- Circular – New Energy Bill Collection Channel – MSEDCL own Wallet
(Size: 4.50 MB, Format: ZIP)
- Circular NO. 979 Dtd. 20.02.2019: – Repairs & Maintenance Budget for FY 2019-20.
(Size: 4.35 MB, Format: PDF)
- Circular No. 254 dtd. 15.01.2019: Centralized Payment – SD, EMD & Retention.
(Size: 1.52 MB, Format: PDF)
- Circular No. CGM(CF)/MSEDCL/Revenue Budget/18-19/2952 Dtd. 19.07.2018: REVENUE BUDGET FOR F.Y. 2018-19
(Size: 1.80 MB, Format: PDF)
- Circular No. Dir(F)/MSEDCL/18-19/013935 Dtd. 05.06.2018.:Proforma I II III & IV Circular (Sub- Submition of Monthly Requirements by Circle Offices)
(Size: 819.29 KB, Format: PDF)
- Circular No. CGM(CF)/MSEDCL/18-19/1465 Dtd. 16.04.2018.:GO Live of Vendor payments through Centralized payment system
(Size: 695.96 KB, Format: PDF)
- Circular No. CGM(CF)/MSEDCL/17-18/1260 Dtd. 31.03.2018.:Mentioning Purchase Order Number generated from the ERP System
(Size: 681.37 KB, Format: PDF)
- Circular No. CGM(CF)/MSEDCL/Revenue Budget/17-18/447 Dtd. 30.01.2018.: Revenue Budget:- Budget Estimates for F.Y. 2018-19
(Size: 433.28 KB, Format: PDF)
- Circular No.Dir/(Fin)/MSEDCL/16-17/2895 Dtd. 21.09.2016 : Circular regarding the payment of Security Guard, Outsource employee and Bill Collection agencies
(Size: 775.44 KB, Format: PDF)
- CIRCULAR NO.CGM(CF)/MSEDCL/URGENT requirement/917 dtd.12.Jan.17 Revenue Budget:Budget Estimates for F.Y.2017-18.
(Size: 712.82 KB, Format: PDF)
- Circular No. Director(Finance)/MSEDCL/Capital Budget/16-17/17890 Dtd. 03/06/2016. : Capital Expenditure Budget for the F.Y. 2016-17
(Size: 304.13 KB, Format: PDF)
- Circular No. Dir(F)/MSEDCL/Urgent requirement/1085 Dtd. 06.04.2016 : Submission of monthly requirements of 2nd Instalments by circle offices.(Proforma- I,II,IV)
(Size: 1.07 MB, Format: PDF)
- Circular No. Office Order No. Director(Finance)/MSEDCL/37942: Monthly visits by CGM, G.M. & AGMs from HO and Field offices to various Zones for review of Accounting / Finance issues 30/10/2015
(Size: 1.09 MB, Format: PDF)
- Circular No. Office Circular no. Director(Finance)/37941 dtd.30/10/2015 in respect of Clarification regarding cheque collection by DCC Banks
(Size: 386.25 KB, Format: PDF)
- Circular: Purchasing of Computers & its peripheral including printers. Dir(F)/MSEDCL/Purchasing Computers/219 dtd.06/10/2015
(Size: 235.94 KB, Format: PDF)
- Circular no. CGM(CF)/MSEDCL/32179 dated.26/08/2015 Payment of TDS: For Tax Liability generated/Posted in SAP against Profit Centers for Bill audited at SB Section,Corporate Office,Bandra
(Size: 326.82 KB, Format: PDF)
- Circular no. MD/MSEDCL/31228 dtd. 13/08/2015 in respect of Monitoring of Energy Bill Collection Activities by Field Offices
(Size: 2.52 MB, Format: PDF)
- Submission of monthly requirement of 2nd installment by Circle offices.(dtd. 18/06/2015)
(Size: 1.94 MB, Format: PDF)
- Circular no. Director (F)/MSEDCL/GAC/2015-1620262 dtd. 18/04/2015 in respect of Control over Expenditure towards procurement of General Assets — Approval of General Assets Committee
(Size: 390.95 KB, Format: PDF)
- Circular No. 1270 dtd 25/03/2015 in respect of Energy Bill Collection Policy Document-2015
(Size: 1.66 MB, Format: PDF)
- Circular No. CGM(CF)/MSEDCL/Gratuity/5289 dtd. 21/02/2015 Payment of Gratuity and other benefits of Retired employees
(Size: 683.38 KB, Format: PDF)
- Circular no. Director (Finance)/CGM(CF)/557 dtd 11/02/2015 in respect of Release of payment of claims beyond a period of one year from the date of Completion of work in respect of Suppliers / Contractors / Agencies
(Size: 236.41 KB, Format: PDF)
- Circular No. 3236 dtd. 02/02/2015 Expenditure Control & Austerity Measures – Guidelines
(Size: 807.65 KB, Format: PDF)
- Circular No. 36576 dtd 10/12/2014 in respect of RTGS / NEFT
(Size: 269.62 KB, Format: PDF)
- Circular No. 31088 dtd. 10/10/2014 pertaining to RTGS/NEFT.
