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Tuesday, October 27, 2015

DOWNLOAD ADMIT CARD / CALL LETTER FOR PA / SA EXAM 2015

Admit Card for SSC CHSL 2015

(Note: Before viewing the Call Letter, kindly make sure that A4 size paper is selected and both Top and Bottom margins of the print area will have only 5 mm)
Facility for downloading Admission Certificate (AC) from this website has been given only for candidates admitted for 1st & 15th November, 2015 . Facility for downloading AC for the candidates admitted for 20th December, 2015 will be given 10 days before the exam.

List of Additional Candidate admitted

SSC CHSL 2015 IMPORTANT NOTIFICATION

COMBINED HIGHER SECONDARY LEVEL EXAMINATION-2015
                         IMPORTANT INFORMATION
        Candidates are informed that - No Admit Card for the Combined Higher Secondary Level Examination-2015 will be issued / sent by post to the candidates who applied on line. They are advised to down load the same from the website of the concerned Regional Office of the SSC. However, for offline valid applicants, Admit Card will be issued through post as well.
                                                                                                                                  Under Secretary (P&P1)
Download

Monday, October 26, 2015

agenda items to be discussed in the ensuing Bi-Monthly meeting with PMG Vijayawada Region

APUIII/BM-VJA/2015                                                                                                                      23.10.2015
To
 The Post master General
Vijayawada Region,
Vijayawada  520 003.

Respected Sir,
Sub: Submission of items for discussion in the ensuing bi-monthly meeting.
     
The following items are submitting for discussion in the ensuing Bi-monthly           meeting. This union will be represented by

1) Sri D.Mohan Rao, Vice President and PA Ongole HO
2) Sri Ch.L.Shyamala Rao, Divisl.Secretary at PA Machilipatnam HO 

Yours faithfully,

DASVPRASAD
Circle Secretary
Review of pending items:
1)      Provision of bore well with motor in the premises of Sullurpet SO
2)       Immediate dequarterisation of the following Pos in Gudur Division since tha  
                   accommodation of the quarter portion as per SOA.                 
                    a) Bangarupet b)  N R Pet    c) Mallam  d) Kadivedu                           
         
3)      Immediate repairs to electrical generators at the following offices.
a)      Stone house pet (Nellore) b) Guntur Collectorate PO c) Kotha pet SO (GUNTUR)
4)      Immediate supply/repairs to the following.
                NewComputers          repairs /  printer /                           ups
a)      Prathipadu                    Guntur .HO
b)      Guntur.HO                                                         Guntur.HO
c)      Jaggayyapet                                                       Bhimavaram.HO
d)     Vuyyuru                                                             Rudrampur (Khammam)
e)      Gannavaram
f)       Dargamitta.HO
5)      Dequarterisation of Uppugundur SO in Prakasam division
6)      Rectification of Mistakes in Sanchaya Post Software at GS Pruam SO in Khammam Division
7)      Supply of UPS to Kakumanu SO in Guntur Division.



New Items:


1.      Filling up of short term vacancies in the cadre of LSG/HSG-II/HSG-I in Ongole division without calling for volunteers among the staff in the entire division.


2.      Generator repairs of Machilipatnam HO, Avanigadda HO and Gudlavalleru LSG SO.

3.Relocation of Sub Post Offices in Machilipatnam Division

Wednesday, October 21, 2015

Revised CPMG orders on speed post articles on Holidays/Sundays

Respected Sir,

                         In continuation to this Office instructions circulated vide email dt. 16-10-2015 at 10.40 PM and with reference to the Directorate Lr.No. 30-31/2015-D dt. 20-10-2015 and after decisions taken during the elaborated discussions with the Unions on 21-10-2015,  I am directed by the competent authority to instruct you to ensure the following precautions while arranging the Delivery of e-commerce and Speed Post articles on Sundays / PO Holidays  (22.10.1524.10.1525.10.15) in 35 identified delivery post offices in Hyderabad City Region.
1.     1. Divisional Heads may ensure that only willing SPMs/PA s/ Supervisors / Postmen / MTS / GDS are given the delivery duty on Sundays / PO Holidays. This may be planned in advance.

2.      2.Divisional heads may ensure that Contingent staff arrangements are made well in advance for the delivery duty on Sundays / PO Holidays.

