+ All Categories
Home > Documents > · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

· 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

Date post: 26-Mar-2018
Category:
Upload: vonga
View: 215 times
Download: 0 times
Share this document with a friend
471
1 USER MANUAL PRAGATI – ESIC Finance & Accounts -1.0 Wipro TP_USRMAN – Version 2.00 Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 1 of 471
Transcript
Page 1: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

PRAGATI – ESIC Finance & Accounts -1.0

Wipro

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 1 of 421

Page 2: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Revision HistoryVersion (xx.yy)

Date of Revision

Description of Change Reason for Change Affected Sections

Approved By

Affected Groups

List of Reference Documents

1.

2.

3.

4.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 2 of 421

Page 3: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Contents1 INTRODUCTION............................................................................................................................. 5

1.1. OBJECTIVE................................................................................................................................. 51.2. PURPOSE................................................................................................................................... 5

2 FINANCE & ACCOUNTS PROCESS.............................................................................................62.1. CHALLAN PROCESS.................................................................................................................... 62.2. BANK RECONCILIATION PROCESS..............................................................................................122.3. JOURNAL VOUCHER PROCESS..................................................................................................142.4. CASH VOUCHER PROCESS........................................................................................................262.5. CASH WITHDRAWAL ISSUE & RECEIPT PROCESS.......................................................................35

2.5.1. Creating Cash Withdrawal Issue........................................................................................352.5.2. Creating Cash Withdrawal Receipt.....................................................................................42

2.6. PAYMENTS............................................................................................................................... 502.6.1. Creating Contingent Bill......................................................................................................502.6.2. Creating Abstract Contingent Bill........................................................................................582.6.3. Create Detailed Contingent Supplier Bill in Purchase Group..............................................672.6.4. Create Supplier Debit Note for Adjustments.......................................................................702.6.5. Create Supplier Credit Note for Adjustments......................................................................722.6.6. Payment Voucher Process in General................................................................................742.6.7. Benefit Payment Process...................................................................................................832.6.8. Step to update bank Balance in ERP.................................................................................87

2.7. SMC/MS PROCESS.................................................................................................................962.7.1. Super Specialty Bill Create.................................................................................................962.7.2. Revolving Fund Create.....................................................................................................1062.7.3. Creating On-Account Payment.........................................................................................1132.7.4. On Account Final Payment...............................................................................................147

2.8. AUDIT.................................................................................................................................... 1502.8.1. Audit Group Mapping........................................................................................................1502.8.2. Audit Tour Plan................................................................................................................. 1522.8.3. Audit Observation.............................................................................................................160

2.9. FUND REQUEST.....................................................................................................................1662.9.1. Branch Office Fund Request............................................................................................1662.9.2. Accounting Unit Fund Request.........................................................................................1872.9.3. Corporate Office Fund Transfer........................................................................................208

2.10. BUDGET PROCESS.............................................................................................................2182.11. INVESTMENT PROCESS.......................................................................................................229

2.11.1.Invite Banks......................................................................................................................2292.11.2.Investment Quotation.......................................................................................................2502.11.3.Investment........................................................................................................................ 270

2.12. PENSION PROCESS............................................................................................................2892.12.1.Pension Process HQ (A&B)..............................................................................................2892.12.2.Pension Process HQ (C&D).............................................................................................3202.12.3.Pension Process RO/SRO/Hospital (A&B).......................................................................3492.12.4.Pension Process RO/SRO (C&D)....................................................................................382

3 TROUBLESHOOTING................................................................................................................4193.1. FAQS.................................................................................................................................... 419

4 CONTACT INFORMATION.........................................................................................................4195 APPENDIX A............................................................................................................................... 420

5.1. TERMS AND ABBREVIATIONS...................................................................................................4206 APPENDIX B............................................................................................................................... 420

6.1. ADVANCED INFORMATION........................................................................................................4207 APPENDIX C............................................................................................................................... 420

7.1. RESOURCES........................................................................................................................... 420

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 3 of 421

Page 4: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 4 of 421

Page 5: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1 Introduction1.1. Objective

Employee’s State Insurance Corporation (ESIC) has envisaged on “Project PANCHDEEP” with the purpose of IT Enablement covering all ESIC offices, Hospitals and Dispensaries across India. The objective of IT Enablement is to enhance the quality and delivery of services to all the stakeholders covered under ESI Ac, 1948 through effective utilization of IT networking, practices and management techniques.“Project PANCHDEEP” has been divided into 5 divisions, namely Pehchan, Milap, Pashan Dhanwantri and Pragati. The main objective of this document is linked to “Pragati”, which encompasses all services related to ERP package.

1.2. PurposeThis document will help the users in understanding the application with regard to their day today activities of F&A module. User can know the step by step process in the application for completing the required transaction.Broadly it covers the below subject areas:

Receipts Payments Auditing Budgeting Investment Fund Transfer SMC Activities

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 5 of 421

Page 6: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 2 Finance & Accounts Process

2.1. Challan Process

Challan Creation1. Login into the application with the login credentials

2. Navigate to ApplicationFinance and Accounts

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 6 of 421

Page 7: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

3. Navigate to ReceiptsChallanCreate New

4. The Challan Page is displayed. Select the Party Type, Enter the Party code, Party Name, and Select the Payment Mode. Click on add button, Select the account head against which money need to be deposited.

Note: In single challan multiple account heads can be added using the add button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 7 of 421

Page 8: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 8 of 421

Page 9: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

5. Click on Submit Button. On click the challan No is generated.

Challan Print

6. Navigate to ERP WorklistFinance and Accounts

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 9 of 421

Page 10: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 7. The worklist is displayed as below

8. Click on Challan Active from the worklist

9. All the challans created are displayed in the queue

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 10 of 421

Page 11: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

10. Click on open link to see challan details for printing

11. Click on print button to view the challan

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 11 of 421

Page 12: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.2. Bank Reconciliation ProcessManual Bank Statement

Precondition: Bank Master and Receipt and Payment Transaction should be available in the system.

Steps for Creation of Manual Bank Statement for Payments

1. Login as DA of finance branch, Open Bank Reconciliation from. 2. Select Account Type from the drop down and Bank Account no. will be self populated. Enter

Bank closing Balance as per the statement.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 12 of 421

Page 13: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 3. Select Statement From and To Date.4. For Payments, select the payments drop down under Reconciliation Bank Debit; it will display

all the Transaction/Cheque no. issued, select one by one and click on Paid button. On Clicking Paid button the Transaction/Cheque status will be updated as Reconciled.

5. For Miss-match Debits/Payments User has to create Miss-match debits by adding rows on clicking add button.

6. Once User checks Generate Voucher the payment Voucher will be generate for the same which will go through approval process. If Generate Voucher is un-checked the payment won’t go for voucher generation, it will only appear as reconciliation item.

7. For miss-match Debit Ad-hoc Receipt Extract will appear on dashboard on submit of BRS. DA in Finance has to open the same and select the account head for the same and submit.

Bank Reconciliation for Payments or Bank Debits.

Steps for Creation of Manual Bank Statement for Receipts

1. Login as DA of finance branch, Open Bank Reconciliation from. 2. Select Account Type from the drop down and Bank Account no. will be self populated. Enter

Bank closing Balance as per the statement.3. Select Statement From and To Date.4. For Receipts, select the Receipts drop down under Reconciliation Bank Credit, it will display all

the Transaction/Challan no. generated, select one by one and click on Received button. On Clicking Received button the Transaction/Challan will be updated by Deposit date and Realized date by entering the same.

5. For Miss-match Credits/Payments User has to create Miss-match Credits by adding rows on clicking add button.

6. Once User checks Generate Voucher the payment Voucher will be generate for the same which will go through approval process. If Generate Voucher is un-checked the payment won’t go for voucher generation, it will only appear as reconciliation item.

7. For miss-match credit Ad-hoc Receipt Extract will appear on dashboard on submit of BRS. DA in Finance has to open the same and select the account head for the same and submit.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 13 of 421

Page 14: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Reconciliation for Bank Credit/Receipts.

2.3. Journal Voucher ProcessIntroduction

The purpose of Journal voucher is to post the transaction to monthly account if the wrong account head were selected in the transaction.

Pre-Requisite1. User should be mapped to Accounts Dealing Assistant/Cashier/UDC (adj-

[email protected]) ,Account Section Officer ([email protected]) & Accounts Branch Officer ([email protected] ) roles

2. Users should be mapped to the same branchSteps

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 14 of 421

Page 15: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Open Mozilla firefox browser2. Type http://myesic.esic.in in the browser. The Login page is displayed as below3. Login to the application

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 15 of 421

Page 16: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 4. Navigate to ApplicationsClick on Finance & Accounts

5. Finance & Accounts applications is displayed with the menu

Adjustments Journal Voucher Create New

Displays Journal Voucher Request Screen

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 16 of 421

Page 17: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Select the Journal Voucher Type (Adjustment, Rectification).Select the JV date in which month the data has to be posted.Select the receipt,payment account head and enter the amount.

On submit “Submitted Successfully” is displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 17 of 421

Page 18: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login with FA-SO for JV Verification Go to ERP worklist finance and accountsJournal voucher verify

Click on Open Hyperlink against the Record which need to verified

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 18 of 421

Page 19: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify the details

Enter Notings and click on verify or send back buttons as decided

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 19 of 421

Page 20: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Verify Button, a pop saying “Verified Successfully” will be displayed

Login : FA-HOB for JV approval

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 20 of 421

Page 21: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Go to ERP worklist finance and accounts

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 21 of 421

Page 22: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Journal voucher Approve

Click on Open Hyperlink against the Record which need to be approved

Approve the details

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 22 of 421

Page 23: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Approve Button, a pop saying “Journal Voucher NO JVxxxxxxxxxxx generated & posted” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 23 of 421

Page 24: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Journal Voucher Cancellation

1. Login with Accounts Dealing Assistant user credentials

2. Navigate to ERP Worklist and click on Finance & Accounts

3. In the task Journal Voucher will be displayed, Click on Post

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 24 of 421

Page 25: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

From the list select the Journal Voucher which has to be cancelled clicking the link.

Enter the notings and Click on delete.On delete the selected JV is cancelled.

2.4. Cash Voucher Process

IntroductionThe purpose of cash voucher is to post the daily transactions to Monthly Accounts though the bills are passed manually.

Pre-Requisite

1. User should be mapped to Accounts Dealing Assistant/Cashier/UDC ([email protected]) & Accounts Branch Officer ([email protected] ) roles

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 25 of 421

Page 26: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 2. Users should be mapped to the same branch

Steps

6. Open Mozilla firefox browser7. Type http://myesic.esic.in in the browser. The Login page is displayed as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 26 of 421

Page 27: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 8. Login to the application

9. Navigate to ApplicationsClick on Finance & Accounts

10. Finance & Accounts applications is displayed with the menu11. Navigate to AdjustmentsCash VoucherCreate New

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 27 of 421

Page 28: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

12. Select the cash voucher date to which month to be posted. Enter the bill details,select the Account head ,payment account head and enter the amount.

13. Enter notings and click on submit.On Submit the Cash Voucher number is generated and is send for approval to the Accounts Head of Branch

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 28 of 421

Page 29: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 14. Login with Account Head of Branch user

15. Navigate to ERP Worklist and click on Finance & Accounts

16. In the task Cash Voucher will be displayed, Click on Cash Voucher Approve

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 29 of 421

Page 30: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

17. The transactions pending for approval is displayed in the queue

18. Click on Open Cash Voucher Form for the record need to be approved

19. Enter the Notings and click on Approve. On Approve the amount is posted in Monthly Accounts

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 30 of 421

Page 31: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Cash Voucher Cancellation

4. Login with Accounts Dealing Assistant user credentials

5. Navigate to ERP Worklist and click on Finance & Accounts

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 31 of 421

Page 32: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

6. In the task Cash Voucher will be displayed, Click on CV Post

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 32 of 421

Page 33: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 33 of 421

Page 34: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.5. Cash Withdrawal Issue & Receipt Process

2.5.1. Creating Cash Withdrawal Issue

Login : Fa-da

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 34 of 421

Page 35: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance and Accounts tab under Application menu

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 35 of 421

Page 36: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Click on Create New tab of Cash Withdrawal Issue under Adjustments menu

Displays Cash Withdrawal Request Screen

Enter the required details

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 36 of 421

Page 37: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Submit Button, a pop saying “Cash Withdrawal No CWxxxxxxxxxxx Successfully Generated” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 37 of 421

Page 38: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: Fa-hob

Click on Finance and Accounts tab under ERP Worklist menuClick on CashWithDrawalApprove hyperlink against Cash Withdrawal Issue

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 38 of 421

Page 39: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open CashWithDrawal Form Hyperlink against the Bill No:

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 39 of 421

Page 40: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify the details

Click on Approve Button, a pop saying “Approved Successfully & Posted” will be displayedTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 40 of 421

Page 41: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.5.2. Creating Cash Withdrawal ReceiptLogin: Fa-da

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 41 of 421

Page 42: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance and Accounts tab under Application menu

Click on Create New tab of Cash Withdrawal Receipt under Adjustments menuTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 42 of 421

Page 43: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Displays Cash Withdrawal Request Screen

Enter the required details

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 43 of 421

Page 44: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Submit Button, a pop saying “Cash Withdrawal No CWxxxxxxxxxx successfully generated” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 44 of 421

Page 45: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login : Fa-hob

Click on Finance and Accounts tab under ERP Worklist menu

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 45 of 421

Page 46: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Click on CashWithDrawalApprove hyperlink against Cash Withdrawal Issue

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 46 of 421

Page 47: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open CashWithDrawal Form Hyperlink against the Record

Enter the required details

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 47 of 421

Page 48: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Approve Button, a pop saying “Approved Successfully & Posted” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 48 of 421

Page 49: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 2.6. Payments

2.6.1. Creating Contingent Bill

Precondition: Account Head should exist for the concerned heads in Account Head Master.

