Government Order No.
|
Order Date |
Subject
|
Size
(in MB)
|
Download
|
FD 73 TAR 2023 |
20-11-2023 |
Regarding the bank account of grants released in respect of projects and crediting of unexpended/pending grants to the accumulated fund.
|
0.22 |
 |
FD 71 TAR 2023 |
03-11-2023 |
Regarding scheduling of submission of bills to Treasury for payment of major beneficiary schemes being administred through Treasury-II
|
2.53 |
 |
FD 24 TAR 2023 |
04-07-2023 |
Reconciliation of departmental deposits and expenditure with accounts of the secretary General
|
0.34 |
|
FD 926 BRS 2023 |
09-05-2023
|
Rendering of the accounts for 2022-23 within the scheduled dates instructions regarding
|
1.28 |
|
FD 09 TAR 2023 |
06-04-2023 |
Continuation of DC’s PD Account for the Year 2023-24
|
1.25 |
|
FD 09 TAR 2023 |
06-04-2023 |
Continuation of KLLADS P.D Account for the year 2023-24
|
0.20 |
 |
FD 1 TFC 2022 |
12-01-2023 |
Regarding generation Utilisation Certificate in respect of Funds/Grant in Aid payments in Khajane-2
|
1.24 |
|
FD 103 TAR 2022
|
02-12-2022 |
Guidelines for operation of funds in Banks by State Government Departments, Local bodies or Authorities Boards Corporations Societies Universities and other State autonomous bodies-changes in criteria for selection of Banks.
|
1.59 |
 |
FD 91 TAR 2022 |
17-11-2022 |
Guidelines on Investment of Surplus Funds by Boards Corporations Local Bodies Authorities and Autonomous Bodeis etc, Corrigendum to Cirucualr.
|
1.69 |
|
FD 91 TAR 2022
Addendum to Circular.
|
21-10-2022 |
Guidelines on Investment of Surplus Funds by Boards, Corporations, Local Bodies, Authorities and Autonomous Bodies etc-Addendum to Circular.
|
0.71 |
|
FD 91 TAR 2022 |
02-07-2022 |
Guidelines on investment of Surplus Funds by Boards Corporations Local Bodies Authorities and Autonomous Bodies etc.
|
0.87 |
 |
FD 54 TAR 2021 |
27-06-2022 |
Using of Pre Paid Cards for operation of imprest amount by Drawing & Disbursing Officers (DDOs)
|
0.44 |
|
FD 01 BRS 2022 |
29-03-2022
|
Rendering of the accounts for 2021-22 within the scheduled dates-Instructions regarding.
|
1.55 |
|
FD 01 TTC 2022 |
23-03-2022 |
Regarding Submission of Submission of Salary bills through Online
|
0.75 |
|
FD 24 TAR 2020 |
24-02-2022 |
Drawing of salary by incorporating the details of the officer/staff working in the government owned Corporations Board Universities and other autonomous institutions in HRMS
|
0.95 |
|
FD 24 TAR 2020 |
05-01-2022 |
Drawing of salary by incorporation the details of the officer staff working owned corporations boards universities and other Autonomous institutions in HRMS
|
0.97 |
|
FD 22 TAR 2021 |
26-11-2021 |
Regarding Payment of Final Withdrawl of GPF of Non Government Officers Employees Working in Boards and Corporations.
|
0.37 |
|
FD 24 TAR 2020 |
26-10-2021 |
Drawing of salary by incorporation the details of the officer staff working in the government owned Corporations Boards Universites and other Autonomous institutions in HRMS.
|
0.12 |
|
FD 14 TAR 2021 |
26-10-2021 |
Standard Operating Procedues (SOP) to be adopted in respect of excess duplicate payments departments integrated with E-Kuber
|
0.75 |
 |
FD 24 TAR 2020 |
29-04-2021 |
Drawing of salary by incoporationg the details of the officer staff working in the government owned Corporations board Universities and other autonomous instituions in HRMS
|
0.83 |
|
FD 24 TAR 2021 |
07-10-2021 |
Continuation of PD accounts of Assistants Commissioners
|
0.33 |
 |
FD 48 TAR 2021 |
24-09-2021 |
Regarding operating of the Revenue and other projects grants in the PD accounts of Assistant Commissioners.
|
0.70 |
|
FD 24 TAR 2020 |
02-08-2021 |
Drawing of salary by incorporating the details of the officer/staff working in the government owned Corporations/Board/Universities and other autonomous institutions in HRMS.
|
0.86 |
|
FD 37 TAR 2021 |
26-07-2021 |
Bringing of all beneficiary oriented Schemes under core DBT Portal-reg
|
0.74 |
 |
FD 02 TTC 2021 |
20-05-2021 |
On pension payments through public banks
|
0.68 |
|
FD 01 TTC 2021 |
04-02-2021 |
On pension payments through public banks
|
1.08 |
 |
FD 38 TAR 2019 |
27-08-2020 |
Reporting of in the Bank Account with State Government Departments, Corporation, Board and Autonomous Institutions.
|
1.33 |
 |
FD 24 TAR 2020 |
19-08-2020 |
Drawing of salary by incorporation the details of the officer staff working in the government owned Corporations Boards Universites and other Autonomous institutions in HRMS.
|
0.13 |
 |
FD 40 TAR 2019 |
07-08-2020 |
About managing the National Highway Division (PWD) payments in Khajane-2 to switch to the Treasury Bills system instead of the LOAC system.
|
1.85 |
|
FD 02 TAR 2020 |
16-06-2020 |
About Accounting Alignment with the General Managers Accounts on Department Accounts and Expenses.
|
0.44 |
|
FD 01 TFP 2020 |
10-06-2020
|
About depositing user fees, fees and penalties into cumulative funds.
