DIGIT Urban
PlatformDomainsAcademyDesign SystemFeedback
v2.6
v2.6
  • DIGIT Urban
  • Access DIGIT
  • Architecture
  • Roadmap
  • Release Notes
    • MDMS Configuration & Service Build Updates
    • Test Cases
    • Property Tax Release Notes
    • Citizen Engagement: Documents Feature Release Notes
    • OBPS Release Notes
  • Source Code-Urban Stack
  • 📘Product Docs
    • Products & Modules
      • Trade License (TL)
        • TL Brochure
        • TL Roadmap
        • TL Module Functional Specifications
        • TL Workflows
        • TL Implementation Guide
        • TL Master Data Templates
          • Trade Type
          • Trade Sub Type
          • Trade Category
          • Trade License Fee
          • Structure Sub Type
          • Structure Type
          • Trade License Document Attachment
        • TL Service Configuration
          • Trade License Calculator
        • TL Apply Flow UI Details
          • My Applications UI Flow
          • Send Back - Edit UI Flow
          • Trade License Renewal UI Flow
          • Employee Inbox UI Details
          • Employee Search Application Search License UI Flow
          • New Trade License UI Flow
          • Application Details - Trade Details UI Flows
          • Renew Edit Application
        • TL User Manual
          • Citizen User Manual
          • Employee User Manual
        • TL Demo Script
      • Property Tax
        • PT Brochure
        • PT Roadmap
        • PT Module Functional Specifications
        • PT Workflows
        • PT Implementation Guide
        • PT Master Data Templates
          • Mutation Fee
          • Rebate Rates
          • Penalty Rates
          • Interest Rates
          • Tax Rates
          • Unit Rates
          • Special Category Documents
          • Owner Special Category
          • Ownership Sub Category
          • Ownership Category
          • Usage Category Detail
          • Road Type
          • Construction Type
          • Property Type
          • Property Sub Type
          • Usage Category Major
          • Usage Category Minor
          • Usage Category Sub Minor
        • Property Tax Service
          • Property Mutation & Mutation Calculator
          • PT Update Number & Alternate Number
            • Update Primary Mobile Number & Alternate Mobile Number
          • Assessment of Property
          • PT Calculator
          • Fuzzy Search
            • Fuzzy Search Reindexing
        • PT - Create Property UI Details
          • Edit-Update Property
          • Property Tax - My Applications
          • Property Tax - My Properties
          • Property Tax - Quick Pay for Citizen
          • Create Application - Employee UI/UX Revamp
          • Employee Edit Application Flow
          • Employee - Search Property, Property Details Page & Assessment
          • Employee - Inbox & Application Details
          • Employee Inbox (Old UI)
          • Citizen Mutation Flow
          • Employee - Mutation (Ownership Transfer)
        • PT Data Migration
        • PT User Manual
          • Citizen User Manual
          • Employee User Manual
      • Water & Sewerage (W&S)
        • W&S Implementation Guide
        • W&S Module Functional Specifications
        • Water Services
          • Water Calculator Service
          • Sewerage Service
          • Sewerage Calculator Service
        • Sewerage Charges Master Data Templates
          • Sewerage Rates
          • Sewerage Penalty Rates
          • Sewerage Interest Rates
        • Water Charges Master Data Templates
          • Water Rates (Metered)
          • Pipe Size Types
          • Water Source Types
          • Water Rates (Non-Metered)
          • Water Penalty Rates
          • Water Interest Rates
        • W&S User Manual
          • W&S Citizen User Manual
          • W&S Employee User Manual
      • Public Grievances & Redressal (PGR)
        • PGR Brochure
        • PGR Roadmap
        • PGR Module Functional Specifications
        • PGR Workflows
        • PGR Implementation Guide
        • PGR Master Data Templates
          • Grievance Type
          • Grievance Sub Type
        • PGR Service Configuration
          • PGR Migration
        • PGR User Manual
          • Complaint Types List
          • Citizen User Manual
          • Employee User Manual
        • PGR Demo Script
      • Online Building Plan Approval System (OBPAS)
        • OBPAS Brochure
        • OBPAS Module Functional Specifications
        • OBPAS Implementation Guide
        • OBPAS Master Data Templates
          • Fee Structure
          • NOC Departments
          • Stakeholders Type
          • List Of Services
          • Service-Wise Documents
          • Building Occupancy
          • Building Sub Occupancy
          • Building Usage
          • Inspection Checklist
          • Town Planning Schemes
        • OBPAS DIGIT UI
          • Stakeholder - Registration Flow
          • OBPS-BPA/OC-BPA Employee Flow
            • OBPS Inbox
            • OBPS Search Application
          • OBPS-BPA/OC-BPA Architect
          • OBPS EDCR /OC-EDCR
          • OBPS BPA / OCBPA Citizen
          • Employee - Stakeholder
            • Stakeholder Inbox
            • Stakeholder Search Application
        • OBPAS Service Configuration
          • BPA Service Configuration
          • BPA Calculator Service
          • Setting Up eDCR Service