(Size: 648.36 KB, Format: PDF)
- Submission of requirements of funds under proforma-III for bills of AG Pump Energization works.
(Size: 694.27 KB, Format: PDF)
- Circular no. Director (Finance)/2476 dtd 25/06/2014 pertaining to Theft of Cash / Cheques
(Size: 374.49 KB, Format: PDF)
- Circular No. 773 dtd. 20/02/2010 pertaining to TDS at Higher Rate on all Transactions not having PAN No. w.e.f. 1st Aptil 2010
(Size: 986.58 KB, Format: PDF)
- Non-Compliances of Various Tax Laws by MSEDCL Field Office
(Size: 353.40 KB, Format: PDF)
- Expenditure control over Outsourcing and Hiring of Man Power (dtd. 10/07/2014)
(Size: 261.12 KB, Format: PDF)
- Circular No. 773 dtd. 20/02/2010 Ensuring Expenditure Control and Austerity Measures
(Size: 647.90 KB, Format: PDF)
- Verification of B-80 Cases and implementation of procedure prescribed in this regard.
(Size: 652.15 KB, Format: PDF)
- Implementation of Recommendations of the Committee appointed for review of Energy Bill Collection Mechanism.
(Size: 1.30 MB, Format: ZIP)
- Expenditure Control on Outsourcing & Consultants .
(Size: 682.84 KB, Format: PDF)
- नवीन वीज बिल भरणा केंद्र मंजूरीसाठी मार्गदर्शक तत्वे .
(Size: 1.75 MB, Format: PDF)
- Viloation of Agreement Clauses by Patsanstha & Nagri Sahakari Banks.
(Size: 381.02 KB, Format: PDF)
- Circular No. 29428 dtd. 23/1013 : Centralized payment of energy bills by M/s. Bharat Sanchar Nigam Ltd. (BSNL).
(Size: 1.03 MB, Format: PDF)
- Shivkrupa Agreement.
(Size: 3.92 MB, Format: PDF)
- Submission of Monthly & Urgent Requirement to C.F.Section.
(Size: 2.69 MB, Format: PDF)
- Circular No. 29428 ATOM Agreement.
(Size: 7.57 MB, Format: PDF)
- Placing of Supply / Work Orders by Field Offices & Revised Procedure thereof.
(Size: 1.36 MB, Format: PDF)
- Outsourcing worker & Security Guards Payment.
(Size: 340.22 KB, Format: PDF)
- Permanent / Temporary Imprest.
(Size: 736.59 KB, Format: PDF)
- Petition of Maharashtra State Electricity Distribution Co.Lt. for approval of Business Plan for FY 2013-14 to FY 2015-16 .. Printing of Business Plan Petition (Case No.134 of 2012).
(Size: 1.07 MB, Format: PDF)
- Agreement of Easy Bill Ltd
(Size: 8.43 MB, Format: PDF)
- Energy Bill Collection work by Credit Co-op. Societies including MSEB/MSEDCL Employees Credit Co-op. Societies & Urban Co-op Banks.
(Size: 647.66 KB, Format: PDF)
- Review of energy bill collection agreement in respect of Credit Co-op. Societies, Urban Co-op. Banks & Departmental Collection Centres.
