സ്ത്രീകള്‍ എങ്ങിനെ വസ്ത്രം ധരിക്കണം എന്ന് പുരുഷന്‍ നിഷ്ക്കര്‍ഷിക്കുന്നത് ശരിയോ? അല്ലെങ്കില്‍ തിരിച്ചും?

Showing posts with label sanchayapost. Show all posts
Showing posts with label sanchayapost. Show all posts

Wednesday, April 04, 2012

Patch for Interest Rate Changes - 01/04/2012 (except NSC & RD)

A patch is now available in SDC Website for incorporating the changes in rate of interest with effect from 01/04/2012. This patch includes changes in respect of PPF, MIS, SCSS & TD only. For changes in maturity value of NSC VIII, NSC IX & RD instructions are awaited from the Directorate; patch will be provided later. 


SDC Chennai.




Download

Sunday, April 01, 2012

ANNUAL INTEREST CALCULATION 2011-12 in V2 SBCO Software

New V2 SBCO Software for Interest Calculation will expected 31/03/2012 today evening



ANNUAL INTEREST CALCULATION 2011-12in V2 SBCO Software

        The Directorate had issued order to run the annual interest calculation  2009-10 in Sanchay Post  in view of the proposed implementation of CBS as given below vide SB Order No:17-2009 No:76-01/09-SB Dt: 08.12.2009. As referred above, under modified POSB Vol-1-  Rule: 73, it is mentioned that “73.(1)  Now all HPOs are working on SBLAN in system Software and the interest is calculated by the system software in computer. After completion of posting of transactions of 31st March of a particular year (including all SOs of 31st March LOTs), command for calculation of IBB, calculation interest and then interest posting should be given by the Postmaster [Supervisor]. Printout of Interest Statement in duplicate for HO and triplicate in case of SOs and MDGs should be taken. One copy of interest statement should be transferred to SBCO and second copy should be sent to SOs and MDGs. Third copy should be kept in guard file as office copy. SBCO should charge the total amount of interest in statistical Registers of April”.
 As no direction has been received from Directorate for calculation of  Annual Interest Calculation and release of Interest Statement  2011-12, the procedure adopted  in the year 2010-11 may be followed. As such SBCO working V2 SBCO may also calculate Annual Interest calculation in V2 software

 “As the maximum limit of Saving accounts has been removed the  maximum balance should be corrected  as “99999999” from 01.04.2011 to 30.11.2011 and also  from  01.12.2011 to 31.03.2012. Otherwise IBB will be limited to Rs.1 lakh and 2 lakh only"

            Hence, it is kindly requested to run the discrepancy option in Bridge Software to identify the discrepancies before running the Annual Interest calculation in V2 software. After running the Annual Interest calculation, once again run the discrepancy option to identify the interest corrections between the annual interest of V2 software & Sanchay Post  software.
            The difference if any in (Interest) V2 SBCO may be corrected through Interest Rectification Register and (Difference in Interest) Sanchay post corrected  through OM/ Maintaining separate register . After reconciliation of this process , one copy of Annual Interest Statement should be sent to the sub office for necessary action.  In the case of minus balances, if it could not be reconciled at your end, please raise objections for reconciliation.
 I reiterate the procedure for running interest statement 2011-12 in V2 SBCO for ready reference  to our SBCO staff
            PROCEDURE FOR SB/NSS/PPF ANNUAL INTEREST CALCULATION IN V2 SBCO SOFTWARE
  1. Clear all the minus balances before running the IBB calculation
  2. Raise objections for the remaining minus balances accounts for reconciliation with passbook.
  3. Clear all the Un-posted items through the option .1. – Transaction – Modification – LOT – F6 option – Option .2. Account creation –enter the account number – enter the binder number instead of ‘UP’ binder
  4. Enter the IBB for transfer-in accounts and Revival accounts thro option – Utilities –IBB entry
5.      Delete the duplicate account number through the ‘SBX’ software – Misc option –Delete duplicate number – Delete the second record one by one by using Ctrl + T key
RECONCILIATION: Before running annual interest statement, run the discrepancy once again to pair the balances of v2 sbco & Sanchay post balances.
1.      After tallying the SB63 office wise figure with V2 grand summary figure, do the backup in HDD and CD.
2.      Check up the financial year as 01.04.2011to 31.03.2012 in the option – Master Maintenance – System Admn – 3.HO Details
3.      Check up the Interest Rate –