          • eDCR Integration
          • Noc Services
          • Land Services
        • OBPAS Demo Script
        • OBPAS User Manual
          • OBPAS Citizen User Manual
          • OBPAS Employee User Manual
      • mCollect (MCS)
        • mCollect Roadmap
        • mCollect Master Data Templates
          • Service Category
          • Service Sub Category
          • Service Sub Category GL Code Mapping
        • eChallan UI Details
          • Edit - Cancel Challan
          • Search and Pay Challan
          • mCollect UI Flow
          • Update - Cancel Challan UI Flow
          • Challan Creation
        • mCollect User Manual
          • MCS Citizen User Manual
          • MCS Employee User Manual
      • Faecal Sludge Management (FSM)
        • FSM Service Configuration
          • FSM Implementation - Configuration
          • FSM Calculator v1.0
          • FSM Services
          • FSM Vendor Registry v1.0
          • FSM Vehicle Registry v1.0
          • Legacy/Re-Indexing the FSM Data
          • FSM-DSS Technical Documentation
        • FSM User Manual
          • Citizen User Manual
          • Employee User Manual
          • DSO User Manual
          • Septage Treatment Plant Operator User Manual
      • Finance
        • Finance Module Functional Specifications
        • Finance Implementation Guide
        • Finance Master Data Templates
          • Bank Account
          • Chart Of Accounts
          • Funds
          • Function
          • Contractors
          • Suppliers
          • Schemes
          • Sub Schemes
          • Banks
          • Bank Branch
          • Deduction
          • Opening Balances
          • Sub Ledger Category
          • Sub Ledger Master
        • Finance Service Configuration
          • Finance Collections Voucher Consumer Service
        • Finance User Manual
          • Employee User Manual
          • Admin User Manual
          • Finance Reports Manual
      • Fire NOC
        • Fire NOC Master Data Templates
          • Building Usage Type
          • Building Sub Usage Type
          • Fire Station Master
          • Areas Served Master
          • Fire Station Mapping
          • Fire NOC Fee
        • Fire NOC Service
          • Fire NOC Calculator Service
        • Fire NOC User Manual
          • Fire NOC Citizen User Manual
          • Fire NOC Employee User Manual
        • NOC DIGIT UI
          • NOC Inbox
          • Application Overview
      • e-Challan Service
        • eChallan Calculator Services
      • HRMS
        • HRMS Employee Create-Edit UI Flow
        • Employee Details UI Flow
        • Employee Activation-Deactivation UI Flow
        • Search Employee By Multiple Criteria UI Flow
        • HRMS Service
        • Employees Count UI Flow
      • Events And Notifications
        • Citizen Flow
        • Employee Flow - Events
        • Employee Flow - Messages
      • Citizen Engagement Module
        • Documents: Implementation Details
      • Current Bill Cancellation UI Flow
        • Bill Details UI Flow
        • Cancel Bill UI Flow
      • Receipt Cancellation UI Flow
        • View Receipt - Cancel UI Flow
      • Auto Escalation UI Flow
      • DSS UI Flow
      • Product FAQs
  • Training Resources
    • Open Events
    • Training Videos
    • Technical Enablement Areas
    • eDCR Training Plan
  • Partner Support
    • eGov Enablement Support for DIGIT
    • Security Guidelines Handbook
    • Troubleshooting Guide
  • ⏹️Setup
    • Quickstart
      • 1. Infra Setup
      • 2. Deployment
      • FAQ
    • Full Installation
      • On AWS
        • 1. Pre-requisites
        • 2. Understanding EKS
        • 3. Setup AWS account
        • 4. Infra-as-code (Terraform)
        • 5. Prepare Deployment Config
        • 6. Deploy DIGIT
        • 7. Bootstrap DIGIT
        • FAQ
      • On Azure
        • 1. Pre-requisites
        • 2. Understanding AKS
        • 3. Infra-as-code (Terraform)
      • On GCP
      • On SDC
      • On NIC
    • Open Source Tools used in DIGIT
    • Productionize DIGIT
      • scaling
        • Horizontally Scale DIGIT Services
    • Learn More
      • Setup Requirements
        • Tech Enablement Training - Essential Skills and Pre-requisites
        • Tech Enablement Training (eDCR) - Essential Skills and Prerequisites
        • DIGIT Rollout Program Governance
        • DevOps Skills Requirements
        • Infra Requirements
        • Team Composition for DIGIT Implementation
        • Infra Best Practices
        • Operational Best practices
        • Why Kubernetes for DIGIT
      • Supported Clouds
        • Google Cloud
        • Azure
        • AWS
        • VSphere
        • SDC
        • NIC
      • Deployment - Key Concepts
        • Security Practices
        • CI/CD
        • Readiness & Liveness
        • Resource Requests & Limits
      • Understanding ERP Stack
        • ERP Monolithic Architecture
        • ERP Hybrid Architecture
        • ERP Coexistence Architecture
        • APMDP-HYBRID-INFRA-ARCHITECTURE
        • eGov SmartCity eGovernance Suite
        • ERP Deployment Process
        • ERP Release Process
        • ERP User Guide
      • Deploying DIGIT Services
        • Deployment Architecture
        • Routing Traffic
        • Backbone Deployment
      • Troubleshooting
        • Distributed Tracing
        • Logging
        • Monitoring & Alerts