(Size: 1.68 MB, Format: PDF)
- Corrigendum: खर्चावर नियंत्रण व त्याबाबतच्या उपाययोजना
(Size: 288.38 KB, Format: PDF)
- Mahaonline Agreement .
(Size: 14.40 MB, Format: PDF)
- ATP machines to be wall mounted for consumer’s convenience .
(Size: 344.40 KB, Format: PDF)
- Applicability of Service Tax & closure of A/c ” A & B” in respect of Major stores..
- Expenditure Control [Corrigendum] .
(Size: 270.20 KB, Format: PDF)
- Expenditure Control.
(Size: 777.36 KB, Format: PDF)
- Applicability of Service Tax to MSEDCL
(Size: 1.06 MB, Format: PDF)
- ADD Technologies Agreement.
(Size: 7.15 MB, Format: PDF)
- Corrigendum for Revision in bills leading B-80 Adjustment – Revision in delegation of Powers for speedy disposal 04.05.2011
(Size: 2.13 MB, Format: PDF)
- Bill Desk Agreement Period 2012-15.
(Size: 8.95 MB, Format: PDF)
- Expenditure Control:Circular No 14365.
(Size: 390.69 KB, Format: PDF)
- Allotment of work of Photo Meter Reading & Bill Distribution to the Mahila Bachat Gats / Mahila Mandals / Woman Welfare Associations.
(Size: 703.13 KB, Format: PDF)
- Anywhere Payment of Electricity Bills by L.T. Consumers 05.05.12.
(Size: 417.19 KB, Format: PDF)
- Submission of urgent and monthly requirements by Circle offices.
(Size: 2.13 MB, Format: PDF)
- approval of General Assets Committee.
(Size: 587.15 KB, Format: ZIP)
- Procedure for receiving fund from District Collector under District Planning & Development Committee (DPDC) Scheme and depositing the same in “MSEDCL SBI A/c. No. 30471412947, Main Br. Mumbai.
(Size: 1.00 MB, Format: PDF)
- Regarding payment of Suppliers/Contractors/other Agencies through RTGS and payment of salariesto employee through ECS/NEFT.
(Size: 332.41 KB, Format: PDF)
- MSEDCL SBI A/c. No. 30471412947, Main Br. Mumbai.
(Size: 1.00 MB, Format: PDF)
- Tech Process Agreement Period 2012-15.
(Size: 9.36 MB, Format: ZIP)
- Collection of Consumers Energy Bills through RTGS/NEFT.
(Size: 1.00 MB, Format: PDF)
- Renewal of agreement with India Post for LT energy bill collection work 05092011.
(Size: 3.00 MB, Format: PDF)
- Collection of Consumers’ Energy Bills through RTGS/NEFT 23.08.2011.
(Size: 5.68 MB, Format: PDF)
- Repatriation of funds collected against the HT/LT Consumer’s energy bills 20.05.2011
(Size: 4.79 MB, Format: PDF)
- REVIEW OF REVENUE BUDGET FOR YEAR 2010-11 AND ACTUAL EXPENDITURE DTD.28.10.2010
(Size: 383.94 KB, Format: ZIP)
- Repatriation of funds collected against the HT/LT Consumer’s energy bills 03.05.2011
(Size: 19.38 MB, Format: PDF)
- Monitoring and Reporting of Repatriation by Nationalized Banks 11.03.2011.
(Size: 1.29 MB, Format: PDF)
- Revision in Bills leading B-80 Adjustment. – Revision in Delegation of Powers for speedy disposal.
(Size: 4.54 MB, Format: PDF)
- ANYWHERE PAYMENT OF ELECTRICITY BILLS OF L.T. CONSUMERS DTD. 11.11.2010.
(Size: 55.49 KB, Format: PDF)
- Issuance Of Form Under CST In TDS Certificate In Respect Of Gfss- II Infra Works.
(Size: 98.09 KB, Format: PDF)
- ENSURING EXPENDITURE CONTROL AUSTERITY MEASURES (RE-RETRATED) DTD. 26.10.10.
(Size: 52.78 KB, Format: PDF)
- Activity analysis and responsibility centres under online payment mechanism .
