No. P3NFPE –
Odisha / 01 – 11 / 2017
Dated at
Bhubaneswar the 2nd November, 2017
To
Dr. S K
Kamila, IPoS
Chief
Postmaster General, Odisha Circle
Bhubaneswar
– 751 001
Sub: - Problems arising out of
CSI rollout – Case of Odisha Circle
Respected Sir,
Inviting a kind reference to this
Union’s letter No. P3NFPE –
Odisha / 03 – 10 / 2017, dated 10.10.2017 (wrongly typed as 04.10.2017)
sent through
eMail on 10.10.2017, this is to intimate that experiencing the concern of our
staff members of Cuttack City Division on CSI rollout and realizing the genuine
issues confronted by them, this Circle Union conducted a Special Working
Committee Meeting on 29.10.2017 here in Bhubaneswar.
We
collected several information based on theoretical aspects from our Trainers
and S As and real problems practically faced by our staff members now working
under CSI environment and thus could be able to summarize the following
additional operational issues after CSI rollout apart from Training,
Hardware and Connectivity issues which
have already been brought to your kind notice.
A list
of the issues is attached here with for kind reference. However, these are not
exhaustive.
As such,
we would like to request you to kindly arrange for definite solution of the
issues at an early date and till then, it is requested to kindly defer further
rollout of POs to CSI.
Expecting your kind response Sir.
With regards.
Yours
faithfully,
Attached : As above
(B SAMAL)
Circle
Secretary
Copy to Com. R N Parashar, General
Secretary, AIPEU, Group-C, CHQ, Dada Ghosh Bhawan, New Delhi – 110 008. The Training,
Hardware and Connectivity issues already raised by Tamilnadu Circle are quite
familiar with that of Odisha Circle. Here we have pointed out some operational
issues under CSI environment apart from the above issues. The Postal
Directorate needs to be appraised of these issues in continuation of CHQ letter
No. P/4-5/CSI, dated 28.10.2017. This has a reference to this Circle Union
letter No. P3NFPE –
Odisha / 15 – 10 / 2017, dated 27.10.2017
List of Problems arising out of CSI Rollout in
Odisha Circle
|
Current Issues
|
Brief of the Issues
|
Suggested Solution
|
1
|
Server
Slowness
|
The
systems are found to be running very slow than required due to low Bandwidth,
absence of antivirus, pirated software, low signal strength etc.
|
This is to
be solved by the Vendor only increasing the present bandwidth, uploading
Anti-virus and checking the availability of signal strength if dongle is used
and likewise.
|
2
|
Non-fetching
of PLI / RPLI figures to Treasury
|
This is
said that user mismatch of McCamish and CSI. Even in user-matched cases also,
the problem is continuing. There is a provision for temporary solution with
regard to legacy adjustments at POS.
For, one
or two occasions, the legacy adjustment is ok. But the operation
of Legacy adjustments regularly for daily PLI / RPLI collections is not
correct. This is inconvenient both to the PLI customers as well as to
the staff members and may lead to
fraud also.
For
mismatching of McCamish figures in some Post offices the figures are
not reflected to POS and thus The TCB figures do not match with that of the
Daily Account.
|
Alternate
method to legacy adjustment needs to be developed by the Vendor and action
may be taken for proper fetching of McCamish figures.
|
3
|
Jumping
of POS figures
|
The POS
(Point of Sale) figures are Jumping (plus and minus) due to net work issues
resulting wrong figures in TCB which is now being solved by using Transaction
Code ‘F-02’.
Case(i)
: If POS balance is taken wrong by system as double entry or more
etc. This has to be adjusted using T-Code F-02.
Document Type : SK
40 (Debit Entry): DOP 486710010
50 (Credit Entry) : POS 486710011 Case(ii): If POS balance is less T code: F-02 Doc: type :SK
40
POS 486710011
50
DOP 486710010
|
The
process needs to be simplified to avoid jumping.
|
4
|
Invalid
license in POS
|
Licenses
are registered according the number of systems available in an office. But as
it is experienced, the POS and Back
Office are not opening giving error message even if licenses are equivalent
to the number of systems available.
