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<h1>New Circular Changes Revenue Reconciliation Process for Central Excise; CAO to Use Monthly Statements, Not TR-6 Challans.</h1> The circular addresses discrepancies in the process of verifying and reconciling revenue receipts within the Central Excise department. It highlights a contradiction between existing procedures outlined in a previous circular regarding the handling of original treasury documents (TR-6 Challans) and the preparation of monthly revenue statements. The Chief Accounts Officer (CAO) is instructed to reconcile monthly revenue statements received from Range Officers with figures booked by the Pay and Accounts Officer (PAO). The circular mandates a procedural change, requiring the CAO to use the monthly statements for reconciliation instead of original TR-6 Challans, which should remain with the PAO.