Step-by-Step Guide for Verifying Daily Accounts and Submitting Cash Books in Department of Post - APT 2.o
Subject: Step-by-Step Guide for Verifying Daily Accounts and Submitting Cash Books in IT 2.0 …
Subject: Step-by-Step Guide for Verifying Daily Accounts and Submitting Cash Books in IT 2.0 …
📝 Correction of Mismatched Entries Entered as Net Amounts 📌 In cases where BO/SO users enter m…
Standard Operating Procedure (SOP) for Verification of B.O. Daily Accounts and S.O. Daily Accounts …
Import Data Page: Goto Data Import Page > Select cell A1 > Click on Data Tab > Click …
HOW TO GENERATE THE SO SUMMARY OR BO SUMMARY AND SMR FOR THE MONTH. HERE ARE THE GENERAL STEP…
Follow us on WhatsApp, Telegram Channel, Twitter and Facebook for all latest updates