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Rule 181
Reconciliation of bail amounts

(1) After obtaining the statement of the bond account from the bank, the balance amount and the balance amount must be reconciled monthly with the bank account.
(2) In relation to the bond account where income has been generated in the bond sale but the outstanding balance is less, the secretary shall investigate the negligence of the person who caused such negligence and take action according to the law.
(3) In relation to the amount that is not recognized as income in the bail bond, but the amount deposited in the bank account, if the proof of deposit is not submitted within ninety days of the deposit of the amount from the concerned person, such amount shall be collected and deposited in the fund of the local body in accordance with Rule 175.