Reserve Bank of India – Tenders

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Reserve Bank of India, Chandigarh invites E-tender for Annual Maintenance contract for operation of water lifting pumps & maintenance of electrical installation at Reserve Bank of India Officer’s Quarter sector- 44 B, and Staff colony sector- 30A, Chandigarh

2. The work is estimated to cost ₹19,66,000/-. This is an Open Tender. Only those firms, who are registered on MSTC portal will be able to take part in the Tender process. The tender document is available on website www.rbi.org.in for download from February 27, 2021.

3. Tender shall be submitted online in two parts. Part-I of the tender will contain the Bank’s standard technical and commercial conditions for the proposed work, which must be agreed to by the tenderers. Part-II of the tender will contain Bank’s schedule of quantities and tenderer’s price bid to be submitted online.

4. The firms fulfilling the eligibility criteria and desirous of being considered for award of the work should upload all the required documents at www.mstcecommerce.com/eprochome/rbi on or before March 17, 2021 (12:00 PM).

5. Part-I of the tender will be opened at 02:30 pm on March 17, 2021 on MSTC website.

The timeline of the tender is as follow:

a. e-Tender Name Annual Maintenance contract for operation of water lifting pumps & maintenance of electrical installation at Reserve Bank of India Officer’s Quarter sector- 44 B, and Staff colony sector- 30A, Chandigarh
b. e-Tender no RBI/Chandigarh/Estate/387/20-21/ET/593
c. Mode of Tender e-Procurement System
(Online Part I – Techno-Commercial Bid and Part II – Price Bid through www.mstcecommerce.com/eprochome/rbi)
d. Date of NIT available to parties to download from RBI website www.rbi.org.in February 27, 2021 (Saturday)
e. Pre-Bid meeting (Off-line) March 08, 2021 (Monday) 11:00 am to 12:00 pm at Estate Department, 3rd floor, MOB, RBI Chandigarh
f. Last date for submission of e-Tender March 17, 2021 (Wednesday) up to 12:00 pm
g. Earnest Money Deposit ₹39,331/- in the form of NEFT in favour of Reserve Bank of India, Chandigarh

Address:
Reserve Bank of India, Sector 17, Chandigarh – 160017

Details for NEFT
Beneficiary Name: Estate (space) Your Firm’s Name
Beneficiary Ac No: 186003001
IFSC: RBIS0CGPA01 (5th and 10th being zero)

h. Last date of submission of EMD March 17, 2021 (Wednesday) 12:00 pm
i. Date of Starting of e-Tender for submission of on line Techno-Commercial Bid and price Bid at www.mstcecommerce.com/eprochome/rbi March 01, 2021 (Monday) from 12:00 pm
j. Date of closing of online e-tender for submission of Techno-Commercial Bid & Price Bid March 17, 2021 (Wednesday) 12:00 pm
k. Date & time of opening of Part-I (i.e. Techno-Commercial Bid)

Date & Time of opening of Part-II (Price Bid)

a. March 17, 2021 (Wednesday) 02:30 pm

b. May be opened online on the same or a later date.

l. Transaction Fee ₹. ———– (inclusive of GST @18%)
To be paid through MSTC Payment Gateway/NEFT/RTGS in favour of MSTC Limited or as advised by M/s MSTC Ltd.

Please do not transfer the transaction fee to Reserve Bank of India, Chandigarh

M. Estimated cost of work ₹ 19,66,000/- (Rupees Nineteen Lakh Sixty-six thousand only)

The Bank is not bound to accept the lowest tender and reserves the right to accept either in full or in part any tender. The Bank also reserves the right to reject all the tenders without assigning any reason thereof.

Regional Director
Reserve Bank of India
Chandigarh Regional Office

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Reserve Bank of India – Tenders

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Reserve Bank of India, New Delhi invites applications for stitching of uniforms for its employees. Tender may be downloaded from RBI website www.rbi.org.in from February 27, 2021 to March 20, 2021. The duly filled tender documents must be submitted on or before 02:00 pm on March 26, 2021 at the following address-

Human Resources Management Department,
Reserve Bank of India
6, Sansad Marg
New Delhi-110001

Note: Any corrigendum(s) to the tender shall be published only on the above website.