i)                    SB/JA/JB/PEN –  01-04-2011 to 30.11.2011 =3.5% and
                                         01.12.2011 to 31.03.2012   = 4 %
ii)                  PPF – 01-04-2011 to 30.11.2011   =  8% and
                      01.12.2011 to 31.03.2012    = 8.6 %
iii)                 NSS87/92 – 7.5%
4.      No interest for the Public A/c, Security A/c , MVSD , TA  w.e.f. 01.01.2006
5.      Change the Financial year setup as given below , before running annual interest calculation for SB /PPF/NSS87 & 92 categories
CATEGORY
FROM DT
TODT
INTEREST
NO OF
MONTHS
MIN BAL
MAXBAL

SA
01-04-2011
30-11-2011
3.5 %
8
20
99999999
01-12-2011
31-03-2012
4 %
4
20
99999999
JA&JB
01.04.2011
30-11-2011
3.5 %
8
20
99999999
01-12-2011
31-03-2012
4 %
4
20
99999999
TP
01-04-2011
30-11-2011
3.5 %
8
20
99999999

01-12-2011
31-03-2012
4 %
4
20
99999999

REMARK: The interest period from date and to date for the previous financial year is to be deleted.
NOTE:  While checking 5% interest and comparing with Sanchay Post Interest , If IBB for any  period from 01.04.2011 to 30.09.2011 exceeded the limit of Rs.100000 for SA and for Rs.200000 for JA &JB ,necessary I.A. correction may be given.

CALCULATION OF INTEREST:
1.      Run the index service for all offices
2.      Run the update option for all offices
3.      Again, run the index services for all offices
4.      Run the IBB CALCULATION  - select the option Office wise / Yearly for all offices [To run Annual interest]
5.      Again, run the update option & Index services for all offices
6.      Run the service charges option – Report – Annual Report – 4.Service charges
a.      Before given ‘Yes’ i.e. deduction of service charges, take service charge print out, since after given ‘YES’, for the deduction of service charges, due to software problem, the service charges for some accounts are not displayed in the print option.
7.      Give “Yes” to deduct the service charge [The service charge will be automatically adjusted in the office wise Register SB63 on 31.03.2012 as With – Part II ]
8.      Again, run the update option & Index service for all offices     
    9.  Now, the Interest statement is ready to print

SERVICE CHARGE

1.      Separate service charge list for each office is not required, since the same is shown in Annual Interest Statement.
2.      Take a print of grand summary of service charge THREE COPIES – Report – Annual Report – 6.S.Charge [SB63] - [SBCO – SB BRANCH – ACCOUNTS to adjust under UCR]
RECONCILIATION: After running annual interest statement, run the discrepancy once again to pair the balances of V2 SBCO & Sanchay post balances
ANNUAL INTEREST STATEMENT / SILENT LIST PRINT OUT
1.      Take Interest statement    one  copy   and keep it with SBCO after comparing  with the interest  received from Sanchay post.
2.      Take “SBCO DIRECTORY’ backup in CD and sent to AO, ICO

UPGRADATION

1.      Before running this option, run the index service for all offices
2.      Check the Financial year as 01.04.2011 to 31.03.2012
3.      Run the Up-gradation option – Master maintenance – Up-gradation – select all Offices – give ‘yes’
4.      After Up-gradation, logout from the SBCO menu, again Login and run the index service before first operation

Thanks to
Mr. T.RETNASWAMY
CS, AISBCE Union
TN CIRCLE.