  • 🫐Configure
    • Configure DIGIT
      • Git Repos
      • Setting up DIGIT
        • Configuring InfraOps
        • Setting up DIGIT Environment
        • Email And SMS Setup
        • FileStore Setup
        • Setting Up SSL Certificate
        • Periodic Log Cleanup
      • Setting up Master Data
        • MDMS Overview
        • Configuring Tenants
        • Configuring Master Data
        • Adding New Master
        • State Level Vs City Level Master
      • Master Data Collection Templates
        • Environment Setup
          • State Level Setup
            • Tenants Information
            • SMS Account Configuration
            • Email Account Configuration
            • Google Play Store Account
            • Payment Gateway Configuration
            • POS Integration Configuration
            • Domain Name Configuration
            • SSL Configuration
            • ULB Departments
            • ULB Designations
            • Localization
            • Google Map Configuration
          • ULB Level Setup
            • Boundary Hierarchies
            • Boundary Data
            • Cross Hierarchy Mapping
            • ULB Bank Accounts
        • Module Setup
          • Web Portals Templates
            • State Portal
            • ULB Portal
          • HRMS Data Templates
            • User Roles
            • System Users
          • Billing And Payments Data Templates
            • Tax Heads
            • Receipt Format
            • Demand Bill Format
          • DSS Data Templates
            • KPI Acceptance
          • Workflow Data Templates
            • Workflow Actions
            • Workflow Levels
            • Workflow Process
            • Workflow Notifications
          • Common Configuration Details
            • Standard Document List
            • Service Document Mapping
            • Checklist
            • Configuring Data FAQs
      • Configuring DIGIT Service Stack
        • Core Services
          • Workflow Services
          • Location Services
          • User Services
          • Access Control Services
          • PDF Generation Service
          • MDMS (Master Data Management Service)
          • Payment Gateway Service
          • NLP Engine Service
          • User Session Management In DIGIT
          • Indexer Service
          • URL Shortening Service
          • XState Core Chatbot
            • XState-Chatbot Integration Document
            • Xstate-Chatbot Message Localisation
        • Business Service
          • Appropriation Service
          • Billing Service
            • Bill Amendment Service Configuration
          • Collection Service
            • Collection Service Migration
            • Collection Service V2
          • Billing Collection Integration
          • Dashboard Analytics - Backend
          • DSS Technical Documentation
          • DSS Dashboard - Technical Document for UI
          • DSS Features Enhancements
          • Technical Script/Steps For Migration Process
          • Bill Amendment
        • Municipal Service
          • Turn-Io-Adapter
          • Inbox Service
        • Utilities
      • Configuring Services
        • Persister Configuration
        • Indexer Configuration
        • Setting up a Language
          • Adding New Language
          • Setting Up Default Language For SMS & Emails
        • API Dos and Don'ts
        • Setting Up SMS Gateway
          • Using The Generic GET & POST SMS Gateway Interface
        • Setting Up Service Locally
        • Configuring Workflows
          • Setting Up Workflows
          • Configuring Workflows For An Entity
          • Workflow Auto Escalation
        • DSS Configuration And Setup
          • Building New Dashboards
        • Configuring New Reports
          • Types Of Reports Used In Report Service
          • Impact Of Heavy Reports On Platform
        • Adding Roles To System
        • Mapping Roles With APIs
        • Deployment Of App on Play Store
        • Adding New APIs For Access
        • FileStore Service
        • Telemetry Service
        • Report Service
        • ID Generation Service
        • Localization Service
        • Email Notification Service
        • SMS Notification Service
        • SMS Template Approval Process
        • Searcher Service
        • Zuul Service
        • User OTP Service
        • eGov OTP Service
        • Persister Service
        • Encryption Service
        • Document Uploader Service
        • Notification Enhancement Based on Different Channels
        • Configuring Localization
          • Setup Base Product Localization
          • Configure SMS and Email
        • DIGIT: Internal Datamart Deployment Steps
        • Customizing PDF Notices And Certificates
          • Integration Of PDF In UI For Download And Print PDF
          • Customizing PDF Receipts & Certificates
      • QA Automation
        • Kafka Consumer Producer Approach
        • Jenkins Setup for Automation
        • Automation Framework Knowledge Base
          • Automation Test Tags
          • Automation Test Reporting
        • State-Level UI Customization
      • Configuration FAQs
    • CI/CD SetUp
      • CI/CD Build Job Pipeline Setup
  • 🛃Customize
    • Customize DIGIT
      • Frontend/UI
      • DIGIT Customization
        • API Do's & Don'ts
        • Writing A New Customer
        • Enhancing Existing Service
Powered by GitBook