Steps for Creation of Contingent Bill

1. Login to the2. Bill No and Bill Date will be added to the Contingent bill automatically, on creation of the bill.3. Select the Bill Type as Contingent from the drop down list. The available options are

Contingent/Abstract Contingent and Detailed Contingent. This is a mandatory field.4. Select the Party from the drop down list. This is a mandatory field. Once the Party is selected,

the related fields under the Party Details will appear. Payable To is also a mandatory field.5. Select the Purchase Order (PO) No from the drop down list. This is a mandatory field. Once the

PO No is selected, the related field under the Budget Details will appear. Account Head is also a mandatory field.

6. Sanction Details will be displayed as Concurred (Yes/No).7. Select the Payment Mode from the drop down list. This is a mandatory field.

a. If the Payment Mode is Manual Cheque, Cheque No should be included. This is a mandatory field which accepts only numbers.

b. If the Payment Mode is Demand Draft, the respective Demand Draft Account Head should be selected from the drop down list. Enter the Bank Charges, in number. Demand Draft Account Head and Bank Charges are mandatory fields.

8. Choose the Invoice No - Amount from the drop down list and click on the Add button, to include the required invoice. Repeat the same for adding more invoices. Delete button deletes the individual invoices. The Total field sums up the Invoice amounts automatically.

9. Choose the Debit Note No – Amount from the drop down list and click on the Add button, to include the required debit note. Repeat the same for adding more debit notes. Delete button deletes the individual debit notes. The Total (D) field sums up the Debit Note amounts automatically.

10. Choose the Credit Note No – Amount from the drop down list and click on the Add button, to include the required credit note. Repeat the same for adding more credit notes. Delete button deletes the individual credit notes. The Total (E) field sums up the Credit Note amounts automatically.

11. Type the Notings in the text box given. This is mandatory field.12. Click on Attach link for attaching individual files. Click on the Browse button and locate the file

to upload. Use the Bulk Attach link for attaching many files at a time. Bulk Attach requires the Google Gears application installed and enabled.

13. Click on Submit to create the Contingent Bill.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 49 of 421

Page 50: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Supplier Contingent Bill Create screen.

Verify/Send Back of Contingent Bill

Precondition:Contingent Bill creation should happen prior to verify process.

Steps for Verifying Contingent Bill

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 50 of 421

Page 51: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select the Contingent Bill from the List view by clicking Open.2. Verify the Contingent Bill created by Dealing Assistant (DA) and if required can edit the fields.3. Once verified observations should be entered in Notings area and click on Verify or Send Back.

Notings is a mandatory field.4. On Verify, the Contingent Bill should be available for Approval. 5. On Send Back the Contingent Bill should go back to DA as Rework

Dash board for SO of Purchase Group for viewing Supplier Bill.

List view for contingent bill. Click on “Open” link for viewing the form.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 51 of 421

Page 52: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify window for Section Office for Purchase group.Approve/Cancel/Send Back of Contingent Bill

Precondition: Contingent Bill should be verified by Section Officer (SO).

Steps for Approving Contingent Bill

1. Select the Contingent Bill from the List view by clicking Open.2. Verify the Contingent Bill and if required can edit the fields. 3. Once verified should put observations in noting area and click on Approve/Send Back or

Cancel. Notings is a mandatory field.4. On Approve, the bill will move to the DA of Finance. 5. On Send Back the Contingent Bill will be available to SO for Rework.6. On Cancel, the Bill will be rejected.

List View for Head of the Branch of Purchase group for approving the bill.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 52 of 421

Page 53: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Approve Window for Head of the branch of Purchase group. On Approve it will show Success message.

Finance Check of Contingent Bill

Precondition: Contingent Bill should be approved by Head of the Branch (HOB).

Steps for Checking Contingent Bill1. Select the Contingent Bill from the List view by clicking Open.2. Check the Contingent Bill and if required can edit the fields.3. Once verified should put observations in noting area and click on Check. Notings is a

mandatory field.

Finance DA dashboard for supplier bill check.

List view for DA of Finance. “Open” link will open the bill verify form.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 53 of 421

Page 54: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Finance DA verification window for supplier bill.Finance Verify/Send back of Contingent Bill

Precondition: Contingent Bill should be checked by Finance DA.

1. Select the Contingent Bill from the List view by clicking Open.2. Verify the Contingent Bill and if required can edit the fields.3. Once verified, give the observations in the noting area and click on Verify. Notings is a

mandatory field.4. On click of Send back, the Bill can be moved to the previous level.5. On click of Verify, the Bill will be moved to the Finance HOB.

Dash board for Supplier bill verify by Finance SO

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 54 of 421

Page 55: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL List view for SO of Finance. “Open” link will open the bill verify form.

Finance Approve/Forward/Send back/Return of Contingent Bill

Precondition: Contingent Bill should be verified by Finance SO

Steps for Approving Supplier Contingent Bill in Finance

1 Select the Contingent Bill from the List view by clicking Open.2 Contingent Bill is ready for final check and if required can edit the fields.3 Enter the Notings in the text area provided. This is a mandatory field.4 On click of Approve, the Contingent Bill is approved, and moved to the Finance Hold/Return

queue until the final payment.5 On click of Send back, the Contingent Bill can be returned back for Rework.6 On click of Return, the Contingent Bill can be returned back to the MM Department.7 On click of Forward, the Contingent Bill can be moved to another level in the hierarchy for

processing.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 55 of 421

Page 56: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Dash board of finance “HOB” for approving supplier bills.

Approve window for finance head of the branch. On Approve Success message will appear.

Finance Hold/Return of Contingent Bill

Precondition: Contingent Bill should be approved by Finance HOB.

Steps for Hold/Return of Contingent Bill in Finance

1 Select the Contingent Bill from the List view by clicking Open.2 Contingent Bill is ready for final check and if required can edit the fields.3 Enter the Noting in the text area provided. This is a mandatory field.4 On Hold, the Abstract Contingent Bill is held On-Hold for the final payment.5 On Return, the Contingent Bill can be returned back to the MM Department for Approval and

will follow the same cycle in Finance.

Finance PV for Contingent Bill

Precondition: Contingent Bill should be approved by Finance HOB.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 56 of 421

Page 57: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Steps for generating PV for supplier Bill in Finance

1. Login as DA finance branch, Select “PV for Supplier Bill” from Payments in the menu.2. Select Payment mode from the drop down as selected in bill3. Select Party from the drop down as selected in bill4. Select Account type from the drop down and the bank account no. will be populated.5. On submit the PV will be generated with success message.

Payment voucher generation window for finance DA. On Submit success message will appear.

2.6.2. Creating Abstract Contingent Bill

Precondition: Account Head should exist for the concerned heads in Account Head Master.

Steps for Creating Abstract Contingent Bill

1. Bill No and Bill Date will be added to the Abstract Contingent bill automatically, on creation of the bill.

2. Select the Bill Type as Abstract Contingent from the drop down list. The available options are Contingent/Abstract Contingent and Detailed Contingent. This is a mandatory field.

3. Select the Party from the drop down list. This is a mandatory field. Once the Party is selected, the related fields under the Party Details will appear. Payable To is also a mandatory field.

4. Select the Purchase Order (PO) No from the drop down list. This is a mandatory field. Once the PO No is selected, the related field under the Budget Details will appear. Account Head is also a mandatory field.

5. Sanction Details will be displayed as Concurred (Yes/No).6. Select the Payment Mode from the drop down list. This is a mandatory field.

o If the Payment Mode is Manual Cheque, Cheque No should be included. This is a mandatory field which accepts only numbers.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 57 of 421

Page 58: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL o If the Payment Mode is Demand Draft, the respective Demand Draft Account Head

should be selected from the drop down list. Enter the Bank Charges, in number. Demand Draft Account Head and Bank Charges are mandatory fields.

7. Choose the Credit Note No – Amount from the drop down list and click on the Add button, to include the required credit note. Repeat the same for adding more credit notes. Delete button deletes the individual credit notes. The Total (E) field sums up the Credit Note amounts automatically.

8. Type the Notings in the text box given. This is mandatory field.9. Click on Attach link for attaching individual files. Click on the Browse button and locate the file

to upload. Use the Bulk Attach link for attaching many files at a time. Bulk Attach requires the Google Gears application installed and enabled.

10. Click on Submit to create the Abstract Contingent Bill.

Advance Bill Create Window for Supplier by DA in Purchase group.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 58 of 421

Page 59: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify/Send Back of Abstract Contingent Bill

Precondition: Abstract Contingent Bill creation should happen prior to verify process.

Steps for Verifying Abstract Contingent Bill

1. Select the Abstract Contingent Bill from the List view by clicking Open.2. Verify the Abstract Contingent Bill created by Dealing Assistant (DA) and if required can edit

the fields. 3. Once verified observations should be entered in noting area and click on Verify or Send

Back. Notings is a mandatory field.4. On Verify, the Abstract Contingent Bill should be available for Approval by Head of the

Branch (HOB). On Send Back the Abstract Contingent Bill should go back to DA as Rework

Dashboard for SO of purchase group for verifying the advance bills.

List view for Section Officer for Advance bills created by DA in Purchase group.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 59 of 421

Page 60: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify window for SO of Purchase group. On Verify it will give a success message and on send back it will go back to DA.

Approve/Cancel/Send Back of Abstract Contingent Bill

Precondition: Abstract Contingent Bill should be verified.

Steps for Approving Abstract Contingent Bill

1. Select the Abstract Contingent Bill from the List view by clicking Open.2. Verify the Abstract Contingent Bill and if required can edit the fields. 3. Once verified observations should be entered in noting area and click on Approve/Send Back

or Cancel. Notings is a mandatory field.4. On Send Back the Abstract Contingent Bill should be available to Section Officer (SO) for

Rework.5. On Approve, the bill will move to the DA of Finance. 6. On Cancel, the Bill will be rejected.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 60 of 421

Page 61: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Dashboard for Head of Branch of Purchase group for advance bills

List view for Advance bill to HOB of purchase group.

Advance Bill Approve window for HOB of Purchase group. Finance Check of Abstract Contingent Bill

Precondition: Abstract Contingent Bill should be approved by Head of the Branch (HOB).

Steps for Checking Abstract Contingent Bill

1. Select the Abstract Contingent Bill from the List view by clicking Open.2. Check the Abstract Contingent Bill and if required can edit the fields. Notings is a mandatory

field.3. Once verified should put observations in noting area and click on Check.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 61 of 421

Page 62: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Dashboard for Head of Branch of Purchase group for advance bills

List view for Advance bill to HOB of purchase group.

Finance DA check and verify window for advance bill. Finance Verify/Send back of Abstract Contingent Bill

Precondition: Abstract Contingent Bill should be checked by Finance DA.

1. Select the Abstract Contingent Bill from the List view by clicking Open.2. Verify the Abstract Contingent Bill and if required can edit the fields.3. Once verified, give the observations in the noting area and click on Verify. Notings is a

mandatory field.4. On click of Send back, the Bill can be moved to the previous level.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 62 of 421

Page 63: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Dashboard for Finance SO for verifying the advance bills.

List view for Advance bills for SO

Verify window for Finance SO. On Send back the bill will go back to DA in Finance.

Finance Approve/Forward/Send back/Return of Abstract Contingent Bill

Precondition: Abstract Contingent Bill should be verified by Finance SO.

1. Select the Abstract Contingent Bill from the List view by clicking Open.2. Abstract Contingent Bill is ready for final check and if required can edit the fields.3. Enter the Notings in the text area provided. This is a mandatory field.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 63 of 421

Page 64: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 4. On click of Approve, the Abstract Contingent Bill is approved, and moved to the Finance

Hold/Return queue until the final payment.5. On click of Send back, the Abstract Contingent Bill can be returned back for Rework.6. On click of Return, the Abstract Contingent Bill can be returned back to the Materials

Management (MM) Department.7. On click of Forward, the Abstract Contingent Bill can be moved to another level in the

hierarchy for processing.

Dashboard for Finance HOB for approving advance bills

List view for Finance HOB for approving the bills. On selecting “open” link Bill Approve window will open and on Approve Success message will come. Send back and Return can also be done.

Finance Hold/Return of Abstract Contingent Bill

Precondition: Abstract Contingent Bill should be approved by Finance HOB.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 64 of 421

Page 65: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 1 Select the Abstract Contingent Bill from the List view by clicking Open.2 Abstract Contingent Bill is ready for final check and if required can edit the fields.3 Enter the Notings in the text area provided. This is a mandatory field.4 On Hold, the Abstract Contingent Bill is held On-Hold for the final payment.5 On Return, the Abstract Contingent Bill can be returned back to the MM Department for

Approval.

Finance HOB Dashboard for hold or return after Approval.

Finance HOB hold/return window after approval and before payment voucher. Once Hold is done It has to be released by HOB and on Return it will go back to HOB for purchase group. Payment Voucher is same for supplier bills.

2.6.3. Create Detailed Contingent Supplier Bill in Purchase Group

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 65 of 421

Page 66: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Precondition:

Budget Details and Invoice Details should be created under Purchase Group.

Debit Note and Credit Note should be created under Adjustments.

Advance Contingent Bill should be paid.

DOP (Delegate OF Power) should be defined in the Purchase Group.

Steps for Creation of Detailed Contingent Supplier Bill

1. Select the Bill Type from the drop down list as Detailed Contingent.2. In the Party Details select the Party from the drop down list.