Regional Director
New Delhi

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Reserve Bank of India – Tenders

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E-Tender No. RBI/Kochi/Estate/380/20-21/ET/583

The pre-bid meeting for the captioned Tender was held at 11:00 hrs on February 25, 2021 as per the schedule of tender at the Seminar hall in the Office Building of Reserve Bank of India, Ernakulam North, Kochi – 682018, by maintaining social distancing and as per COVID-19 protocols.

Shri. S Ravindran, Assistant General Manager (Premises), Shri. Nithi Hariram, Manager (P&SO), Shri. Pavankumar Nayak, Assistant Manager (Premises), Shri. Harikrishnan P M, Assistant, and Smt. Reshma Sajeev, Assistant, were present from Bank’s side and the representatives from various companies / agencies (list attached in Annex) participated in the meeting.

Shri. S Ravindran, Assistant General Manager (Premises), welcomed all participants to the meeting and invited for queries, if any, from the prospective bidders regarding the captioned tender.

Details of queries raised by representatives of various companies / agencies and clarification / comments / corrigendum of the Bank are tabulated below.

Sl. No. Query Comments / Corrigendum by the Bank
1. Whether any transaction fee has to be paid to the Bank for participating in the Tender. No payment has to be made to the Bank in this regard. The transaction fee is charged by MSTC Limited and the payment of Transaction fee has to be made only through MSTC Gateway / NEFT / RTGS in favour of MSTC Limited or as advised by MSTC Limited. The amount to be paid will also be as advised by MSTC Limited.
2. How to carry out the waste disposal The disposal of all kinds of wastes including horticultural waste, housekeeping waste and wastes collected from the Office building and Residential flats etc. is the responsibility of the contractor. The collection and segregation is also under the scope of the contractor. The segregated wastes has to be removed from the Bank’s premises, at the time intervals as specified by the Bank, strictly adhering to the extant laws, rules, regulations etc. in place, by the authorities concerned like Central Government, State Government, Kochi Municipal Corporation, Pollution Control Board, other local Self-Governing Authorities, Health Department, Courts, other authorities etc. The Contractor shall be solely responsible for disposal of waste outside the Bank’s premises conforming to the extant laws and the Bank shall not be liable or held responsible in this regard. Further, incinerator facility is not available in the Bank’s premises and burning of any kind of wastes inside the Bank’s premises is strictly prohibited and will be penalised. Refer, “III) WASTE MANAGEMENT WORKS” under “Section VIII – DETAILED SCOPE OF WORK” of the tender document for more details.
3. Whether the maintenance of Organic Waste Converter falls under the scope of work. Day-to-Day operation and daily upkeep of the Organic Converter Plant and the nearby areas come under the scope of work of the contractor. However, the Annual Maintenance of the Organic Waste Converter machine is a separate contract and does not come under the scope of the work of the above Tender. Refer, “III) WASTE MANAGEMENT WORKS” under “Section VIII – DETAILED SCOPE OF WORK” of the tender document for more details.
4. Whether Bank will revise the amount quoted under Serial Number 1 and 2 of the Financial Bid i.e. Amount for Basic Wages and Variable Dearness Allowance (VDA) Bank will not entertain the Contractor’s claim for revision of rates during the currency of contract except when changes in two components of minimum rates of wages only viz. the Basic rates and Variable Dearness Allowance (VDA), as announced by the Government of India under the Minimum Wages Act / The Code on Wages, 2019, whichever is relevant. The amount of such hike in monthly contract amount, in proportion to the monthly duties, will be restricted only to the increase in Basic rates and Variable Dearness Allowance (VDA). The revision in monthly bill amount will be restricted to the amounts quoted under serial numbers 1 and 2 of the financial bid and the revision will be done only proportionally to the increase in basic rates and variable dearness allowance (VDA) parts of the wages. However, there will not be any limit in revision of the amounts quoted under serial numbers 1 and 2 of the financial bid.

