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Showing posts with label Meghdoot. Show all posts
Showing posts with label Meghdoot. Show all posts

Thursday, March 28, 2013

Procedure for Supplementary Accounts




Here explains the steps to be followed in generating the Cash account for March, supplementary cash book as well as the supplementary cash account and later the general cash book. Great care may be taken in proceeding with the work. So, please go through this document entirely, before the work on supplementary accounts is taken up 

Declaring the working days for March and April

       During the month of March, when the Day begin is done for the first time in the sub accounts module, the Supervisor is expected to enter the last working day in the month of March and the first working day in the month of April. For the current year 2013, it will be 30.3.2013(last working day in March 2013) and 01.04.2013(first working day in April 2013). This is taken as the default value in the application. This may kindly be checked up(use the menu Tools – Supplementary dates working as Supervisor). If there are some other dates, they may be changed to 30.3.2013 and 01.04.2013 respectively, before 30th March.

Regular cashbook during the month of March

       Regular work in all the modules leading to the generation of cashbook can continue up to 30th March in the usual course and there is no change

Generation of cash account for March (regular)

       All HOs should note that cashaccount for March (regular) should be generated before supplementarytransactions commence. So, on the first of April, the accounts branch has to generate cash account for March, preferably before day begin is done in sub accounts module (though this is not a precondition, it ensures that work in supplementary accounts is not started)

Work in supplementary accounts

       Please note that the Meghdoot moduleprovides for seven supplementaries. Daily accounts of all sub offices for March should be obtained latest by seven supplementary and incorporated in the accounts. 

      After the cash account for March 2013 (regular) is generated, day begin can be done in sub accounts module in the usual course.

First supplementary

        Daily accounts received should be segregated between those of March and of April and bundled separately. The daily accounts of April should be entered using the usual menu Data entry – SO daily accounts and selecting the appropriate SOs. Note that supplementary daily accounts should not be posted using this menu. The daily accounts of March should be posted using the menu Supplementary – SupplementarydataSO. On completion of the posting, printing of SO summaries can be taken separately for regular and supplementary (for supplementary, use the menu Supplementary – Printing SO reports). Other tasks of preparing SO slips should be done in the usual course.

At the end of the day, remittances should be verified in the usual course. After such verification, daily account adjustments for remittances of daily accounts of April should be done in the usual coursefirst. Thereafter, the adjustment of remittances in March daily accounts should be taken up using the menu Supplementary – Remittances – SO daily account. While carrying out such adjustments, note down the details of remittances made by SOs in March which are acknowledged in April (called technical transit).

On completion of the adjustment of remittances as per daily accounts, view
the transit and advance items pending in the following sequence

1.  Regular transit and advance using the menu Transit – SO transit
figures or SO Advance figures
2.  Supplementary transit and advance using the menu Supplementary –
SO Transit figures and SO Advance figures
3.  Consolidated transit using the menu Supplementary – Consolidated transit – Technical transit

Note that the third item will show you all the remittances in transit including
those of April.

     Now please add the technical transit items, using the  Add button here. Please note that such items added will not appear here on the day of adding but will be available in the print out. This has to be invariably done for the supplementary accounts to tally correctly. This technical transit item which will remain pending for adjustment throughout the supplementary period will automatically get adjusted after the last supplementary when you move over to the regular accounts On completion of such addition, the operator should take the print out of transit and advance summaries for both regular and supplementary transactions.

Now, the accounts branch can generate the cash book for first supplementary.

    While the supplementary transactions are pending, regular cash book should not be generated.

The HO can generate only the HO summary and regular SO summary for the days when supplementary accounts are pending.

On completion of all these tasks, day end can be done in all the modules of Meghdoot for the first April

Second and third supplementary

      The same process as above should be repeated for second and third supplementary(if any) during which period regular cashbook should never be generated. Technical transit items should be added as in first supplementary.

