This document details the guidelines and procedures for Central Government Employees Residents Welfare Associations to receive and account for grants-in-aid from the Department of Personnel and Training for the financial years 2008-2009 and 2009-2010. It outlines eligibility criteria, financial limits, required documentation (including various annexures for receipts, expenditures, and audits), and reporting deadlines. The document emphasizes the importance of maintaining accurate records, submitting timely reports, and adhering to the Model Constitution for these associations. It also addresses the consequences of non-compliance, such as derecognition and the need to account for past grants. Associations are expected to submit detailed financial statements, including opening balances, receipts, expenditures, and utilization certificates, along with lists of members and minutes of general body meetings. The document also clarifies acceptable expenditure categories and discourages seeking donations from commercial firms with whom the associations have business dealings.
SOURCE PDF LINK :
Click to access 7-2-2009-welfare%2024-11-2009.pdf
Click to view full document content
BY REGISTERED POST
No.7/2/2009-Welfare
Government of India
Ministry of Personnel, Public Grievances and Pensions
(Department of Personnel and Training)
To
The Secretaries of the Grantee, Central Government Employees Residents Welfare Associations (As per list).
Subject:- Grants-in-aid for the year 2009-2010 to the Central Government Employees Residents Welfare Associations- submission of Accounts for the year 2008-2009regarding.
Sir/Madam,
I am directed to say that the Department of Personnel and Training has been sanctioning Grants-in-aid to the eligible recognized Residents Welfare Associations formed by the Central Government Employees in residential colonies to enable them to meet a part of their expenditure on the welfare activities, programmes during the financial year. The recognized Central Government Employees Residents Welfare Associations eligible to receive grants-in-aid may please send a request to this effect to this Department in the prescribed proforma.
2 The recognized Central Government Employees Residents Welfare Associations are requested to send their request keeping in view the following guidelines:-
(a) Central Government employees and employees of the Delhi Administration shall qualify for regular membership of an Association in respect of the grants-in-aid from the Department of Personnel and Training subject to fulfillment of conditions as laid in para (b) to (f) of clause II (2) of the rules and regulations under the Model Constitution.
(c) Grants-in-aid admissible will be subject to an upper ceiling of Rs.4,500/- during a financial year.
(c) Consolidated accounts for the previous financial year may be provided in Annexure ‘A’, signed by the President, Secretary, Treasurer and Internal Auditor.
(d) A complete list of all the members showing their names, residential address, official designation and address as on 31.3.2009 may be submitted as in Annexure-‘B’.
(e) All the vouchers relating to every head of expenditure as appearing in Annexure ‘A’, should be maintained by the Association, so as to verify the expenditure as and when needed.
(f) The stock register maintained by the Association as audited and certified by the Internal Auditor after physical verification should be maintained by the Association. The Department of Personnel and Training may verify the stock register as and when required. Similarly, the inventory of articles should also be maintained.
(g) A copy of the minutes of the General Body meeting wherein the accounts of the Association and other activities thereof for the previous year etc. have been approved may be submitted (Annexure-‘L’).
(h) Utilization certificate in respect of the grant-in-aid provided by this Department and information regarding Assets acquired wholly or substantially funded from the grant may also be furnished as per proforma in Annexure ‘G’ and ‘H’ respectively.
(i) A report on the activities of the Association with reference to the Annual Action Plan as provided in Clause VII of the rules and regulations framed under the Model Constitution may also be provided (Annexure ‘K’).
- It may be noted that even if the Association is not keen to obtain further grants-in-aid from the Government, it shall have to render full and satisfactory accounts of the grants taken in the past. In case any Association fails to get grants-in-aid for any reason for two consecutive years, such Association will stand derecognized. Those Associations which have not sent acknowledgements in token of having received the grants-in-aid for the year 2008-2009 so far, are requested to send the same.
- CGERWAs are requested to send their request complete in all respects to DOP&T preferably by 31.12.2009 during the current financial year for further necessary action in the matter.
Yours faithfully
(B.K. Chugh)
Deputy Secretary to the Govt. of India
Ph. No. 24624722
STATEMENT OF RECEIPTS AND EXPENDITURE OF THE ASSOCIATIONS FOR THE YEAR 2008-2009
RECEIPTS
- Opening balance as on 1.4.2008
(a) Cash Rs. \qquad )TOTAL
(b) In Bank Rs. \qquad ) - Grants-in-aid sanctioned for the year 2008-2009
- Bank Interest
- Normal annual membership Subscription from: (a) Regular Members
(b) Associate Members
(Amount collected for chowkidar Should not be included) - Games Fees
- Ad-hoc contributions
(details of source also, state from Members or non-members - Entry fee for tournament realised
- By sale of old newspaper & magazines
- By sale of used articles of Sports
- Contribution for picnic
- Entertainment proceeds from
- Receipts from the Community Needs Scheme.
