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Finance Department Government of Odisha

Budget and Expenditure control

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Sr. No. Title Date Notification/Circular/O.M No. Details/Download
101 IMMEDIATE CREDIT OF GOVERNMENT REVENUES RECEIVED THROUGH CHEQUES/DRAFTS AND ENCASHMENT OF BILLS/CHEQUES IN MARCH,2021. 30/03/2021 Download(406.54 KB)IMMEDIATE CREDIT OF GOVERNMENT REVENUES RECEIVED THROUGH CHEQUES/DRAFTS AND ENCASHMENT OF BILLS/CHEQUES IN MARCH,2021.
102 SPECIAL ARRANGEMENT FOR FASTER CLEARING OF CHEQUES/DRAFTS RECEIVED TOWARDS STATE GOVERNMENT REVENUE ON 31ST MARCH,2021. 30/03/2021 Download(309.37 KB)SPECIAL ARRANGEMENT FOR FASTER CLEARING OF CHEQUES/DRAFTS RECEIVED TOWARDS STATE GOVERNMENT REVENUE ON 31ST  MARCH,2021.
103 RELAXATION OF THE DEADLINES FOR FINANCIAL SANCTION, ISSUE OF ALLOTMENT AND DRAWAL OF FUNDS IN THE REMAINING PART OF THE CURRENT FINANCIAL YEAR IN RESPECT OF CENTRALLY SPONSORED SCHEMES (CSS) AND CENTRAL SECTOR SCHEMES 24/03/2021 Download(611.84 KB)RELAXATION OF THE DEADLINES FOR FINANCIAL SANCTION, ISSUE OF ALLOTMENT AND DRAWAL OF FUNDS IN THE REMAINING PART OF THE CURRENT FINANCIAL YEAR IN RESPECT OF CENTRALLY SPONSORED SCHEMES (CSS) AND CENTRAL SECTOR SCHEMES
104 SFC EFC Circular 22/03/2021 Download(1.09 MB)SFC EFC Circular
105 Necessary steps to be taken to put through Government transactions before closure of the current Financial Year,2020-21. 18/03/2021 Download(1.64 MB)Necessary steps to be taken to put through Government transactions before closure of the current Financial Year,2020-21.
106 REVISED DEADLINES FOR ISSUE OF SANCTION ORDERS FOR RELEASE OF FUND,ISSUE OF ALLOTMENT,RE-APPROPRIATION OF FUND,ONLINE TRANSMISSION OF ALLOTMENT DATA TO TREASURY PORTAL(IFMS)& SURRENDER OF UNUTILIZED FUND IN THE REMAINING PART OF THE CURRENT FINANCIAL YEAR 24/02/2021 Download(1.52 MB)REVISED DEADLINES FOR ISSUE OF SANCTION ORDERS FOR RELEASE OF FUND,ISSUE OF ALLOTMENT,RE-APPROPRIATION OF FUND,ONLINE TRANSMISSION OF ALLOTMENT DATA TO TREASURY PORTAL(IFMS)& SURRENDER OF UNUTILIZED FUND IN THE REMAINING PART OF THE CURRENT FINANCIAL YEAR
107 Withdrawal of Expenditure Rationalization Measures adopted during COVID-19 pandemic 19/02/2021 Download(1.04 MB)Withdrawal of Expenditure Rationalization Measures adopted during COVID-19 pandemic
108 Deadlines for financial sanction, issue of allotment, re-appropriation of funds, surrender of provisions and drawal of funds in the remaining part of the current financial year. 04/02/2021 Download(388.35 KB)Deadlines for financial sanction, issue of allotment, re-appropriation of funds, surrender of provisions and drawal of funds in the remaining part of the current financial year.
109 Relaxation in expenditure rationalization measures adopted in the wake of economic downturn due to the pandemic Covid19 01/01/2021 Download(299.63 KB)Relaxation in expenditure rationalization measures adopted in the wake of economic downturn due to the pandemic Covid19
110 Wireless message for Supplementary Budget appropriation 02/12/2020 Download(481.17 KB)Wireless message for Supplementary Budget appropriation
111 Admissibility of Expenditure relating to the provisions made in the Supplementary Statement of Expenditure for the year 2020-21 and expeditious action to utilize the funds in time 02/12/2020 Download(1.25 MB)Admissibility of Expenditure relating to the provisions made in the Supplementary Statement of Expenditure for the year 2020-21 and expeditious action to utilize the funds in time
112 Preparation of Revised Estimates for 2020-21 and Budget Estimates for 2021-22 29/10/2020 Download(1.35 MB)Preparation of Revised Estimates for 2020-21 and Budget Estimates for 2021-22
113 Proposals for Supplementary Statement of Expenditure for the financial year 2020-21. 11/09/2020 Download(550.89 KB)Proposals for Supplementary Statement of Expenditure for the financial year 2020-21.
114 Adoption of expenditure rationalization measures in the wake of economic downturn due to the global pandemic Covid19 07/07/2020 Download(382.59 KB)Adoption of expenditure rationalization measures in the wake of economic downturn due to the global pandemic Covid19
115 Modification of Regulation of Expenditure out of the Annual Budget for the year 2020-21 15/05/2020 Download(363.08 KB)Modification of Regulation of Expenditure out of the Annual Budget for the year 2020-21
116 Special Clearing operations on 31st march, 2020. 30/03/2020 Download(382.36 KB)Special Clearing operations on 31st march, 2020.
117 Immediate credit of Government revenues received through Cheques / Drafts and encashment of Bills / Cheques in March, 2020. 28/03/2020 Download(327.67 KB)Immediate credit of Government revenues received through Cheques / Drafts and encashment of Bills / Cheques in March, 2020.
118 Limited special arrangement for faster clearing of Cheques / Drafts received towards State Government revenue on 31st March, 2020. 28/03/2020 Download(329.94 KB)Limited special arrangement for faster clearing of Cheques / Drafts received towards State Government revenue on 31st March, 2020.
119 Regulation of Expenditure out of the Annual Budget for the year 2020-21 23/03/2020 Download(1.53 MB)Regulation of Expenditure out of the Annual Budget for the year 2020-21
120 Relaxation of the deadlines for financial sanction , issue of allotment and drawal of funds in the remaining part of the current financial year in respect of Centrally Sponsored Schemes (CSS) and Central Sector Schemes. 23/03/2020 Download(300.64 KB)Relaxation of the deadlines for financial sanction , issue of allotment and drawal of funds in the remaining part of the current financial year in respect of Centrally Sponsored Schemes (CSS) and Central Sector Schemes.