Showing posts with label Finacle. Show all posts
Showing posts with label Finacle. Show all posts

Wednesday, April 26, 2017

How to find No. Of MIS transactions done in a month for incentive

How to find No. Of MIS transactions done in a month for incentive

It is a common practice to submit MIS incentive bill every month. In finacle there is no separate report for number of transactions done, but we can find out the number of MIS transactions using alternate methods.

Please follow the below steps


1. Invoke the menu HFTI and you will get the screen as shown below.

2. Enter account id as SOL Id+0337
3. Choose Part Transaction Type as Debit
4. Enter Start Date as required
5. Enter End Date as requried
6. Enter user id in Entry User Id if requried
7. Un check Today Transaction Only
Click on Submit.
It will show all MIS transactions done in that period.

System will show MIS transactions done by that particular user in the given period as shown below. 
But the thing is there are no serial numbers for the transactions. Don't worry we have counted them. In each page it is showing 100 transactions. Count the number of pages and in the last page you have to count transactions yourself. So that is how you can find the number of MIS transactions done in a particular period of time.

Alternately if you want to print the number of transactions you can follow the below procedure.

  1. Invoke the menu HFTR and follow the steps as said above until point number 7.
  2. Click on the searcher beside MRT File Name
  3. Choose the first option in this new window which is "MRT for Financial Transactions Report"
  4. Click on GO
  5. System will show all the transactions on the screen. But at the bottom of the screen there is option to print the transactions. Click on Print.
  6. System will generate a report which can be viewed using HPR menu.
  7. Invoke the HPR menu and print the report if you want to.
  8. So this is how you print the MIS transactions in a given period. Hope you have liked the article. Do not forget to share with your DOP friends.

Tuesday, April 11, 2017

STANDARD OPERATING PROCEDURE FOR CLAIM SETTLEMENT UNDER PMSBY / PMJJBY



PRADHAN MANTRI SURAKSHA BIMA YOJANA (PMSBY) CLAIM FORM 

This form is issued without admission of liability. It  must be completed and submitted to the post office where insured holds the savings account, preferably within 30 days of the accident resulting claim..
1
Name of Account Holder(Insured person)

2
Full Address of Account Holder (Insured person

3
Name and address of Post Office and SOL ID where account stands
Savings Account Number:

4
Contact details of Account Holder (if available)
(i) Mobile/Phone number
(ii) Aadhar Number
(iii) e mail ID

5
Details of nominee (in case of death of Account holder):-
Name:
Address:
Mobile/Phone Number:
E mail ID(if any)
Aadhar Number (if any)
Bank or Post Office Account Details
Account Number
Bank or Post Office name
IFSC Code or SOL ID

6
Detail of Accident
a) Day, Date and time of accident
b) Place of accident
c) Nature of accident
d) Details of injury
e) Cause of Death

7
Name , Address and contact details of Hospital/Attending Doctor

8
State where and when a Medical or other person from company can visit the insured

9
Documents to be submitted with claim:-
a) In case of death:-Original FIR/Panchnama, Post Mortem report and Death Certificate
b) In case of permanent disability: Original FIR/Panchanama and Disability Certificate from Civil Surgeon.
Discharge Voucher

Declaration:-
I HEREBY DECLARE and warrant the truth of the foregoing particulars in every respect, and I agree that if I have made, or if shall make false or untrue statement, suppression or concealment, my right to compensation shall be absolutely forfeited. I also declare that I have not claimed the amount due under PMSBY cover on account of the above accident through any other cover under PMSBY
                                                                                                                                                          ______________________
Signature/Thumb Impression of Claimant/Nominee
Dated _______________________                        
For Office Use:
Policy Number__________________________                                  Claim No._________________________
Certified that the information relating to Post Office Savings Account and Nominee has been verified. Premium was debited from the Savings Account on____________________ .
______________________________
Signature of Authorized Official of Post Office
Designation Stamp


PRADHAN MANTRI SURAKSHA BIMA YOJANA (PMSBY) DISCHARGE VOUCHER

Claim No.: (to be filled by Post Office) ________________________________
Policy Number:-_______________________________
Name of Post Office____________________________________SOL ID_________________
Savings Account Number_______________________________________________________
Name of Account Holder_______________________________________________________
Date of submission of claim_____________________________________________________
In consideration of approval of my claim referred above, I/We, hereby accept from National Insurance Company (NIC) the sum of Rs.__________________________(approved net claim amount) in full and final settlement of my/our  claim arising out of _______________________
(accident or death) which occurred on___________________(date of loss) covered under Policy Number _____________________valid for the period from _______________ to________________.