3. Once the party has been selected, a detail of that party automatically appears on the screen.

4. Enter the Gross Amount and Tax Amount.

5. Select the desired mode of payment.

6. Select the Budget Details, Invoice Details, Debit Note details, Credit Note Details and Advanced Adjustment Details.

7. Net Amount = (Gross Amount-Tax Amount).

8. Net Payable Amount = (Net Amount - Debit Amount + Credit Amount – Advance).

9. Noting should be entered in the Noting area, is mandatory

10. Files can be attached under Attachment option.

Verify/Send Back Detailed Contingent Supplier Bill

Precondition:

Detailed Contingent Bill should have been created prior to verify process.

Steps for Verifying Detailed Contingent Supplier Bill

1. Select the Bill from the Supplier Bill List view by clicking Open.

2. Verify the Bill created by Dealing Assistant and if required can edit the fields.

3. Once verified should put observations in noting area and click on Verify or Send Back.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 66 of 421

Page 67: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

4. On Verify, the Bill goes for approval to various levels of DOPs as mentioned in the purchase group. On Send Back the Bill should go back to DA as Rework.

5. After Rework it again goes to SO for verification.

Approve/Send Back Detailed Contingent Supplier Bill

Precondition:

Detailed Contingent Supplier Bill should be verified.

Steps for Approve Detailed Contingent Supplier Bill

1. Select the Bill from Supplier Bill List view by clicking Open.

2. Approve the Bill Verified and if required can edit the fields.

3. Once verified should put observations in noting area and click on Approve or Send Back.

4. On Approve the Bill moved to the finance level for checking.

5. On Send Back the Bill should be available to SO for Rework.

Checking Detailed Contingent Supplier Bill in F&A

Precondition:

Detailed Contingent Supplier Bill should be approved before coming to the Finance department.

Steps for Checking Detailed Contingent Supplier Bill

1. Select the Bill from Supplier Bill List view by clicking Open.

2. Check the Bill Verified.

3. Once checked should put observations in noting area and click on Check.

Verify/Send Back Detailed Contingent Supplier Bill at Finance Level

Precondition:

Detailed Contingent Bill should have been checked prior to verify process.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 67 of 421

Page 68: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Steps for Verifying Detailed Contingent Supplier Bill

1. Select the Bill from the Supplier Bill List view by clicking Open.

2. Verify the Bill checked by Dealing Assistant of Finance Department and if required can edit the fields.

3. Once verified should put observations in noting area and click on Verify or Send Back.

4. On Verify, the Bill should be available for Approval. On Send Back the Bill should go back to DA of Finance.

Approve/Send Back/Return Detailed Contingent Supplier Bill in F&A

Precondition:

Bill should be verified.

Steps for Approve Detailed Contingent Supplier Bill

1. Select the Bill from the Supplier Bill List view by clicking Open.

2. Verify the Bill checked by Section Officer of Finance Department and if required can edit the fields.

3. Once verified should put observations in noting area and click on Approve or Send Back or Return.

4. On Approval, the Bill is ready for payment.

5. On Send Back, the Bill should go back to SO of Finance.

6. On Return, the bill goes to the defined level of HOBs. Again the flow starts from there.

Finance Hold/Return of Detailed Contingent Bill

Precondition: Detailed Contingent Bill should be approved by Finance HOB.Steps for Hold/Return Detailed Contingent Supplier Bill

1 Select the Detailed Contingent Bill from the List view by clicking Open.2 Abstract Contingent Bill is ready for final check and if required can edit the fields.3 Enter the Notings in the text area provided. This is a mandatory field.4 On Hold, the Detailed Contingent Bill is held On-Hold for the final payment.5 On Return, the Detailed Contingent Bill can be returned back to the MM Department.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 68 of 421

Page 69: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.6.4. Create Supplier Debit Note for Adjustments

Precondition:

-> Supplier/Vendor should exist in supplier master.

Steps for Creation of Debit Note

1. Login as SO of Purchase Group User; got to “Adjustment” in Menu and select Supplier Debit note create.

2. Select the Supplier-Id-Supplier Name from the drop down list.

3. Select the required Account Head from the drop down list.

4. Debit Note Number and Debit Note Date are auto generated fields.

5. Debit Note Number will be generated automatically as soon as the Debit Note has been submitted.

6. Debit Note Date is the system generated date.

7. Reason and Amount for the Debit Note should be mentioned.

8. Narration should be entered for the Debit Note created, is mandatory.

9. Noting should be entered in the Noting area.

Create Window for SO in Purchase Group for Debit note.

Approve/Send back/Reject Debit Note for Adjustments

Precondition:

Debit Note creates should happen prior to this process.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 69 of 421

Page 70: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Steps for Approve/Send Back/Return Debit Note

1. Login as Head of the Branch for Purchase Group.

2. Open Debit Note from Dash board and select from the List view by clicking Open.

3. Verify the Debit Note submitted and make any changes if required.

4. Once verified, should put observations in noting area and click on Approve or Send Back.

5. On Approve the Debit Note goes to the Dealing Assistant in the finance department.

6. On Send Back the Debit Note should be available to SO for Rework.

7. After Rejecting the Debit Note cannot be used get cancelled.

List View to the Head of the Branch of Purchase Group for approving the debit note.

Approve/Send back/Reject window for Head of the branch of Purchase group.

2.6.5. Create Supplier Credit Note for Adjustments

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 70 of 421

Page 71: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Precondition:

-> Supplier/Vendor should exist in Supplier Master.

Steps for Creation of Credit Note

1. Login as SO for Purchase Group and Click on “Adjustment menu” and select Supplier Credit note Create.

2. Select the Supplier-Id-Supplier Name from the drop down list.

3. Select the required Account Head from the drop down list.

4. Credit Note Number and Credit Note Date are auto generated fields.

5. Credit Note Number will be generated automatically as soon as the Credit Note has been submitted.

6. Credit Note Date is the system generated date.

7. Reason and Amount for the Credit Note should be mentioned.

8. Narration should be entered for the Credit Note created, is mandatory.

9. Noting should be entered in the Noting area.

Create Window for SO in Purchase group for Credit Note

Approve/Send back/Reject Credit Note for Adjustments

Precondition:

Credit Note creates should happen prior to this process.

Steps for Approve/Send Back/Return Credit Note

Select the Credit Note from the List view by clicking Open.

Verify the Credit Note submitted and make any changes if required.

Once verified, should put observations in noting area and click on Approve or Send Back.TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 71 of 421

Page 72: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

On Approve the Credit Note goes to the Dealing Assistant in the finance department.

On Send Back the Credit Note should be available to SO for Rework.

After Rejecting the Credit Note cannot be used.

List View for Credit note to Head of the Branch of Purchase Group.

Approve/Send back/ Reject window for Purchase HOB

2.6.6. Payment Voucher Process in GeneralIntroduction

Post all the bill approval by Finance Branch Officer the bills will be displayed in the below

WorklistPending for PV (Only as Information)ReportPending Payment Register

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 72 of 421

Page 73: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Create Payment Voucher

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 73 of 421

Page 74: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

From the Payments MenuSelect the respective Bill for which Payment Voucher has to be Generated

Note:For all bills from ESS & Payroll goto - PaymentsPV for General BillsCreate New

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 74 of 421

Page 75: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL The Page is displayed

Select the Bill type, Payment Mode, Party, Account Type.On selecting the account type the bank balance is displayed.Enter the Cheque No & Cheque Date.Post entering all the fields the Bills which are approved for the selected party will be displayed in the bill details section.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 75 of 421

Page 76: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 76 of 421

Page 77: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 77 of 421

Page 78: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter the notings and click on Submit.On submit the PV number is generated.

Take PV Print

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 78 of 421

Page 79: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 79 of 421

Page 80: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on the link “Open General Bill PV”

Click on the “Print” Button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 80 of 421

Page 81: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.6.7. Benefit Payment Process

Steps for Benefit Payment to IP

Pre-requisite:1. Application Access 2. User Role Mapping3. Bank Mapping4. Nominate one employee in the location who can take care of user management

Application access and user role mapping

1. Open Mozilla firefox browser login with user who have been nominated

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 81 of 421

Page 82: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1)go to application User management

Enter the Six Digit Employee Number and submit

For benefit Transactions Need to select Finance and application Check

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 82 of 421

Enter 6 digit Employee Number

Page 83: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

For Role access

After selecting application access select finance and accounts under ERP TAB

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 83 of 421

Page 84: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Select transactions on primary which are applicable to particular user from the list and submit to update (please check all transactions which shown Above )

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 84 of 421

Page 85: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1

22.1

2.2

2.3

2.4

2.5

2.6

2.6.1

2.6.2

2.6.3

2.6.4

2.6.5

2.6.6

2.6.7

2.6.8. Step to update bank Balance in ERP1) Login with Finance dealing assistant login

Go to Erp Work listfinance and account Year Account Head - Update Bank Balance Active

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 85 of 421

Page 86: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Search with account name for account head and go to Update bank balance option against in which bank you need to update balance (Normally Cash with Banks in Account 2 SBI)

And Update the highlighted columns against particular month ID( combination of year and month) and submit ,

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 86 of 421

Page 87: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 87 of 421

Page 88: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Steps for Benefit Payment

2. Open Mozilla firefox browser3. Type http://myesic.esic.in in the browser. The Login page is displayed as below

4. Enter the login Credentials (User Name, Password) and click on login

5. Post Login the user inbox is as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 88 of 421

Page 89: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

6. From the application menu click on Finance and accounts

7. The Finance and Accounts application menu are displayed as

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 89 of 421

Page 90: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

8. From the payments menuPV for IP Claim BillCreate New

9. The PV for IP Claim Bill page is displayed

10. Select the payment mode, party, bank account from which payment needs to be made and click on attach bill.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 90 of 421

Page 91: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

On clicking Attach Bill, the bills matching for the party which is in approved status will be attached and the total will be displayed in the Header Amount (Rs.).

User can enter the notings and click on submit. On Submit payment voucher no is generated

Note: User has choice to select the bills for making the payment voucher.If user wishes not to make payment voucher he/she can remove the bills by clicking the remove button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 91 of 421

Page 92: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Reports1) Cash Benefit Payment Register Go toApplication Reports Finance Report

Select “Cash Benefit Payment Register “

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 92 of 421

Page 93: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Mandatorily user have to select from and to Date and submit for PDF or Excel

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 93 of 421

Select as per user

Page 94: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 1) Report Specimen for Cash Benefit Payment Register

2) Cash Book Report Go to Cash Book Report Link

Select from to To date, user location , and account Type in the given form

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 94 of 421

Page 95: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.7. SMC/MS Process

2.7.1. Super Specialty Bill Create

Precondition: Hospital Master should be created and Approved for the Accounting Unit for all tie-up hospitals. DA should be mapped as Creator under SMC functions through User Management

Steps for Creation of Super Specialty Bill

1. Login as Creator using User ID and Password in Employee Portal,

2. Once logged in, default page will be the home page. Go to “Application” and click on “Finance & Accounts”.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 95 of 421

Select as per user

Page 96: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

3. On Clicking Finance and Accounts, new window will open. Goto “SMC” in the menu and click on Super Specialty Treatment Create New.

4. Once clicked on “Create new”, Super specialty bill form will open. Select Party Type and Party. In case of party type = Hospital, party field will display Hospital names in drop down and Incase party = IP than fill IP details in Party section.

5. On Selecting Party/Hospital, hospital information will be displayed as below.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 96 of 421

Page 97: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

.6. Type Account code/description in “Account Head Search” field minimum of 5 characters. Select

Account Head from the drop down of “Account Head” field. Budget Alloted and available will be available for the expenditure head below.

7. After selecting the account head move to payment details section. Select Payment mode from the drop down list.

8. Enter Bill details for the SST bills for the selected Hospital in Party. Bill details can be entered or can be uploaded by clicking on choose file option. SST Bill details template can be downloaded from the link “download bill template”.

9. Once bill details are entered or uploaded the TDS rate can be selected from TDS rate drop down. On clicking “Add” the TDS will get adjusted with Gross Amount and Net Payable will change.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 97 of 421

Page 98: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

10. Enter Notings and click on submit button for submitting to next (SO) user. On Delete the whole form will get deleated.

Verify/Send Back of Super Specialty Bill

Precondition:Create Request should happen prior to Verify. User should be mapped with SMC verifier role in User Management.

Steps for Verifying Super Specialty Bill

1. SO should login with User Name and Password for SST bill verification.

2. Go to ERP Worklist and click on Finance and Accounts. Worklist for pending activities will appear.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 98 of 421

Page 99: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 3. Click o verify link for opening the pending bill for verification. The below list will appear for

pending bills, click on Open link to view the bill.

4. Once Bill is verified the Bill can be verified on Clicking Verify Button or Send back for re-work to DA.

Sanction/Send Back of Super Specialty Bill

Precondition: Verification of Request should be done prior to sanction by SMC and should be mapped as Approver for SMC transactions in User Management.

Steps for Sanction of Super Specialty Bill

1. SMC should login with user name and password in portal.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 99 of 421

Page 100: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2. Go to “ERP Worklist” in menu and clic on Finance and Accounts for viewing pending bills for SMC.

3. On Clicking Sanction, all SST bills pending with SMC for sanction will be displayed. Click on

open link and Sanction or Send Back the bills by clicking on Sanction or Send back button.

Check of Super Specialty Bill

Precondition: Super Specialty Bill should be sanctioned by SMC and Finance user should be mapped with finance DA role in User

Management.

Steps for Verifying Super Specialty Bill

1. DA of Finance branch should login with User Name and Password.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 100 of 421

Page 101: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2. Go to ERP worklist and click on Finance and Accounts. SST bill for check will be showing in pending list.