        On the day of last supplementary when all the remaining daily accounts of March 30 are received, the details of balances(red ink particulars) for the HO and SO balances of all SOs of date 30.3 should be noted down. The total of technical transit and the unadjusted transit of March, corresponding to the details of closing balance as per Supplementary cash book should also be noted down. These details are required for generation of supplementary cash account.

Supplementary cash account

     On completion of all the supplementaryaccounts and on generation of the cashbook for the last supplementary, the supplementary cash account can also be generated.


     The accounts branch has to now access the cash account menu and select the March month. A dialog box will come up prompting to furnish details of balance.


      Click the Yes button. In the next window, you will find the details of closing balance of March as furnished initially. You have to now edit this figure to enter the details of SO balance and transit for the last supplementary (HO balance need not be changed) and generate the supplementary cash account. The cash account will now furnish the transactions including that of supplementaries and also the red ink particulars correctly.

        After the supplementary cash account is generated, the regular cash book can be generated from the next day onwards

Regular cashbook for April

       It is reiterated that regular  cash book generation should never be attempted when the supplementary accounts are still in progress. You can proceed with generating regular cashbook from the subsequent day onwards (and also for 1st April and subsequent days) after the last supplementary including.

Note : minimum one supplementary is compulsory

Source: ptc mysore 

via : potools.blogspot.in

Saturday, February 09, 2013

Thursday, November 29, 2012

Meghdoot Modules Requirements for B class office using Windows 7 and SQL Express


1. System Requirements:

The systems should satisfy the below given requirements.

a. Install operating system Windows 7 in both server and client machine.
b. Install SQL Server Express 2008 with SP1 in server machine.
c. Peer to peer connection should be established between two systems. This can be done by connecting both the systems using a Cross Cable and giving different IP addresses to them (For example 192.168.1.101 and 192.168.1.102)
d. The system theme should be changed to “Windows Classic” in both systems.
e. If the System is containing only one Drive (i.e., “C” Drive), then make atleast one more partition. Detailed procedure for partitioning is provided in Pages-2 and 3 of this document


2. General steps for installation of all modules
Please follow below steps in Server machine while installation process.
a. Install server component in the server machine.
b. Share the installation folder.
c. Install client component in server machine.
d. While configuring Meghdoot Modules for the first time, database cannot be created directly in C: drive. For creating databases in C Drive only, please create a folder in C: drive and provide its path for creating the Database at the time of configuration. Otherwise create database in other drives.

Please follow below steps in Client machine while installation process.

a. After each module is installed in server machine, install corresponding client component in client machine.
b. Give network path for SQL Server when asked for the same.

Thanks to :
Manish Sheth, DSM,
Jamnagar-361001.

Thursday, November 01, 2012

Bug in Update 3 while taking return from postman after modifiying the Postman Name


In Meghdoot Update 3 after modifying the Postman name in Supervisor. The postman name appears twice while taking returns (Old Postman Name+New Postman Name). Because of this bug day end cannot be done. Now CEPT MYsore has Provided two exl to solve this issue

Postman exl         
         &                           Download
Treasury exl 

Courtesy : http://satirur.blogspot.in/

Tuesday, October 23, 2012

SPEEDNET ERROR WHILE RECEIVING OF BAG...ERROR:.



SOLUTION:

DOWNLOAD EXL HERE

IN DOWN LOAD FILE THERE IS TWO EXL

STEP FIRST : 

1.  Run the attached script master data updation solution using ScriptTool.exe.
2.  Obtain the latest office data file for the concerned circle. This file can be downloaded by the SA of SPC from the SPC Offices Configuration site.
3.  Update the offices data using the option in Speednet communication-->Update Offices.
4.  Update the offices data under Supervisor-->Master-->Offices-->Add Additional Offices-->Update option.

STEP SECOND:
Run the attached script Office name null solution using ScriptTool.exe.