I/We hereby voluntarily give discharge receipt to the Company in full and final settlement of all my/our claims present or future arising directly /indirectly in respect of the said loss/accident. I/We  hereby also subrogate all my/our rights and remedies to the Company in respect of the above loss/damages.

Revenue Stamp




__________________________
Signature or thumb Impression of Nominee/Account Holder
Full Name:

Address:

Account No. of Nominee:

Witness:

Full Name:

Address:

---------------------------------------------------------
Signature of Authorized Official
Designation Stamp.



STANDARD OPERATING PROCEDURE FOR CLAIM SETTLEMENT UNDER PMSBY


Following benefits are available under PMSBY:-
Sl.No.
Table of benefit
Sum Insured (In Rs.)
1
Death
2 lakh
2
Total and irrecoverable loss of both eyes or loss of use of both hands or feet or loss of sight of one eye and loss of use of hand or foot.
2 lakh
3
Total and irrecoverable loss of sight of one eye or loss of use of one hand or foot
1 lakh

The process followed will be as under:

Steps to be taken by the Nominee in case of death of depositor in accident:

  1. Nominee should approach CBS Post Office where the depositor was having the ‘Savings Bank Account’ through which he / she was covered under PMSBY and collect Claim Form, and Discharge receipt, from the Post Office.
2.        Nominee to submit duly completed Claim Form, Discharge Receipt, along with the death certificate in original, FIR/Panchnama in original and Post Mortem Report.
3.      Nominee has to provide his/her own Post Office Savings Bank Account details (if opened in any CBS Post Office or Nominee will first open savings account) or bank Account details (if nominee is having savings account in any Nationalized Bank).

Steps to be taken by the Depositor in case of permanent disability in accident:

  1. Depositor should approach CBS Post Office where the depositor was having the ‘Savings Bank Account’ through which he / she was covered under PMSBY and collect Claim Form, and Discharge receipt, from the Post Office.
2.      Depositor to submit duly completed Claim Form, Discharge Receipt, along with the permanent disability certificate in original by Civil Surgeon and  FIR/Panchnama in original.
Steps to be taken by the Post Office

  1. Upon receipt of claim form and discharge  certificate alongwith documents mentioned above, the Post Office should check whether the cover for the said member was in-force on the date of his death, i.e., whether the premium for the said cover was deducted from account prior to the Member’s death.

  1. Post Office to verify the Claim Form & the nominee details from the relevant Finacle menu through which enrolment was made and to fill in the relevant columns of the Claim form.
  2. Post Office should ensure that following documents are attached with claim form:-
(i)                 Claim Form duly completed
(ii)               Death Certificate (in case of death)
(iii)              FIR/Panchnama in Original
(iv)             Post Mortem report (in case of death)
(v)                Permanent Disability Certificate issued by Civil Surgeon
(vi)              Discharge Certificate duly completed.
(vii)     Photocopy of cancelled cheque of the Nominee account (if it is a cheque account).

4.  Post Office user will enter relevant details in Finacle menu CCSPMY  

The screen shots of menu – CCSPMY
Criteria Page – CCSPMY (Claims and Settlements for PMY Policies)


In the criteria page of CCSPMY menu following functions are provided –

A – Add
M – Modify
V – Verify
I – Inquire
C – Cancel

5.         Post Office User has to select the function ADD. Then enter Account ID and select the scheme as PM Suraksha Bima. Click on GO. In case of permanent disability, user will change the option of Existing Disability Status as Yeas and fill details of disability in the relevant field. Following screen will appear:-




6. User has to enter Nominee Aadhar No. (if given), Nominee Address, Nominee Mail ID (if given), Nominee Mobile Number (if given), Nominee PAN No.(if given), Nominee Bank Account (either  POSB or any Bank Account), Nominee IFSC Code (if having account in Bank), Guardian name if Nominee is minor, Nominee Date of Birth (if nominee is minor), select Bank as DOP(if POSB Account) or others if other Bank Account.

