or Withdrawal >Go >AC No credit >Amount >Submit

            RD DEPOSIT - invokeCRDP>Function – Add >Transaction type > Go >AC No >Amount  >Submit

            RD LOAN PAYMENT - invokeLARDD>Function – Disbursement >loan A/C id

>Amount >  mode of disbursement > credit account id if required  >Submit > ok

            RD LOAN REPAYMENTS – Partly – invoke HLAUPAY final- invoke HPAYOFF

            SSA/PPF DEPOSIT invokeCPDTM>Function – Add >Transaction type >Type – Normal  contribution > Go >AC No credit >Amount >Submit

            SSA/PPF withdraw invoke CPWTM>Function – Add >Transaction type >Type – Normal     

                   Withdrawals > Go >AC No debit >Amount >Submit

            TD/MIS/SCSS INTEREST PAYMENT- Invoke HTM>Function – Add > transaction type-  C/NP  Cash Normal payments > Go > Next screen comes > Debit A/C id Sundry A/C no > enter            amont  > Ref No – A/C No> restore value additional part transaction > Go > next screen comes  > delete both start amount and end amount  >Ref No- A/C NO > Go> click check box>  Accept         > back to previous screen > Post /Submit 

            APPROVAL OF HIGH VALUE WITHDRAWAL- Invoke EXCW> Function –

Modify >enter the account number > Click on search mirror in Request ID and select > GO > Approve or  Reject  > Submit

 

[ SUNDRY A/C => MIS - SOLID+0337, SCSS - SOLID+0338, TD - SOLID+0335, 1YR TD -

SOLID+0129, 2 YR TD – SOLID+0130, 3 YR TD – SOLID +0131, 5 YR TD –SOLID +0132 ]

 

[all above transaction id has to be verified on the same command]

 

CLOSING OF ACCOUNTS

             SB/SSA/PPF – invoke HCAAC> Function –Close > A/C ID > Go > Transaction Type - Cash or              Transfer > Give repayment A/C > Submit verify by invokingHCAAC

            RD – invoke CRDCAAC> Function – Trail Close/Close > A/C ID > Go> Click on check box  Close > Close Reason > Select Cash or Transfer > Give repayment A/C > Submit 

               Verify it by CRDCAAC

             RD LOAN AC– invoke CAACLA> Function – Close > A/C ID > Go > Click     on check box  Close > Close Reason > accept > Submit verify it by CAACLA

             TD,MIS,SCSS- – invoke HCAACTD> Function – Trail Close/Close > A/C ID > Go >

Click on           Close detail Tab> Close Mode > Click on Closer Exception Tap > Close Reason   > Submit > Note down Id verify it by invoking HCAACVTD

 

[for  KVP and NSC invoke CSCCAAC for single AC and CNSBCVfor Bulk AC closer  verify  by the same command]

           

 

AGENT RELATED

 

            CREATIONInvokeHDSAMM> Function – Add > DSA ID > click on Go > DSA turnover  Frequency –Daily> Next turnover Date – 31/12/2099> commission Credit AC > Tax Code –  TDSAG> expand arrow to expand the page > agent type> license expiry date >

Set ID – SOL ID  > Scheme Code > payment frequency – Daily { for more scheme click on

Add } >click on  Commission Parameter Tab > Fixed commission start date – Give Next date > submit >OK

                 Verify with the same command

           MODIFY OR RENEWALInvoke HDSAMM > Function – Modify  > DSA ID >

click on Go  > Click on General Tab > For renewal modify the license expiry date> click on Commission  Parameter Tab > Fixed commission start date – Give Next date > submit >OK

                (Verify with same command) 

          AGENT INQUIRY - Invoke HDSAIP> Function – Display  > SOL ID > click on Go 

          LIST POSTING - Invoke HAGTXP> Function – Modify  > AGENT ID> Give

Reference No  > click on Go  > tally the figure > POST  (Verify with same command)

 

MANUAL FEE/CHARGE COLLECTION

 

           FEE COLLECTION BY CASH – (by PA) Invoke HGCHRG> Go > Function Add >

Event ID (type or select) > Transaction Type C/CR > Go > Enter CIF ID of customer > Submit

 (by SUPER) - Invoke HGCHRG> Go > Function V- Verify  > Event ID (type or select) > Transaction Type C/CR > User ID >  Go > Select from List > Submit

