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Cash Section
Cash receipts are provided to the students/employees against various payment instruments.
Preparation of reports by the end of the month.
Maintain the data of cash counter for audit purposes.
Deposit of various instruments of payment in the bank to credit the amount in CD-1.
Preparation of NEFT/RTGS/Cheques for various bills received from the other counterparts of finance wing for payment from CD-1.
Maintenance and processing of bills of various funds:
Corpus fund
Social Infrastructure fund
Infrastructure fund
Payment seat fund
Digitalization fund
Common pool fund
Preparation of cash books of different funds.
Coordination with the bank to keep track of the various University accounts.
CAPEX & GIA Bills:
Verification of CAPEX bills in respect of attached documents and photographs
Preparation of bills at the JKPAYSYS portal.
Processing of other bills.
Uploading of required documents.
Entering the details of the Contractor for the purpose of payment.
Preparation of FC-28 duly signed by the Chief Accounts Officer.
Send the prepared bill to the treasury for payment.
Maintains the Drawl Register and BCR for verification purposes of the Employee and Teachers Welfare fund.