3.      3.Divisional heads shall  be in touch with Manager (NSH), Manager, MMS  and to make all arrangements for receipt of bags at the Post Offices where the delivery is planned on Sundays /  PO Holidays.

4.      4.Manager (NSH) has to maintain liaison with Divisional heads of Hyderabad City Region and to dispatch bags to the identified Post Offices only.

5.     5. Compensation for working lunch @Rs.150/- for SPMs/ Supervisors / P.As, @Rs.100/- per Postmen / MTS  staff, @ Rs.60/- per GDS and @ Rs 50 for Contingent staff may be given to those  who  attend to Holiday duty on 22nd October, 24th October and 25th October, 2015.

6.    6.  The regular PAs /Supervisors / Postmen / Sorting Postmen /  MTS  can opt either for C-off or Holiday / Sunday fixed monetary compensation as per Directorate Lr. No. 10-7/2001-PE-II dt. 14th August, 2015.

7.      7.GDS MDs  will be eligible for the wages similar to those when they work  on normal working days.

8.      8.Contingents who will be arranged in place of Postmen / MTS will be paid as per the minimum of the Grade pay in the pay band of Postman / MTS, as done on normal working days.
Your compliance may be sent to this Office about the execution of the orders.

Empanelment of Ayush Hospitals-Latest orders issued by Health Ministry

Dear Comrades,
Latest orders issued by the Health Ministry DG CGHS regarding empanelment of Ayush Hospitals under Ayurveda Unani, and Yoga&Naturopathy Treatments under CGHS scheme on 01.10.2015

Click here to get the orders

Tuesday, October 20, 2015

Role of SBCO in CBS environment.-Directorate orders

To view SB Order No.14/2015 please Click Here.


Annexure - I
 (to SB Order No.14/2015 Dated 19.10.2015)

Role of SBCO in CBS environment.
In the CBS Environment, following procedure will be followed by Post Offices and SBCO Officials  for Transactions happened in CBS Post Offices:-
1.         General
1.1  As and when SOs are migrated to CBS, staff working in SOSB Branch should be reduced and re-deployed either at POSB Counters or at CPC or in the SBCO Branch for assistance in physical voucher checking.
1.2  Incharge SBCO will identify one SBCO PA who will take vouchers bundles with consolidation from Sub Account and tally totals shown in consolidation with amount shown in SO Daily Account and SO Summary.
1.3  Handling of Agent Commission Schedules and ACG-17 by SBCO will be discontinued. ACG-17 will be preserved alongwith Agent Commission Report/schedule in the Accounts Branch of HPO and sent to PAO alongwith other schedules.
1.4  In case of RD deposits accepted through MPKBY Agents, only two copies of Agent LOT is to be taken from the agent alongwith pay-in-slip and ACG-17. One copy of Agent LOT will be kept in the office guard file and second copy Agent schedule (LOT) should be attached with the pay-in-slip and placed at the end of RD Voucher Bundle.ACG-17 is to be attached with the Agent Commission Report/schedule and sent to Accounts Branch of HO.
1.5  Account Opening Form (SB-3/AOF) where KYC documents are attached will not be transferred to SBCO alongwith Account Closure Voucher. APM/SPM should record on the closed vouchers that “ SB-3/AOF retained with KYC documents”. In case of any SB-3 or AOF with whom KYC documents are not attached (subsequently opened accounts), SB-3 or AOF is to be attached with the closed voucher and sent to SBCO. SBSO branch of HOs will send all SB-3 of SOs (migrated to CBS) to the respective SOs. In case of Accounts closed at the Post Office other than the one where account was opened, Account Transfer Form collected by the Post Office at the time of closure should be attached with the closure voucher.
1.6  In case of any adjustment if required in interest, Postmaster/Sub Postmaster will write error book and raise the issue to Head Postmaster who will raise the issue with Incharge SBCO. In case of any adjustment related to pre-migration period, Head Postmaster will raise the issue with Divisional Head with copy of error book who will after necessary inquiry (if required), approve adjustment and send letter to SBCO Incharge.
1.7  Postmaster/APM/SPM will be held personally responsible for all transactions happened in the Finacle Office Accounts in the post office. They should be vigilant while verifying the transactions to see the Office Account Number used by the User.