           FEE COLLECTION BY TRANSFER – (by PA) Invoke HGCHRG> Go > Function Add >

Event ID (type or select) > Transaction Type T/BI > debit account ID >  Go > Submit   (by SUPER) - Invoke HGCHRG> Go > Function V- Verify  > Event ID (type or select) > Transaction Type T/BI > debit account ID >  Go > Select from List > Submit

 

We can reversal the transaction from the same menu HGCHRG, Receipt can be creat by the menu HADVC and print at HPR

FEE/CHARGE COLLECTION FOR DIFFERENT SERVICE

 

                Issue of duplicate passbook                                       50.00

              Issue of statement                                                        20.00

               Issue of lost pas book                                                 10.00

                  Cancellation and change of nomination                   50.00

               Transfer of account                                                   100.00

               Pledging of account                                                  100.00

                Issue of cheque book per leaf                                      2.00

               Dishonor of cheque                                                   100.00

An additional of 18% GST is to be collected with the base fee

 

SOME OTHER WORK FLOW

           ATAL PENSION YOJANAInvokeCAPY> Function – Add  > Go > AC ID > enter required    field > submit  Verify With same command

         ATM CARD ISSUEInvoke CCMM > Go > enter required  field > submit   Verify with  same command

         ADD INVENTORY AT SOInvoke HIMC> Function – Add > Go > From Location

Class – ZZ >From Location code – EXT > To location class– DL  > To location code – DL >

Accept >Select Inventory Class / Type from searcher > Inventory Alpha > Start No > End No > Validate >  if another inventory is to be add then Click on Add  > submit  (Verify With same command)

        ADD INVENTORY TO EmployeeInvokeHIMC> Function – Add > Go > From

Location Class – DL >From Location code – DL > To location class– EM> To location code –

Employee  ID > Accept > Select Inventory Class / Type from searcher > Inventory Alpha >

Start No > End No > Validate > if another inventory is to be add then Click on Add  > submit       (Verify With same command)

         ISSUE CHQUE BOOK – invoke HICHB> GO > A/c ID > Acknowledgment obtain – Yes >            Cheque Type – CHQ > GO > Select The cq book  Serial No > Submit         ( Verify with same commands)

         PMJJBY or PMSBY - invoke CPMY> Function – Add > AC ID > Go > enter required     field >            submit  (Verify With same command)

        Findout New AC No.  – Invoke CNAC> Go > Enter SOL ID + Scheme + Old AC No.

or            Certificate No > Submit

END OF DAY COMMANDS

HTCPIAE – This commands in used to know the teller cash balance . Invoke the commands >Go> Select the employee ID> The balance in hand should be zero ( which is automatically zero while done through POS)

HCASHPND– Check before EOD that there is no difference in cash in hand and

cash in teller ID

HFTI– invoke the commands >Go>Transaction Status select as E-enter and P-posted > Submit if there found any transaction then modify or verify as required.

HAFI– This command is used to know about unverified accounts. Invoke the commands > Go > in Ref No Give  . (Dot) or two spaces > Entered on – Give Current dates >Authorised –select  not Authorised> Go

HIMI – Invoke the commands > Go > Transaction date – current date > Submit 

HFINRPT – Use this command for Reports Generation

HPR– Use this command for report printing

HISCOD – this commands is used to do EOD . Invoke the command > SOL ID is auto populated Give 0(zero) in Hours & 1(one) in Minutes Fields > Go batch job will be invoked with an ID

HSSI – this is used to know the status of day end. 

CSMDAY- To be used after the HISCOD command

IPPB CBS FINACLE COMMANDS

           

CKYCACOP – Account open new customer

CACOP - Account open existing customer

CTM – Cash deposit, cash withdrawal, cash transfer, IMPS, NEFT, RTGS etc

CNFTM – accounts maintenance, customer maintenance inquire, closer maintenance

CSRM – Service Request Maintenance

CDRM – Doorstep Banking Request Maintenance, CAEPS – AEPS transaction

HCASHDEP – Cash deposit 3rd party

HCASHWD – Cash withdrawal 3rd party

HXFER – Transfer between accounts 3rd party

HSIM – Standing Instruction Maintenance, HACLI – Account Ledger Inquiry

HCRT – Create and update reversal transaction

HGCHRG – General charge and fee collection

HFTI – Financial transaction inquiry

HTCPIAE – teller cash inquiry

HFTR – Financial Transaction Report ,HPR – Print Queue

 

 

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