Saturday, October 06, 2012

SpeedNet Update 6: error, while fetching articles from counter


While fetching booked articles from counter a error occurs like this

Solution for SQL 2000 : Download

Solution for SQL 2005 : Download



Courtesy : http://satirur.blogspot.in/

Revised Speed Post Rate wef 01/10/2012

Please use the revised  rate  while booking speed post articles



Given below are the revised Speed Post rates effective 1st October 2012
Weight
Local
Upto 200
201-1000
1001-2000
Above 2000
Upto 50
17
39
39
39
39
51-200
28
39
45
67
79
201-500
34
56
67
90
101
Addn 500gm each
+11
+17
+34
+45
+57

Speed Post Revised Rates (from 01.10.2012)


Courtesy : http://aipeup3cuddalore.blogspot.in/

Monday, October 01, 2012

UPDATE 6 FOR SPEEDNET



SpeedNet Version 3.1.2 Update 6 Release dated 29/09/2012

Index: I. Purpose of Release II. Prerequisites III. Upgradation Procedure IV. Feedback/Error Reporting I. Purpose of Release: 1. Revision of Domestic Speed Post tariff w.e.f 01.10.2012 vide BD Dte lr.no. 57-06/2011-BD&MD (pt) dated 21.09.2012. 2. Restructuring of Speed Post Discount structure vide BD Dte lr.no. 57-03/2012-BD&MD dated 24.09.2012. 3. Inclusion of 'South Africa' in the list of countries for Speed Post booking as per new EMS Standard Agreement between South Africa and India Post communicated vide Dte (GB) lr.no. 38-6/2010-DA dated 17.08.2012. 4. Revision in the method of calculation of taxes and their rounding off communicated vide BD Dte lr.no. 57-0/2011-BD&MD dated 21.09.2012. As per the latest communication, Service Tax, Edn. Cess and Higher Edn. Cess are to be rounded off together to the nearest rupee value instead of the current method of rounding up to the next higher rupee value. 5. New Speednet Communication (C#.Net) module, which will replace the old Speednet Communication (VB 6.0). II. Pre-requisites: 1. Hardware: Min. Pentium IV CPU with 2GHz speed, 1GB RAM and 500 MB free Hard Disk space. 2. OS: Min. Windows XP SP2 or higher. 3. Database: Min. SQL Server 2000 or higher. 4. Application Software: a) Speednet Server Version 3.1. b) Speednet Client Version 3.1.2 Release date: 15/12/2011. 5. Other Requirements: a) .Net Framework 2.0 or higher. III. Upgradation Procedure: Steps to Upgrade: 1. Upgrade the databases first. 2. Uninstall the old Speednet Communication and Install the new Speednet Communication. 3. Upgrade to the Speednet client application. Note: The sequence of upgradation should be followed strictly else you cannot log in to Speednet. 1. Database Upgradation: a) Take full backup of existing Databases i.e., POSPCC and POSPCCBackup b) Ensure that SpeedNet is not in use in any system at the time of upgradation. c) Run the EXL Scripts available in 'DB Exl Scripts Folder' using ScriptTool.exe and check the contents of Log folder for details of upgradation and errors, if any. 2. SpeedNet Communication Module: a) Ensure that SpeedNet is not in use in any system at the time of upgradation. b) Copy the contents of Message, RXD and TXD Folders to any other location. c) Uninstall the existing Communication Module using options available under Control Panel -->Add Remove Programs option. d) Install the new Speednet Communication Module. Note: i) If .Net 2.0 Framework is not available, stop here, install .Net 2.0 Framework and then proceed with step (d). ii) Default Installation path:- C:\Program Files\EMSClient. iii) Do not forget to update the communication path in Speednet Client under Supervisor -->Master --> Environment --> Folder Paths. e) Run the communication and complete the configuration. 3. SpeedNet Client Upgradation: On successful upgradation of DBs and Communication Module - do the Client updation. a) Copy & overwrite the Speednet.exe, BNPLDataCorrection.exe, TBNPL.snt and 4 DLLs viz., BNPL.dll, CollectionAgent.dll, EMSDelivery.dll and SpeedLib.dll from the upgradation folder to the Speednet folder in all client systems. b) Register the 4 DLLs. c) Run BNPLDataCorrection.exe once, before using Speednet. d) Run Speednet Client, check Login and confirm version updates in the Login form, Date & Time form, About form and Reports. IV. Feedback/Error Reporting: Please provide your feedback or report the errors by sending a mail to support@ceptmysore.net with the following subject: 'Speednet Version 3.1.2 - update 6 Dated: 29/09/2012 - Feedback/Error - Details. Centre for Excellence in Postal Technology, PTC Campus, Mysore - 
Download patch form here

