Maintenance of registers by PAOs/CDDOs as prescribed in Civil Accounts Manual, 2024 for accounting and reconciliation: CGA Order dated 07.11.2025

Maintenance of registers by PAOs/CDDOs as prescribed in Civil Accounts Manual, 2024 for accounting and reconciliation: CGA Order dated 07.11.2025

Maintenance of registers by PAOs/CDDOs as prescribed in Civil Accounts Manual, 2024 for accounting and reconciliation: CGA Order dated 07.11.2025

F. No. TA-2-01002/2/2024-TA-CGA (e-16565)/402
Government of India
Ministry of Finance
Department of Expenditure
Office of Controller General of Accounts
Mahalekha Niyantrak Bhavan,
GPO Complex, E-Block, INA, New Delhi-110023
TA-II Section

Dated, the 07th Nov, 2025

OFFICE MEMORANDUM

Subject: Maintenance of registers by PAOs/CDDOs as prescribed in Civil Accounts Manual, 2024 -reg.

In CAM, 2024 various registers have been prescribed which are to be maintained by PAOs/CDDOs in manual form, in electronic form and both in manual and electronic form. The provisions under which these registers are to be maintained are also stated in these forms. These registers are to be maintained for accounting and reconciliation of receipts and payments. The list of various registers (Index of Forms as available in CAM,2024) to be maintained by PAOs/CDDOs is annexed at Annexure I.

2. All Pr. CCAs/CCAs/CAs(ic) are, therefore, requested to furnish a consolidated report on the maintenance of various registers prescribed in CAM, 2024 by PAOs/CDDOs under their control in the format provided as Annexure -II through mail on email id: – ta2-cga[at]gov.in.

This issues with the approval of the competent authority.

End: As above.

(Samya Bhushan)
Asstt. Controller General of Accounts (TA)

To,

All Pr. CCAs/ CCAs/ CAS (I/C) of Ministries/ Departments.

ANNEXURE-I

CIVIL ACCOUNTS MANUAL FORMS

S1. No Particular Availability of
relevant reports in PFMS if available
To be maintained by PAO who
is functioning in PFMS
Only in manual form Only in electronic form Both in manual and in electronic form
1 FORM CAM-1
Stock Register of Cheque books/forms
Yes
2 FORM CAM-2
Account of Cheque Forms
Yes
3 FORM CAM-3
Para 12 of APPENDIX-3 to Chapter -4
Yes
4 FORM CAM-4
Bill Diary
CAM

Pre-Check

PC-03 (cheque issued) PC-04(e-payments)
Yes. (for monitoring receipt of ink-signed bills and its token
generation in PFMS). PC-03, PC-04 contain details of bills including
e-bills.
5 FORM CAM-5 Token Register CAM → Pre-Check

PC-02 Token issue Register
Yes.
CAM-6, CAM-7 and CAM 8 were deleted.
6 FORM CAM-9 D.D.O wise bill passing cum expenditure control register ECR Report is available in CAM → Budget → Bud-04 yes
7 FORM CAM-10 Register of cheques drawn CAM

CDDO

CDDO-02
CAM

Pre-Check

PC-03
Yes.
8 FORM CAM-11 Register of Cheques delivered FORM CAM 11A Summary of
e-payment advices
CAM

CDDO

CDDO-02
CAM

Pre-Check

PC-03
Yes. CAM-11 is revised to capture details of issue of cheques and
e-payment separately.
9 FORM CAM-12 Register of requisition of bank drafts Yes.
10 FORM CAM-13 Memo Yes. In use for Outstation DDOs
11 FORM CAM-14 Bill return memo CAM

Pre check

PC-01
Yes
12 FORM CAM-15 Pay and Accounts Officer’s check register of outstanding
pre check cheques
CAM

Bank reconciliation

BR-01 → Cheques/ e-payment / Challan Encashed/ Outstanding/ only in
scroll
Yes. BR Reports available in PFMS should be used for verification
13 FORM CAM-16 Register of Valuables Yes.
14 FORM CAM-17 Register of public/private sector bank suspense/reserve
bank deposits
CAM

Bank reconciliation

BR-04
Yes. BR Reports available in PFMS should be used for its tally or to
verify consumption of escrolls takes place in PFMS. The format
redesigned to include details of e-payment.
FORM CAM-17A Register of Reserve Bank Deposits Same as above.
15 FORM CAM-18 Register of Bills received Yes.
16 FORM CAM-19 Register of Cheques issued CAM-19A Summary of e-payment
advice
CAM

CDDO

CDDO-02
Yes. Details available in PC-03 report should be verified. The
format redesigned to include e-payment details too
17 FORM CAM-20 Bank reconciliation statement of disbursements relating
to the month of 20___
CAM