7. User will click on validate and ensure that all mandatory fields are filled. It will submit documents to Supervisor.

8. Supervisor will select Function Code Verify and compare all the information filled in claim form and discharge voucher with the data filled by user. After, satisfaction, he will verify the claim. Upon verification, Claim Identification No. will be displayed by the system. This number should be noted on the top of the Claim Form and the claim register.
9. Claim Form duly filled and verified by CBS Post Office alongwith enclosures should be sent to Sr. Post Master Sansad Marg HO, New Delhi 110001 by service registered Letter. One RL should be sent even if more than one claim form is due to be sent on same day.

10. User will also maintain a claim register in which the claim shall be entered. This register has to be prepared manually by entering Date of entry of claim/Account ID/Name of Account Holder/Date of Death/Name of Nominee/Claim Identification No. (generated by system)/ Date on which claim Form sent to Sansad Marg HO/Registered Letter receipt to be pasted against claims sent on a particular date.

11. Sansad Marg HO, on receipt of claim form will enter the claim in the register to be maintained manually and designated PA of this HO will intimate System Manager for extraction of the data from Finacle for the said claim. Data extraction file will be sent to NIC by Sansad Marg HO and all the claim forms received will be sent by service Registered Parcel to the designated branch of NIC.

12. NIC, after sanctioning of the claim will push credit of the claimed amount into Bank Account of the depositor or nominee as the case may be if account stands at any Bank or Credit the funds to Sansad Marg HO Bank Account No._________________ IFSC Code_______________________
If depositor or nominee account is in any CBS Post Office. NIC will provide data file in the format of HTTUM to Sansad Marg HO. Sansad Marg HO will upload the HTTUM file in Finacle provided that funds are already received and account for the money in SB Deposit and Remittance to Bank (against credit entry received from NIC).

13. Sansad Marg HO will make entry of date of credit against the claims in the register and send intimation to the relevant CBS Post Office about the credit.

14. Relevant CBS Post Office will make entry of date of credit in its register and inform the claimant over phone about the credit. No accounting entry is to be made in any other CBS Post Office.

Saturday, April 8, 2017

Procedure to take the customer balance printing in DOP Finacle

  • In order to generate the customer balance report in Finacle we have a special menu which is useful for generation of customer balances.
  • The menu option user for generation of customer balances is HCUSBALP.
  • This menu is useful for inspection purpose for generation of customer balances and verification
  • Invoke the menu HCUSBALP then the system will show the below screen as shown

In the next step enter the following details as mentioned below
Enter the field From CIF ID _______________
Enter the field To CIF ID __________________
Enter the field From A/c Id _____________________
Enter the field To A/c Id _______________
Enter the Field As of Date ______________________ as shown in the below figure

  • After entering all the above said fields finally click on submit then the system will generate the report in background.
  • Invoke the menu HPR and view the report. The report will be as shown in the below figure
From the screen shot it is clear that system is showing the as on balance and complete address of the customer.

Tuesday, April 4, 2017

Making the Teller Cash as Zero: Reg

Making the Teller Cash as Zero: Critical parameter check is proposed to be introduced from 16th April 2017

Respected Sir(s) / Madam(s),

A kind reference is invited to CEPT email dated 22ndMarch 2017. A cut-off date of 15th April 2017 is fixed to make all teller cash “Zero”.

Critical parameter check is proposed to be introduced from 16th April 2017:

*A validation is set as a parameter to check before HISCOD is completed

*Those offices, where the users are having balance in teller account will not be able to close their offices

*Respective CPCs will not be able to run HSCOD if this validation fails

*Hence, it is once again requested that severe and critical instructions may kindly be issued to all concerned and SPOCS to ensure that teller account of all users (including those who are not part of CBS wherever they are working) are made ZERO before 15th April 2017

*All necessary support would be extended to address the problems in POs

With effect from 16th April 2017, the validation to check as to whether the teller account of those users attached to the SOLs are ZERO before completing HISCOD will be introduced.

As part of vigilance initiative and prevention of frauds, this has the approval of FS division.