3. Click on Super specialty Bill Check link. It will display all the SST bills in list view of finance DA.

4. Finance DA should check the correctness of bill and can make corrections for Account Head (expenditure head) and should select Account Type (Bank Account) from where payment should be made.

Click on Open link and view the bill for Submit to next level click on “Check” button for re-work select “Send Back button”.

.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 101 of 421

Page 102: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify/Send Back of Super Specialty Bill

Precondition: Super Specialty Bill Check should happen prior to Verify and Finance user should be mapped as superintendent Role in Finance application in User Management..

Steps for Verifying of Super Specialty Bill

1. Finance superintendent should login with user name and password. Only Account Head and Account Type Field should be editable for SO in Finance Branch with noting.

2. Go to ERP work list and click on Finance and Accounts. Pending work list will appear for superintendent. Click on Finance verify link to see the bills.

3. Click on Open to view the bills. To submit click on Verify and for re-work click on Send back.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 102 of 421

Page 103: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Approve/Send Back/Return of Super Specialty Bill

Precondition:SST Verify should happen prior to approve by finance superintendent. Finance head of the branch should be mapped as Approver in user management for Finance Transactions.

Steps for Approve/Return of Super Specialty Bill

1. FA-HOB should login with user name and password.

2. Go to ERP Work list, click on Finance and Accounts. All pending activities for finance will be displayed for Finance head approval.

Click on Super Specialty treatment bill Approve for approving bills.

3. Once bill is checked on Clicking Approve Button the request will be approved and Payment Voucher will be generated by DA

4. On Send Back, bill will go to FA-SO for rework and Return will send the bill to SMC for re-work in SMC office.

Payment Voucher Creation for Super Specialty Bill

Precondition:

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 103 of 421

Page 104: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL FA- HOB should approve the bill prior to PV generation.

Steps for Creating Super Specialty Bill PV

1. Finance DA should login with User name and Passwordl. Go to Aplication and click on Finance and Accounts.

2. Once Clicked Finance and Accounts, go to Payments in Menu and select PV for Super Specialty treatment Create New

3. Select Payment mode, Party, Account Type and Bank from the drop down and click on Attach Bill.

4. Once Bill is attached on Submit PV generation message will appear.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 104 of 421

Page 105: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.7.2. Revolving Fund Create

Precondition: Party Master for Vendor, IP and Account Head master should be there

Steps for Creation of Revolving Fund

1. Login as DA, Open Revolving Fund Create Form 2. Select Party, Party Code/Name, Account Head, Payment Mode and TDS Details from the

drop down list.3. Click on Add button to add invoice/bill details for Revolving Fund Bills.4. Insert Observations for the transaction in noting and submit. On Submit Bill no. should

generate.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 105 of 421

Page 106: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Create Screen for DA in SMC office for Revolving Fund

Verify/Send Back of Revolving Fund Bill

Precondition:Create Request should happen prior to Verify.

Steps for Verifying Revolving Fund

1. SO should verify the bill submitted DA in SMC office.2. Account Head is editable for SO on verify form.3. Once Bill is verified the Bill can be verified on Clicking Verify Button or Send back for re-

work to DA.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 106 of 421

Page 107: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

List View for SO in SMC office for Revolving fund

Verify Window for SO in SMC officeSanction/Send Back of Revolving Fund Bill

Precondition: Verification of Request should be done prior to sanction by SMC.

Steps for Sanction of Revolving Fund Bill

1. SMC should verify the bill submitted DA in SMC office.2. Account Head is editable for SMC

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 107 of 421

Page 108: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 3. Once Bill is verified the Bill can be Sanctioned on Clicking Sanction Button or Send back

for re-work to SO.

Sanction Window for SMC in SMC office

Check of Revolving Fund Bill in Finance

Precondition:Revolving Fund Bill should be sanctioned by SMC prior to FA-DA.

Steps for Verifying Revolving Fund Bill

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 108 of 421

Page 109: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 1. DA of Finance branch should check the bill verified by SMC.2. Only Account Head Field and Account Type should be editable for DA in Finance Branch

with noting.3. Once bill is checked the bill on Clicking Check Button the will go to FA-SO to verify the

same.

Verify/Send Back of Revolving Fund Bill in Finance

Precondition:

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 109 of 421

Page 110: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Revolving Fund bill Check should happen prior to Verify.

Steps for Verifying of Revolving Fund Bill

1. FA-SO should verify the request checked by FA-DA2. Only Account Head and Account Type Field should be editable for SO in Finance Branch

with noting.3. Once Bill is checked, on Clicking Verify Button the Bill will go to HOB .

Verify window for Section Officer for Finance Division

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 110 of 421

Page 111: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Approve/Send Back/Return of Revolving Fund Bill in Finance

Precondition:RF Verify should happen prior to approve by FA-HOB.

Steps for Approve/Return of Revolving Fund Bill

1. FA-HOB should verify the bill checked by FA-SO2. Only Account Head and Account Type Field should be editable for HOB in Finance Branch

with noting.3. Once bill is checked on Clicking Approve Button the request will be approved and Payment

Voucher will be generated by DA4. On Send Back, bill will go to FA-SO for rework and Return will send the bill to SMC for re-

work in SMC office.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 111 of 421

Page 112: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Approve Window for Finance Head of the BranchPayment Voucher Creation for Revolving Fund Bills

Precondition:FA- HOB should approve the bill prior to PV generation.

Steps for Creating Revolving Fund PV

1. DA should Create PV for RF Bill.2. Select Payment mode, Party, Account Type and Bank from the drop down and click on

Attach Bill.3. Once Bill is attached on Submit PV generation message will appear.

Payment Voucher Window for DA in Finance

2.7.3. Creating On-Account Payment

Precondition: Budget estimate/Revised estimate should be available for the year.

Steps for Creation of On Account Payment for 1st, 2nd & 3rd quarter

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 112 of 421

Page 113: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 113 of 421

Page 114: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 114 of 421

Page 115: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Request date will be system date and Party will be displayed based on user location2. Payable to is enterable by the user and the same will get printed on the face of check. 3. Mean no of IP, IP as per phased program and Actual per capita should be system

populated (Display).4. Select Account Head and Payment mode for the payment.5. Payment Released During quarter is display field and will display amount released for the

quarters on payment.6. Expenditure by state government is enterable field from second quarter onwards.7. On Clicking of add, a row should get added under Recovery Details. Account head is drop

down and amount is enterable for the user. 8. Noting area is enterable by user for putting observations.9. On Submit Success message will generate with On Account Request No.

Verify/Send Back of On Account Payment

Precondition:Request should get created by SMC-DA

Steps for Verifying On Account Payment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 115 of 421

Page 116: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 116 of 421

Page 117: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 117 of 421

Page 118: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select the request from the dash board pending items for On account Payment.2. Verify the request3. Once verified he request and edit Account Head or Payment mode if required and put

observations in noting.4. On Verify, the On Account Request will be verified and will go to SMC for his action 5. On Send Back the Request should go back to SMC-DA as Rework

Forward/ Send Back of On Account Payment

Precondition: Request should be verified by SMC-SO

Steps for Forwarding On Account Payment Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 118 of 421

Page 119: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 119 of 421

Page 120: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 120 of 421

Page 121: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 121 of 421

Page 122: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select the request from dash board pending item under On Account Payment request2. Verify the Request3. Once verified he request and edit Account Head or Payment mode if required and put

observations in noting.4. On Forward, the On Account Request will be forwarded and will go to Finance for

Concurrence. 5. On Send Back the Request should go back to SMC-SO as Rework

Finance Check of On Account Payment Request

Precondition: On Account Payment Request should be forwarded by SMC for Concurrence.

Steps for Checking On Account Payment Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 122 of 421

Page 123: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 123 of 421

Page 124: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 124 of 421

Page 125: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 125 of 421

Page 126: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select the request from dashboard under On Account Pending Request2. Check the request and put observations in Noting3. On Check, the request will move to FA-SO for Verification.

Finance Verify/Send back of On Account Payment Request

Precondition: Bill should be checked by FA

Steps for Verify On Account Payment Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 126 of 421

Page 127: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 127 of 421

Page 128: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 128 of 421

Page 129: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 129 of 421

Page 130: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select the request from dashboard under On Account Pending Request2. Verify the request and put observations in Noting3. On Verify, the request will move to FA-HOB for Concurrence4. On Send Back the request will go to FA-DA for Rework

Finance Concur/Send back/Return of On Account Payment

Precondition: On Account Request should be verified

Steps for Concur On Account Payment Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 130 of 421

Page 131: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 131 of 421

Page 132: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 132 of 421

Page 133: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 133 of 421

Page 134: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select the Request verified from the Dash board pending request2. HOB can Concur the Request or can do Send back or Return3. On click of Concur the Request will go to SMC for Sanction 4. On Click of Send back it will go for Verify Rework in FA5. On Return It will go to SMC for Rework on the Request

SMC Sanction for On Account Request

Precondition: On Account Request should be concurred by FA-HOB

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 134 of 421

Page 135: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Steps for Sanction On Account Payment Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 135 of 421

Page 136: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 136 of 421

Page 137: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 137 of 421

Page 138: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1 Select the Request Concurred from the Dash board pending request2 On Clicking Sanction Button the On Account Bill No will be generated with conformation

message.3 Once Sanctioned the Request will go to FA-HOB for Payment.

FA-HOB Approval for On Account Payment Bill.

Precondition: On Account Bill should be generate on Sanction

Steps for Approving On Account Payment Bill

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 138 of 421

Page 139: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 139 of 421

Page 140: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 140 of 421

Page 141: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 141 of 421

Page 142: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1 Select the On Account Bill Pending for Approval from Dash board.2 Select the Account Type and Bank from the Drop down in the bill Header part.3 Once Account Type and Bank is selected put observations in Noting and click on Approve

Button4 On Approve the Bill will be ready for Payment Voucher. Before Payment Voucher the Bill can

be put on Hold or Returned from Hold Or Return State in Dash Board.

Payment Voucher Creation

Precondition: All Bills should be approved by FA-HOB before PV

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 142 of 421

Page 143: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Steps for On Account Payment – Payment Voucher

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 143 of 421

Page 144: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 144 of 421

Page 145: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. Select Payments from the Menu, go to Create New2. Select the Party for whom PV need to be generated as mentioned in Bill3. Select Payment Mode selected in Bill from the drop Down.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 145 of 421

Page 146: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 4. Select The Account Type as selected in Bill5. Select Bank mapped to Account Type.6. On Click of Submit the Payment Voucher will get created for attached bills.

2.7.4. On Account Final Payment

Precondition: All Four quarters payments should be done for the Financial Year

Steps for Creation of On Account Final Payment Request

1. User logins, Select Pending Final Pay from Annual State Govt Payment from dash board after all 4 quarters payment.

2. Select Party, Account Head, Payment for the Year and Payment mode from the drop down.

3. Enter Amount for Total Exp. Certified by AG as per Audit Certificate, Misc. receipts, Expenditure on Others, Expenditure on New Implemented Areas, Medical Equipments and Others.

4. Once the above mentioned fields are entered rest will be self populated as will Display Net Balance Payable.

5. Insert Observations for the transaction in noting and submit.

Verify/Send Back of On Account Final Payment Request

Precondition:Create Request should happen prior to Verify.

Steps for Verifying On Account Final Payment

1. MB-SO should verify the request submitted FA-DA2. All fields are editable for SO same as Create, If required can edit and submit.3. Once request is verified the Request can be verified on Clicking Verify Button or Send

back for re-work to DA.

Forward/Send Back of On Account Final Payment Request

Precondition: Verification of Request should be done prior to forward to DMC.

Steps for Creation of On Account Final Payment Request

1. DMC of Medical branch should verify the request verified by SO2. All fields are editable for DMC same as Create, If required can edit and submit.3. Once request is verified the Request can be verified on Clicking Forwad Button or Send

back for re-work to MB-SO.

Approve/Send Back of Account Final Payment Request

Precondition:TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 146 of 421

Page 147: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL On Account Final Pay forward should happen before on Account request is forwarded to MC.

Steps for Verifying On Account Payment

1. MC of Medical branch should verify the request verified by DMC2. All fields are editable for MC same as Create, If required can edit and submit.3. Once request is verified the Request can be verified on Clicking Forward Button or Send

back for re-work to DMC.

Check Account Final Payment Request

Precondition:On Account Final Pay should be approved by MC prior to FA-DA.

Steps for Verifying On Account Payment

1. DA of Finance branch should check the request verified by MC of Medical branch.2. Only Account Head Field should be editable for DA in Finance Branch with notings.3. Once request is checked the Request on Clicking Check Button the request will go to FA-

SO to verify the same.

Verify/Send Back of Account Final Payment Request

Precondition:On Account Final Pay Check should happen prior to Verify.

Steps for Verifying On Account Payment

1. FA-SO should verify the request checked by FA-DA2. Only Account Head Field should be editable for SOA in Finance Branch with notings.3. Once request is checked the Request on Clicking Verify Button the request will go to

HOB.

Forward/Send Back of Account Final Payment Request

Precondition:On Account Final Pay Verify should happen prior to Forward by FA-HOB.

Steps for Verifying On Account Payment

1. FA-HOB should verify the request checked by FA-SO2. Only Account Head Field should be editable for HOB in Finance Branch with notings.3. Once request is checked the Request on Clicking Forward Button the request will go to

HOF.

Forward/Send Back/Return of Account Final Payment Request

Precondition:On Account Final Pay Forward should happen prior to Forward by FA-HOF.