2.         Change in procedure of Sealing of Vouchers and LOT by CBS Post Offices
2.1  Post Office staff will write name of Scheme and TRAN ID in red ink on the right hand side of the voucher.
2.2  One deposit slip and one withdrawal slip will be prepared for auto-credit of MIS/SCSS/TD to Savings and Savings to RD.
2.3  One deposit slip will be prepared for the total of each type of Agent commission credited into savings accounts supported by consolidated list of commission paid.
2.4  One withdrawal slip will be prepared by SPM/APM for the POSB Cheque clearing amount ( based on the clearing amount intimated to Clearing House/HO) and print out of cheque’s images should be attached to it.
2.5  At the closing of counter hours, all vouchers should be sorted scheme-wise and TRAN ID wise. Vouchers should be tallied with LOT shown in the system by Counter PA and Supervisor.
2.6  A consolidation of the scheme should be generated and printed by all CBS post offices. Where laser printers are not available, while executing command in HFINRPT, user has to select “XLS” instead of “PDF”  (which is shown by default) in the field “Output File Name”. Then report can be printed on Dot Matrix printer.
2.7  All vouchers including closed vouchers are to be sealed alongwith print out of consolidation. One copy of consolidation (scheme-wise) is to be preserved in post office in guard file to be maintained scheme-wise and date-wise. APM/SPM will sign the consolidation and write the amount in words and figures alongwith No. of Deposit/Withdrawal vouchers included in the bundle. If any manual correction is made, it should be supported by copy of error book (one copy to be attached with voucher, one copy with office copy of consolidation and one copy to be sent to Divisional Office.

3.         Overview of Proposed work of SBCO
SL
 PRESENT NATURE OF WORK
After implementation of CBS
Postal Manual of SB Control
1
Receipt of Returns
Will be discontinued. SBCO PA will receive Vouchers and Consolidations of SOs directly from Sub Account and APM (SB) HO Counter for HO.
Rule -3
2
Checking List of Transactions  [SB -60/76]
Will remain continued as at present. SBCO has to match account number on LOT (to be viewed from Finacle) and account number on voucher and if there is any difference, print out of LOT may be taken and objection should be raised.
Rule – 4
3
Un-posted Items
Not applicable
Rule – 6
4
Register of Non-cash transactions
SB-62 [a]/85 [a]
Not applicable
Rule – 7
5
Register of Office wise [SB-63/RD85] Balances.
Not applicable
Rule – 8 & 10
6
Consolidated Journal of all the Schemes *
Has to be separately prepared for CBS Post Offices (if all SOs are not migrated) by SBCO for the purpose of tallying totals of SOs with SO Summary and HO with HO Summary.Total amount has to be added below Consolidated Journal of Sanchaya Post received from SOSB and tallied with HO Cash Book.
Rule – 9 *
7
General check of vouchers & checking of vouchers
Will remain continued as at present  
Rule – 11 & 15
8
Checking of Non-cash Transactions
Not applicable
Rule – 12
9
Revival of Accounts pre 01.01.2003
Not applicable
Rule – 12 [3]
10
Objection Register
Will remain continued without any change.
Rule – 13
11
Reporting of Minus balance
Not applicable
Rule – 13 [2]
12
Verification of binder balances
Not applicable
Rule – 14
13
Checking of Annual Interest
Not applicable
Rule – 16
14
Preparation of Interest cum Silent Accounts *
Report taken from Finacle is to be compiled and Only summary will be required to be sent to DAP.
Rule – 16*
14.a
Annual Listing balances RD/MIS/TD/SCSS
Not applicable.
Rule – 38
15
Silent Account Revival Procedure
Not applicable
Rule – 17 (3)
16
Un-used Cheque Foils
Continued as it is.
Rule – 18
17
Un-deliverable & spoilt Pass books
Continued as it is.
Rule – 19
18
Statistical Register
Only non financial part will be continued.
Rule – 20
19
Custody and preservation of records
Continued as it is (without LOT).
Rule – 25
20
Monthly progress Report
Not applicable.
Rule -  26
21
Checking of Agents Commission bill
Not applicable
22
Submission of returns to AO & DAP *
Only Statistical Register (non financial)and Interest Summary will be continued. *
Rule - 40
*This will be discontinued once CSI and FSI both are rolled out in all Post Offices.

