North Western Provincial Council
සිංහල தமிழ் English

Provincial Treasury Department - North Western Province

"A Prosperous People in North Western"

Budget Preparation Provincial Treasury Management Financial Management

Our Mission

To effectively and efficiently utilize the available financial and physical resources for the sustainable development of the people of the North Western Province, by formulating financial policies, providing financial advice, guidance, maintaining provincial accounts, budgeting, and properly managing all other treasury functions.

Our Sections

1. Budget Section

  • Submission of Interim Accounts, preparation of Annual Financial Statements, preparation of Appropriation Act, and issuance of Warrant Licenses.
  • Matters related to supplementary estimates and reallocation of funds.
  • Determination of recurrent and capital expenditure and provision of allocations.
  • Budget management and control, budget data collection and analysis.
  • Obtaining and scrutinizing estimates, budget discussions, and budget committees.
  • Maintaining information on national policy priorities and plans.
  • Revision of limits for advance accounts.
  • Obtaining and controlling staff cadre information.

2. Revenue and Cash Section

  • Preparation of revenue estimates and reports, revision and analysis of revenue estimates, revenue collection, revenue account, arrears revenue account, and revenue progress matters.
  • Enactment, amendment of financial rules, duties of oversight boards, losses, waivers, write-offs, and compensations.
  • Matters related to Provincial Public Accounts Committee and reports.
  • Matters related to Auditor General's audit reports, draft reports, and audit queries.
  • Collection of motor vehicle license, stamp, and rent tax revenue.
  • Fulfillment of decentralized functions.
  • Coordination of regional development work.
  • General supervisory duties of Provincial Council officials assigned to Divisional Secretariats.

3. Accounts and Payments Section

  • All matters related to the accounting and administration of the Provincial Council Fund.
  • Issuance and control of advances and setting advance limits.
  • Control and supervision of all bank accounts of the Provincial Council.
  • Issuance of monthly treasury account reports to accounting officers and publicizing accounts.
  • Duties related to public deposit accounts and advance accounts of government officials.
  • Obtaining grants.
  • Refund of revenue.
  • Procurement activities.

Our Key Staff

Deputy Chief Secretary (Financial Management)

Department Head

Director (Accounts & Payments)

Department Head

Director (Cash & Revenue)

Department Head

Director (Budget)

Department Head

Downloads

Use this section to access publications, circulars, and annual reports in PDF format.

Budget Report - 2024
Financial Circulars