PATCH FOR SPEED POST TARIFF UPDATE-4 TO MEGHDOOT 7.0


As per CGM, BD & Mktg Directorate, New Delhi letter no. 57-06/2011-BD&MD (pt) dated 21.09.2012, Speed Post tariff has been revised w.e.f. 01-10-2012.
Further it is clarified by PA Wing of Postal Directorate vide Letter No.PA/BKI/Service Tax/2012-13/D-6029 dated 19-9-2012 that Service tax and education cess has to be rounded off as a single component to the nearest rupee, instead of round upwards. 
Based on the afore said two orders, modifications to Point of Sale application have been done. Further the wnx.dll also has been modified and the updated version is made available. 

Hence this release. 

CLICK HERE TO DOWNLOAD

NEW SPEED POST TARIFF REVISION PATCH RELEASED BY PTC.

Tuesday, September 25, 2012

Solutions for the general problems noticed in Update-3 to Meghdoot 7.0




DOWNLOAD THE SOLUTIONS FROM



Application
Problem Noticed
Solution
eMO
Collation Errors while executing eMO script files
Please run the eMO.exl
Treasury
Discrepancy in Generation of Voucher no. automatically while using Bank Remittance Option in Treasury Module when more than one remittance was made to the Bank on a particular day
Please run Treasury.exl
Sub Accounts
 Invalid Column name 'remittancedetails3'
Please replace the new
Sub Accounts exe
Postman
Error "Dly_Select_EVPForIssuingtoPostmen has too many arguments”
Please replace the new  Postman exe  and run eCounter.exl  
AccountsPBS
Script execution error  in offices where SQL 2000 is running
Please run Schedule.exl
Despatch
error while operator logging into Despatch Application for the red bag entries clearance
Please replace the new Despatch.exe and run Counter.exl
RNet Client
(CRC)
Syntax Error at the time of HVMO List Preparation
Please replace the new RNet.exe

-do-
List of BPC/MBCs not coming for the Bag Receipt option
Please follow the below steps:
 1)Please run the RegisterNet.exl
2) Give request for office master and hub master.
3) After the receipt of the data, first upload the office master and then the hub master.
R Net communication
Error Message in the log file "internet connection is Unavailable due to internet connectivity.
Please replace the new
RNetCommunication.exe
-do-
Error “Channel http is not registered with remoting services”
Please register RegisterCACft.exe

Tuesday, September 18, 2012

Update 3 to Meghdoot 7.0 released



  Center for Excellence in Postal Technology is constantly making efforts to bring in comfort at Post offices in implementing various Departmental software. 

            The expectations of the customers are rapidly changing.  To meet the changing requirements of the customers Department is making efforts to upgrade the existing products or introducing new products.    This update takes care of all the upgrades and new products being introduced by the Department.

            The most salient features of this update are
i).    Customized installer for upgrading Meghdoot to update-3.
ii).   Online acceptance of fee for entrance examination.
iii). Disabling booking of Registered letters without barcode.
iv). Offline booking of WNX articles.
v).   e-Money order Compilation
vi). MNOP implementation in Rnet.
Detailed information is furnished below about each change implemented in the software.