4              Mode of handling of work          
1
Receipt of Vouchers
Physical
2
Checking List of Transactions  
In system& print out is to be taken only if there is any objection.
3
Consolidated Journal* 
In MS Excel.*
4
General check of vouchers & checking of vouchers
Manual&In system
5
Objection Register
Manual
6
Reporting of Minus balance
Not applicable
7
Verification of office wise balances
Not applicable
8
Checking of Annual Interest
Not applicable
9
Preparation of Interest statement*
Only grand summary will be prepared manually/MS Excel (not in system) *
10
Annual Listing balances RD/MIS/TD/SCSS
Not applicable.
11
Un-used Cheque Foils
Manual
12
Un-deliverable & spoilt Pass books
Manual
13
Statistical Register*
Manual/MS Excel*
14
Custody and preservation of records
Manual
15
Monthly progress Report
Not applicable
16
Checking of Agents Commission bill
Not applicable
17
Submission of returns to DAP *
Manual/MS Excel*
*This will be discontinued once CSI and FSI both are rolled out in all Post Offices.

5.         Proposed duties of SBCO PA/Supervisor
5.1      Examination of scheme-wise consolidation received from HO and SOs.
5.2      Checking of entries in LOTs viewed from Finacle MIS server and checking the daily/ progressive totals in the Cash Book and general check of vouchers.
5.3      Writing of Objections and maintenance of Objection Registers.
5.4      Entries of Interest Adjustments in Finacle and maintenance of Interest Adjustment Register.
5.5      Unused Cheque Foils.
5.6      Undelivered/Spoiled Passbooks.
5.7      Maintenance of Statistical Registers (non financial)
5.8      Submission of Returns
5.9      Requisition of Vouchers for Inquiry.
5.10   Safe Custody of Keys.
5.11   Preservation of Record.
5.12   Any other work which may be entrusted by the Supervisor/Divisional Head/AO(ICO) and through any subsequent order issuedfrom time to time.

5.1            Examination of scheme-wise consolidation received from HO and SOs, Checking of entries in LOTs viewed from Finacle MIS server and checking the daily/ progressive totals in the Cash Book.

5.1.1      SBCO PA
  The designatedPostal Assistant SBCO will receive Scheme-wise sealed and stitched Voucher Bundles with Consolidation placed at the top from Sub Account PA and tally the amount shown in the consolidation with SO Daily Account. Voucher Bundle of HO will be received from APM(SB) of HO Counter and amount shown in the consolidation should be tallied with the HO Summary.  All Voucher Bundles of each scheme will be handed over to Incharge SBCO.
5.1.2    SBCO Incharge
   SBCO Incharge  will examine the voucher bundles and verify that the Scheme-wise Consolidation bears signatures and designation stamp of the Supervisor (APM)/Sub Postmaster and number of vouchers written on the consolidation are tallied with number of vouchers attached with the bundle. He will countersign each consolidation and mark to concerned SBCO PA as per workload and availability of staff. In case of any shortcoming, he will write objection and send copy of objection to the Postmaster.

5.2            Checking of entries in LOTs viewed from Finacle MIS server and checking the daily/ progressive totals in the Cash Book and general check of vouchers. Following checks should be exercised:-
5.2.1      SBCO Incharge
Incharge SBCO, before handing over consolidation and voucher bundle to SBCO PA, should prepare consolidation in MSEXCEL* for each scheme for CBS Offices. He can download consolidation from Finacle (in MSEXCEL)* by selecting SOL SET ID as input criteria and remove the data of SOs from where vouchers are not received on that day and add data of those SOs from where vouchers are received but these are not in the excel (due to transit). He will struck total and if all SOs and HO are in CBS, the total will be tallied with the Cash Book and progressive totals will be entered manually. If all offices are not in CBS, totals of CBS Offices should be manually entered at the end of Sanchay Post Consolidation at the end and totals are to be tallied with cash book as usual.(where there is no transit, consolidation can be generated from Finacle by entering set id as input criteria.)
*Once CSI and FSI are rolled out all over India, this activity will be discontinued.
5.2.2    SBCO PA
On receipt of Voucher Bundle and Consolidation, SBCO will login to MIS server and view LOT of the concerned office from Finacle Application and execute following checks:-
(i)         The entries in the vouchers are complete and there are no suspicious erasures and alterations.
(ii)        The date stamp of the office has been affixed on the voucher.
(iii)       The application for withdrawal bears the signature of the depositor.
(iv)       The warrant of payment bears the signature of the Postmaster in token of having authorized the payment.
(v)        There is acquaintance of the depositor or his messenger on the warrant of payment in token of having received the amount.
(vi)       The identification of the depositor, wherever taken, is in proper form.
(vii)      In the case of illiterate depositor, the thumb impression has been attested on both the sides of the voucher.
(viii)     Whether the amount of deposit/withdrawal/Interest/Default Fee/Rebate etc. as shown in the Pay-in-Slip and Withdrawal Form/Cheque/Account Closure Form  by the post office and the depositor agrees with that in the List Of Transactions (viewed from Finacle MIS server). Date shown on the voucher and value date shown in LOT is same and if there is a difference in both, it is supported by proper error extract or approval of competent authority (except in case of clearing entries). If there is any difference, full transaction should be checked in Finacle through HTI and objection should be raised if required. While sending copy of the objection to Postmaster of HPO, print out of LOT/Screen Shot of HTI should be taken and attached.
(ix)       That in case of withdrawal exceeding Rs. 5000/- the signature of the depositor on the withdrawal form has been attested by two postal officials  except in Single Handed Offices (list of Single Handed offices to be taken from the Divisional Head by Incharge SBCO).
(x)        In case of transactions by cheque, the rules relating to cheques have been observed. In case of CTS clearing, image of the cheque should be treated equivalent to the hard copy of the cheques.
(xi)       The vouchers do not bear any erasure or over-writing.