Saturday, March 31, 2012

Total CBS Ver 1.0/01.03.2012


Total CBS Ver 1.0/01.03.2012 (Sanchay Version)


TOTAL CBS  
(HO SANCHAY & SO SANCHAY BALANCE COMPARITION TOOL)

1. This Software aims at Total Solutions for CBS Reconciliation Work

2. Through this software Discrepency list can be generated at Head Office itself by obtaining Last Balance Report file (DAT files) from SO through e-Mails. By this,  physical movement of CBS Team members can avoided to the extent posible.  This reduces finacial incurrence in form of TA/DA.


3. Head office can have a check on SO balance whenever desired.  HO can save lot of man power and time by concentrate only on discrepent a/c.

4. This software compares the HO Sanchay Balance & SO Sanchay Balance

5. This software will not calculate any Closing Balance.  It uses the Last Balance Report of SOSB Sanchay & SO Online Sanchay Post.

6. This software will generate discrepency list as on a "Given Date"
 
7. Update all the patches in Sanchay software before generation of Last Balance Report.  Last Balance report file (SB.DAT/RD.DAT/MIS.DAT etc) will be usually stored at sub folder path "SP5\OT" if generated  through Online option, or  at "SP5\DE\RD" etc if generated using Data Entry Modules or at "SP5\SOSB" if generated using SOSB Module or at "SP5\SD\SB" ETC if generated using SOSB Data entry Module
 
8. This software treats "Non Listed Sanchay A/cs in Last Balance Report" as discrepency.  As such kindly give importance for "View Excluded A/cs" option in "Last Balance Report" and take corrective steps to include "Live A/cs" into the list.
 
9. At the end of the discrepency report a summary will be generated. The total number of a/cs in summary is "sum of HO Sanchay Live A/cs and Number of SO Sanchay A/cs in excess of HO Sanchay a/cs" as this software compares HO Sanchay Balance to SO Sanchay Balance and also SO Sanchay Balance to HO Sanchay Balance.
 
10. Excess of Sanchay a/c  Accounts are mainly because of
    a. non marking of Closed or Transfer remarks
    b. No entry in common index a/cs
    c. Non effecting of inward transfers either in HO or SO
    d. Listing of accounts having Zero Balance.
 
11. It is possible with this software to tally the Amount and also number of accounts at HO & SO.

12. At most care is taken before release of this software.  However if any drawbacks are found in the software please give your feed backs through any of the contact details provided in next window.

Note :  Download from the link below and extract the files to any location.  Create a shortcut for the Totalcbs.exe on the desktop


User guidence :


1. Generate last balance report for the required category for the range of account number and the date as on which you want discrepency report. A .dat file will be created.


2. Get the .DAT file from the sub office generating the last balance report for the same category and for the same account range and the date.


3. In the fetch data menu first show the path of HO Sanchay DAT file and then show the path of SO Sanchay DAT file


4. Process the file


5. Get the discrepency report.


Those who are already using CBSTOTAL Tool (V2 Version) can download and extract the file to any location and copy only Totalcbs.exe & Tothelp.hlp file to CBSTOTAL folder and create a short-cut for the Totalcbs.exe on the desktop.
 
                                            A T T E N T I O N


   ALL THE USERS OF THIS SOFTWARE ARE REQUESTED TO REGISTER THEIR E-MAIL IDs WITH THIS SOFTWARE'S E-MAIL ID   cbstotal@gmail.com FURTHER QUERIES/ENHANCEMENTS/UPDATIONS WILL BE DIRECTLY DELIVERED ONLY TO REGISTERED E-MAIL IDs.  AS SUCH REGISTER YOUR E-MAIL IDs WITHOUT FAIL.
   