                       
General Manager,
Center for Excellence in Postal Technology,
Mysore.


Detailed information about each change implemented in the software

Reason for release:  Update-3 to Meghdoot 7.0 is being released in order to implement major changes in most of  the Meghdoot modules besides provision of some other minor changes and  rectifying the erros/bugs brought to the notice of CEPT till now.

Who has to Upgrade:  Update-3 has to be implemented by all the Computerized Post Offices in the Country.

Pre-requisite:  Update-1 to  Meghdoot version 7.0 released by CEPT on 05.12.2011.

Location to download the Software:   ftp://ftp.ptcinfo.org/Meghdoot7/Updates/Update-3/
Detailed Release document containing Installation procedure and the modifications done in each module is also available the release document.   The Software containing UPDATE-3 TO MEGHDOOT 7.0 can be downloaded from 15.09.2012.








Module wise major modifications

ModuleChanges made to the SoftwareImprovement in Operations/Service
Point of SaleBooking of Offline WNX TransactionsHitherto,  WNX server needs to be connected for every event of booking process.  This offline booking reduces the transaction time at counter considerably.

VP booking facility for the Registered NewspaperBooking of Registered Newspaper with VP facility is introduced, which was not available earlier.

PLI/RPLI validations prescribed by PLI Directorate, at the time of bookingDue to these validations, data mis-match between the NIC PLI data file and Meghdoot can be reduced considerably.



DespatchClosing of more than one bag to the same destination in same despatchTill now, only one bag can be closed in Despatch module to a particular destination Post Office in a single despatch. This is relaxed.

Implementation of MNOP concept for the Rigistered Bags
Post Offices can close bags only to the L1/L2 Mail Offices, as per the MNOP concept. 



Postman
All Delivery related options for  Speed Post Cash on Delivery articles.   The product is yet to be launched.
Facilitates delivery/despatch of SPCOD articles through Post office and its attached BOs.

Bag Receipt and Bag Opening Options for Registered Bags
Facilitates capturing the Bag receipt and Bag opening scan as required for MNOP review on RNet

Transmission of data of eVP articles to RNet server
Facilitates complete tracking of eVP articles through RNet website.



MO Compilation
eMO Compilation options provided
eMO Compilation options introduced with this release automates the process of submitting Issue/paid returns to DA(P).



eMO
Flushing of old Bulk payee data in addition to    flushing of Booking data to backup database
This enhances the performance of eMO module operation especially in  bigger offices where Bulk Booking and Bulk Delivery is happening.  It is ensured that even after flushing the old data, the reports for the older dates can be seen as usual.

Capturing the data of eMO Compilation and transmission to Central Server
Facilitates cross checking of eMO compilation figures received from Head Offices



ePayemnt
Collection of Examination Fee
New service for Collection of online Examination Fee introduced

Speed Post Cash on Delivery data transmission. articles.   The product is yet to be launched.
Transmission SPCOD articles data from the Office of Delivery to Office of payment for effecting payment through Treasury.



Treasury
Capturing the Western Union Transaction Data
Provision to feed data of individual WUIMT transactions, so as to transmit the data through AccountsMIS application for consolidated figures at central server

Provision for Speed Post Cash on Delivery Payment .  .   The product is yet to be launched.
Facilitates payment of SPCOD delivered amount



Accounts
Calculation of Income Tax as per new rates




SchedulesPLI/RPLI validations prescribed by PLI Directorate, at the time of data entry by Schedules Clerk.Due to these validations, data mis-match between the NIC PLI data file and Meghdoot can be reduced considerably.



AccountsMIS (DET)Identification of offices doing fake reporting .Post Offices cannot resort to transmit duplicate DET data.

Capturing the Western Union Money Order TransactionsCreation of a separate file with individual transactions of WUMT transactions and transmission of the same to Central Server for centralized pairing.
Installer ApplicationNew Application to upgrade all the modules of Update-3Automates the up-gradation process of all the applications in a particular system