|
0.70 |
|
FD 12 TAR 2020 |
07-05-2020 |
Continuation of P.D Accounts of DC’s
|
0.20 |
 |
FD 08 TAR 2020 |
12-03-2020
|
Guidelines on Investment of Surplus Funds by Boards, Corporations, Local Bodies, Authorities and Autonomous Bodies etc.
|
0.93 |
 |
FD 09 BPA 2019
|
27-11-2019 |
Launch of Public Portal for Gazetted Entitlement
|
0.70 |
|
FD 35 TAR 2019
|
16-10-2019 |
On the Assistance of Revenue Repayments in Khajane-II
|
0.33 |
 |
FD 01 BPE 2019 |
13-03-2019 |
Closure of accounts and year ending treasury bills on 31st-March |
5.47 |
 |
FD 01 BPE 2019 |
27-02-2019 |
Closure of accounts and year ending treasury bills on 31st-March |
0.31 |
 |
FD 01 BPE 2019 |
14-01-2019 |
Closure of accounts and year ending treasury bills on 31st-March |
0.23 |
 |
FD 01 TCE 2018 |
31-12-2018 |
Non Submission of NDC bills to Accountant General for the amount drawn on AC bills |
0.83 |
 |
FD 61 TAR 2018 |
29-12-2018 |
Payment of GPF advances, government insurances and leave encashment for government employees working on contract basis under boards and corporations |
1.23
|
 |
ACS/FD/2018 |
28-09-2018 |
Guidelines for Deductions and Payments of TDS by the DDO's of State Government Authorities under GST. |
1.44
|
 |
FD 01 TCE 2018 |
28-07-2018 |
Drawal of expenses made towards Tea/Coffee/Snacks given during official meetings. |
0.13
|
 |
FD 02 TFC 2018 |
19-07-2018 |
Departmental accounts consolidation of Revenue and Expenditure |
0.12
|
 |
FD 03 TFP 2017 |
07-07-2017 |
Stoppage of services of part time menial workers under DC bill handbook rule 1958 rule 55(2) (B) |
1.72
|
 |
FD 23 TAR 2017 |
19-05-2017 |
Release of allotment under specific preferred Head of Account |
0.06 |
 |
FD 15 TAR 2017 |
18-04-2017 |
Continuation of Deputy Commissioners Personal Deposit Account for 2017-18 Financial Year. |
0.07 |
 |
FD 01 TTC 2017 |
03-04-2017 |
Merger of associate banks with State Bank of India |
0.06 |
 |
FD 05 TAR 2017 |
30-01-2017 |
Guidelines of operation of funds in banks by state government departments, Local bodies or Authorities, Boards, Corporations, Societies, Universities and other State autonomous bodies |
0.24 |
|
FD 03 TAR 2016 |
27-10-2016 |
Release of allotment and management of departmental financial transactions under Khajane-2 Integrated Financial Management System |
1.23
|
 |
FD 03 TAR 2016 |
17-10-2016 |
Management of departmental financial transactions under Khajane-2 Integrated Financial Management System |
1.77 |
 |
FD 03 TAR 2016 |
26-08-2016 |
Management of departmental financial transactions under Khajane-2 Integrated Financial Management System |
2.15 |
 |
FD 03 TAR 2016 |
30-03-2016 |
Management of departmental financial transactions under Khajane-2 Integrated Financial Management System |
1.91 |
 |
FD 53 TAR 2015 |
15-02-2016 |
Crediting of Encouragement Amount, Subsidy amount /Honororium to beneficiaries bank account through RTGS/NEFT. |
4.67 |
 |
FD 14 BPA 2015 |
06-08-2015 |
Revision of Criteria for “New Service” |
0.36 |
 |
FD 47 TAR 2014 |
22-12-2014 |
Crediting of Encouragement Amount, Subsidy amount /Honororium to beneficiaries bank account through RTGS/NEFT |
2.51 |
 |
FD 48 TAR 2012 |
25-10-2012 |
Implementation of HRMS system - Procedure for drawal of arrears of Compulsory waiting period, Leave etc., for retired Govt. Servants -reg. |
0.53 |
 |
FD 01 TCE 2012 |
21-06-2012 |
Revision of limitation of allotment in DC bill hanbook under rule -55-49(A) of goods and service transport |
0.04 |
 |
FD 49 TAR 2011 |
10-10-2011 |
Implementation of HRMS system - Revision of procedure for drawal of arrears of Salary of Govt. Employees in case of transfers from State Sector to District Sector and vice-versa - regarding. |
0.69 |
 |
FD 33 SRP 2011 |
24-09-2011 |
Allotment of uniform allowance for ADC post working in secretariat Governor office |
0.53 |
 |
FD 01 TCE 2010 |
21-12-2010 |
Drawal of amounts on A.C. bills - Enhancement of limitation for certain items of expenditure |
1.45 |
 |
FD 217 ANI/2010 |
21-08-2010 |
Budget control of TP and counter sign of non salary bills |
0.09 |
 |
FD 25 TAR 2008 |
16-08-2010 |
Instructions regarding submission of E-TDS/TCS |
0.71 |
 |
FD 01(B) TCE 2009 |
02-07-2009 |
Revision of financial limits on expenditure of Tea/Coffee/Snacks expenses for official meetings. |
1.62 |
 |
FD 25 TAR 2008 |
05-09-2008 |
Introduction of dematerialization procedure in respect of certificates relating to TDS from 01/04/2008 |
0.61 |
 |
FD 58 SRS 79 |
27-09-1979 |
Simplification of the procedure for creation, extension and permamnency of temporary posts. |
2.84 |
 |