Bank reconciliation

BR-01
Yes. BR-01 report should be used for its verification.
18 FORM CAM-21 List of Payments Yes.
19 FORM CAM-22 Monthly reconciliation statement of receipts deposited
into the bank by cheque drawing D.D.Os
yes
20 FORM CAM-23 Non-computational Allowances payment register yes
21 FORM CAM-24 Establishment Check Register Yes.
22 FORM CAM-25 Register of Special Charges Deleted.
23 FORM CAM-26 Objection Book (Other Transactions) and Adjustments Yes.
24 FORM CAM-27 Register of periodical Charges Deleted.
25 FORM CAM-28 Register of Grants-in-aid/ Scholarships Yes.
26 FORM CAM-29 Register of Loans Yes.
27 FORM CAM-30 House building register and broadsheet of advances for
motor car and of interest thereon for the year20_to 20_other conveyances
Yes.
28 FORM CAM-31 Register of Sanctions to Contracts Yes.
29 FORM CAM-32 Register of Final post-check of pre-checked bills Yes.
30 FORM CAM-33 Daily Memo compilation sheet for posting vouchers
received with list of payments of DDO_Debits (Payments)
CAM

Compilation

CMP-02
Yes.
31 FORM CAM-34 Transfer Entry in the Accounts of 20_20_. Available in PFMS. Yes.
32 FORM CAM-35 Transfer Entry Number book of the ______ for the month
of __20__.
CAM

Compilation

CMP-02
Yes.
33 FORM CAM-36 Summary of Transfer Entries CAM

Compilation

CMP-02
Yes.
34 FORM CAM-37 Classified Abstract Part-I CAM

Compilation

CMP-03
Yes.
35 FORM CAM-38 Classified Abstract Part-II CAM

Compilation

CMP-03
Yes.
36 FORM CAM-39
Part – I ReceiptsPart- II-Disbursements Consolidated Abstract
CAM

Compilation

CMP-03
Yes.
37 FORM CAM-40 Yes.
Major/Minor (Detailed)
Headwise Ledger of balances for and upto the year ending 31.3.20__
under the DDR heads (closed to balance) in the books of Pr.AO/P.A.O/
38 FORM CAM-41 Yes.
Sector wise Abstract (Ledger) of balances as on 31.03.2006 under DDR
Heads (Closed to Balance) in the books of a Pr.AO.
39 FORM CAM-42 Yes.
Computation of Government Account as on 31.03.2006 in the books of
the Pr.AO.
Available on e-Lekha in SCT Reports
40 FORM CAM-43 Yes.
Summary of Balances Available on e-Lekha in SCT Reports
41 FORM CAM-44 General Index Register Yes.
CAM-45 & CAM-46 deleted in CAM (2007)
42 Form CAM 47(Para 6.7.1) Provident Fund Ledger Folio EIS

Reports

Annual Reports

Ledger Card
Yes. Available in GPF Module of PFMS.
43 Form CAM 48 (Para 6.9.1) Broadsheet of the…..Provident Fund for the
year…
EIS

Reports

Annual Reports

Broadsheet
Yes. Available in GPF Module of PFMS.
44 Form CAM 49 (Para 6.10.2) Obverse GPF Annual Statement EIS

Reports

Annual Reports

Annual statement of Employee
Yes. Available in GPF Module of PFMS.
45 Form CAM 50 (Para 6.11.1) Register of missing G.P. Fund
Credits/Debits
Yes. Available in GPF Module of PFMS.
46 Form CAM 51 (Para 6.5.3) Register of Final Payment cases EIS

