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Pratham Softwares presents

YOJNA. SCHEME. SOFTWARE. FUND MANAGEMENT. Pratham Softwares presents. MONITORING. Today’s Software for tomorrow. Yojna software.

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Pratham Softwares presents

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  1. YOJNA SCHEME SOFTWARE FUND MANAGEMENT PrathamSoftwarespresents MONITORING Today’s Software for tomorrow

  2. Yojna software “Yojna” is not an accounting software but it’s a tailor made physical and financial monitoring software specially designed and developed to meet the requirements of agencies implementing the projects in development sector. “Yojna” software encompasses the feature of accounting and monitoring both physical and financial at one place. It rests on the philosophy that no monitoring can be successful unless it is integrated with the financial books of accounts. Other softwares are Stereo type having facility for only financial accounting Most of the software having no facility for monitoring

  3. EXISTING SYSTEM • At most of the places manual accounting on single entry system. • Or • Branded softwares having facility for financial accounting only . • No Provision for monitoring physical progress and expenditure incurred on construction work. • No scheme/yojna wise accounting. • No component/head wise monitoring. • No Budget Monitoring • No online/web based accounting. • Separate accounts required to be kept for State, District, PFTS, Cluster and VDCs/ SHG this makes the reporting very tedious and lengthy, since we have to consolidate data of several companies again and again. • No MIS reporting like list of beneficiaries under various schemes, Grading of Self Help Groups. • No facility for integration of financial books with other MIS softwares.

  4. SPECIAL FEATURES OF PROPOSED ‘’YOJNA’’ SOFTWARE At Present DRDA Sagar & Betul Districts are online • Online/Web Based Accounting - All Districts, PFTs and VDCs can be connected to the State /District office and online accounting, monitoring and supervision can be done . • Component And Head Wise Physical And Financial Monitoring. Further reporting according to reimbursement category wise is also possible • SeparateDouble Column Cash Book for each Schemes. • Facility for preparation of Work Plan of construction work and its integration with the books of accounts. • e.g. expenses are reported under the following components :- • Institution and human capacity building. • Formation and strengthening of groups. • Community Investments

  5. SPECIAL FEATURES OF ‘’YOJNA’’ This will help the VDC to keep separate accounts for RLP. Including physical and financial progress . • Scheme wise Annual/periodical Statements of Receipt and Payment Account, Income and Expenditure Account and Balance Sheet for District, PFTs and VDCs. • Online consolidated Monthly Expenditure Report With Budgets. • Scheme wise Financial Position ofDistrict, Block and VDCs/ SHG • Utilization Certificate for District, PFTs, VDCs showing amount received, spent and unspent at any particular time . • Schedule of assets created during the year. • Facility for Automatic Bank Reconciliation . Report includes Opening Balance, Fund received, Exp. incurred, interest recd. & closing balance Report is very flexible user can add new columns as per requirements.

  6. HEAD & COMPONENT WISE ACCOUNTING & BUDGET MONITORING • Accounting according to desired head and component wise for example :- • - In DPIP reporting of expenditure under community investment, institutional and human capacity building, formation and strengthening of groupsetc. • - DFID and State Share of Grant further accounting according to demand number wise. • Facility for setting up physical and financial budget for various heads and category separately for each scheme. • Concurrent budget monitoring while making entries in accounts.

  7. Real Time Online Transactions Online Multiuser Multiuser Single user

  8. Facility for maintaining the accounts up to Group level at one place First level where transactions are enacted At Lowest level transactions of Beneficiaries like SHG Members are recorded

  9. Head and component/category wise Trial Balance Components

  10. Graphical Data

  11. Budget Expenditure Report Progress up till previous perod Cumulative Progress Physical Progress

  12. GROUP MONITORING AND ACCOUNTING • Various data required to monitor groups linked with the accounts available for monitoring. • Flexibility to add user required data fields for monitoring. • Separate scheme wise group accounts . • Real time information in respect of assistance given to groups under various scheme. • Automatic fund disbursement on stipulated norms. • Data of base line survey etc. can be integrated with accounts.

  13. MODULE FOR SELF HELP GROUP • SHG and Member registration • Rerecording of meeting minutes • Saving transaction and loan activities • Facility for deigning loan and saving products • AUTOMATIC MEMBERS AND SHG GRADING ( Presently on three parameters i.e. number of meetings conducted, saving balance and date of joining at least 3 months old. • Member wise as well SHG wise saving, withdrawal and deposit reports. • Activity wise & Member wise as well SHG wise Loan, repayment and outstanding reports.