Accordingly, para “2.3.” in page number 13 of 88, under “Section II – General Instructions regarding Technical and Financial bids”, para “Q.” in page number 24 of 88, under “Section IV – Articles of Agreement”, and para “65.” in page number 24 of 88, under “Section VII – TERMS AND CONDITIONS” stands corrected / amended as given below:

“The quote offered by the Contractor in the financial bid shall be firm and final and the Bank will not entertain the Contractor’s claim for revision of rates during the currency of contract except when changes in two components of minimum rates of wages only viz. the Basic rates and Variable Dearness Allowance (VDA), as announced by the Government of India under the Minimum Wages Act / The Code on Wages, 2019, whichever is relevant. The amount of such hike in monthly contract amount, in proportion to the monthly duties, will be restricted only to the increase in Basic rates and Variable Dearness Allowance (VDA). Any other components which form part of wages or allowance which are statutory in nature viz. EPF, ESI, Bonus etc. which are dependent on the Basic rates and/or Variable Dearness Allowance (VDA) will not be considered by the Bank for the revision in monthly contract. The Contractor shall factor in the possible escalation of these statutory components other than Basic rates plus VDA and offer the best rates in such a way as to accommodate these incremental costs under serial number 3 of the financial bid. The revision in monthly bill amount will be restricted to the amounts quoted under serial numbers 1 and 2 of the financial bid and the revision will be done only proportionally to the increase in basic rates and variable dearness allowance (VDA) parts of the wages. The decision of the Bank in the matter will be final.”

5. Clarification on number of duties on National holidays and additional payment of wages in this regards. The number of duties on each day will be as specified in the tender regardless of National / festival / Bank holidays. The total number of duties of the “Facility Manager” for the year 2021-22 is 313 and the total number of duties of “other workers” together for the year 2021-22 is 7146 (22 x 313 + 5 x 52). The charges for wages including statutory requirements like ESI, PF etc. must be quoted by the contractor according to the above number of duties. Additional payment towards wages for relievers, services rendered by labours on National and Festival holidays etc. shall be borne by the contractor. The charges for the same shall be included under serial number 3 of the financial bid. Contractor is bound to maintain prescribed number of workers/supervisors at all days in a week as specified in the tender document. Any shortfall observed in maintaining the specified manpower requirement will force the Bank to impose penalty as stipulated in the tender document. However, it may also be noted that the Bank reserves the right to increase or decrease the number of duties based on its requirement, before awarding the work, at the time of renewal, if any, or at any time during the currency of contract. The monthly contract amount shall be proportionately arrived at when the Bank resorts to such change in the number of duties.
6. Whether rooms for storage of consumables, cleaning materials etc. and rooms for workers will be provided by the Bank The Bank will provide storage room and room for changing of dress etc. for the workers of the contractor.
7. Whether supply of garbage bags comes under the scope of the tender Garbage bags will be provided by the Bank. However, collecting the garbage bags from the Bank, distribution of the same / placing the same in the designated dust bins etc. comes under the scope of the tender.
8. Whether there is any condition for ISO certification of the firm The Companies / Firms / Agencies shall have certification viz. ISO 9001-2008 or higher, for quality management system, and it shall be verifiable and valid as on the last date of submission of E-tender.

Accordingly, the following amendments / corrigenda in the Tender document is notified:

1. In the table under para “1.2. Eligibility criteria for participating in the tender”, in page number 11 of 88, under “Section – II – General Instructions regarding Technical and Financial bids”, “1. PART- I (Technical bid)”, one more row with the following descriptions is added:
Sl. No. – “6”
Criteria – “ISO Certification”
Requirement – “The Companies / Firms / Agencies shall have certification viz. ISO 9001-2008 or higher, for quality management system, and it shall be verifiable and valid as on the last date of submission of E-tender.”

2. Under para “1.4. Documents to be uploaded”, in page number 12 of 88, under “Section – II – General Instructions regarding Technical and Financial bids”, “1. PART- I (Technical bid)”, one more clause (“m)”) with the following words and figures, is added under para “(i) Scanned copy of Original Documents to be uploaded online through ‘mstcecommerce’ portal in PDF format while submission of e-Tender (Each file size should not exceed 5 MB):”:

“m) Any valid document in support of Company / Firm / Agency having certification viz. ISO 9001-2008 or higher, for quality management system.”