                                             T H A N K   Y O U

TOTALCBS DOWNLOAD LINK : Total CBS Ver 1.0/01.03.2012 (Sanchay Version)

SanchayPost Version 6.6.1 Updates as on 30/03/2012

DBAnalyzer (30/03/2012)

Patches for Version 6.6.1 (30/03/2012)


Frequently Asked Questions (30/03/2012)

ECS for Salary Credits (30/03/2012)


Source :

Software Development Centre
O/o the Chief Postmaster General
Tamilnadu Postal Circle
Chennai - 600002
Phone: 044-65850861

Friday, March 30, 2012

Frequently Asked Questions - Sanchay Post Version 6.6.1 ( dtd 29/03/2012)

Frequently Asked Questions - Sanchay Post Version 6.6.1

1. After entering the details in SB >> ECS Debits & Credits form, the transactions are not reflected in LOT.
  After entering the details in the COUNTER login, the transaction should be authorized by the Supervisor. Only after the transaction is authorized by the supervisor, it will be reflected in the LOT.
2. Cleared RD PRSS/agent cheques are not shown in ‘RD PRSS Post Entries’ form for selection.
  While preparing the cheque list, select the scheme as ‘RDPRSS’ in case of agent’s  providing softcopy of the list created through ‘RD Customer Package 3.0’ provided by SDC with version 6.6.1 . These RD PRSS cheques will be displayed in ‘Post RD PRSS Entries’ form for selection after clearance.

3. RD Bulk cheques are not shown in ‘RD Bulk Acceptance’ form.
 
While preparing the cheque list, select the scheme as ‘RDBULK’ if the list is to be entered manually through ‘Bulk Posting’ form. RD Bulk cheques will be displayed in ‘RD Bulk Acceptance’ form after clearance.

4. An error message ‘Total amount does not tally’ is received when the cheque is selected for RDPRSS posting/RD bulk acceptance. What is the procedure for calculating cheque amount in case of RD PRSS/RD agents?
 
RD cheques collected from customers / agents should be for amount payable after deduction of rebate and inclusive of default fee, if applicable. A separate cheque should be collected for each list.

5. We are unable to enter transactions for BPL accounts.
  For entering transactions in BPL accounts use the SB >> ECS - Debit and credit form (1310) >> Select manual and category as BPL. You will have to select category as INDP for INDP accounts, INWP for INWP accounts and so on.
6. While performing discharge in  'Encashment of other office KVP / NSC', an error 'To select type of discharge' is displayed.
  Download Discharge_661.zip, unzip and run the patch from DBAnalyzer folder.

New DB analyser Dated 29.03.2012 Released!



New DB analyser Dated 29.03.2012 Released!
Available in the following link http://tamilnadupost.nic.in/sdc/DBA2012.htm

Error Showing "'Encashment of other office KVP / NSC'," solution provided.
Available in SDC site
http://tamilnadupost.nic.in/sdc/faqsp66.htm




Email issues related to this software to : sblansupport@hotmail.com
Software Development Centre
O/o the Chief Postmaster General
Tamilnadu Postal Circle
Chennai - 600002
Phone: 044-65850861

Thursday, March 29, 2012

Patches for Version 6.6.1

Sanchay Post Version 6.6.1 Documents
20/03/2012

20/03/2012

26/03/2012




Patches for Sanchay Post Version 6.6.1
Sl.No. 
Details
Copy to
Folder
Uploaded on
1
Server / Node
DBAnalyzer
26/03/2012
2
All systems with Sanchay Post Software, running the respective modules.
OT
27/03/2012





DB analyser  ( dtd 26/03/2012)

RD Customer Package
 (dtd 26/03/2012)



ECS for Salary Credits (27/03/2012)

Tuesday, March 27, 2012

Sanchay Post New O.T patches And Revised DB analyser released on 26.3.2012

Instructions for Interest Calculation & Posting  (Related Link) 26/03/2012


DB analyser  ( dtd 26/03/2012)

RD Customer Package (dtd 26/03/2012)



Source :

Software Development Centre
O/o the Chief Postmaster General
Tamilnadu Postal Circle
Chennai - 600002
Phone:             044-65850861    

Saturday, March 24, 2012

Problem with Sanchay post 6.6.1

(Q) Transactions in BPL accounts cannot be done in sb form no 1309 i.e sb deposit?
Solution: Use the form number 1310 ECS-Debits and Credits

(Q) While accepting RD bulk acceptance (i.e for opening new acccount) a error comes?