Presently
our SAs are solving the above issue using command : C:\ Postal POS_BO run licsvc.bat.
|
This has
to be permanently solved by TCS.
|
5
|
Mismatch
in Opening/Closing Balance
|
This is
being done temporarily by our SAs as explained in the Remark Column under
Para – 3 above
|
This has
to be permanently solved by TCS.
|
6
|
Difficulty
is registering Bulk-Mailers
|
The
procedure now available in the present software for registration of bulk
mailers, pre-paid bulk booking with bulk booking option and allotment of
Regn. No. is not familiar to staff.
|
The
software needs to be simplified
|
7
|
Acknowledgement
Check-up
|
At the
POS Counter, the present software has made Acknowledgement Check-up system
mandatory for each and every Regd. letter to be booked which is not all
required. This is increasing the
transaction time unnecessarily.
|
It has
to be modified with option to undertake wherever necessary to reduce the
transaction time for rendering prompt service.
|
8
|
Absence
of separate branch for each category of article
|
There is
no separate branch for each category of article like Regd, Speed, Parcel etc.
Only Batch-1 , Batch-2 etc. are developed by TCS. But in post offices there
is a branch for every service / product, viz. Regd, Speed, Parcel. When
articles are invoiced in Batch 1, all articles irrespective of category are
to be taken in the batch which may create problem at the time of taking
Postman returns.
.
Due to such single batch invoicing system, a single user working in a
particular batch in DPMS may invoice RL,SP, RP coming to all users under same
batch for which all items can be
printed in a consolidated manner or can be printed separately
for RL, SP, RP etc. i.e one user data is accessible to other to
take return (or) modify. Illustratively, the user working for Regn. Only can
also take the return for Speed Post
and Parcels without the knowledge of the user performing Speed Post and
Parcel separately which may give wrong message in delivery /return and the
respective abstracts will certainly mismatch. Rather than BATCH, USER BASED
data access is required. i.e other user cannot access one users entries.
(those who invoice is responsible to take returns also)
This is
not fit to the present scenario of branches operated by separate users in
Post Offices.
|
Batch
Number needs to be identified / created with each particular job, e.g,
separately for each category of article for smooth Invoicing and Return.
|
9
|
Delivery
to Bulk-Mailers
|
The
present software has no provision for delivering to bulk-mailers under
DPMS. This provision is highly required since staff members are facing
problem while delivering articles to bulk
mailers.
|
A
provision is to be developed in the present software.
|
10
|
No
provision for Customs Duty
|
The
present software has no provision for receiving Customs Duty from letter
or parcel or from ordinary mail in cash which is required under Treasury like
Miscellaneous receipts head.
Even if
it is received somehow, such amount is not reflected in TCB resulting
mismatch of cash amount.
|
It needs
to be created / developed in the software and mismatch of data flow
problem should be rectified
|
11
|
Problems
for mis-sent and Returned articles
|
The
present procedure available for flow from SAP to POS back office in case
of returned and mis-sent articles is inconvenient to staff since the present
procedure is compelling to close more bags instead of closing a single bag in
DPMS.
|
The
software needs to be modified to the convenience of the staff.
|
12
|
Problems
in printing the TCB
|
T-code
‘Zfbl3n’ is not compatible for taking printout of TCB.
|
The
Vendor needs to make the same compatible to ease printing out of TCB.
|
13
|
Rebooking
of VPMO
|
There is
no provision in the present software for rebooking of VPMO after delivery
which confuses the staff members.
|
A
clarification is required if the VPMO rebooking is necessary or the Z-vpmo
upload is enough.
|
14
|
Cancellation
provision for eMO booked / VPMO rebooked
|
There is
no provision for cancellation in the present software except correction of
entries.
|
The
software needs to carry a provision in this regard.
|
15
|
Submission
of Transaction Reports
|
In the
present system, the Transaction Reports for eMOs booking, telephone bills
acceptance, eMO paid etc are regularly sent to HO for records and
verification along with the Daily Account. Staff members are confused if the
same are required to be sent to HO since the transactions are now made online.
|
A
clarification may be circulated in this regard.
|
16
|
Provision
of UCR
|
There is
no provision for UCR in the present software where as this head is barely
necessary for crediting excess cash found in the counter, sale of old
records, crediting renewal fees for Registered Newspapers, Pledge / Release
fee for Cash Certificates and such other items.
|
A head
may be developed in the present software or suitable clarification may be
circulated how to accept such receipts.
|
17
|
Provision
for UCP
|
There is
no provision for UCP in the present software where as this head is barely
necessary for refund of tender fee, EMD, erroneous/excess receipts from customers etc.
|
A head
may be developed in the present software or suitable clarification may be
circulated how to refund such payments.
|
18
|
Incorrect
SSL
|
As
experienced, the S S L (Staff Scheduling System) of all the employees
are not correctly attached to their offices which is creating problems for
smooth management of the office and assigning duties to the available staff
especially during leave, deputation, training etc.
