|
|||||
Standard Operating Procedure for improving Financial Service Delivery of Cluster Finance Services |
|||||
Current Activities |
|||||
Sl. No |
Types of Services |
Procedure & Mandatory Documents |
Additional information |
Deadline for Submission |
Estimated TAT |
1 |
Disbursement of Salary |
|
NA |
The documents of the new employee should be submitted before the 20th of every month. |
Within the last three working days of the month. |
2 |
Pay slip of the employee |
|
Will be not issued to the third party |
NA |
E-pay slip will be sent after disbursing the salary via registered email addresses. The hard copy pay-slip will be issued immediately. |
3 |
Budgetary Request Forecast |
|
If BRF is not submitted we cannot process any payments if any. Therefore, please submit us your forecast as per your work plan on time. |
On or before the 25th of every month. |
Submission at the end of every month. |
4 |
Salary Advance |
|
Salary advances up to Nu.50, 000. The advance should be liquidated by May month (Before June Closing). |
NA |
Within one working day depending on the availability of budget release. |
5 |
Remittances |
|
NA |
NA |
After disbursement of salary. |
6 |
TDS Certificates |
|
NA |
NA |
Immediately |
7 |
Issuance of LPC |
|
NA |
NA |
Within 2 to 3 days after issuance of separation order |
8 |
Retirement Benefits |
|
NA |
NA |
Within 5 working days. Depending on availability of fund release and approval for supplementary budget. |
9 |
Travel Claims |
|
Be reminded to carpool when traveling. Only 50% DA for the return journey. |
The claims should be made within one month of the tour. |
Within 5 working days after it has been approved by the approving authority. |
10 |
Fuel Payment |
|
No fuel overdraft shall be entertained without prior approval from the MTO. |
Before exhaustion of the balance on the fuel book. |
Within 1 working day. |
11 |
Muster Roll Payment |
|
If the wage rate is beyond national wage rate (Nu.215) seek ex-post facto approval from MoF before execution of the work |
Within one week of the completion of the work. If the employee is on regular muster roll, the mandatory documents should be submitted latest by the first week of next month. |
Within 1 working day |
12 |
Utilities |
|
NA |
NA |
Within 1 to 2 working days |
13 |
Issuance of revenue receipts. |
|
NA |
NA |
Within one hour. |
14 |
Other Current bills ( stationeries, meetings & celebrations, fuel wood…etc) |
|
NA |
Within one week |
Within 1 to 2 days depending on the availability of budget release. |
15 |
Deposit Work Bills |
|
NA |
Within one week. |
Within 1 to 2 days subject to budget release availability |
16 |
eDATS Registration |
|
NA |
Within one month of joining the office/agency |
within 1 day |
17 |
Travel Admin ( a travel admin is responsible to create travel authorization) |
|
Mention clearly the mode of travel and monitor carpooling. |
Within 2 to 3 days after issuance of relieving order |
NA |
Capital Activities |
|||||
Sl. No |
Types of Services |
Procedure and Mandatory Documents |
Additional information |
Deadline for Submission |
Estimated TAT |
1 |
Machine Hiring Charges |
|
Hiring rate should be as per Dzongkhag quotation rate. In case there is no Dzongkhag rate for the particular machine, follow the standard hiring rate approved by competent authority. |
Within one week after execution of the work. |
Within one week subject to budget release availability |
2 |
Supply of goods |
|
NA |
Within one week after receipt of the goods |
Within 1 to 2 days subject to availability of fund release. |
3 |
Transportation bills |
|
TPN, CD account number and phone number. Date of transportation reflected in the bill |
Within one week after execution of the work. |
Within 1 to 2 days subject to availability of fund release. |
Construction Bill Payment/Settlement |
|||||
Sl. No |
Types of Services |
Procedure and Mandatory Documents |
Additional information |
Deadline for Submission |
Estimated TAT |
1 |
Mobilization Advance |
|
CD account number and name of the branch office, TPN, phone number of the contractor.
|
NA |
Within 1 to 2 days subject to availability of fund release. |
2 |
Material Advance |
|
NA |
NA |
Within 5 working days including verification process by site engineer and accounts personnel subject to release availability. |
3 |
Running bill |
|
Any outstanding advance to be deducted. Ensure financial progress align with the physical progress. |
NA |
Within 5 days subject to availability of fund release |
4 |
Final Bill |
|
Any outstanding advances to be fully liquidated.
TDS reduction. Retention money deduction. |
Within one month of handing over the site after completion. |
Within 10 days subject to fund release availability. |
5 |
Retention Money |
|
NA |
NA |
Within 1 to 2 working days. |
-
-
- Strict adherence and compliance to the SOP for better service delivery.
-