​All content on this page by eGov Foundation is licensed under a Creative Commons Attribution 4.0 International License.

On this page
  • Bill Creator
  • Expense Bill
  • Contractor Bill
  • Supplier Bill
  • Voucher from bill
  • View Bill Registers
  • Bank to Bank Transfers
  • Bill Approver
  • Approve Bills
  • Search Voucher
  • Voucher Creator
  • Create Journal Voucher
  • Create vouchers from bills
  • Search Vouchers
  • View bill registers
  • Voucher Approver
  • Approve vouchers
  • Payment Creator
  • Bill Payment
  • Direct Bank Payments
  • RTGS Assignment
  • Cheque Assignment
  • Surrender/Reassign Cheque
  • Surrender RTGS
  • Deductions Payment
  • Deductions Cheque Assignment
  • Deductions RTGS Assignment
  • Search/View Vouchers
  • Payment Approver
  • Search/View Vouchers

Was this helpful?

Edit on GitHub
Export as PDF
  1. Product Docs
  2. Products & Modules
  3. Finance
  4. Finance User Manual

Employee User Manual

This section illustrates the steps for different employee user roles at the ULB level

PreviousFinance User ManualNextAdmin User Manual

Last updated 3 years ago

Was this helpful?

Bill Creator

The bill creator can create and approve all kinds of expense bills and record transactions in the system. Finance transactions can either involve Bills Accounting or recording Contra Entries. Bills include expense bills, contractor bills, and supplier bills. Contra entries include recording bank to bank transfer details.

Expense Bill

The system facilitates a defined set of account heads to be used in the debit side and credit side for bills. This enables users to create bills even without knowing the account codes required for the debit and credit side.

Once the user selects the bill type and subledger details, the system provides an option to select the template. However, the subledger type is not mandatory. But, if there is a value updated in the template the information will be populated. It is not mandatory for a user to select a template. Users can do the data entry as well.

To create expense bills

Click on the Finance menu option in the sidebar or the Finance card available on the dashboard.

Navigate to Transactions > Bills Accounting > Expense Bill.

Fill in all the mandatory details in the Expense Bill screen. Please note fields marked with ‘*’ signs are mandatory fields. The Bill Date reflects the current date by default. Click on the field to change the date if required.

Select the relevant Fund, Department, Scheme, and Sub Scheme details. Enter the first 3 letters of the applicable Function Name and select from the available options.

Enter any Narration as required. Enter the Party Bill Number and the Party Bill Date. Select the applicable Bill Subtype. Enter the relevant SubLedger Details. Select the applicable SubLedger Type and enter the payee details.

Select the appropriate Account Code Template. The list of templates is available based on the selected Bill Subtype and SubLedger Type. If the subledger type is not selected then only templates for non-subledger types will be listed.

The Debit, Credit, and Net Payable, GLcode details are auto-populated from the selected template.

Verify the Account Codes populated on both the Debit and the Credit side. Click on the + sign to add new rows to enter additional Debit or Credit details. Enter the Account Code and the Debit or Credit Amount for the listed entry.

Click on the bin icon to delete any existing detail. Enter the applicable Debit or Credit Amount.

Check the entry details available in the Account Details and SubLedger Details panels. Click on the bin icon to delete any entry.

Click on the Browse button to select supporting files. Click on the Add File button to add more files. To forward the bill for approval fill in the Approver Department, Approver Designation, and Approver details. Enter any pertinent information in the Comments section for the approver.

Click on the Forward button to forward the bill to the Bill Approver. Else, click on Create and Approve to approve the bill. There is no need to fill in the Approval Details if the bill is spot-verified.

Contractor Bill

The Contractor Bill option is used to raise all bills against a work order by the contractor. Once the contractor is selected, all the work orders assigned to this contractor is listed. The contractor bill is based on the listed work order.

To create contractor bill

Click on the Finance menu option in the sidebar or the Finance card available on the dashboard.

Navigate to Transactions > Bills Accounting > Contractor Bill.

Fill in all the mandatory details in the Contractor Bill screen. Please note fields marked with ‘*’ signs are mandatory fields. The Bill Date reflects the current date by default. Click on the field to change the date if required.

