Para 3.14.4 — MSO
MSO
Original Rule Text
Audit of Cash Remittances 3.14.4 Besides the cash remittances made by departmental officers rendering compiled accounts, cash remittances take place between treasuries and also between treasuries and currency chests. Every entry of ‘remittance into’ or ‘withdrawal from’ accounted for by an account rendering unit has to be cleared by a corresponding opposite entry in the accounts of the unit receiving the remittance or permitting the withdrawal.