- Miscellaneous receipts
Grand Total:-
EXPENDITURE
- Articles of Sports:
(i) for Adults
(ii) for Children - Accommodation charges
- Magazines and Periodicals
- Film Shows
- Hiring and repairing of furniture etc
- Purchase of furniture etc.
- Organization of Picnics etc.
- Prizes (i) Adults (ii) Children
- Office equipment, stationary postage
- Social cultural & Religious meets (details of every meet attached)
- Purchase and maintenance of Community need equipment
- Conveyance charges
- Light refreshment at the General Body Executive meeting/guests etc.
- Miscellaneous (details attached)
- Attendance charges
Total Expenditure:-
Balance as on 31.03.2009
(a) Cash in Hand \qquad
(b) In Bank \qquad
Total Balance \qquad
Grand Total: \qquad
PRESIDENT
(INK
SECRETARY
DATED
TREASURER
SEAL
AUDITOR
AND
SIGNATURE )
FROM PRE-PAGE
NOTE: NO CHOWKIDAR ACCOUNTS SHOULD BE SHOWN IN ANNEXURE A’.
CERTIFICATE
Certified that:-
- The opening balance has been tallied with the closing balance of the last year accounts and no difference found to exist. In case, there is any difference, suitable explanation has been furnished.
-
All the receipts have been exhibited truly and correctly in the cash book.
-
Totals of both sides have been physically checked and found to be correct.
-
Vouchers have been classified under blocks and are relevant to the item as shown in the expenditure side of the statement.
-
All the vouchers have been produced for the entire expenditure shown and no voucher is missing. The vouchers have been thoroughly checked by me and are found to be in order. Vouchers have been properly affixed with the Revenue stamp where necessary. All the vouchers bear the pay order of the Executive.
-
The vouchers bear the dated signature of the payee/payee(s) whose names tally with those shown in covering list of vouchers.
-
No part of expenditure and/or vouchers pertain to the period other than the one under review.
-
I have Audited the accounts of the Association for the year 2008-2009 and found them in order.
(SIGNATURE IN INK WITH DATE)
AUDITOR
SEAL
N.B.:-
IN CASE, THE AUDITOR HAS MADE ANY OBJECTION, A COPY OF THE OBJECTIONS RAISED BY THE AUDITOR AND THE COMPLIANCE BY THE GENERAL SECRETARY/PRESIDENT OF THE ASSOCIATION SHOULD BE FURNISHED.
CLARIFICATION ON ACCOUNT OF EXPENDITURE
- No expenditure should be incurred out of grants-in-aid on watch and ward of the Quarters in the Colony.
- Associations may incur expenditure on picnics and excursions not exceeding 10 % of the total grant-in aid for the year, the balance of such expenditure, if any, being met by raising special contributions from the participating members. The expenditure incurred on transport to the place of picnics/excursions should be met by raising special contributions for the purpose from the participating members.
- Expenditure on entertainment (light refreshment on the General Body/executive committee meetings /Guests etc.) and conveyance should not exceed 15 % and 10 % respectively, of the total grants-in-aid for the year.
- An illustrative list of item on which expenditure may be incurred by the clubs/ associations out of the grant is given below:-
a) Articles of sports – outdoor and indoor games equipment.
c) Reading Room – library organization of book clubs, magazines and periodicals.
c) Purchase, hire and repair of furniture, fittings etc. of clubs premises.
d) Hiring of accommodation for club/Association.
e) Film shows.
f) Social and cultural programmes, sports and children’s functions.
g) community expenses incurred locally.
h) conveyances expenses incurred locally.
i) Entertainment.
j) Prizes.
k) Stationery, office equipment etc.
COLLECTION OF DONATIONS FROM COMMERCIAL FIRMS
While there is no objection to stray local voluntary donations of small amount being received, it becomes an unhealthy practice if a regular collection drive is made for collecting donations from firms, specially those with whom the clubs/associations are having commercial transactions. It has, therefore, been decided that no Association/club receiving grants-in-aid from the Department of Personnel and Training should seek any donations or financial assistance from commercial firms particularly donations of substantial amount. There is no objection to the donations being received from members giving in their personal capacity but these should be accounted for.
ANNEXURE ‘B’
LIST OF MEMBERS FOR THE YEAR 2008-2009 SHOWING THEIR RESIDENTIAL/ OFFICE ADDRESSES ETC.
Sl. No. | Name and designation | Address (should be given in full (Official/ residential | Category | Amount of subscription for the year 2008-2009 | ||||
---|---|---|---|---|---|---|---|---|
Amount | Receipt No. | Date | ||||||
1. | 2. | 3. | 4. | 5. | 6. | 7. | 8. | |
LIST OF OFFICE BEARERS AND MEMBERS OF MANAGING COMMITTEE OF THE ASSOCIATION/ CLUB FOR THE BLOCK YEAR 2009 – 2011 |
Sl.No. | _address”>Residential | _no.office/_ | Remarks | ||
---|---|---|---|---|---|
1. | 2. | 3. | 4. | 5. | 6. |
NOTE :A COPY OF THE REPORT OF THE RETURNING OFFICER/MINUTES OF THE MEETING OF THE GENERAL BODY ELECTING THE OFFICE BEARERS MAY BE ADDED.