Select the Contractor and the applicable Work Order. The system will display all work orders for the selected contractor. Based on the Work order selected, Fund, Department, scheme and sub scheme details are automatically populated. All debit and credit account heads are taken into appropriate sections and the net pay account code is populated based on system configuration.

Enter the Party Bill Number, Party Bill Date, and the Party Bill Amount. Select the Bill Type.

Select the relevant Account Code Template. The list of templates is available based on the selected Bill Subtype and SubLedger Type. If the subledger type is not selected then only templates for non-subledger types will be listed.

The Debit, Credit, and Net Payable, GLcode details are auto-populated from the selected template.

Verify the Account Codes populated on both the Debit and the Credit side. Click on the + sign to add new rows to enter additional Debit or Credit details.

Enter the Account Code and the Debit or Credit Amount for the listed entry. Click on the bin icon to delete any existing detail. Enter the applicable Debit or Credit Amount.

Check the entry details available in the Account Details and SubLedger Details panels. Click on the bin icon to delete any entry.

Click on the Browse button to select supporting files. Click on the Add File button to add more files. To forward the bill for approval fill in the Approver Department, Approver Designation, and Approver details. Enter any pertinent information in the Comments section for the approver.

Click on the Forward button to forward the bill to the Bill Approver. Else, click on Create and Approve to approve the bill. There is no need to fill in the Approval Details if the bill is spot-verified.

Supplier Bill

Supplier Bills refer to all bills that are raised against a purchase order by the supplier.

To create supplier bill

Click on the Finance menu option in the sidebar or the Finance card available on the dashboard.

Navigate to Transactions > Bills Accounting > Supplier Bill.

Fill in all the mandatory details in the Supplier Bill screen. Please note fields marked with ‘*’ signs are mandatory fields.

The Bill Date reflects the current date by default. Click on the field to change the date if required.

Select the Supplier and the applicable Purchase Order. The system will display all purchase orders for the selected supplier. Based on the Purchase Order selected, Fund, Department, Scheme and Sub Scheme details are automatically populated.

All debit and credit account heads are taken into appropriate sections and the net pay account code is populated based on system configuration.

Enter the Party Bill Number, Party Bill Date, and the Party Bill Amount. Select the Bill Type. Select the relevant Account Code Template. The list of templates is available based on the selected Bill Subtype and SubLedger Type. If the subledger type is not selected then only templates for non-subledger types will be listed.

The Debit, Credit, and Net Payable, GLcode details are auto-populated from the selected template.

Verify the Account Codes populated on both the Debit and the Credit side. Click on the + sign to add new rows to enter additional Debit or Credit details. Enter the Account Code and the Debit or Credit Amount for the listed entry. Click on the bin icon to delete any existing detail. Enter the applicable Debit or Credit Amount.

Check the entry details available in the Account Details and SubLedger Details panels. Click on the bin icon to delete any entry.

Click on the Browse button to select supporting files. Click on the Add File button to add more files. To forward the bill for approval fill in the Approver Department, Approver Designation, and Approver details. Enter any pertinent information in the Comments section for the approver.

Click on the Forward button to forward the bill to the Bill Approver. Else, click on Create and Approve to approve the bill. There is no need to fill in the Approval Details if the bill is spot-verified.

Voucher from bill

Use the Finance module to create vouchers from bills in a few clicks.

To create a voucher from bills

Navigate to Finance > Transactions > Bills Accounting > Voucher from Bill option in the sidebar. Select Bill Type. Select Department. Or, enter the From Date and To Date range to fetch bills raised during the specified period. Else, enter the Bill Number to fetch any specific bill.

Click on the Search button to view the bills matching the specified criteria. Click on the Reset button to renew the search with different parameters. Click on the Close button to go back to the home page.

The list of bills matching the specified parameters is visible on the screen. Click on the Bill Number link to create a voucher. Enter any additional information in the Comments box.

Enter the Approver Department and Approver Designation details to forward the voucher for approval. Select the Approver. Enter any Approver Remarks.

Click on the Forward button to forward the voucher. Click on the Create and Approve button to directly approve and generate the voucher.

Once the bills are created, approved and a voucher is generated, the bills are ready for payment.

View Bill Registers

To view bill registers

The View Bill Register option enables users to fetch consolidated views of bills.

Navigate to Finance > Transactions > Bills Accounting > View Bill Registers option in the sidebar. ****Select Expenditure Type. Enter the Bill Date From and Bill Date To details to specify the period. Select the applicable Fund. Make sure to fill in the mandatory fields.

Select the Department. Enter Bill Number. Click on the Search button to fetch the bill generated.

Click on the Close button to navigate back to the home page.

Click on the Bill Number hyperlink to view the listed bill details.