Steps for Verifying On Account PaymentTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 147 of 421

Page 148: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

1. FA-HOF should verify the request checked by FA-HOB2. Only Account Head Field should be editable for HOF in Finance Branch with notings.3. Once request is checked the Request on Clicking Forward Button the request will go to FC,

on send Back will go to FA-HOB for Rework and on Return will go to MC for Re-work..

Forward/Send Back/Return of Account Final Payment Request

Precondition:On Account Final Pay forward should happen prior to Concur by FA-FC

Steps for Verifying On Account Payment

1. FA-FC should verify the request checked by FA-HOF2. Only Account Head Field should be editable for FC in Finance Branch with notings.3. Once request is checked the Request on Clicking Concur Button the request will be

concurred , on send Back will go to FA-HOF for Rework and on Return will go to MC for Re-work

Forward of Account Final Payment Request

Precondition:On Account Final Pay Concurrence should happen prior to forward by MC

Steps for Verifying On Account Payment

1. MC should verify the request checked by FA-FC2. No Fields are editable after concurrence, only MC can have a view for information and will

forward to DG for Sanction

Sanction/Send Back of Account Final Payment Request

Precondition:On Account Final Pay forward should happen prior to sanction by DG

Steps for Verifying On Account Payment

1. DG should pick the request from dashboard and verify the Request forwarded by MC and Concurred by DG

2. No Edit option, all fields are read only fields3. DG can sanction the request on which the Bill no generation success message will

generate and will go to concerned location FA-HOB for Payment.4. On Send back the Request will come back to MC and the same process will be continued.

Approve of Account Final Payment Bill

Precondition:On Account Final Pay Bill generation should happen prior to approval for payment.TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 148 of 421

Page 149: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Steps for Verifying On Account Payment

1. FA-HOB should see Annual State Govt. bill pending for Approval in dash board.2. Select Account Type and Bank from the drop down before approving the bill.3. Once approved it should be available for PV to DA in fiancé branch.

Payment Voucher Creation for On Account Final Payment

Precondition:FA- HOB should approve the bill prior to PV generation.

Steps for Verifying On Account Payment

1. DA should Create PV for On Account Final Pay.2. Select Payment mode, Party, Account Type and Bank from the drop down and click on

Attach Bill.3. Once Bill is attached on Submit PV generation message will appear.

2.8. Audit

2.8.1. Audit Group MappingLogin: audit-da

Click on Legal under Application menu

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 149 of 421

Page 150: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Create New tab of Audit Group Mapping under Audit Process menu

Displays Audit Group Member Mapping Screen

Enter Audit Group NameSelect Audit quarter, Year and Acounting unitSelect Audit member ID and click on Add button and so onTick ‘Head’ against particular employee ID.Click on Submit button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 150 of 421

Page 151: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Submit Button, a pop saying “Audit Group Updated Successfully” will be displayed

2.8.2. Audit Tour Plan

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 151 of 421

Page 152: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Login:audit-so

Click on Legal tab under Application menu

Click on Create New tab of Audit Tour Plan under Audit Process menu

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 152 of 421

Page 153: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Displays Tour Plan Screen

Select audit for the quarter, year, tour period from, tour period and total working days will pop up.Select office type as ‘Regional office’ and accounting unit for audit of Regional/SRO(Accounting units) and branches under its purview.

And on click of ‘Add’ button the following fields will appear for selectingLocation, Audit group, Audit from date and audit to date. Working days and holidays/Remarks will be displayed for the audit of branches.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 153 of 421

Page 154: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL And on check of LBO/Department the following fields will appear for selection for the audit of Regional office.Department, audit group, audit from date and audit to date for selection and working days and holidays/remarks will be displayed on selection. And on click of submit button, a successful message pops up as below.

Click on Submit Button, a pop “Record Updated Successfully” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 154 of 421

Page 155: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

For RO/SRO/HospitalEnter the details

Click on Submit Button, a pop saying “Record Updated Successfully” will be displayed

Login: audit-hob

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 155 of 421

Page 156: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Legal tab under ERP Worklist menu

Click on Verify hyperlink against Audit Tour Plan

Click on Open Hyperlink against the created Tour Plan

Verify the details

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 156 of 421

Page 157: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Verify Button, a pop saying “Record Verified Successfully” will be displayed

Login: audit-ai

Click on Legal tab under ERP Worklist menuClick on Approve hyperlink against Audit_Tour_Plan

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 157 of 421

Page 158: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open Hyperlink against the verified Tour Plan

Verify the details

Click on Approve Button, a pop saying “Record Approved Successfully” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 158 of 421

Page 159: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.8.3. Audit Observation

Login: audit-da

Click on Legal tab under Application menuClick on Create New tab of Audit Observation under Audit Process menu

Displays Audit Observation Screen

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 159 of 421

Page 160: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

For recording audit points of accounting unit (R.O/SRO etc)Select Audit for the quarter, Year, office type, accounting unit and departmentFor recording audit point of branch office, select office type-Local office, accounting unit and branch

Click on Add and select document type (if any), serious irregularity (y/n) and enter amount and observations.

Click on Submit Button, a pop saying “Record Updated Successfully AUxxxxxxxxxxxxx” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 160 of 421

Page 161: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: audit-ah

Click on Legal tab under ERP Worklist menuClick on Response hyperlink against Audit Observation

Click on Open Hyperlink against the record:

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 161 of 421

Page 162: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Verify the details

Verify the details and select status –Pending, and forward To-respective person for his/her response and enter observations and submit

Select status-dropped/closed and forward to-‘none’ to drop/close audit points.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 162 of 421

Page 163: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Audit points will go to respective persons on click of OK button.

Select ‘Forward to’ drop down

Click on Submit Button, a pop saying “Record Updated Successfully AUxxxxxxxxxxx” will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 163 of 421

Page 164: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

DD-HOB (Forwardee) login

Click on open against the corresponding audit number

DD-HOB enter responses and select AH/other Forwardee as the case may be and submit

AH login

Click on open against the corresponding audit numberTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 164 of 421

Page 165: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

AH Audit head will verify the responses and if satisfied drop/close the issue by changing status and enter response/recommendation if any and click on submit.And on click of submit button, the audit point will be updated successfully. And else if not satisfied seek further responses by forwarding again to concerned persons.

2.9. Fund Request

2.9.1. Branch Office Fund Request

Steps for Branch OfficeFund RequestTo

Regional/Sub-Regional Office

Pre-requisite:5. Application Access 6. User Role Mapping

User role mapping and application access will be provided by the person Nominated by RD for user role mapping in every location.

Steps for Branch Office Fund Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 165 of 421

Page 166: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Branch Office Branch Manager Requesting for Fund

11. Open Mozilla firefox browser12. Type http://myesic.esic.in in the browser. The Login page is displayed as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 166 of 421

Page 167: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

13. Enter the login Credentials (User Name, Password) and click on login

14. Post Login the user inbox is as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 167 of 421

Page 168: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

15. From the application menu click on Finance and accounts

16. The Finance and Accounts application menu are displayed as

From the menu select Fund TransferBranch Office –Fund RequestCreate New. The Fund Request page is displayed as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 168 of 421

Page 169: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on account type, select “Cash with Bank in Account 2 SBI”.

On selection, Bank Account No., IFSC Code and the Balance Available will be displayed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 169 of 421

Page 170: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on “Add” button which is in orange color to enter Fund Request details

For Eg. If you require Fund for Benefit Payments then request as below1. Select “Benefit to Insured Person” from the Major Account Head drop down.2. Select the category as Benefit Payments 3. Enter the Requested Amount

Fund can be requested for multiple categories in the same request by clicking ‘Add’ button

Enter the notings and click on submit button.

On Submit the Fund Request number is generated and sent to Accounting Unit - Account Branch Officer for validating the fund request.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 170 of 421

Page 171: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

On Delete the entered data is deleted

Fund Request-Forward (Acconting Unit –Accounts Branch Officer)

Accounts Branch Officer login and from the ERP-Worklist select Finance & Accounts.

From the work list click on “BO Fund Request Forward “. The Fund Request which are pending for Forward is displayed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 171 of 421

Page 172: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Against the respective Fund Request, Click on ‘open’ link and do any of the below actions

ForwardThe request is forwarded to Head of Location for Approval.Send Back The request is send back to the creator

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 172 of 421

Page 173: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Select the account type, on selection, Bank Account No., IFSC Code and the Balance Available will be displayed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 173 of 421

Page 174: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Select the payment mode as ‘Telegraphic Advice’

User enters the notings and click on “Forward”. On Forward “Forward Successfully” message is displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 174 of 421

Page 175: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Head of Accounting Unit-Approve

Head of Accounting Unit can login and from the ERP-Worklist select Finance & Accounts.

From the work list click on “BO Fund Request Approve/Hold “. The Fund Request which are pending for Approval is displayed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 175 of 421

Page 176: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Head of Accounting Unit can open the request and do the below actions

ApproveThe request is Approved and forwarded to Accounts Branch OfficerSend Back The request is send back to Accounts Branch OfficerRejectThe request is rejected

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 176 of 421

Page 177: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User should enter the notings and click on Approve Button. On click “Approved successfully” message is displayed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 177 of 421

Page 178: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Fund Request-Pay (Accounting Unit –Accounts Branch Officer)

Accounts Branch Officer login and from the ERP-Worklist select Finance & AccountsBO Pay.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 178 of 421

Page 179: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 179 of 421

Page 180: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Against the respective Fund Request, Click on ‘open’ link and do any of the below actions

PayPayment Voucher will be created automatically

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 180 of 421

Page 181: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Accounts Dealing Assistant - TA Generation

Accounts Dealing Assistant login and from the ERP-Worklist select Finance & AccountsTA Generation.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 181 of 421

Page 182: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Against the respective Fund Request, check ‘Generate TA Number’ checkbox and click on Genrate TA Number on the top. On Click,TA Number is Generated.

When TA number is generated the request will be moved out from the list

Generated TA number will be displayed in ‘Paid’ status in the worklist.

To Check TA Number

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 182 of 421

Page 183: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 183 of 421

Page 184: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

To Provide the TA Advice to Bank

Select ApplicationFinance & Accounts

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 184 of 421

Page 185: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

ReportsFinance Reports

TA Details Report

Select From Date & To Date.On selecting the From Date & To Date all the TA generated in the period is displayed.

User can select an individual TA number or all TA Numbers and click on ViewPDF

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 185 of 421

Page 186: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.9.2. Accounting Unit Fund Request

Steps for Accounting Unit Fund RequestTo

Head Quarters(HQ)

Pre-requisite:1. Application Access 2. User Role Mapping

User role mapping and application access will be provided by the person Nominated by RD for user role mapping in every location.

Steps for Accounting Unit Fund Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 186 of 421

Page 187: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 187 of 421

Page 188: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Steps for Fund Request

1. Open Mozilla firefox browser2. Type http://myesic.esic.in in the browser. The Login page is displayed as below

3. Enter the login Credentials (User Name, Password) and click on login

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 188 of 421

Page 189: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

4. Post Login the user inbox is as below

5. From the application menu click on Finance and accounts

6. The Finance and Accounts application menu are displayed as

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 189 of 421

Page 190: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

From the menu select Fund TransferAccounting unit –Fund RequestCreate New. The Fund Request page is displayed as below

User should click on “Add” button which is in orange color to enter Fund Request details

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 190 of 421

Page 191: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

For Eg. If you require Fund for Administrative Expenses then do as below1. Select “Administrative Expenses” from the Major Account Head drop down.2. Select the category as Administrative Expenses 3. Enter the Requested Amount

One can ask Fund for multiple category in the same request by clicking add button

Select the bank details to which the Fund need to be transferred, enter the payable to and notings.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 191 of 421

Page 192: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Submit button. On submit the Fund Request no is generated by system for reference

Fund Request-Approve

Head of Office can login and from the ERP-Worklist select Finance & Accounts.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 192 of 421

Page 193: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL From the work list click on “Fund Request Approve “. The Fund Request which are pending for approval is displayed.

Head of Office can open the request and do the below actions

ApproveThe request is forwarded to Finance (Branch Officer) to send to corporate officeSend Back The request is send back to the creatorReject The request will be rejected

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 193 of 421

Page 194: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL User enters the notings and click on “Approve”. On Approve “Approved Successfully” message is displayed

Branch Officer (Finance)-Forward to Corporate Office

Branch Officer (Finance) can login and from the ERP-Worklist select Finance & Accounts.

From the work list click on “Fund Request Finance Forward “. The Fund Request which are pending for forward is displayed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 194 of 421

Page 195: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Branch Officer(Finance) can open the request and do the below actions

ForwardThe request is forwarded to corporate officeSend Back The request is send back to Head of Office

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 195 of 421

Page 196: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL HQ- Dealing Assistant (Accounts II)-HO Check

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 196 of 421

Page 197: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

HQ- Section Officer (Accounts II)-HO Verify

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 197 of 421

Page 198: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 198 of 421

Page 199: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

HQ-Branch Officer (Accounts II)-HO Forward/Pay

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 199 of 421

Page 200: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 200 of 421

Page 201: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Accounts Dealing Assistant - TA Generation

Accounts Dealing Assistant login and from the ERP-Worklist select Finance & AccountsTA Generation.TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 201 of 421

Page 202: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 202 of 421

Page 203: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Against the respective Fund Request, check ‘Generate TA Number’ checkbox and click on Genrate TA Number on the top. On Click,TA Number is Generated.

When TA number is generated the request will be moved out from the list

Generated TA number will be displayed in ‘Paid’ status in the worklist.

To Check TA Number

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 203 of 421

Page 204: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 204 of 421

Page 205: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

To Provide the TA Advice to Bank

Select ApplicationFinance & Accounts

ReportsFinance Reports

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 205 of 421

Page 206: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TA Details Report

Select From Date & To Date.On selecting the From Date & To Date all the TA generated in the period is displayed.