  14. SHG REGISTRATION Note user can feed other information also as per the need above are only few information.

  15. SHG MEMBER REGISTRATION

  16. SHG CAN RECORD MEETINGS THROUGH THIS FORM ( THIS IS A WEB BASE FORM AND THEREFORE INFORMATION CAN UPDATED FROM ANY LOCATION).

  17. MEETING CAN BE CONDUCTED ONLY IF SHG HAVE REQUISITE MEMBERS.

  18. ATTENDANCE OF SHG MEMBER CAN BE RECORDED.

  19. MEETING INFORMATION CAN BE UPDATED WITHIN 15 DAYS OF MEETING CONDUCTED. IF MEETING DETAILS IS NOT UPDATED WITHIN 15 DAYS MEETING SHALL NOT BE COUNTED AS VALID MEETING AND NOT CONSIDERED FOR GRADING PURPOSES ALSO.

  20. IN THE MEETING ITSELF NEW MEMBER CAN BE REGISTERED. • MEMBER CAN DEPOSIT,MAKE WITHDRAWALS, TAKE LOANS AND REPAY LOANS IN THE MEETING . • ALL THE TRANSACTIONS IS AUTOMATICALLY GOT UPDATED IN THE BOOKS OF ACCOUNTS AND COMPONENT WISE AND FUNDING AGENCY WISE INFORMATIONS CAN BE OBTAINED FROM SPSUs, DPSUs OR PFTs

  21. Only those members and SHGs are displayed on the form for loan assistance who has requisite grade.

  22. IN THE MEETING ITSELF NEW MEMBER CAN BE REGISTERED. • MEMBER CAN DEPOSIT THEIR SAVINGS IN MEETING AND MAKE WITHDRAWALS ALSO. • LOAN CAN BE DISBURSED IN THE MEETING AND REPAY LOANS. ( ALL THE TRANSACTIONS AUTOMATICALLY UPDATED IN SHG BOOKS AND COMPONENT AND CATEGORY WISE INFORMATION CAN OBTAINED FROM PFTs, DPSUs OR SPSU.

  23. MONITORING AND ACCOUNTING ACCORDING TO SUBMITTED SUB ROJECT/WORK PLAN OF GROUPS • Plan/project for groups can be prepared with facility for obtaining technical, administrative sanction on work plan/projects. • Funds received and Expenditure incurred can be tracked according to work plan. • A work wise report can be obtained having details of work status, installments received from various sources, valuation, own contribution, etc.

  24. Preparation of work plan/sub projects

  25. WORK REPORT

  26. MONITORING AND ACCOUNTING OF CAPACITY BUILDING PROGRAMS • Plan for Capacity Building Programs can be prepared with facility for obtaining technical & administrative sanction for programs • Funds received and Expenditure incurred can be tracked according to plan. • A plan wise report can be obtained having details of administrative and technical sanction, expenditure incurred, sponsor details, number of trainees, etc.

  27. MONITORING AND ACCOUNTING OF CAPACITY BUILDING PROGRAMS Various head of expenses with qty and rate Own Contribution, Contribution from sponsor and from others Payment Schedule Proposed amount from field and sanction by HO Name of sponsor and sponsored amt.

  28. MONITORING AND ACCOUNTING OF CAPACITY BUILDING PROGRAMS

  29. OTHER UNIQUE FEATURES • Auto Bank Reconciliation . • Specially designed double column cash book for simplified recording of cash and bank transaction. • Monthly Progress Report (MPR) with budget for monitoring both physical and financial progress. • Program/scheme/project wise Annual Statements of Receipt and Payment Account, Income and Expenditure Account, Balance Sheet and Utilization certificate. • Schedule of assets acquired/created can be prepared and a fixed assets register can be drawn up.

  30. Reports

  31. Scheme Wise Double Column Cash Book

  32. Fixed Assets Register

  33. Report on financial position

  34. UTILISATION CERTIFICATE

  35. EDGE OVER OTHER SOFTWARES • Real time online accounting no data upload is required • Web Based accounting is available. • Accounts maintenance of various branches at various level in one data base therefore merging is not required again and again like other software. • Integrated module for Group accounting and monitoring. • Physical and Financial both accounting is possible in other popular software only financial accounting is possible. • Reporting as per the Budget line (PAD) i.e component wise as required by the Funding agencies. • Facility for preparation of sub projects and accounting, monitoring and reporting according to sub projects.

  36. Thank You!

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