Treasury Department of Ministry of Finance

Government of Islamic Republic of Afghanistan

Treasury Circulars

Financial Circulars

 

Finance Circulars are prepared from time to time to advise policy and procedures as required.  These circulars support the Finance Regulations and the PMEFL by providing precise policy and instructions on accounting and financial management activities.

 

Finance Circulars are prepared and promulgated by the MOF (Treasury) and are available in this website.

 

Right click and save as to download the following financial circulars:

 

Financial Circulars in English:                                                                                   Financial Circulars in Dari:

 

                                                                   

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

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Circular 51: Changes in Accounting Forms    

 

Circular 50: Commitment Management

 

Circular 49: Procedure for Vendor Registration

 

Circular 48: Financial Planning and Allotment Procedure

 

Circular 40: Official Bank Accounts

 

Circular 39: Development Budget Imprest Bank Accounts

 

Circular 38: Reforms to Allotment and Tashkeel Procedure

 

Circular 37: Procedure for Return of Expenditure

 

Circular 36: Submitting M 16 Payment Request to Treasury

 

Circular 35: Update on Allotment Information for 1383 to Ministries      

 

Circular 34: Requirement for Finalizing all Payments Before end of 1383

 

Circular 33: Procedure for End of 1383 Financial Year

 

Circular 32: Opening Bank Accounts for Suppliers

 

Circular 31: Details of Unpaid Bills

 

Circular 30: Details of Unpaid M 16 Provinces

 

Circular 29: Use of the Currency of Afghanistan in Payment Transaction

 

Circular 28: Procedure of Accounting Stale Salary Payments

 

Circular 27: Rejection of M16 in Treasury and Ineligible Expenditures

 

Circular 26: Bank Accounts Opened for Provincial Mustofiats

 

Circular 25: Detailed Advance Processing Procedure

 

Circular 24: Custody Arrangements for Funds Kept in Trust

 

Circular 23: Procedure for Disbursing Payment under Dev Budget in Provinces

 

Circular 22: Reporting on Salary Payables for end 1382

 

Circular 21: Procedure for Controlling Cash Advances

 

Circular 20: Consolidation of Ministries’ Revenue Collected in Provinces

 

Circular 19: Procedure for Operating Petty Cash Fund—Further Info

 

Circular 17: Procedure for Accounting for Stale Cheques

 

Circular 16: Custody Arrangement for Bid Security

 

Circular 15: General Guidelines for Expenditure Class 1383

 

Circular 14: Goods in Kind

 

Circular 13: Accounts in Held in Trust

 

Circular 12: Procedure for Executing Foreign Currency Transactions

Circular 11: Procedure for Accounting for Unpaid ISP Salary   

 

Circular 10: Procedure for Operating a Petty Cash Fund

 

Circular 9: Booking Expenditure from Revenue

 

Circular 8: Provincial Salary Payment for 1383

 

Circular 7: Central Ministry Revenue Sub Accounts

 

Circular 6: Overdraft Prohibition

 

Circular 5: Available Cash for Balance of 1382

 

Circular 4: Sweeping of Revenue Bank Accounts

 

Circular 3: Procedure for End of 1382 Financial Year 

 

Circular 2: Closing Bank Accounts

 

Circular 1: Procedure for Reporting Treasury Instructions

Circular   51: Changes in Accounting Forms

 

Circular 50: Commitment Management

 

Circular 49: Procedure for Vendor Registration

 

Circular 48: Financial Planning and Allotment Procedure

 

Circular 40: Official Bank Accounts

 

Circular 39: Development Budget Imprest Bank Accounts

 

Circular 38: Reforms to Allotment and Tashkeel Procedure

 

Circular 37: Procedure for Return of Expenditure

 

Circular 36: Submitting M 16 Payment Request to Treasury

 

Circular 35:Update onAllotment Information for1383 toMinistries

 

Circular 34:Requirement for Finalizing all Payment Before end of

 

Circular 33: Procedure for End of 1383 Financial Year

 

Circular 32: Opening Bank Accounts for Suppliers

 

Circular 31: Details of Unpaid Bills

 

Circular 30: Details of Unpaid M 16 Provinces

 

Circular 29: Use of the Currency of Afghanistan in Payment Trans

 

Circular 28: Procedure of Accounting Stale Salary Payments

 

Circular 27: Rejection of M 16 in Treasury and Ineligible Expendi

 

Circular 26: Bank Accounts Opened for Provincial Mustofiats

 

Circular 25: Detailed Advance Processing Procedure

 

Circular 24: Custody Arrangement for Funds Kept in Trust

 

Circular 23: Procedure for Disbursing Pymt under Dev Bud in Pro

 

Circular 22: Reporting on Salary Payable for end 1382

 

Circular 21: Procedure for Controlling Cash Advances

 

Circular 20: Consolidation of Ministries’ Revenue Collected in Pr

 

Circular 19: Procedure for Operating Petty Cash Fund-Further Inf

 

Circular 17: Procedure for Accounting for Stale Cheques

 

Circular 16: Custody Arrangement for Bid Security

 

Circular 15: General Guidelines for Expenditure Class 1383

 

Circular 14: Goods in Kind

 

Circular 13: Accounts Held in Trust

 

Circular 12: Procedure for Executing Foreign Currency Transacts

 

Circular 11: Procedure for Accounting for Unpaid ISP Salary

 

Circular 10: Procedure of Operating a Petty Cash Fund

 

Circular 9: Booking Expenditure from Revenue

 

Circular 8: Provincial Salary Payment for 1383

 

Circular 7: Central Ministry Revenue Sub Accounts

 

Circular 6: Overdraft Prohibition

 

Circular 5: Available Cash for Balance of 1382

 

Circular 4: Sweeping of Revenue Bank Accounts

 

Circular 3: Procedure for End of 1382 Financial Year

 

Circular 2: Closing Bank Accounts

 

Circular 1: Procedure for Reporting Treasury Instructions