9. What is the approximate number of water closets / urinals / wash basins etc. in the Bank’s premises, for providing tissue papers, urinal screens, naphthalene balls, hand wash etc.

The approximate number of toilets / washrooms / wash basins etc. in the Bank’s premises is as given below:

1. Gents Urinals – 13
2. Wash Basins – 46
3. Water Closets (Western) – 28
4. Water Closets (Indian) – 9

10. Clarification regarding the One-time collection and disposal of waste under the scope of work Refer para “V) ONE-TIME COLLECTION AND DISPOSAL OF WASTE”, under “Section VIII – DETAILED SCOPE OF WORK” of the tender document. The charges / amount for the same shall be paid by the bank separately and the same shall not be included in the amounts to be quoted in the financial bid. The charges / amount for the same shall be arrived at, by the Bank on the basis of the amounts quoted by the contractor under various items in the financial bid and also the amount of waste materials to be removed, at the time of beginning of the contract, the amount of labour involved etc.
11. Whether providing sanitiser comes under the scope of work of the tender No.
12. Whether cutting of trees comes under the scope of work. Cutting down of all kinds of trees / branches as and when directed by the Bank, comes under the scope of the contractor. However, for cutting down of bigger trees / branches, the Bank shall pay the cost for the works involved, separately to the contractor, based on competitive markets rates. However, the decision of the same, will be done solely by the Bank and the decision shall be final and binding on the contractor. Refer “II) HORTICULTURE AND GARDENING WORKS” under “Section VIII – DETAILED SCOPE OF WORK” of the tender document for more details.
13. Under which categories does the facility Manger and other workers fall, for calculating the minimum wages. The Facility Manager engaged by the Contractor shall fall under the category of ‘Semi-Skilled/Unskilled Supervisory’ (Area B) of workers employed, and all other staff engaged by the Contractor shall fall under the category of ‘Unskilled’ (Area B) of workers employed in “Construction or Maintenance of Roads or Runways or in Building Operations including laying down Underground electric, wireless, Radio, Television, Telephone, Telegraph and Overseas Communication cables and similar other Underground cabling work, Electric lines, Water supply lines and Sewerage pipe lines” as mentioned in the Government Order issued from the Office of the Chief Labour Commissioner(C) dated October 12, 2020. Revision of wages also, as and when announced by Govt. of India, for the Facility Manager and all other staff, will be with respect to the above categories only.
14. Whether reliever is required if the Facility Manager is on leave or unable to attend duty. Yes. The minimum number of duties as specified by the Bank must be fulfilled by the contractor. Alternate arrangements of relievers should be made by the contractor in cases where weekly holiday has to be given to any worker after doing duty continuously for 6 days and also in cases where a worker is on leave or unable to attend duty etc. to fulfill the minimum number of duties as required by the Bank on each day. Absence of workers to fulfill the minimum number of duties as required by the Bank will attract penalties as explained in clause 19 of section VII of the tender.
15. Whether hose, sprinklers etc to be used for watering / horticultural works comes under the scope of the contractor Yes. Hose, sprinklers etc to be used for watering / horticultural works comes under the scope of the contractor. The charges for the same shall be included in the amount to be quoted under serial number 4 of the financial bid.

The following amendments / corrigenda in this regard is notified:

1. The wordings and figures under Para “31.” Under “SECTION VII – TERMS AND CONDITIONS”, in page number 47 of 88, shall be replaced by the following:

“All the consumables, cleaning / gardening / waste management materials, tools, equipments, machinery, vehicle, cleaning agents, detergents, disinfectants, insecticides, pesticides, fungicides, manure etc. required to carry out the works specified in the tender including any additional soil required for horticulture, fuel required to operate any machinery / vehicle, accessories and protective gears / ID cards / uniforms etc. to be provided to the workers, etc. has to be procured by the contractor. The cost for the same also has to be borne by the contractor. The bank will not pay any extra amount for the same. The annual expense for the above should be included by the contractor in the financial bid of the tender under serial number 4. All the above items mentioned should also be eco-friendly and approved by the Bank.”

