STR Rules Volume I Page 162-196
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STR Rules Volume I Page 118-161
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STR Rules Volume I Page 75-117
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STR Rules Volume I Page 32-74
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STR Rules Volume I Page 1-31
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Budget Manual Page 295
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Budget Manual Page 133-212
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Budget Manual Page 73-172
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Regarding training / workshop for updated version of various modules of E-Governance Project dated 05-05-2014
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Budget Manual Page 1-72
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Compliance of Government Instructions regarding submitting and passing of bills in treasury in month of March dated 05-03-2014
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GPF Rules (Hindi)/ (English)
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Office Order regarding promotion of District Treasurer dated 28-2-14
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Priotization of Plan expenditure in the current financial year 2013-14
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Incurring of expenditure under plan schemes
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Substituted list regarding Adjustment of Assistant Treasurers dated 21-01-2014
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Re-Structuring for Computerizations of Treasuries and Accounts Department, Haryana Chandigarh dated 29-01-2014
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Parking of funds outside Government Accounts – Closing of Bank Accounts dated 10-01-2014
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Instructions regarding re-appropriationdiversion of fund request and submitting of bills in treasury in month of March – drawing of Advances dated 10-01-2014
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Instructions regarding reappropriation diversion of fund request and submitting of bills in treasury in month of March dated 10-01-2014
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Minutes of meeting regarding E-Governance Projects 15-10-2013 and 25-10-2013
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Regarding training of SOs, AOs, Sr. AOs, CAOs for effective implementation of E-Governance projects dated 13-12-2013
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Empanelment of Bank for Treasury Receipts and payment dated 11-11-2013
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Annual Review on working of Treasuries 2012-13
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Orders of Clerks dated 01-10-2013
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Smooth Functioing of Treasuries, Sub Treauries dated 25.09.2013
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Inspection Report Proforma dated 20-09-2013
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Monthly upload /deposit of NPS amount of subscribers with NSDL dated 23-08-2013
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Annual Report Haryana – NPS 2013
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Define Contributory Pension Scheme (NPS)- Change of Trustee Bank
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Web enabled OTIS dated 24-06-2013
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Training Programme for all officials in Treasury Organisation dated 13-05-2013
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Regarding ACR of Sr. AOs and CAOs for the Year 2012-13 dated 01-05-2013
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Revised Schedule of Web enabled Online Treasury Information System 25-04-2013
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Web Enabled Online Treasury Information System Dated 18.04.2013
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Meeting with Assistant Treasury Officers on dated 26-04-2013 and 29-04-2013
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Meeting with Treasury Officer 08-04-2013
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Regarding acceptance of cheques and refunds dated 04-04-2013
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Regarding To open Treasruy and Sub Treasury Office on dated 30-03-2013 and 31-03-2013
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ACR Proforma for the Year 2012-13 of SO (SAS Cader) dated 22-03-2013
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Regarding disposal of work dated 15-03-2013
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Passing of LTC Bills dated 14-03-2013
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Preparation of Budget estimate (Plan) for 2013-14 dated 25-01-2013
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Instructions regarding re-appropriation diversion of fund request and submitting of bills in the treasury in the month of March dated 16-01-2013
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Instruction regarding issuance of NOC for Obtaining passport dated 14-12-2012
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Appointment of principal in divisional Traning center, Rohtak dated 04-01-2013
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Incurring of expenditure under plan budget dated 19-12-2012
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Verification of Bank Account opened with the permission of the Finance Department dated 19-12-2012
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Preparation of Budget Estimates for the year 2013-14 dated 12-12-2012
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Green Inititative – epayment – regarding dated 10-12-2012
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