(Size: 77.73 KB, Format: ZIP)
- Details of Assets transfer from MSEDCL TO MSETCL and vice versa .
(Size: 3.50 MB, Format: PDF)
- Information regarding Recent Amendment of Tax Rate of MVAT.
(Size: 56.04 KB, Format: PDF)
- Closing of the Accounts for the year 2009-10
(Size: 284.53 KB, Format: ZIP)
- Information required for claims against the Company not Acknowledged as debts
(Size: 14.69 KB, Format: PDF)
- Final IBA Reconciliation as on 31st March 2010 between H.O. Accounts Section/ WM Section (L.C. No.953/ 955/957/963) with field offices.
(Size: 21.97 KB, Format: PDF)
- Remittance of amount to MSEDCL’s newly
opened Cash Credit Account with Canara Bank, Bank Of India and Bank of
Maharashtra (Size: 18.74 KB, Format: PDF)
- Renewal of Insurance for the year 2010 – 2011 (01.04.2010 To 31.03.2011 )
(Size: 1.50 MB, Format: PDF)
- Cash – in – Transit Insurance Policy for the year 2010 – 2011 i.e. from 01.04.2010 to 31.03.2011
(Size: 1.85 MB, Format: PDF)
- Control over expenditure towards General Assets
(Size: 354.29 KB, Format: PDF)
- IBA Reconciliation between H.O. Account Section / WM Section (L.C.No.953/955/957/963) with field Offices as on 30.09.2009
(Size: 30.19 KB, Format: ZIP)
- Minutes of the meeting held on 21st November,2009 at Corporate Office, Mumbai
(Size: 465.52 KB, Format: PDF)
- Review Meeting for Important Accounts Matters on 21-11-2009
(Size: 117.62 KB, Format: ZIP)
- Revenue Budget : RE 2009-10 and BE 2010-11
(Size: 194.01 KB, Format: ZIP)
- Age wise details of Cash in Transit Account in the nature of remittance to HO
(Size: 31.17 KB, Format: PDF)
- Bank Reconciliation of Non-operative Bank accounts in Nationalised & Other Banks – Monitoring
(Size: 203.89 KB, Format: PDF)
- ENSURING EXPENDITURE CONTROL AND AUSTERITY MEASURES
(Size: 467.52 KB, Format: PDF)
- Payment of Suppliers / Contractors / Other Agencies through RTGS and Payment of Salaries to Employees through ECS
(Size: 121.61 KB, Format: PDF)
- Review of Revenue Collection through DCC Banks etc
(Size: 113.06 KB, Format: PDF)
- Information in respect of collection through DCC Banks & Private bill collection Agencies
(Size: 84.55 KB, Format: PDF)
- Energy Bill Collection by District Co-op. Banks.- Monitoring thereof
(Size: 79.46 KB, Format: PDF)
- Information in respect of Bill Collection Agencies
(Size: 73.08 KB, Format: PDF)
- Furnishing of village wise and Account Numbers of Non-operative accounts of D.C.C.Banks.
(Size: 58.99 KB, Format: PDF)
- Position of DCCB reconciliation as on 1st April,2008 and 1st April,2009
(Size: 16.00 KB, Format: XLS)
- Closing of the Accounts for the year 2008-09
(Size: 762.39 KB, Format: PDF)
- Cash-in-Transit Insurance Policy for the year 2009-2010 i.e. from 01.04.2009 to 31.03.2010
(Size: 120.04 KB, Format: ZIP)
- Renewal of Insurance for the year 2009-10 (01 . 04 . 2009 to 31.03.2010)
(Size: 43.18 KB, Format: PDF)
- Commission Charges for Energy Bill
Collection through Co-op. Banks/Scheduled Banks(Size: 76.82 KB, Format: PDF)
- Schemewise Reconciliation of BIC-13(b)
(Size: 20.89 KB, Format: ZIP)
- Closing of the accounts for the year 2007-08
(Size: 77.94 KB, Format: ZIP)
- Tax Audit Information for F.Y.2007-08
(Size: 26.13 KB, Format: ZIP)
- Wealth Tax Information for F.Y.2007-08
(Size: 19.59 KB, Format: ZIP)