2. The wordings and figures under Para “36.” Under “SECTION VII – TERMS AND CONDITIONS”, in page number 47 of 88, shall be replaced by the following:

“The cost for any additional labour required to carry out any of the works specified in the tender or the payment for any overtime work / additional hours put in by the workers as per statutory requirements has to be borne by the contractor. The bank will not pay any extra amount for the same. The annual expense likely to be incurred for the same may be included by the contractor in the financial bid of the tender under serial number 3.”

3. The wordings and figures under Para “8.11” under “III) WASTE MANAGEMENT WORKS”, in page number 73 of 88, under “SECTION VIII – DETAILED SCOPE OF WORK” shall be replaced by the following:

“The operation of Organic Waste Converter must be carried out daily, strictly adhering to the manufacturer’s instruction to operate the machine. The consumables like bioculum, sani treat, saw dust etc. and other equipments and materials required to operate the same must be procured by the contractor and at his own cost. The annual charges for the same may be included by the contractor in serial number 4 of financial bid of the tender.”

4. The wordings and figures under Para “8.19” under “III) WASTE MANAGEMENT WORKS”, in page number 73 of 88, under “SECTION VIII – DETAILED SCOPE OF WORK” shall be replaced by the following:

“The charges for disposal of all kinds of wastes, outside the Bank’s premises strictly adhering to the extant laws, shall be included under serial number 5 of the financial bid. No extra payment shall be made by the Bank for disposal / removal of any waste materials from the Bank’s premises, at any cost.”

16. Whether payment of EPF, ESI, Bonus etc. is mandatory Yes. Contractor is responsible for payment of all statutory components of the wages of all his workers. All statutory benefits like EPF, Bonus, ESI, and other statutory payments etc. have to be paid by the Contractor and the proof for the same have to be submitted along with the bills.

The following amendments / corrigenda in this regard is notified:

1. The wordings and figures under Para “2.4.”, under “Section – II – General Instructions regarding Technical and Financial bids”, “2. PART- II (Financial bid)”, in page number 14 of 88, shall be replaced with the following:

“Financial Bids not conforming to the statutory obligations like Minimum Wages, EPF, ESI, Bonus, Leave Relief etc. are liable to be rejected. The charges for the same shall be included under serial number 3 of the financial bid.”

17. Whether Client certificate, solvency certificate, Performance bank Guarantee etc. have to be submitted Client certificate, solvency certificate, Performance bank Guarantee etc. must be submitted as specified in the tender document.
18. Which all machinery has to be used by the contractor The contractor has to use all the machinery which are required to carry out the works specified under “SECTION VIII – DETAILED SCOPE OF WORK” of the tender document, completely and efficiently. The charges for the machinery shall be included under serial number 4 of the financial bid. All the machinery required for carrying out the various works of the contract should be eco-friendly, branded and approved by the Bank and shall be procured by the Contractor/agency at its own cost. Bank will have the right to insist the contractor to use specific machinery for various works under the scope of the contract. The Bank will also have the right to monitor the quality and usage of all equipments, machinery, other materials etc. and also penalize the contractor for usage of any sub-quality items or insufficient / improper / inappropriate usage of such items. A tentative / indicative list of machinery to be used are given below:

a. Scrubbing Machine
b. Jet Wash
c. Lawn mower
d. Water pumps
e. Pesticide spray pump
f. Power saw
g. Grass Cutter

19. Whether any relaxation in EMD available for NSIC / MSME / MSE registered agencies No.

The meeting concluded by 12 Noon.

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Reserve Bank of India – Tenders

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Reserve Bank of India, Jammu invites e-tender for ‘Annual Maintenance Contract for providing Pest Control services in Bank’s Office premises, Staff Quarters and Bank’s Leased flats in Jammu’. The e-tendering shall be done through the e-tendering portal of MSTC Ltd. (http://mstcecommerce.com/eprochome/rbi). All eligible and interested companies / agencies / firms must register themselves with MSTC Ltd. through the above-mentioned website to participate in the e-tendering process. The Schedule of e-tender is as follows:

Estimated cost of the work ₹5,20,169 (Rupees Five Lakh Twenty Thousand One Hundred and Sixty Nine Only)
Availability of Online application form from February 26, 2021
Last date and time for submission of duly filled /completed Application Online March 17, 2021 up to 03:00 p.m.
Date of opening of the Online applications March 17, 2021 03:30 p.m. onwards

Regional Director
Reserve Bank of India
Jammu

Date: February 26, 2021

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Reserve Bank of India – Tenders

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The captioned Meeting was held at 15:30 hrs. on Wednesday, February 24, 2021 in the Conference Room, 3rd floor of the Bank’s Main Office Building at Sector-17, Chandigarh.