Bank to Bank Transfers

To create entries for the bank to bank transfers -

Bill Creators can create entries for the bank to bank transfers.

Navigate to Finance > Transactions > Contra Entries > Bank to Bank Transfer option in the sidebar. Select the applicable Fund. Based on the Fund selected, the bank account details get populated.

Select the relevant Scheme, Sub-Scheme, Department, and Function details. Select the Bank and enter Account No. from where the transfer will take place. The Balance field displays the existing account balance. Enter the relevant Fund, Department, Bank, and Account No. details to which the amount will be transferred.

Select the applicable Mode of Transaction. Enter the transaction Reference Number and Reference Date. Enter the Transfer Amount. Select a relevant Source Inter Fund Code and Destination Inter Fund Code if the selected bank account belongs to different funds.

Key in any additional details in the Narration field. Click on the Save option to create the transaction voucher. In this case, the voucher(s) will be created in approved status.

Bill Approver

The Bill Approver user role is responsible for approving the bills or vouchers created by the bill creator.

Approve Bills

To approve bills

Click on the Finance card on the dashboard. The system displays the list of bills pending approval.

Click on the refresh icon (highlighted in yellow in the screenshot) to view the Task Processing History for the listed bill.

Click on the specific bill to approve. Review the bill details. Enter any additional information in the Comments section.

Click on the Approve button to approve the bill.

Click on the Reject button to reject the bill. Enter the proper reason for rejecting the bill in the Comments section. Once a bill is approved, it will appear in the Vouchers from the bill section in the menu tree.

Search Voucher

Bill approvers can search for vouchers, view and print payment receipts and vouchers.

To search for vouchers

Navigate to Finance > Transactions > View Voucher menu option in the sidebar. ****Enter the Voucher Number directly to search for specific vouchers.

Else, select the applicable Voucher Type and Voucher Name to filter your search. Enter the period in Voucher Date From and Voucher Date To field. Select the applicable Fund and Department. Click on the Search button to view the search results.

Click on the Voucher Number hyperlink to open and view the voucher details.

Click on the Print button to print the voucher. Click on the Source button on the voucher to view the payment source details.

Voucher Creator

Voucher creator user roles are responsible for creating journal vouchers and view voucher details.

Create Journal Voucher

To create a journal voucher

Click on the Finance option in the sidebar and then click on Transactions. ****Click on the Journal Voucher option.

The Voucher Date field by default takes in the current date. Change the date if required. Select the applicable Voucher Sub-Type. Enter the Party Name, Party Bill Number, Party Bill Date, Bill Number, Bill Date.

Select the relevant Fund, Department, Scheme, Sub-Scheme, Fund Source, and Function. Enter the Narration for the voucher.

Enter the Account Code and Debit or Credit Amount accordingly. Enter the Account Code, Type, Name, and Amount details to create the Sub-ledger. Select the relevant Approver Department, Approver Designation, and Approver from the list. Enter appropriate Approver Remarks. Click on the Forward button to forward the voucher for approval.

Click on the Approve button to approve the voucher directly.

Create vouchers from bills

To create vouchers from bills

Navigate to Finance > Transactions > Bills Accounting > Voucher from Bill menu option in the sidebar. Select the relevant Bill Type and Department to find the specific bill.

Enter the From Date and To Date details to define the period to which the bill belongs. The system will fetch all bills for the specified time period. Alternatively, enter the Bill Number to fetch the bill directly.

Click on the Search button to view the search list. Click on the relevant Bill Number to open the bill. The bill details are auto-populated into the voucher.

Enter the Voucher Date. Review the voucher and enter any Comments for further processing. Enter the Account Code, Type, Name, and the Amount details to create the Sub-ledger.

Select the relevant Approver Department, Approver Designation, and Approver from the list. Enter appropriate Approver Remarks. Click on the Forward button to forward the voucher for approval.

Click on the Approve button to approve the voucher directly.

Search Vouchers

To search for vouchers

Navigate to Finance > Transactions > View Voucher option in the sidebar. Enter the Voucher Number directly to fetch the required voucher.

In case you do not remember the voucher number, select the applicable Voucher Type and Voucher Name. Enter the Voucher Date From and Voucher Date To details. Select the applicable Fund and Department to specify the search parameters.

Click on the Search button to view the search results. Click on the Voucher Number hyperlink to view the voucher.

View bill registers

To view bill registers

Navigate to Finance > Transactions > Bill Accounting > View Bill Registers option in the sidebar. Select the relevant Expenditure Type.

Enter Bill Number. Enter the Bill Date From and Bill Date To details to fetch bills for the specified period. Select the applicable Fund and Department. Click on the Search button to fetch the list of bills matching the specified search parameters.

Click on the Bill Number hyperlink to open and view the bill details**.**

Voucher Approver

The voucher approver user role is responsible for approving vouchers.

