(j Zoi FEDERAL BOARD OF INTERMEDIATE,
} AND SECONDARY EDUCATION
ey Sector H-8/4, Islamabad, Pakistan.
No, riAcsi2015/ 135. Marel
CIRCULAR
It is circulated for information of all revenue generating
branches that foreign fee received through electronic transfer from foreign
banks creates many difficulties to find out the specified figures for
verification, classification and reconciliation due to non-availability of
Amount, Name, Class and Nature of fee.
2 For the purpose, the information for compliance may be
disseminated to all the abroad institutions affiliated at SSC/HSSC level that
fee should be deposited/transferred through SWIFT “MT 103” with a clear
reference of purpose in “field 70” (Performa enclosed), in order to provide the
complete information to the Accounts Branch for verification, classification,
reconciliation and cash book purpose.
- 4
Y 2
(Ts de EZ)
| Secretary
Distribution:
1. APS to Chairman
2. AIL HOD's
3. All Sectional Heads