1. List of Bank’s Officials who attended the meeting

a. Sh. Rajiv Narang, AGM
b. Sh. Ashish Sangra, AM
c. Smt. Mahak Saxena, AM

List of prospective bidder who attended the meeting

a. Sh. Rajkumar from Rajkumar Caterers

2. The office invited queries from the prospective bidder regarding the captioned tender. Following queries were raised:

Query Clarification Provided
What is transaction fee for Tender submission? As given in the tender document, it is charged by MSTC website as per its applicable rates. The same is to be paid to MSTC only.
How to register on MSTC portal? The Office advised the vendor to download the vendor guide of MSTC available on MSTC website. It was advised that MSTC Officials may be contacted for any issues faced during registration/ submission of Tender on MSTC portal.
What is the scope of work of Staff Canteen? The Staff Canteen services are to be compulsorily provided by the same vendor as per indicative rates and menu mentioned in Annexure III (Page No. 46) of Tender document. The scope of work in Staff Canteen is given in Annexure II (page no. 45) of Tender document.
What facilities/ infrastructure will be provided by the Office? 1. Officers’ Lounge- Office will provide Pantry along with cooking utensils and water, dining area with tables, chairs, refrigerator, microwave etc., electricity connections/ points for electrical equipment and crockery/ cutlery.

2. Staff Canteen- Office will provide Pantry area with water facility, dining area with tables, chairs and electricity connections/ points for electrical equipment.

Electricity charges for both OLDR and Staff Canteen will be borne by the Bank.

Please clarify the Monthly Charges for deployment of two workers as mentioned in the Financial Bid. The monthly charges to be quoted must include the Minimum Wages plus VDA as prescribed by Central Government, PF, ESI contribution and profit margin of Vendor. The charge will include cost for deployment of two unskilled workers. The wages have to be revised by the vendor as and when revised by Central Government, Bank will only revise the monthly charges on annual basis at time of renewal of contract.
What will be the frequency of payment and documents to be submitted for release of payment? After award of contract the payments towards various services will be released on monthly basis through NEFT only. For payment of monthly bill the vendor has to submit bank account statements, attendance register, EPF and ESI remittance challan in respect of all workers.
What are the costs that are to be borne by the Vendor? Cost of edible materials, fuel, cooking gas, napkins, cleaning materials, uniform of staff, and crockery/ cooking utensils for staff canteen is to be borne by the vendor.

The vendor has to submit police verification reports of all workers deployed by him. Annual medical check- up of all workers got to be done from any Government Hospital at contractor’s own cost and all the reports to be submitted to Bank within a month of taking over the work.

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Reserve Bank of India, Belapur, Regional Office (hereinafter called “the Bank”), invites E-tenders under Two–Bid system (Technical & Financial Bid) for the provision of Fire Fighting Staff for maintenance of firefighting equipment and disaster management services at RBI Belapur Main office premises. The agreement shall be for the deployment for a period of one year i.e. for the period from April 01, 2021 to March 31, 2022 and extendable up to two more years subject to mutual consent of both the parties and based on the satisfactory performance of the Service Provider / Contractor / Vendor(s).

2. The tenderers, having office/s in Mumbai / Navi Mumbai, should electronically submit their proposal, as per the instructions regarding E-Tender, along with all supporting documents complete in all respects on or before March 25, 2021 (1400 hrs). Tenderers shall submit tender proposal along with refundable EMD of ₹65,400/-, complete in all respect as per the prescribed format. The technical bids will be opened electronically on March 25, 2021 (1500 hrs). In the event of any date indicated above being declared a Holiday, the next working day shall become operative for the respective purpose mentioned herein.