Approve vouchers

To approve vouchers

Navigate to Finance > Transactions > View Voucher option in the sidebar. ****Enter the Voucher Number to fetch a voucher directly. Select the Voucher Type and Voucher Name.

Enter Voucher Date From and Voucher Date To details to fetch vouchers for the specified period. Select applicable Fund and Department details to filter the view of vouchers. Click on the Search button to view search results.

Click on the relevant Voucher Number to open the voucher. Click on the Approve button to approve the voucher or the Reject button to reject the voucher. Provide the reason for rejection in the Comments section.

Payment Creator

The payment creator user role is responsible for inputting and recording payments and deductions details into the system. The payment creator can initiate bill payments, direct bank payments, RTGS payments, issue cheques, or create deductions entries.

Bill Payment

To pay bills

Navigate to Finance > Transactions > Payments > Bill Payment option in the sidebar.

Enter the applicable search parameters to find the bill for making payment. Use any of the following parameters to search for the bills - Bill Number, Bill Date From, Bill Date To, Expenditure Type, Fund (mandatory), Fund Source, Scheme, Sub-Scheme, Department or Function.

Click on the Search button to view the list of bills. Click on the Contractor Bill, Supplier Bill, or Expense Bill tab to view the list of bills in listed categories.

Click on the Bill Voucher Number hyperlink to view the bill details. Select the Mode of Payment as either Cheque, Consolidated Cheque, or RTGS. Check the Select box available in the first box to select a specific bill for payment.

Click on the Generate Payment button to make the bill payment.

Enter the Payment Details as per the selected mode of payment. Enter Approver Details - Approver Department, Approver Designation, Approver, and Approver Remarks to forward the bill for payment approval. Click on the Forward button to pass the bill for approval.

Else, click on the Create and Approve button to process the payment.

The bill is processed for payment.

Direct Bank Payments

To make a direct bank payment

Navigate to Finance > Transactions > Payments > Direct Bank Payment option in the sidebar. Select the applicable Fund, Scheme, Sub Scheme, Fund Source, Department and Function detail.

Select the relevant Bank and Account Number for bank payment. Enter the payment Amount. Select the relevant Mode of Payment option. Enter the Paid To, the Document Number and the Document Date details.

Enter any Narration as required for the transaction. Select the relevant Function, Account Code, Account Head, Debit and Credit Amount details. Click on the Add button to input additional account details. Click on the Delete button to remove any entry.

Enter the relevant Sub Ledger details - Account Code, Type, Code, Name and Amount. Click on the Add button to input additional sub ledger details. Click on the Delete button to remove any entry.

Enter Approver Details - Approver Department, Approver Designation, Approver, and Approver Remarks to forward the bill for payment approval. Click on the Forward button to pass the bill for approval.

Else, click on the Create and Approve button to process the payment.

RTGS Assignment

Bills can be assigned for RTGS payment.

To assign bills for RTGS payment

Navigate to Finance > Transactions > Payments > RTGS Assignment menu option in the sidebar. Enter the Payment Voucher Date From and Payment Voucher Date To details to search for vouchers assigned for RTGS payment. Or, you can directly enter the Payment Voucher No. to fetch the voucher details. Alternatively, select applicable Bill Type, Fund, Department, Payee Bank-Branch, Payee Bank Account.

Click on the Search button to view vouchers based on given parameters. Select the relevant Payment Voucher from the list. Enter RTGS Date and then click on Assign RTGS Number.

The system displays a success message. Click on the Generate PDF or Generate xls link to generate RTGS Advice in pdf or excel format.

Cheque Assignment

To assign a cheque for the payment

Navigate to Finance > Transactions > Payments > Cheque Assignment menu option in the sidebar. Enter the Payment Voucher Date From and Payment Voucher Date To details to search for vouchers assigned for cheque payment.

Select the Mode of Payment as either Cheque or Consolidated Cheque. Or, you can directly enter the Payment Voucher No. to fetch the voucher details. Alternatively, select applicable Bill Type, Fund, Department, Scheme, Sub Scheme, Fund Source, Function, Payee Bank-Branch, Payee Bank Account.

Check the option Re-assign Surrender Cheque if applicable. Click on the Search button to view vouchers based on given parameters.

Select the voucher for which cheques need to be assigned. Enter in the Cheque Number. The cheque number should be as per the cheque Masters. Select the applicable Cheque Issued Department and then click on Assign Cheque.

The cheque is assigned for payment and the system displays a success message.

Surrender/Reassign Cheque

Once a cheque is assigned to payment, there is an option to surrender the cheque and then reassign the payment with a new cheque.

To surrender and reassign a cheque

Navigate to Finance > Transactions > Payments > Surrender/Reassign Cheque menu option in the sidebar. Enter the Payment Voucher Date From and Payment Voucher Date To details to search for vouchers where cheques need surrendering or reassigning. Or, you can directly enter the Payment Voucher No. or Cheque Number to fetch the voucher details.