5.3.        Writing of Objections and maintenance of Objection Registers.
5.3.1      Any irregularity noticed will be entered in clear and concise words in theRegister and copy of objection should be sent to Postmaster of HPO supported by printed copy of LOT/Finacle screen.
5.3.2      If the irregularity relating to a transaction is such as would affect its validity e.g., if there is erasure or overwriting or the depositor's acquaintance is wanting, the amount involved should be placed under objection. Vouchers once received by the Control Organization should not be given back to the Head Office.
5.3.3      Every irregularity should be brought to the notice of the Postmaster for necessary action.
5.3.4      Incharge SBCO will write to Head of Postal division in case of those objections where inquiry is required and those which are not settled within 30 days.

5.4       Entries of Interest Adjustments in Finacle and maintenance of Interest Adjustment Register.
5.4.1      Incharge SBCO will maintain Interest Adjustment Register manually and execute Interest Adjustments in Finacle through HIARM menu after getting approval from the competent authority.
5.4.2      Details of interest adjustments will be communicated to PAO (DAP) with copy to AO(ICO) on monthly basis.

5.5   Unused Cheque Foils
5.5.1      If the depositor of the cheque account closes his account or ceases to avail of the cheque facilities, the Postmaster will take over from him the cheque book containing unused cheques. Counter Supervisor will cancel each cheque under his dated signatures and designation stamp.
5.5.2      At the close of the day the Postmaster will transfer the partly used cheque books to the Control Organization duly entered in the voucher list.
5.5.3      The Incharge SBCO will verify that all unused cheque foils have been cancelled by Counter Supervisor and keep them in his personal custody. In case of any missing cancellation, Supervisor will cancel the cheque under his own signatures.
5.5.4      The Control Organization will enter the particulars of unused cheques in a manuscript register in the following form after noting the date of receipt on the top. The serial number of the register will be in an annual series starting from No. 1 in April.
5.5.5      These cheque leaves should be destroyed during inspection of AO(ICO) in his presence.

5.6   Undelivered/Spoiled Passbooks/Will Follow items
5.6.1      As and when a fresh pass book is issued in lieu of a spoilt one, spoilt pass book will be transferred by the Head Office to the Control Organization duly entered in the Savings Bank voucher list.
5.6.2       The Control Organization will enter the particulars of the spoilt pass books in a manuscript register in the following form.
5.6.3      The Serial No. in the register will be in an annual series starting from No. 1 in April. The pass books will be kept in an almirah in the personal custody of the Supervisor.
5.6.4      If for any reason, a voucher does not accompany the list/of transactions, the remark "will follow" must have been noted by the head office against the relevant entry.
5.6.5      In case such a remark has not been noted by the head office, the official should bring this to the notice of the Postmaster immediately without damaging the seal on the bundle of vouchers.
5.6.6      An entry should also be made in the "Register of vouchers not received" in form prescribed (Annexure 3 of Rule 4 of Postal Manual of SB Control) and the Serial number of the entry in the register should be noted against the relevant account number in the list of transactions .
5.7        Statistical Registers (Non Financial)
5.7.1      The Supervisor/PA incharge Control Organization will at the end of each month will generate Statistical report with HO SOL Set ID (non financial) from Finacle MIS server. If all Post Offices under HO are on CBS, copy of the report should be sent to PAO and AO(ICO) and if some offices are in CBS, totals of this report should be added while sending Statistical Report to PAO(DAP).
5.7.2       Note:- Non- financial means statistical information of number of accounts and number of transactions etc.