3. Tender document can be downloaded from website www.rbi.org.in and www.mstcecommerce.com. Any amendment(s) / corrigendum / clarifications with respect to this tender shall be uploaded on the website / e-portal only. The tenderer should regularly check the above website / e-portal for any Amendment / Corrigendum / Clarification on the above website. The Bank reserves the right to reject any or all the tenders without assigning any reason thereof.

The Chief General Manager
Reserve Bank of India,
Sector – 10,
Belapur – 400614


SCHEDULE OF TENDER (SOT)
(Only through e-procurement)

a. Name of the Department P&S Cell, HRMD, Reserve Bank of India, Belapur
b. e-Tender no: RBI/Belapur/HRMD/61/20-21/ET/612
c. e-Tender name Annual Service Contract for Fire Fighting Staff for maintenance of firefighting equipment and disaster management services at RBI Belapur, Main office premises. (RBI/Belapur/HRMD/61/20-21/ET/612)
d. Mode of Tender e-Procurement System Online (Part I – Techno-Commercial Bid and Part II – Financial Bid through https://www.mstcecommerce.com/eprochome/rbi/)
e. Estimated value of tender (including Taxes) ₹32,70,000/- (Rupees Thirty-Two Lakh Seventy Thousand only)
f. Date of NIT available to the parties to download February 25, 2021
g. Bidding start date of Techno Commercial Bid and Financial Bid at MSTC February 25, 2021
h. Date of Pre Bid Meeting at P&S cell, RBI, Belapur. March 08, 2021 At 3.00 P.M.
i. Earnest Money Deposit (EMD) ₹65,400/- (Rupees Sixty Five Thousand Four Hundred only) by NEFT towards:

EMD shall be paid by each bidder (including MSME registered members) through Demand Draft in favour of ‘Reserve Bank of India’, payable at Mumbai OR can be remitted to Reserve Bank of India Account through NEFT, before 01:00 PM of March 25, 2021.

The account details for NEFT transactions are as under:

Beneficiary Name: RBI Belapur

Beneficiary A/c No: 186003001

IFSC: RBIS0NMPA01

(fifth and Tenth character in IFSC is Zero)

Kindly mention your name/ company name in the NEFT Transaction remarks. The bidders are also advised to send the proof of remittance with transaction number (scanned copy) to the following e-mail ID:

j. Last date for submission of EMD March 25, 2021 (1.00 P.M.)
k. Last date online e-Tender for submission of Techno- Commercial Bid & Financial Bid March 25, 2021 (2.00 P.M.)
l. Date & time of opening of Part-I (i.e. Techno- Commercial Bid) March 25, 2021 (3.00 P.M.)
m. Date & Time of opening of Part- II (Financial Bid) Part-II (Financial Bid) will be opened electronically of only those bidder(s) whose Part-I (Technical Bid) is found acceptable by RBI, Belapur. Such bidder(s) will be intimated regarding date of opening of Part- II (Financial Bid) through valid email given by them.
n. Transaction Fee Payment of Transaction fee (0.05% of contract value+18% GST) through MSTC Gateway /NEFT/ RTGS in favour of MSTC Limited or as advised by M/s MSTC Ltd.

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The Reserve Bank of India (RBI) has imposed, by an order dated February 25, 2021, a monetary penalty of ₹2 crore on Bank of Maharashtra (the bank) for contravention of / non-compliance with certain provisions of the directions contained in Reserve Bank of India (Frauds classification and reporting by commercial banks and select FIs) directions 2016 and the circulars on Concurrent Audit System in Commercial Banks – Revision of RBI’s Guidelines, Disclosure of customer complaints and unreconciled balances on account of ATM transactions, and Micro, Small and Medium Enterprises (MSME) Sector – Restructuring of Advances. This penalty has been imposed in exercise of powers vested in RBI under the provisions of section 47 A (1) (c) read with sections 46 (4) (i) and 51 (1) of the Banking Regulation Act, 1949 (the Act).

This action is based on deficiencies in regulatory compliance and is not intended to pronounce upon the validity of any transaction or agreement entered into by the bank with its customers.