Select the applicable Bank, Bank Account, and Department. Click on the Search button to view vouchers based on given parameters.

Select the record for which the cheque has to be surrendered. State the reason for surrender.

Click on the Surrender button.

In case the payment for which cheque is surrendered has to be assigned with a new cheque, give the new Cheque Number and Cheque Date.

Click on Surrender & Reassign button.

The new cheque is now assigned to the payment and the old cheque is marked as surrendered.

Surrender RTGS

Once a RTGS is assigned to payment, there is an option to surrender the same.

To surrender and reassign a cheque

Navigate to Finance > Transactions > Payments > Surrender RTGS menu option in the sidebar. Enter the Payment Voucher Date From and Payment Voucher Date To details to search for vouchers where RTGS need surrendering. Or, you can directly enter the Payment Voucher No. or RTGS Ref Number to fetch the voucher details.

Select the applicable Bank, Bank Account, and Department.

Select the RTGS record that needs to be surrendered along with the reason. Click on the Surrender button.

The system displays an acknowledgement page on success.

Deductions Payment

To process deductions payment

Navigate to Finance > Transactions > Deductions > Deduction Payment option in the sidebar.

Select the applicable Recovery Code.

Enter the period in the From Date and To Date fields. Select applicable Fund, Fund Source, Scheme, Sub Scheme, Department, and Function details to get the bills from which there are deductions for the selected recovery code. Select the bills that are to be remitted and then click on Generate Payment.

Input the payment-related information. You can modify the amount to remit in the Remittance Details section.

Click on Create and Approve if no verification and approval is needed, else select the approver details and click on Forward.

Any deduction payments that are sent for verification and approval will be listed in the Inbox of the verifier/approver, similar to that of bills. On clicking this record the approver can either reject or approve the payment.

Deductions Cheque Assignment

To process deductions cheque assignment

Navigate to Finance > Transactions > Deductions > Deduction Payment option in the sidebar. Enter the Payment Voucher Date From and Payment Voucher Date To details to fetch vouchers for the listed period. Enter Payment Voucher No. Select the applicable Recovery Code.

Select applicable Fund, Fund Source, Department, and Function details to get the bills from which there are deductions for the selected recovery code. Select the applicable Payee Bank-Branch and Payee Bank Account details.

Check the Re-assign Surrender Cheque option if applicable.

Click on Search to list the payment vouchers for assigning cheques. Select the payments for which cheques need to be assigned. Input the cheque details and click on Assign Cheque.

The system displays an acknowledgement page with a link to download the Bank Advice.

Deductions RTGS Assignment

When deductions payments are done using RTGS mode, this option is used to assign the RTGS number for the payment made.

To assign RTGS for deductions payment

Navigate to Finance > Transactions > Deductions > Deduction RTGS Assignment option in the sidebar. Enter the Payment Voucher Date From and Payment Voucher Date To details to fetch vouchers for the listed period. Enter Payment Voucher No.

Select applicable Bill Type, Fund, and Department details to get the bills from which there is deductions payment. Select the applicable Payee Bank-Branch, Payee Bank Account, Drawing Officer, and Remittance COA details. Remittance COA is applicable for all RTGS assignments involving service tax departments.

Click on the Search button to fetch the list of vouchers. Select the voucher for which RTGS needs to be done. Enter the RTGS details. Click on Assign RTGS.

The system displays an acknowledgement page with a link to download the Bank Advice.

Search/View Vouchers

To search for vouchers

Navigate to Finance > Transactions > View Voucher menu option in the sidebar. Enter the Voucher Number directly to search for specific vouchers.

Else, select the applicable Voucher Type and Voucher Name to filter your search. Enter the period in Voucher Date From and Voucher Date To field. Select the applicable Fund and Department.

Click on the Search button to view the search results. Click on the Voucher Number hyperlink to open and view the voucher details.

Click on the Print button to print the voucher. Click on the Source button on the voucher to view the payment source details.

Payment Approver

Search/View Vouchers

To approve vouchers

Navigate to Finance > Transactions > View Voucher option in the sidebar.

Enter the Voucher Number to fetch a voucher directly. Select the Voucher Type and Voucher Name.

Enter Voucher Date From and Voucher Date To details to fetch vouchers for the specified period. Select applicable Fund and Department details to filter the view of vouchers. Click on the Search button to view search results.

Click on the relevant Voucher Number to open the voucher. Click on the Approve button to approve the voucher or the Reject button to reject the voucher. Provide the reason for rejection in the Comments section.

All content on this page by is licensed under a .

📘
eGov Foundation
Creative Commons Attribution 4.0 International License
Creative Commons License