5.8       Submission of Returns*
Sl. No.
 Particular of return
Office to which due
Due date
1
Copy of the statistical register (non financial if all Post Offices in CBS)
Postal Accounts  Office
By the 10th  of the
following month
2.
Report of Silent Accounts
( to be taken from Finacle Application)
PAO
By the 10th  of the
following month
3
Annual Interest Summary
PAO & AO(ICO)
In the month of April.
* Once CSI Data Warehousing solution will be in place and DAPs/AO(ICO) are also online , these reports need not to be sent by SBCO as these reports can be viewed  on line by DAP/AO(ICO).

5.9   Requisition of Vouchers for Inquiry
5.9.1      May be given to the Divisional Supdt/Postmaster under receipt.
5.9.2      Requisition be signed personally by the Divisional Supdt/Postmaster.
5.9.3      If any voucher is required for investigation by the police, the police should send the application to the Head of the Postal Circle.
5.9.4       keeping an a nested copy of the voucher in its place, the voucher should be delivered to the Police authorities after getting the copy of the voucher attested by the officer concerned.
5.9.5      The voucher/document should be sent by insured post when it cannot be conveniently transferred by hand under receipt.
5.9.6      Record of the vouchers given be maintained in a separate register and case pursued by the C.O. to obtain back the voucher/document.
5.9.7      When the voucher/document is received back, it is kept in its proper place by the in charge SBCO The requisition slip and the attested copy will be removed and kept in a separate file. The bundle will be again resealed.
5.9.8      The vouchers/documents required to be preserved in connection with fraud cases will be made over to the Divisional Supdt till the finalization of case and need not be preserved by the SBCO.
Note:- It is not open to Postmasters, Inspectors, etc. to see in person or to call back any record or document except on a written requisition. Whenever any voucher or document is required by these officers, the same may be obtained on a written requisition only.

5.10      Safe custody of Keys,
5.10.1   The duplicate keys of steel almirahs, etc. supplied to S.B.C.O. will be kept by the A.O.ICO(SB) in his personal custody.
5.10.2   The Supervisor SBCO will send all the duplicate keys by parcel post registered and insured for Rs. 100 to the A.O.ICO(SB) after entering their number in a list to be prepared in triplicate.
5.10.3    When the original key is lost by the SBCO the matter will be reported to the A.O.ICO(SB) who will authorize the issue of duplicate key. The A.O. will make necessary entries in the register and attest them.
5.10.4   The duplicate key will be sent by parcel post registered and insured for Rs.100.

5.11                Preservation of Record
           
(i)      VOUCHERS with Consolidation         -           5  YEARS
(ii)     CONSOLIDATED JOURNAL                -           1 YEAR
(iii)    UNDELIVERABLE PASSBOOKS            -           1  YEAR
(iv)   STATISTICAL REGISTER                     -           3 YEARS
(v)    OBJECTION REGISTER                      -           2 Years after settlement of all objections.
(vi)   Interest Adjustment Register           -           5 Years.

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DOPT issued a wonderfull order regarding Govt. servants covered by New Pension Scheme

According to this order Govt. Servants who appointed on or after 01/01/2004 will cover New Pension Scheme can get Provisional Pension according to Old Pension Scheme where Govt.Servant Died/Retired on medical invalidation.For details Please click this link to down load the order

http://persmin.gov.in/WriteData/CircularNotification/ScanDocument/Pension/NPS_05052009.pdf

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All efforts have been made to ensure accuracy of the content on this blog, the same should not be construed as a statement of law or used for any legal purposes.AIPEU Group-C, AP Circle accepts no responsibility in relation to the accuracy, completeness, usefulness or otherwise, of the contents.Users are advised to verify/check any information with the relevant departments/or other source(S), and to obtain any appropriate professional advice before acting on the information provided in the blog.