Raising
of tickets to TCS will not at all solve the issues
|
Correct
Staff Scheduling System is required before CSI rollout and the names of all
the employees in a Divisions need to be appeared under SSL in SAP
|
19
|
Wrong
data entry in Employees Portal
|
Due to
wrong data entries of DOB, DOE, DOR, Leave credits, the employees are not in
a position to apply for leave through this portal.
As
experienced up to 80% data under this portal are found with incomplete /
wrong entries.
Most
unfortunately, there is no provision for addition / alteration at Divisional
/ Circle level. Now it is solely controlled by TCS.
|
There
should be a provision for modification / correction of wrong data in the
software and it needs to decentralized to CO / DO level for arriving at
instant solution.
|
20
|
Power to
draw Cheques
|
Though
as per rules, LSG postmasters and above are authorized to draw Cheques, the
said provision is not available in the present software.
|
The
vendor should provide such a facility.
|
21
|
Complex
procedure for Cheque Requisition
|
More
than 30 steps are to be followed for placing requisition of a single Cheque
by the SPMs from the HO/GPO. When the number of Cheque Requisition will be
more, the entire time of a single/double handed SPM will be spent of placing
such requisition.
|
The
procedure needs to be simplified minimizing the steps to be followed for the
purpose.
|
22
|
Lengthy
process for receiving / indenting stamp and cash
|
The
procedure provided in the present software for indenting stamp and cash from
HO, remittance of surplus cash to HO etc. is too lengthy and thus consuming
more time than actually required.
|
The
procedure needs to be simplified minimizing the steps to be followed for the
purpose.
|
23
|
Use of
unsuitable terminology
|
Different
terminologies used for different
heads of transactions / accounts in the present software do not suit to the
postal operation and thus are not understandable.
|
Simple
terminologies which will suit the postal operations need to be substituted in
the software.
|
24
|
Unacceptable
PIN Codes
|
At Point
of Sale, PIN Codes of some offices are not accepted by the present software.
Error message is displayed as the
sender’s city name and PIN code are mismatched and there by not
allowing to book the article under PoS .
|
The
error needs to be addressed.
|
25
|
Synchronization
of data
|
In CSI
environment the synchronization of data is very essential for reflection of data
in TCB and daily account. But all most on all the days since CSI rollout in
Cuttack City Division, it is experienced that the daily sync and high sync
are being failed continuously and hence the POS data and POS cash are not
reflected properly in TCB. Sometimes the POS cash appears twice in TCB. Thus,
difference in POS cash balance and Daily report or daily account balance has
been a regular feature.
|
The
issue needs to be addressed promptly.
|
26
|
CTS
Cheque clearing & transit adjustment
|
No
training has been imparted to the officials with respect to accounting
of for the inward and outward CTS
cheque clearings in CSI environment and transit adjustment.
|
The
issue need to be addressed
|
27
|
Unusual
concept of F & A
|
The F
& A module of SAP is having a total different concept with double entry
book keeping method using different T-Codes and posting every transaction in
general ledger heads of 10 digit codes which is found to be tedious and time
consuming action resulting more transaction time and inviting public
resentment.
|
The
process needs to be simplified to consume less time for effecting timely
service delivery.
|
28
|
Pay Roll
Data
|
At
present, the data for payroll and HR particulars are prepared through an
excel sheet since there is no exclusive provision in the CSI Software. Any
error in preparation will lead to non-drawal of pay and allowances of the
official(s).
|
There
should be a provision to fetch payrolldata and HR particulars from Meghdoot
package available at each HO/RO/CO/DAP instead of preparation through excel
sheet as it is time consuming.
|
(B
SAMAL)
Circle
Secretary
No comments:
Post a Comment