ANNEXURE ‘D’
(FORM OF AQUATTANCE FOR GRANT-IN-AID)
Received a sum of Rs. \qquad (Rupees \qquad
\qquad ) by
Cheque No. \qquad dated \qquad from the Deputy Secretary.
Department of Personnel and Training on account of Grants-in-aid for 2008 -2009 sanctioned
in Department’s letter No. \qquad dated \qquad
SIGNATURE OF GRANTEE
REVENUE STAMP
DATE \qquad
STATEMENT SHOWING THE NUMBER OF MEMBERS (REGULAR & ASSOCIATE CATEGORY-WISE FOR THE YEAR 2008 – 2009
| Sl.
No. | Category | Regular
Members | Associate
Members | Total amount of subscription realised from the
members | |
| — | — | — | — | — | — |
| | | | | Regular Members | Associate Members |
| 1. | 2. | 3. | 4. | 5. | 6. |
| i). | Group ‘D’
employees | | | | |
| ii) | Group ‘C’
employees | | | | |
| iii) | Group ‘B’
and ‘A’,
employees | | | | |
| | TOTAL | | | | |
IMPORTANT NOTE
Please ensure that the number of Regular and Associate members as shown invariably tallied with the amount of subscription realized from each category and tallies with that shown on the receipt side of statement of Receipts and expenditure.
ANNEXURE’F’
CERTIFICATE
Certified that no member of this Association is enrolled on the record of any other Residents Welfare Association which is recognized as well as is sanctioned the grant-in-aid by the Department of Personnel and Training.
Signature
Name & Address of the President Secretary
Dated Dated Signature
Name & Address of
ANNEXURE ‘G’
(To be given in duplicate)
FORM OF G.F.R. 19-A
(See Rule 212(1))
FORM OF UTILIZATION CERTIFICATE
Sl. No. | Letter No. and date | Amount | Certified that out of Rs. of grants-in-aid sanctioned during the year \qquad in favour of \qquad under this Ministry /Department letter No. \qquad given in the margin and Rs. \qquad on account of unspent balance of the previous year, a sum of Rs. has been utilized for the purpose for which it was sanctioned. The balance of Rs. \qquad remaining unutilized at the end of the year has been surrendered to Government (vide No. dated \qquad )will be adjusted towards the Grants-in-aid payable during next year \qquad |
---|
TOTAL
- Certified that, I have satisfied my self that the conditions on which the grants-in-aid was sanctioned have been duly fulfilled/are being fulfilled and that I have exercised the following checks to see that the money was actually utilized for the purpose for which it was sanctioned.
Kinds of checks exercised
1 .
Signature
2.
3.
Designation
4.
5.
Date
(To be given in duplicate)
Assets acquired wholly or substantially out of Govt. Grants.
- Name of the Association.
- Name of grantee institution
- No. and date of sanction
- Amount of the sanctioned grant
- Brief purpose of grant
- Whether any condition regarding right of ownership of Govt. in the property or other assets acquired out of the grant was incorporated in the grant- in -aid sanction.
- Particulars of assets actually credited or acquired.
- Value of the Assets as on
- Purpose for which utilized at present
- Encumbered or not
- Reasons if encumbered
- Disposed or not
- Reasons and authority if any, for disposal
- Amount realized on disposal
- Remarks
ANNEXURE-‘I’
STATEMENT OF EXPENDITURE HEADWISE FOR THE YEAR 2008-2009
Sl. No. | Voucher No. | Brief description of the expenditure with Bill No. dated ** from M/s | Amount |
---|---|---|---|
1. | 2. | 3. | 4. |
CERTIFICATE
CERTIFICATE FROM THE BANK SHOWING THE AMOUNT AT THE CREDIT OF THE ASSOCIATION AS ON 31^{st } MARCH, 2009.
Signature of the
Bank(Branch Manager)
ANNEXURE -‘K’
A REPORT ON THE ACTIVITIES UNDERTAKEN DURING THE YEAR 2008-2009 AS PER ANNUAL ACTION PLAN OF THE ASSOCIATION / SABHA / SAMITI . ETC.
Sl. No. | Item in Annual Action Plan | Action taken thereon | Reasons for shortfall if any |
---|---|---|---|
1. | 2. | 3. | 4. |
ANNEXURE – ‘L’
A COPY OF THE MINUTES OF GENERAL BODY MEETING IN WHICH THE AUDITED ACCOUNTS FOR THE YEAR 2008 – 2009 WERE APPROVED MAY ALSO PLEASE BE ENCLOSED.