Yours Sincerely,

(V M Sakthivelu)
Deputy Director CEPT

Monday, April 3, 2017

EOY - clarification on interest recovery instead of interest credit

EOY - clarification on interest recovery instead of interest credit


Dear SPOCs,
We have been receiving references on debiting the interest instead of crediting

This because of the following

1. In some accounts, transactions ( Debit) were done in FY 2016-17 with value date falls in FY 2015-16 . This caused minus / difference in balances from that value date.

2. In some other accounts, SBCO made entries by using HIARM (Interest Adjustment Register Maintenance)

In such cases, excess paid interest during last Financial year is adjusted and difference of interest is recovered

So, before taking up such clarifications / doubt with helpdesk / CEPT teams, please cross check in HACLI ( Ledger Inquiry) and with SBCO

Thanks & regards,
CEPT - FSI Team

Tuesday, March 28, 2017

Instructions for executing End of Year (EOY) in CBS post offices/CPCs

Instructions for executing End of Year (EOY) in CBS post offices/CPCs

 
Respected Sir/Madam, 

The competent authority has taken following decisions for executing End of Year (EOY) activities for 2016-17 in CBS Post Offices/CPCs:-

  1. 1. On 1.4.2017, no CBS Post Office will do any transaction but staff working on CBS will attend post office and follow instructions (as and when ) issued by CEPT Team Chennai. 
(A public notice should be put on the notice board of all CBS Post Offices that due to End of Year, no transaction will be accepted on01.04.2017 and Monthly/Quarterly Interest of MIS/SCSS if due on 1st April 2017 will be paid on 03.04.2017. ATMs will be operational  on 01/04/2017). Salary & Pension uploads should be done after completion of EOD for 1st April 2017

2.CBS Post Offices should ensure that no unverified account or modification in  accounts of SB/PPF/SSA/NSS-87/NSS-92 remains unverified as interest is not calculated for any account if any modification is unverified, as on 31/03/2017. Concerned staff should be alerted so that such lapses may be avoided.

3.   All CBS Post Offices, on 31.3.2017, should do transactions latest up to  1700 hours and verify all the transactions simultaneously so that there may be no Blocking Transactions at 1700 hours. All CBS Post Offices should complete HISCOD latest by 1800 hours, except those SOLs which await clearing information from the respective HOs. CPCs should monitor this activity and any blocking validation should be reported to FSI Helpdesk and CEPT Team, immediately on noticing so that solution can be provided well in time. 

4. CBS Head Post Office dealing with clearing house, should intimate cheque clearing intimation of the cheques cleared on31.03.2017 to other linked CBS HOs and SOs  well in time on 31.03.2017 either over mail or phone so that credit/debit can be afforded well in time.  Late clearance activity and corresponding credits/debits should be handled by the clearing house POs without any delay. (Please note that in case of PPF Accounts maturing on 31.03.2017, cheque cleared before 31.03.2017 will not be allowed to be credited after 31.03.2017)

5. CEPT FSI Team will be disabling certain menus according to the requirements during EOY Batch execution to control resource utilisation; CPCs will be kept informed from time-to-time on this and should coordinate with their SOLs on this exercise.

5. Reports regarding Interest credited in SB/SSA/PPF/NSS-87 and NSS-92 accounts of a CBS post office, Silent Account maintenance Fee charged and Total number of accounts marked as silent (total amount and accounts  for a Post Office and not account-wise) will be intimated through CPCs by the end of first week of April 2017.

6.  All the concerned teams who are part of the EOY activity (CPC SPOCs, EOD Support Team, CEPT Team) should be available on2nd April, 2017 and ensure that EOY activity are completed smoothly. 

Instructions for CPCs

1. CPCs should call post offices under their jurisdiction on 31.03.2017, help in clearing blocking validations and ensure smooth completion of HISCOD.
2.  HSCOD will be executed by CEPT team centrally; CPC teams should be available till HSCOD is completed for all their respective SOLs. 

3. All CPCs will remain open during the night of 31.03.2017 and duties of staff should be notified in shifts.

Circles/Regions/Divisions should ensure that these instructions are followed scrupulously  by all CBS Post Offices and CPCs.

With regards,

Sachin Kishore
Director (CBS)
Sansad Marg,
Dak Bhavan