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Treasury
Department
Financial Circular English
FC 45 85 Reporting Salary Payables .pdf
FC 44 85 Governor's Outreach Fund - English.pdf
FC 43 Certified Payroll - English.pdf
FC 42 Loc Letter of Credit - English.pdf
FC 41 Procurement Measures - English.pdf
FC 40 Official Bank Accounts of
the Government.pdf
FC 39 Development
Budget Imprest Accounts.pdf
FC 38 Reforms to the
Allotment and Tashkeel Procedures.pdf
FC 37 Procedure for
Return of Expenditure.pdf
FC 36 Submitting M16
Payment Requests to the Treasury.pdf
FC 35 Update on
Allotment Information for 1383 to Ministries .pdf
FC 34 Requirement for
Finalizing all Payments Before End of 1383.pdf
FC 33 Procedures for
End of 1383 Financial Year.pdf
FC 32 Opening Banks
Accounts for Suppliers.pdf
FC 31 Details of
Unpaid Bills.pdf
FC 30 Details of
Unpaid M16 - Provinces.pdf
FC 29 Use of the
Currency of Afghanistan in Payment Transactions.pdf
FC 28 Procedures for
Accounting for Stale Salary Payments.pdf
FC 27 Rejection of M16
in Treasury and Ineligible Expenditures.pdf
FC 26 Bank Accounts
Opened for Provincial Mustofiats.pdf
FC 25 Detailed Advance
Processing Procedures.pdf
FC 24 Custody
Arrangements for Funds Kept in Trust .pdf
FC 23 Procedures for
Disbursing Payments under Development Budget in Provinces.pdf
FC 22 Reporting on
salary payables for end 1382.pdf
FC 21 Procedures for
Controlling Cash Advances.pdf
FC 20 Consolidation of
Line Ministry Revenues Collected in Provinces.pdf
FC 19 Procedures for
operating a Petty Cash Fund ? Further Information.pdf
FC 18 Arrangements for
Disbursement of Pensions and Social Benefits .pdf
FC 17 Procedures for
Accounting for Stale Cheques.pdf
FC 16 Custody
Arrangements for Bid Security.pdf
FC 15 General
Guidelines for Exp Class 1383.pdf
FC 14 Goods in
Kind.pdf
FC 13 Accounts Held in
Trust.pdf
FC 12 Procedures for
Executing Foreign Currency Transactions.pdf
FC 11 Procedures for
Accounting for unpaid ISP salary.pdf
FC 10 Procedures for
operating a Petty Cash Fund.pdf
FC 09 Booking
Expenditure From Revenue.pdf
FC 08 Provincial
Salary Payment Procedures for 1383.pdf
FC 07 Central Ministry
Revenue Sub-Accounts.pdf
FC 06 Overdraft
Prohibition.pdf
FC 05 Available Cash
for the Balance of 1382.pdf
FC 04 Sweeping of
Revenue Bank Accounts.pdf
FC 03 Procedures for
End of 1382 Financial Year.pdf
FC 02 Closing Bank
Accounts.pdf
FC 01 Procedures for
reporting Treasury Instructions.pdf
Finance Circular NO.22/1386
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