Solution: Use RD bulk setup (rd form no:1110), Add new accounts to the agent, after alloting the number of account to the agent the number will be correctly displayed for the new account


Note: Correct procedure is not yet all given by SDC Lan, while doing new accounts to the agent, the number of accounts alloted to agent will automatically taken from General account number, thus those account become unallocated and you have to change the run number  from supervisor>>intilisation>>rd a/c , nominee, AT (form no0453). This step has to done for all agents and have to do daily

source : satirur.blogspot.in

SANCHAYA POST 6.6.1 Error-Up gradation to 6.5 R2 was not Successful


As per Release Document of Sanchya 6.6.1 using Db analyzer Whether checking for upgrade to 6.5 R2 an error occurs. If you done the R2 upgradation also this error occurs. It shows

Upgradation to 6.5 R2 was not successful

Error code 1: RSTUVWXYACD

Continue working without patches


While sending this error message to sdc chennai. They give the solution for this error. After day end ,Unzip the attached file and copy it to DBAnalyzer folder and run it from the same location. Then, once again check for upgradation status to Version 6.5R2 using DBAnalyzer . This solution worked for me.

Click here to Down load the Patch

Note: Before Updation Take the backup of concerned databases

Courtesy : saparavur.blogspot.in

Wednesday, March 21, 2012

ECS for Salary through Banks & POSB

ECS for Salary through Banks & POSB


This software generates files based on Pay Bills & GPF Sanctions for payment through Banks & POSB. The files pertaining to Banks can be sent to NCH and those pertaining to POSB can be imported into Sanchay Post.
Software Package (zipped)
Document (pdf)
Last updated on: 20-03-2012

Email issues related to this software to sblansupport@hotmail.com

Source :
Software Development Centre
O/o the Chief Postmaster General
Tamilnadu Postal Circle
Chennai - 600002
Phone: 044-65850861 
 
 
Published : www.sapost.blogspot.in

Frequently Asked Questions - Sanchay Post Version 6.6.1

Frequently Asked Questions - Sanchay Post Version 6.6.1

1.
After entering the details in SB >> ECS Debits & Credits form, the transactions are not reflected in LOT.

After entering the details in the COUNTER login, the transaction should be authorized by the Supervisor. Only after the transaction is authorized by the supervisor, it will be reflected in the LOT.
2.
Cleared RD PRSS/agent cheques are not shown in ‘RD PRSS Post Entries’ form for selection.

While preparing the cheque list, select the scheme as ‘RDPRSS’ in case of agent’s  providing softcopy of the list created through ‘RD Customer Package 3.0’ provided by SDC with version 6.6.1 . These RD PRSS cheques will be displayed in ‘Post RD PRSS Entries’ form for selection after clearance.

3.
RD Bulk cheques are not shown in ‘RD Bulk Acceptance’ form.

While preparing the cheque list, select the scheme as ‘RDBULK’ if the list is to be entered manually through ‘Bulk Posting’ form. RD Bulk cheques will be displayed in ‘RD Bulk Acceptance’ form after clearance.
4.
An error message ‘Total amount does not tally’ is received when the cheque is selected for RDPRSS posting/RD bulk acceptance. What is the procedure for calculating cheque amount in case of RD PRSS/RD agents?

RD cheques collected from customers / agents should be for amount payable after deduction of rebate and inclusive of default fee, if applicable. A separate cheque should be collected for each list.
Email issues related to this software to sblansupport@hotmail.com

Source :
Software Development Centre
O/o the Chief Postmaster General
Tamilnadu Postal Circle
Chennai - 600002
Phone: 044-65850861