Reports

Final Settlement Report

Final Payment Register
Yes. Available in GPF Module of PFMS.
47 Form CAM 52 & 52 (A) & (B) (Para 7.4.2) Rubber stamp of the issuing
the pension payment order (Pension Payment Order)
Yes. Even after issuance of e-PPO, manual PPO has not been dispensed
with.
48 Form CAM 53 (Para 8.2.1) Register of outward claims Yes.
49 Form CAM 54 (Para 8.2.1) : Forwarding letter from Pay and Accounts
Offices
Yes.
50 Form CAM 55(Para 8.3.4) Register of Inwards claims Yes.
51 Form CAM 56: (Para 8.3.2): Forwarding Letter containing the cheque
for settlement
Yes.
52 Form CAM 57 [Para 9.4.3(ii)]: letter format Yes.
53 Form CAM 58 (Para 9.5.1) Register of Government Servants Lent or
Transferred of Foreign Services
Yes.
54 Form CAM 59 (Para 10.5.2) Broadsheet of Loans to State Government
etc. for the year 20….20….
Yes.
55 Form CAM 60 (Para 10.11.1) Register of Investment of the Union
Government in Statutory Corporation, Government Companies, Other Joint
Stock Companies, Cooperative Banks & societies etc.
Yes.
56 Form CAM 61 (Para 10.12.2) Register of Permanent Advances Yes.
57 Form CAM 62 (Para 2.7.1) Grant/Appropriation Audit Register of the
Year…..
Yes.
58 Form CAM 63 (Para 19.2.2) Register of Deposits Yes.
59 Form CAM 63 A (Para 19.2.4) Register of Deposits lapsed & credited
to Government during year 20….20…
Yes.
60 Form CAM 64 (Para 8.3.4) Broadsheet of P.A.O Suspense Yes.
61 Form CAM 65 (Para 4.4.5) Register of Advice issued to Reserve bank
of India (C.A.S) Nagpur
Yes. Available in PFMS system as eIGAA is being issued through PFMS
62 Form CAM 66 (Para 9.10.7) Statement showing details of deduction and
remittance for the year 20….20…./period
Yes.
63 Form CAM 67 (See Para 7.16.2) Pre-receipt bill for payment of award
from the Compassionate Fund
Yes.
64 Form CAM 68 [Vide Para 13.6.15 & 13.7.7] Monthly Reconciliation
Analysis
Yes.
65 Form CAM 69 [Vide Para 13.6.16] Part -I Register of amounts put
through Receipts/Payments
Yes.
66 Form CAM 70 [Vide Para 13.6.17] Part -II Register of amounts put
through Receipts/Payments
Yes.
67 Form CAM 71 [Vide Para 13.6.18] Statement of Monthly Reconciliation
between the figures as per D.M.S and the amount booked under
“8658-Suspense Accounts –P.S.B. Suspense “for the month of ……
Yes.
68 Form CAM 72 [Vide Para 13.6.19] Broadsheet of PSB suspense (Dr.)
Receipt /Disbursement (Cr.)
yes
69 Form CAM 73 [Vide Para 13.6.21] Statement of Double /Excess
Reimbursement
Yes.
70 Form CAM 74 [Vide Para 13.6.21] Report on Excess/Double
Reimbursement (Attracting penal interest)
Yes.
71 Form CAM 75 [Vide Para 13.6.21] Report on Excess/Double
Reimbursement (Not Attracting penal interest)
Yes.
72 Form CAM 76 [Vide Para 14.20] Monthly Reconciliation statement
between the amounts as per DMS (Revenue Accounts) with the amount booked
under ‘8658-PSB Suspense’ for the month of …
Deleted. CAM-71 can be used for reconciliation of
receipts
73 Form CAM 77 [Vide Para 14.19 &14.22 Analysis: Focal Point Bank/Link
Cell, Nagpur Revenue Receipt
Deleted. CAM -68 can be used for this purpose.
74 Form CAM 78 Analysis: Focal Point Bank/Amount verified by the P.A.O
Revenue Receipt
Deleted. CAM -68 can be used for this purpose.
75 Form CAM 79 [Vide Para 14.23 Broadsheet of Amount put through by
Link cell Receipts/Refunds Part-I
Deleted. CAM-69 can be used for this purpose
76 Form CAM 80 [Vide Para 14.23 Broadsheet of Amount put through by
Link cell for the Month of ……receipts /refunds Part-II
Deleted. CAM-69 can be used for this purpose
77 Form CAM 81 [Vide Para 14.24 Broadsheet of Public Sector Suspense
Receipts (Debit)/Disbursements (Credit) ]
Deleted. CAM-72 can be used for this purpose
78 Form CAM 82 [Vide Para 14.24 Year wise Breakup of the closing
balance of Public Sector bank Suspense shown under Col. 7 of Annexure
XIV]
No relevance found in CAM 2007 also. Deleted.
79 Form CAM 83 [Vide Para 15.18.1] Register of daily main scrolls
received from nodal branch Receipts/Refunds
No relevance found in CAM 2007 also. Deleted.
80 Form CAM 84 [Vide Para 15.18.1] Monthly Summary No relevance found in CAM 2007 also. Deleted. Annexure V
to Para 15.19.1.a would be maintained in electronic form (bank-wise,
tax-wise)
81 Form CAM 85 [Vide Para 15.18.2] Forwarding letter from Designated
Officer of CBDT for reconciliation of monthly statement
No relevance found in CAM 2007 also. Deleted.
82 Form CAM 86 [Vide Para 15.18.2] Designated officer –Wise register of
main scrolls received by nodal branch
No relevance found in CAM 2007 also. Deleted.
83 Form CAM 87 [Vide Para 15.19.2] Designated officer –Wise Monthly
Summary
No relevance found in CAM 2007 also. Deleted.
84 Form CAM 88 [Vide Para 15.15.13] Bank Reconciliation report for the
month of….. (for clearance from PSB Suspense) ZAO, CBDT……
Receipts/Refunds
Yes.
85 Form CAM 89 Part-I (New Cases) Month…… Date on which the item was
included in the scrolls of receiving Branches/Nodal Branch and the
period of delay and the name of the Bank Branch.
No relevance found in CAM 2007 also. Deleted.
86 Form CAM 90 DDO-PAO expenditure reconciliation certificate (new
addition of CAM format)
In electronic
Total Formats- 71 30 15 26

Note: PAO in civil Ministries/Departments who works in any other designated IT system of the Ministry/Department including integration with PFMS for payment and accounting function has to check availability of the above mentioned formats in electronic forms in their IT systems. In case the same are not available, these are to be maintained in manual formats.

Annexure -II

Name of Ministry/Department:

S. No. Name of the PAO Whether registers as prescribed in CAM,2024 are being
maintained Yes/No
If No, Reasons thereof

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