User can select an individual TA number or all TA Numbers and click on ViewPDF

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 206 of 421

Page 207: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.9.3. Corporate Office Fund Transfer

Steps for Corporate Office Fund TransferTo

Regional/Sub-Regional Office

Pre-requisite:1. Application Access 2. User Role Mapping

User role mapping and application access will be provided by the person Nominated by RD for user role mapping in every location.

Steps for Branch Office Fund Request

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 207 of 421

Page 208: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 208 of 421

Page 209: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL 1. Open Mozilla firefox browser2. Type http://myesic.esic.in in the browser. The Login page is displayed as below

3. Enter the login Credentials (User Name, Password) and click on login

4. Post Login the user inbox is as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 209 of 421

Page 210: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

5. From the application menu click on Finance and accounts

6. The Finance and Accounts application menu are displayed as

From the menu select Fund TransferCorporate Office –Fund RequestCreate New. The Fund Request page is displayed as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 210 of 421

Page 211: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 211 of 421

Page 212: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 212 of 421

Page 213: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 213 of 421

Page 214: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 214 of 421

Page 215: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 215 of 421

Page 216: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 216 of 421

Page 217: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.10. Budget Process

Budget Proposal in Accounting Unit

Pre-requisite:1. Application Access 2. User Role Mapping

User role mapping and application access will be provided by WiproSteps for Budget Proposal

3. Open Mozilla firefox browser4. Type http://myesic.esic.in in the browser. The Login page is displayed as below

5. Enter the login Credentials (User Name, Password) and click on login

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 217 of 421

Page 218: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

6. Post Login the user inbox is as below

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 218 of 421

Page 219: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

7. Navigate to ERP Worklist select Finance & Accounts.

Budget Submit-Dealing Assistant

Click on Budget Submit Link

The list view will be displayed.

From the List view user will click “Open Budget Proposal” Link and the below screen will be displayed. User can enter the Proposed R.E for the current year and Proposed B.E for the next year for the minor account head.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 219 of 421

Page 220: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

To propose budget at the account head level user checks “show account head” and the account heads are displayed under the particular minor account head

User can enter the Proposed R.E/B.E by entering the value directly in Override R.E/B.E textbox

User can attach the budget calculation files by clicking on File Upload and attaching the files.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 220 of 421

Page 221: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL The Total proposed R.E & B.E for the branch is displayed on the footer

User enters the notings and clicks on Submit button. On Submit the success message is displayed as “Submitted Successfully” and the budget is forwarded to Section Officer for verification

Section Officer-Verify

Section officer login into the system and the Budget Proposal pending for Forward is displayed in the dashboard

User can see the notings entered by the previous users

If required user can change the value entered by the dealing assistant and Forward to branch officer with notings. On click of Forward “Forwarded Successfully” message is displayed to the user

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 221 of 421

Page 222: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL User also has an option of sending the proposal to the previous user using sendback button

Head of Branch-Approve

Head of Branch login into the system and the Budget Proposal pending for Approve is displayed in the dashboard User clicks on the link and the list view is displayed as below

User clicks on Open Budget Proposal link. On click the below screen is displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 222 of 421

Page 223: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User can see the noting entered by the previous users

If required user can change the value entered by the section officer and Approve the request with the notings. On click of Approve “Approved Successfully” message is displayed to the user

User also has an option of sending the proposal to the previous user using sendback button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 223 of 421

Page 224: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Finance-Concurrence

Head of Branch-Finance login into the system and the Budget Proposal pending for concurrence is displayed in the dashboard User clicks on the link and the list view is displayed as below

User clicks on Open Budget Proposal link. On click the below screen is displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 224 of 421

Page 225: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User can see the notings entered by the previous users

If required user can change the values entered by the Head of the Branch and concur the request with the notings. On click of concur “Concurred Successfully” message is displayed to the user

User also has an option of sending the proposal to the previous user using sendback button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 225 of 421

Page 226: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Head of Accounting Unit(RD/MS/JD)-Approval

Head of Accounting Unit login into the system and the Budget Proposal pending for Approve is displayed in the dashboard

User clicks on the link and the list view is displayed as below

User clicks on Open Budget Proposal link. On click the below screen is displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 226 of 421

Page 227: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User can see the notings entered by the previous users

If required user can change the value entered by the Finance and Approve the request with the notings. On click of Approve “Approved Successfully” message is displayed to the user

User also has an option of sending the proposal to the previous user using sendback button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 227 of 421

Page 228: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.11. Investment Process

2.11.1. Invite BanksLogin: da

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 228 of 421

Page 229: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under Application

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 229 of 421

Page 230: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Create New tab of Invite Bank under Investment menu

Select the Invite Date Click on Invite Banks button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 230 of 421

Page 231: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Bank details are displayed and click on Submit Button

Login: so

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 231 of 421

Page 232: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under ERP Worklist

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 232 of 421

Page 233: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Invite Bank Verify against Invite Bank

Click on Open Invite Bank hyperlink

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 233 of 421

Page 234: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter the notings and click on Verify button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 234 of 421

Page 235: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 235 of 421

Page 236: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 236 of 421

Page 237: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: hob

Click on Finance And Accounts tab under ERP Worklist

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 237 of 421

Page 238: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Invite Bank Forward hyperlink against Invite Bank

Click on Open Invite Bank hyperlink

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 238 of 421

Page 239: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter the notings and click on forward button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 239 of 421

Page 240: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 240 of 421

Page 241: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 241 of 421

Page 242: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: DOF

Click on Finance And Accounts tab under ERP Worklist

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 242 of 421

Page 243: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Invite Bank Recommend hyperlink against Invite Bank

Click on Open Invite Bank hyperlink

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 243 of 421

Page 244: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter the notings and click on Recommend button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 244 of 421

Page 245: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

Login : fc

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 245 of 421

Page 246: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under ERP Worklist

Click on Invite Bank Approve hyperlink against Invite Bank

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 246 of 421

Page 247: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 247 of 421

Page 248: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 248 of 421

Page 249: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.11.2. Investment Quotation

Login : da

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 249 of 421

Page 250: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under Application

Click on Create New tab of Investment Quatation under Investment menuTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 250 of 421

Page 251: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Fill the mandatory fields and click on Show Approved Banks

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 251 of 421

Page 252: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 252 of 421

Page 253: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: so

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 253 of 421

Page 254: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under ERP Worklist

Click on Verify hyperlink against Investment Quotation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 254 of 421

Page 255: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open Rate Quotation

Check the ‘Criteria Checked’ check box, enter the notings and click on verify button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 255 of 421

Page 256: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 256 of 421

Page 257: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login : hob

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 257 of 421

Page 258: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under ERP Worklist

Click on Forward hyperlink against Investment Quotation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 258 of 421

Page 259: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open Rate Quotation hyperlink

Banks are ranked as H1, H2, and H3

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 259 of 421

Page 260: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter the notings and click on Forward button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 260 of 421

Page 261: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login : DOF

Click on Finance And Accounts tab under ERP Worklist

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 261 of 421

Page 262: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Recommend hyperlink against Investment Quotation

Click on Open Rate Quotation hyperlink

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 262 of 421

Page 263: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter Notings

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 263 of 421

Page 264: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 264 of 421

Page 265: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Click on Recommend Button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 265 of 421

Page 266: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login : fc

Click on Finance And Accounts tab under ERP Worklist

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 266 of 421

Page 267: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Approve hyperlink against Investment Quotation

Click on Open Rate Quotation hyperlink

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 267 of 421

Page 268: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Enter the notings and click on Verify button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 268 of 421

Page 269: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.11.3. InvestmentLogin: da

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 269 of 421

Page 270: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under ERP Worklist

Click on Invest hyperlink against Investment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 270 of 421

Page 271: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open hyperlink against ranking H1

Enter Notings and click on Submit Button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 271 of 421

Page 272: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 272 of 421

Page 273: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login : so

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 273 of 421

Page 274: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Click on Finance And Accounts tab under ERP Worklist

Click on InvestmentCheck hyperlink against Investment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 274 of 421

Page 275: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open hyperlink

Enter Notings

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 275 of 421

Page 276: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 276 of 421

Page 277: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on InvestmentVerify hyperlink against Investment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 277 of 421

Page 278: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open hyperlink

Enter the notings and click on Verify button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 278 of 421

Page 279: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 279 of 421

Page 280: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: dof

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 280 of 421

Page 281: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Finance And Accounts tab under ERP Worklist

Click on InvestmentForward hyperlink against Investment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 281 of 421

Page 282: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open hyperlink

Enter the notings and click on Approve button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 282 of 421

Page 283: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 283 of 421

Page 284: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Login: da

Click on Finance And Accounts tab under ERP Worklist

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 284 of 421

Page 285: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Pay hyperlink against Investment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 285 of 421

Page 286: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on Open hyperlink

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 286 of 421

Page 287: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Enter the notings and click on Pay button

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 287 of 421

Page 288: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Click on OK button of pop up message

2.12. Pension ProcessPre-requisite: Separation Process need to be initiated from Core HRMS Module

2.12.1. Pension Process HQ (A&B)

Pension Process for A & B -HQ Employees

Initiation and Processing of Pension request.

User: Accts III DA

Login and click Payroll under ERP Work list and then click – Active under Accounting Unit

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 288 of 421

Page 289: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Another screen with Accounting unit and Search Retirement Employee will be displayed as shown below.

Click Search Retirement Employee under ESIC-HQ Accounting Unit details.

Another screen for giving from and to dates to search for future retiring employees will be displayed.

Give 2 dates – “from and to” and click search button to search for the employees retiring with in these 2 dates. The date range may be of 3 to 6 months.

A list of Employees with following fields will be displayed.

1. Sl No2. Employee No3. Employee Name 4. Date of birth5. Designation6. Department7. Date of Retirement8. Accounting Unit

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 289 of 421

Page 290: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Click the Submit button available below the list for processing of pension for those retiring employees in the list. Do not submit when processing of pension is not required.

Cancel button can be used for clearing the list before submission and can be searched

Once the list is submitted by DA, these retiring Employees records will be processed for pension and these records will now be available with:

Retiring Employee

User:Retiring Employee

Log in and click payroll under ERP work list and Employee record will be available as Pending form submission under Retirement Information and click on it., the record will be displayed.Click Open the record– Form 5 and other annexure will be available to employee to enter and submit and click O.K

Employee will fill the following fields.

Fields related to

Information on Govt quarters

Address after retirement

Existing Pension details

Family members employment detailsTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 290 of 421

Page 291: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Payment through –Whether it is through ESIC or Bank – mandatory field

Bank, Branch and Account details- mandatory field

IFSC and MICR codes – mandatory field

Under Annexure -1 Passport size joint photograph- Enter the Wife or Husband name and select the relationship from the dropdown list

Enter all the fields for which information is available in Form A

Fraction of superannuation pension --- if CVP required (optional)

Under disbursing authority- Accounts Office of the Ministry/dept/office

Submit and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 291 of 421

Page 292: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 292 of 421

Page 293: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 293 of 421

Page 294: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Processing of form 7/18User-Accts III DA

Log in and click Payroll under ERP work list and then click Accounts III check– under retirement information All the records processed and submitted by the employee and EO/VO will be available for him- click open

The Form 7/18 will be displayed for that particular employee clicked

Go through all the calculations of Pension, DCRG and CVP and submit with Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 294 of 421

Page 295: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 295 of 421

Page 296: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 296 of 421

Page 297: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts III SO

Log in and click Payroll under ERP work list and then click Acc III Verify – under retirement information. The record will be displayed and then click “open”The form 7/18 will be displayed with all Pension/DCRG/CVP calculations

After verification, click verify after Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 297 of 421

Page 298: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 298 of 421

Page 299: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 299 of 421

Page 300: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts III HOBLog in – and click Payroll under ERP work list and records will be available for approval under retirement information. Click Accounts III Approve-.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 300 of 421

Page 301: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Open the record, Form 7/18 will be displayed ( as shown under User -SO, above) go through the calculations and click approve after Noting and then click O.K

User- Est V HOB

Log in – Click Payroll under ERP Work list menu and then click establish V Approve – under retirement information. . Click Open the record. Form 7/18 (as shown above under Accts III SO) with all Pension calculations along with noting from SO and DA will be displayed, click approve after Noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 301 of 421

Page 302: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User—Accts III DA

Log in and click Payroll under ERP work list and then the approved records will be available under Accounts III check 2-Retirement Information. Click it and records will be displayed.Click open the record and go through form 7/18 again ( as shown above under Accts III SO) and also the approvals and notingSubmit and click O.K

User- Accts IV DA

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 302 of 421

Page 303: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Log in and click payroll under ERP work list and then click Account IV check under retirement information. Click Open the record the Form 7/18 will be displayed ( as shown under Accts III SO above)and validate all the particulars including calculations and submit after Noting and click O.K

User-Accts IV SO

Log in and click Payroll under ERP work list and then click Account IV verify – and click openForm 7/18 will be displayed.( as shown under Accts III SO above ) Then verify all the details including calculations and click Verify after Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 303 of 421

Page 304: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts IV HOB

Log in and click payroll under ERP work list and then click Account IV approve – under Retirement information The records will be displayed and then click OpenForm 7/18 will be displayed (as shown under Accts III SO above) Verify the calculations and other details and click Approve after noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 304 of 421

Page 305: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Generation of PPO/DCRG/CVP

User-Accts IV DA

Log in and click payroll under ERP work list and then click Provisional Pension / PPO /DCRG/CVP- Check and open the particular Employees recordThe PPO/DCRG/CVP will be displayed. Submit with Noting for verification by SO and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 305 of 421

