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Rule 108
Work and Duties of the Office
In addition to the work and duties mentioned elsewhere in the Act and these regulations, the work and duties related to the financial administration of the office shall be as follows:-
(a) Requesting the appropriated funds from the relevant Fund and Accounts Controller's Office, tying the income and disbursing the funds within the approved budget and program and the authority given by the Taluk Department, and spending them in the manner according to this regulation, and keeping an account of the same,
(b) within the period mentioned in this regulation, to send the bank account statement of revenue, bond and allocation to Vidai Maskewari and other details to the relevant Treasury and Accounts Controller's Office, Taluk Department and Ministry,
(c) To conduct internal audit of allocation, revenue, bond and accounts from the concerned office of the controller of funds and accounts and to carry out regular audits before the final audit. (d) To submit annual financial transaction report and quarterly and annual performance report according to this regulation,
(e) Conducting all financial transactions, carrying out responsibilities, disbursements and submitting details in accordance with this regulation,
(f) To keep records in the format prescribed by the same department as pointed out by the Auditor General's office and to keep the record of expenses up-to-date.