Background

The statutory inspection of the bank with reference to its financial position as on March 31, 2018 and March 31, 2019 and the Risk Assessment Reports (RARs) pertaining thereto revealed, inter alia, non-compliance with the aforesaid directions issued by RBI. In furtherance to the same, notices were issued to the bank advising it to show cause as to why penalty should not be imposed for failure to comply with the directions issued by RBI. After considering the bank’s replies to the notices, oral submissions made in the personal hearing and examination of additional submissions made by it, RBI came to the conclusion that the aforesaid charges of non-compliance with RBI directions were substantiated and warranted imposition of monetary penalty.

(Yogesh Dayal)     
Chief General Manager

Press Release: 2020-2021/1171

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In terms of GoI notification F.No.4(4)-B(W&M)/2020 and RBI circular IDMD.CDD.No.730/14.04.050/2020-21, dated October 09, 2020, the Sovereign Gold Bond Scheme 2020-21 – Series XII will be open for subscription for the period from March 01, 2021 to March 05, 2021. The nominal value of the bond based on the simple average closing price [published by the India Bullion and Jewellers Association Ltd (IBJA)] for gold of 999 purity of the last three business days of the week preceding the subscription period, i.e. February 24 – 26, 2021 works out to ₹4,662/- (Rupees Four thousand six hundred and sixty-two only) per gram of gold.

Government of India, in consultation with the Reserve Bank of India, has decided to offer a discount of ₹50/- per gram less than the nominal value to those investors applying online and the payment against the application is made through digital mode. For such investors, the issue price of Gold Bond will be ₹4,612/- (Rupees Four thousand six hundred and twelve only) per gram of gold.

(Yogesh Dayal)     
Chief General Manager

Press Release: 2020-2021/1170

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Reserve Bank of India – Tenders

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Corrigendum

RBI/Mumbai/Others/18/20-21/ET/528

An open tender for the captioned work was floated on February 18, 2021. As per the tender time lines and Schedule of Tender, the Pre-bid meeting was held on February 23, 2021 at 11.00 AM in CSBD Conference Room of Mumbai Regional Office, Fort, Mumbai.

In this connection, written queries for Pre-bid meeting were not received from any vendor on e-mail /hand delivery up to the scheduled date and time given in the tender document.

Further, on February 23, 2021, in the pre-bid meeting, 4 bidders were participated i.e. M/s. Rames Desale, M/s. Hiravati Enterprises, M/s. BVG India Ltd, M/s. Quess Corporation Ltd and had raised the queries w.r.t. to the tender document.

The following Bank’s officials and representatives were participated in the Pre-bid meeting:

Sr No. Name (Mr./Ms.)
  Reserve Bank of India
1 Capt.P.C.Joshi (Retd.) CPP, DGM, P&SE
2 Flt.Lt. Vijay Prakash, AGM, P&SE
3 Shri. Sheetal Dhongade, Assistant Manager
4 Shri. Sumit Andure, Assistant
  Vendors
1 M/s. BVG India Ltd – Shree Vaibhav Kadam
2 M/s. Ramesh Desale- Shree Ramesh Desale
3 M/s. Quess Corporation Ltd- Shree Arun Wahgmare
4 M/s. Hiravati Enterprises- Shree Chavan & Naik

The issues raised by the vendors regarding the Technical and Commercial Specifications and other Terms and Conditions, Article of agreement, Schedule of quantity, Price bid and related with MSTC queries were clarified/noted. The clarifications to the points raised by the vendors are furnished in the Annex – A.

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Reserve Bank of India – Tenders

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Minutes of Pre-Bid Meeting

(RBI/Mumbai/Others/18/20-21/ET/528 Dated February 18, 2021)

Reserve Bank of India, Protocol and Security Establishment, Mezzanine Floor, Mumbai Office, Shahid Bhagat Singh Marg, Fort, Mumbai had invited e-tender for Annual Maintenance Contract of garden, hedges, lawns and providing Horticultural services at Banks residential colonies and Offices of Reserve Bank of India, Mumbai on February 18, 2021.

The modifications / amendments to the tender are enclosed. The Bidders are requested to submit the bid after taking into account the modifications given in corrigendum.

Regional Director
Reserve Bank of India
Mumbai Regional Office

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