Page 306: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 306 of 421

Page 307: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts IV SO

Log in and click payroll under ERP work list and then click Provisional Pension / PPO/DCRG/CVP- Verify and click open the required record.Verify PPO/DCRG/CVP and click Verify with Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 307 of 421

Page 308: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 308 of 421

Page 309: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts IV HOB

Log in and click payroll under ERP work list and click Provisional Pension / PPO/DCRG/CVP – Approve and click open the required record.Verify and click Approve with Noting and then click O.KNow the record is ready for Pension payment bill generation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 309 of 421

Page 310: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 310 of 421

Page 311: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

DCRG and CVP Payment Bill Generation

User-Accts III DA

For vigilance clearance before payment:

Log in and click payroll under ERP work list and then click Approved PPO/DCRG/CVP- under Retirement Information The records will be displayed. Click” open” the record to process for bill generation. The PPO/DCRG/CVP for that employee will be displayed and Click “submit” for getting vigilance clearance from Vigilance Dept before payment. Now the record will be available with Vigilance DA.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 311 of 421

Page 312: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 312 of 421

Page 313: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 313 of 421

Page 314: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-VC-DA at HQ

Log in and click payroll under ERP work list and then click Pending VC (vigilance clearance) for payment-. The record will be displayed. Click Open and tick” Is vigilance clearance“ box, if all cleared and - un tick “Is vigilance clearance” box, if cases are pending/not clearedSubmit and click O.K. The record will now be available with VC-SO for verification

Users-VC-SO at HQ VC-HOB at HQ VC-Director at HQ VC-CVO at HQ

After submission from VC-DA, the record will be available for verification withVC-SO – as Pending VC for Payment –Verify in task status under Retirement information

Similarly after VC-SO submission, the same record will be available with VC-HOB.-as Pending VC for Payment Approve –HOB

VC-HOB may approve or can forward to the VC-Director for his approval depending on the case TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 314 of 421

Page 315: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

The same record with task status as Pending VC for Payment Approve-Director will be available with VC-Director and he will either Approve or forward it to CVO for further Approval

Similarly the same record with task status as Pending VC for Payment Approve-CVO will be available to VC-CVO for approval.

Once the record gets approved (with vigilance clearance YES), the same will be available with Accts III-DA for generation of CVP and DCRG bills. The PPO part will be sent to the Bank for making payment of monthly pension.

When Vigilance Clearance is NO, there will be no bill generation and payment of CVP and DCRG and hence the record will be available with Accts III –DA with task status as Pending Pensioners Activity for restarting /reprocessing of pension again, since only Provisional pension will be calculated and PPO issued accordingly without DCRG and CVP amount.

User-Accts III DA

Log in and click payroll under ERP work list and then click “Pending CVP payment check –” for CVP bill generation and paymentSimilarly click “Pending DCRG payment check –“ for DCRG bill generation and paymentand click open the required recordThe CVP and DCRG Bill screen will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 315 of 421

Page 316: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

In both cases under Account type select the account 415020100000002 cash with banks in account 2 SBI. Submit and click O.K.The Payment No and date will be generated after submission.

User-Accts III SO

Log in and click payroll under ERP work list and then click “pending CVP Payment verify “ for verification of billSimilarly click “Pending DCRG Payment verify ” for verification of billYou can see the bill No displayed. Click open the required record and then Submit for sending it to Hob for approval

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 316 of 421

Page 317: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 317 of 421

Page 318: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts III HOB

Log in and click payroll under ERP work list and then click “Pending CVP Payment Approve ” for approval of bill and click “Pending DCRG Payment Approve” for approval of billClick “open” the required record and Submit and then click O.K.Now the bill is ready for payment voucher generation in finance.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 318 of 421

Page 319: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.12.2. Pension Process HQ (C&D)

Pension Process for C & D HQ Employees

Initiation and Processing of Pension request.

User: Establishment V DA

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 319 of 421

Page 320: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Login and under ERP Worklist – click Payroll, and then click Accounting Unit - Active

Another screen with Accounting unit and Search Retirement Employee will be displayed as shown below.

Click Search Retirement Employee under ESIC _HQ Accounting Unit details.

Another screen for giving from and to dates to search for future retiring employees will be displayed.Give 2 dates – “from and to” and click search button to search for the employees retiring with in these 2 dates. The date range may be of 3 to 6 months.

A list of Employees with following fields will be displayed. 1. Sl No

2. Employee No3. Employee Name 4. Date of birth5. Designation6. Department7. Date of Retirement8. Accounting Unit

Click the Submit button available below the list for processing of pension for those retiring employees in the list. Do not submit when processing of pension is not required.

Cancel button can be used for clearing the list before submission and can be searched again.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 320 of 421

Page 321: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Once the list submitted by DA, these retiring Employees records will be processed for pension and these records will now be available with::

Retiring Employee

User:Retiring Employee

Log in and click payroll under ERP work list and then click Pending form submission under Retirement Information and click on that, the record will be displayed.Click Open – Form 5 and other annexure will be available to employee to enter and submit and click O.K

Employee will fill the following fields.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 321 of 421

Page 322: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Fields relating to

Information on Govt quarters

Address after retirement

Existing Pension details if any

Family members employment details

Payment through –Whether it is through ESIC or Bank – mandatory field

Bank, Branch and Account details- mandatory field

IFSC and MICR codes – mandatory field

Under Annexure -1 Passport size joint photograph- Enter the Wife or Husband name and select the relationship from the dropdown list

All the fields in Form A where ever data is required/available

Fraction of superannuation pension --- if CVP required (optional)

Under disbursing authority- Accounts Office of the Ministry/dept/office

Submit and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 322 of 421

Page 323: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 323 of 421

Page 324: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 324 of 421

Page 325: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Processing of form 7/18User-Est V DA

Log in and click payroll under ERP work list and then click Establishment V check under retirement informationAll the records processed and submitted by the employee and EO/VO will be available click “open”

The Form 7/18 will be displayed for that particular employee clicked

Go through all the calculations of Pension, DCRG and CVP and submit with Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 325 of 421

Page 326: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 326 of 421

Page 327: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 327 of 421

Page 328: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Est V SO

Log in and click payroll under ERP work list and then click Establishment V Verify - under retirement information. The record will be displayed and then click “open”The form 7/18 will be displayed with all Pension/DCRG/CVP calculations

After verification, click verify after Noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 328 of 421

Page 329: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 329 of 421

Page 330: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 330 of 421

Page 331: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Est V HOB

Log in and click payroll under ERP work list and click Establishment V Approve-. Under Retirement information

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 331 of 421

Page 332: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Open the record, Form 7/18 will be displayed ( as shown above) go through the calculations and click approve after Noting and then click O.K

User- Accts III DA

Log in and click payroll under ERP work list and then click Account III check- under retirement information. Click Open the record, the Form 7/18 will be displayed ( as shown above)and validate all the particulars including calculations and submit after Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 332 of 421

Page 333: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts III SO

Log in and click payroll under ERP work list and then click Account III verify – and click openForm 7/18 will be displayed.( as shown above ) Then verify all the details including calculations and click Verify after Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 333 of 421

Page 334: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts III HOB

Log in and click payroll under ERP work list and then click Account III approve – under Retirement information The records will be displayed and then click OpenForm 7/18 will be displayed (as shown above) Verify the calculations and other details and click Approve after Noting and then click O.K

Generation of PPO/DCRG/CVP and Provisional pension

User-Est V DA

Log in and click payroll under ERP work list and then click Provisional Pension / PPO /DCRG/CVP-Check under Retirement Information and click open the particular Employees recordThe PPO/DCRG/CVP will be displayed. Submit with Noting for verification by SO and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 334 of 421

Page 335: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 335 of 421

Page 336: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 336 of 421

Page 337: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Est V SO

Log in and click payroll under ERP work list and then click Provisional Pension / PPO/DCRG/CVP- Verify and click open the required record.Verify PPO/DCRG/CVP and click Verify with Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 337 of 421

Page 338: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 338 of 421

Page 339: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Est V HOB

Log in and click payroll under ERP work list and then click Provisional Pension / PPO/DCRG/CVP – Approve and click open the required record.Verify and click Approve with Noting and then click O.KNow the record is ready for Pension payment bill generation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 339 of 421

Page 340: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 340 of 421

Page 341: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

DCRG and CVP Payment Bill Generation

User-Accts III DA

For vigilance clearance before payment:

Log in and click payroll under ERP work list and then click Approved PPO/DCRG/CVP- under Retirement Information The records will be displayed. Click ” Open” the record to process for bill generation. The PPO/DCRG/CVP for that employee will be displayed and Click “submit” for getting vigilance clearance from Vigilance Officer before payment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 341 of 421

Page 342: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 342 of 421

Page 343: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 343 of 421

Page 344: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL User-VO at HQ

Log in and click payroll under ERP work list and then click Pending VC (vigilance clearance) for payment-. The record will be displayed. Click Open and tick” Is vigilance clearance“ box, if all cleared and - un tick “Is vigilance clearance” box, if cases are pending/not clearedSubmit and click O.K. When vigilance clearance is YES , then the record will be available to Accts III DA for generation of CVP and DCRG bills.

When Vigilance Clearance is NO, there will be no bill generation and payment of CVP and DCRG and hence the record will be available with Est. V– DA with task status as Pending Pensioners Activity for restarting /reprocessing of pension again, since only Provisional pension will be calculated and PPO issued accordingly without DCRG and CVP amount.

User-Accts III DA

Log in and click payroll under ERP work list and click “Pending CVP payment check ” for CVP bill generation and paymentSimilarly click “Pending DCRG payment check ” for DCRG bill generation and payment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 344 of 421

Page 345: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL and click open the required recordThe CVP and DCRG Bill screen will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 345 of 421

Page 346: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL In both cases under Account type select the account 415020100000002 cash with banks in account 2 SBI. Submit and click O.K.The Payment No and date will be generated after submission. Submit and click O.K.

User-Accts III SO

Log in and click payroll under ERP work list and then click “pending CVP Payment verify “ for verification of billSimilarly click “Pending DCRG Payment verify” for verification of billYou can see the bill No displayed. Click open the required record and then Submit for sending it to Hob for approval

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 346 of 421

Page 347: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts III HOB

Log in and click payroll under ERP work list and then click “Pending CVP Payment Approve ” for approval of bill and click “Pending DCRG Payment Approve ” for approval of billClick “open” the required record and Submit and then click O.K.Now the bill is ready for payment Voucher generation in Finance.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 347 of 421

Page 348: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

2.12.3. Pension Process RO/SRO/Hospital (A&B)

Pension Process for A & B –RO/SRO/HOSPITAL

Initiation and processing of Pension Request

SRO/RO/HOSPITALUser: Accts DA

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 348 of 421

Page 349: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Login and click Payroll under ERP Work list and then click – Active under Accounting Unit

Another screen with Accounting unit and Search Retirement Employee will be displayed as shown below.

Click Search Retirement Employee under RO/SRO/Hospital Accounting Unit details.

Another screen for giving from and to dates to search for future retiring employees will be displayed A list of Employees with following fields will be displayed.

1. Sl No2. Employee No3. Employee Name 4. Date of birth5. Designation6. Department7. Date of Retirement8. Accounting Unit

Click the Submit button available below the list for processing of pension for those retiring employees in the list. Do not submit when processing of pension is not required.

Cancel button can be used for clearing the list before submission and can be searchedTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 349 of 421

Page 350: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Once the list submitted by DA, these retiring Employees records will be available to the Retiring Employee.

User:Retiring Employee

Log in and click payroll under ERP work list and Employee record will be available as Pending form submission under Retirement Information and click on it., the record will be displayed.Click Open the record– Form 5 and other annexure will be available to employee to enter and submit and click O.K

Employee will fill the following fields.

Fields related to

Address after retirement

Existing Pension details

Family members employment details

Payment through –Whether it is through ESIC or Bank – mandatory field

Bank, Branch and Account details- mandatory fieldTP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 350 of 421

Page 351: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

IFSC and MICR codes – mandatory field

Under Annexure -1 Passport size joint photograph- Enter the Wife or Husband name and select the relationship from the dropdown list

Fields in Form A if required

Fraction of superannuation pension --- if CVP required (optional)

Under disbursing authority- Accounts Office of the Ministry/dept/office

Submit and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 351 of 421

Page 352: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 352 of 421

Page 353: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 353 of 421

Page 354: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Processing of form 7/18User-Accts DA

Log in and click Payroll under ERP work list and then click Accounts check– under retirement information All the records processed and submitted by the employee will be available for the DA- click open

The Form 7/18 will be displayed for that particular employee clicked

Go through all the calculations of Pension, DCRG and CVP and submit with Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 354 of 421

Page 355: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 355 of 421

Page 356: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 356 of 421

Page 357: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts SO

Log in and click Payroll under ERP work list and then click Acc Verify – under retirement information. The record will be displayed and then click “open”The form 7/18 will be displayed with all Pension/DCRG/CVP calculations

After verification, click verify after Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 357 of 421

Page 358: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 358 of 421

Page 359: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 359 of 421

Page 360: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts BO/HOB

Log in – and click Payroll under ERP work list and records will be available for approval under retirement information. Click Accounts Approve-.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 360 of 421

Page 361: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Open the record, Form 7/18 will be displayed ,go through the calculations and click approve after Noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 361 of 421

Page 362: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User- RD/MS/DM

Log in – Click Payroll under ERP Work list menu and then click MS/ RD Approve – under retirement information..Records will be displayed. Click Open the required record. Form 7/18 ( as shown above ) with all Pension calculations along with noting , will be displayed. Click approve after Noting and then click O.K

User- HQ Accts IV DA

Log in and click Payroll under ERP work list and then the approved records will be available under Accounts IV check -Retirement Information. Click it and records will be displayed.Click open the record and go through form 7/18 again ( as shown above under Accts SO) and also the approvals and noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 362 of 421

Page 363: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Submit and click O.K

User- HQ Accts IV SO

Log in and click payroll under ERP work list and then click Account IV Verify Form 7/18 will be displayed.( as shown above ) Then verify all the details including calculations and click Verify after Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 363 of 421

Page 364: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-HQ Accts IV HOB

Log in and click payroll under ERP work list and then click Account IV approve – under Retirement information The records will be displayed and then click OpenForm 7/18 will be displayed (as shown under Accts SO above) Verify the calculations and other details and click Approve after noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 364 of 421

Page 365: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Generation of PPO/DCRG/CVP

User-HQ Accts IV DA

Log in and click Payroll under ERP work list and click Provisional Pension / PPO /DCRG/CVP- Check and click open the particular Employees recordThe PPO/DCRG/CVP will be displayed. Submit with Noting for verification by SO and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 365 of 421

Page 366: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 366 of 421

Page 367: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-HQ Accts IV SO

Log in and click Payroll under ERP work list and click Provisional Pension / PPO/DCRG/CVP- Verify under retirement information and click open the required record.Verify PPO/DCRG/CVP and click Verify with Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 367 of 421

Page 368: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 368 of 421

Page 369: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-HQ Accts IV HOB

Log in and click payroll under ERP work list and then click Provisional Pension / PPO/DCRG/CVP – Approve under retirement information and click open the required record.Verify and click Approve with Noting and then click O.KNow the record is ready for Pension payment bill generation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 369 of 421

Page 370: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 370 of 421

Page 371: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 371 of 421

Page 372: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

DCRG and CVP Payment Bill Generation

SRO/RO/HospitalUser-Accts DA

For vigilance clearance before payment:

Log in and click Approved PPO/DCRG/CVP- under Retirement Information after clicking Payroll under Work list The records will be displayed. Click ” open” the record to process for bill generation. The PPO/DCRG/CVP for that employee will be displayed and Click “submit” the record will now be available with Vigilance DA for vigilance clearance.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 372 of 421

Page 373: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 373 of 421

Page 374: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 374 of 421

Page 375: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-VC-DA at HQ

Login and click payroll under ERP work list and then click Pending VC for Payment check under Retirement informationThe records pending for vigilance clearance will be displayed.Click Yes or No depending on whether Vigilance is cleared or not cleared and submit with a Noting and click O.K when the popup comes up with “submitted successfully”

Users-VC-SO at HQ VC-HOB at HQ VC-Director at HQ VC-CVO at HQ

After submission from VC-DA, the record will be available for verification with

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 375 of 421

Page 376: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL VC-SO – as Pending VC for Payment –Verify in task status under Retirement information

Similarly after VC-SO submission, the same record will be available with VC-HOB.-as Pending VC for Payment Approve –HOB

VC-HOB may approve or can forward to the VC-Director for his approval depending on the case

The same record with task status as Pending VC for Payment Approve-Director will be available with VC-Director and he will either Approve or forward it to CVO for further Approval

Similarly the same record with task status as Pending VC for Payment Approve-CVO will be available to VC-CVO for approval.

Once the record gets approved (with vigilance clearance YES), the same will be available with RO/SRO/Hospital Accts-DA for generation of CVP and DCRG bills. The PPO part will be sent to the Bank for making payment of monthly pension.

When Vigilance Clearance is NO, there will be no bill generation and payment of CVP and DCRG and hence the record will be available with Accts –DA with task status as Pending Pensioners Activity for restarting /reprocessing of pension again, since only Provisional pension will be calculated and PPO issued accordingly without DCRG and CVP amount.

RO/SRO/Hospital

User-Accts DA

Log in and click Payroll under ERP work list and click “Pending CVP payment check for CVP bill generation and paymentSimilarly click “Pending DCRG payment check for DCRG bill generation and paymentand click open the required recordThe CVP and DCRG Bill screen will be displayedSubmit and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 376 of 421

Page 377: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 377 of 421

Page 378: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

In both cases under Account type select the account 415020100000001 cash with banks in account 2 SBI. Submit with noting and click O.K.The Payment No and date will be generated after submission.

RO/SRO/Hospital

User-Accts SO

Log in and click Payroll under ERP work list and then click “pending CVP Payment verify“ for verification of billSimilarly click “Pending DCRG Payment verify” for verification of billYou can see the bill No displayed. Click open the required record and then Submit for sending it to Hob for approval and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 378 of 421

Page 379: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 379 of 421

Page 380: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL RO/SRO/Hospital

User-Accts HOB

Log in and click Payroll under ERP work list and click “Pending CVP Payment Approve- for approval of billLog in and click “Pending DCRG Payment Approve” for approval of billClick “open” the required record and Submit and then click O.K.Now the bill is ready for payment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 380 of 421

Page 381: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Now both of these records ie DCRG and CVP will be ready for Generation of Payment voucher in Finance.

2.12.4. Pension Process RO/SRO (C&D)

Pension Process for C & D –RO/SRO/Hospital

Steps for processing Pension

SRO/ROUser: Admin DA

Login and click Payroll under ERP work list and then click Accounting Unit - Active

Another screen with Accounting unit and Search Retirement Employee will be displayed as shown below.

Click Search Retirement Employee under RO/SRO eg:SRO Bommasandra Accounting Unit .

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 381 of 421

Page 382: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Another screen for giving from and to dates to search for future retiring employees will be displayed as shown belowGive 2 dates – “from and to” and click search button to search for the employees retiring with in these 2 dates. The date range may be of 3 to 6 months. A list of Employees with following fields will be displayed.

1. Sl No2. Employee No3. Employee Name 4. Date of birth5. Designation6. Department7. Date of Retirement8. Accounting Unit

Click the Submit button available below the list for processing of pension for those retiring employees in the list. Do not submit when processing of pension is not required.

Cancel button can be used for clearing the list before submission and can be searched again.

Once the list submitted by DA, these retiring Employees records will now be available to the concerned Employee.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 382 of 421

Page 383: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL Retiring Employee

Log in and click payroll under ERP work list and then click Pending form submission under Retirement Information and click on that, the record will be displayed.Click Open – Form 5 and other annexure will be available to employee to enter and submit and click O.K

Employee will fill the following fields.

Fields related to

Information on Govt quarters

Address after retirement

Existing Pension details

Family members employment details

Payment through –Whether it is through ESIC or Bank – mandatory field

Bank, Branch and Account details- mandatory field

IFSC and MICR codes – mandatory field

Under Annexure -1 Passport size joint photograph- Enter the Wife or Husband name and select the relationship from the dropdown list

Fields in Form A if required

Fraction of superannuation pension --- if CVP required (optional) TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 383 of 421

Page 384: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Under disbursing authority- Accounts Office of the Ministry/dept/office

Submit and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 384 of 421

Page 385: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 385 of 421

Page 386: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Processing of form 7/18

User-Admin DA

Log in and click payroll under ERP work list and then click Pending Pension for check- under retirement information All the records processed and submitted by the employee will be displayed click “open”

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 386 of 421

Page 387: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

When you click Open the Form 7/18 will be displayed for that particular employee. Go through all the calculations of Pension, DCRG and CVP and submit with Noting

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 387 of 421

Page 388: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 388 of 421

Page 389: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 389 of 421

Page 390: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Admin SO

Log in and click payroll under ERP work list and then click Pending pension for Verify – under retirement information. The record will be displayed and then click “open”The form 7/18 will be displayed with all Pension/DCRG/CVP calculations

After verification, click verify after Noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 390 of 421

Page 391: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 391 of 421

Page 392: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 392 of 421

Page 393: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Admin BO/HOB

Log in – and click payroll under ERP work list and records will be available for Pending pension for approval under retirement information –Click Pending pension for Approve-

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 393 of 421

Page 394: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Open the record, Form 7/18 will be displayed go through the calculations and click approve after Noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 394 of 421

Page 395: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User- Accts DA

Log in and click payroll under ERP work list and then click Account Check – under retirement information. Click Open the record, the Form 7/18 will be displayed ( as shown above)and validate all the particulars including calculations and submit after Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 395 of 421

Page 396: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 396 of 421

Page 397: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 397 of 421

Page 398: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User- Accts SO

Log in and click payroll under ERP work list and then click Account Verify – and click openForm 7/18 will be displayed.( as shown above ) Then verify all the details including calculations and click Verify after noting

User-Accts HOB

Log in and click payroll under ERP work list and then click Account Approve – under Retirement information The records will be displayed and then click OpenForm 7/18 will be displayed (as shown above) Verify the calculations and other details and click Approve after noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 398 of 421

Page 399: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-RD

Log in and click payroll under ERP work list and click Pending Pension for RD Approve – number box under Retirement information The records will be displayed and then click OpenForm 7/18 will be displayed (as shown above) Verify the calculations and other details and click Approve after noting and then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 399 of 421

Page 400: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Generation of PPO/DCRG/CVP

User-Admin DA

Log in and click payroll under ERP work list and click Pending PPO /DCRG/CVP for check- and click open the particular Employees recordThe PPO/DCRG/CVP will be displayed. Check and Submit with Noting & then click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 400 of 421

Page 401: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 401 of 421

Page 402: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 402 of 421

Page 403: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Admin OS/SO

Log in and click payroll under ERP work list and click Pending PPO/DCRG/CVP for Verify-- and click open the required record.Verify PPO/DCRG/CVP, click Verify with Noting and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 403 of 421

Page 404: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 404 of 421

Page 405: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Admin HOB/BO

Log in and click payroll under ERP work list and click Pending PPO/DCRG/CVP for Approve – and click open the required record.Verify and click Approve with Noting and then click O.KNow the record is ready for Pension payment bill generation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 405 of 421

Page 406: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 406 of 421

Page 407: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-RD

Log in and click payroll under ERP work list and click Pending PPO/DCRG/CVP for RD Approve – and click open the required record.Verify and click Approve with Noting and then click O.KNow the record is ready for Pension payment bill generation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 407 of 421

Page 408: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 408 of 421

Page 409: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 409 of 421

Page 410: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

DCRG and CVP Payment Bill Generation

User-Accts DA

For vigilance clearance before payment:

Log in and click payroll under ERP work list and then click Approved PPO/DCRG/CVP- under Retirement Information The records will be displayed. Click ” Open” the record to process for bill generation. The PPO/DCRG/CVP for that employee will be displayed and Click “submit” for getting vigilance clearance from Vigilance Officer before payment

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 410 of 421

Page 411: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 411 of 421

Page 412: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-VO at RO

Log in and click payroll under ERP work list and click Pending VC (vigilance clearance) for payment-. The record will be displayed. Click Yes or No depending on whether Vigilance clearance can be given or not .Submit and click O.K

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 412 of 421

Page 413: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL If the Vigilance clearance is ‘YES’, then the same record will be available to Accts DA for Generating CVP and DCRG bill for Payment

If the Vigilance clearance is’ NO’, then retiring employee will not be paid DCRG and CVP, instead the record goes back to Admin DA with task status as Pending Pensioner Activity under Retirement Information for re starting / re processing of pension so that fresh PPO is generated with Provisional Pension only and there will not be any DCRG and CVP calculation and payment

User-Accts DA

Log in and click payroll under ERP work list and click “Pending CVP payment check ” for CVP bill generation and paymentSimilarly click “Pending DCRG payment check ” for DCRG bill generation and paymentand click open the required recordThe CVP and DCRG Bill screen will be displayed

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 413 of 421

Page 414: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

In both cases under Account type select the account 415020100000001 cash with banks in account 2 SBI. Submit and click O.K.The Payment No and date will be generated after submission. Submit and click O.K.

User-Accts SO

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 414 of 421

Page 415: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Log in and click payroll under ERP work list and then click “pending CVP Payment verify “ for verification of billSimilarly click “Pending DCRG Payment verify” for verification of billYou can see the bill No displayed. Click open the required record and then Submit for sending it to Hob for approval

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 415 of 421

Page 416: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

User-Accts HOB/BO

Log in and click payroll under ERP work list and then click “Pending CVP Payment Approve ” for approval of bill and click “Pending DCRG Payment Approve ” for approval of billClick “open” the required record and Submit and then click O.K.Now the bill is ready for payment Voucher generation

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 416 of 421

Page 417: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

Both DCRG and CVP bills are ready for Payment voucher generation in Finance module.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 417 of 421

Page 418: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

3 Troubleshooting

3.1. FAQsCommon and frequently asked questions can be answered here. For the first few releases, AT experiences can be described.

4 Contact InformationDescribe all contact information including addresses and telephone numbers for Sales and Support offices in all locations. Divide by geography if necessary.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 418 of 421

Page 419: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

5 Appendix A

5.1. Terms and AbbreviationsDefine all the terms used in the document. Expand all abbreviations used.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 419 of 421

Page 420: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

6 Appendix B

6.1. Advanced InformationInclude extra information such as flow-charts, shortcut keys etc here.

This section can be made as a chapter, if necessary.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 420 of 421

Page 421: · 2013-06-18PK ! [Content_Types].xml ( VMo @ W @{ ` 2 !i M ?` M K F y hM

1

USER MANUAL

7 Appendix C

7.1. ResourcesInclude resources to relevant web pages, books/papers, if needed.

TP_USRMAN – Version 2.00

Select the document classification as per the defined classification in the master list of documents’ for your project <VERY CONFIDENTIAL/CONFIDENTIAL/INTERNALLY RESTRICTED/PUBLIC> Page 421 of 421


Recommended