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1711 |
Submission of statement of loans extended by the Bank Companies to the Directors of the Financial Institutions. Ref: BRPD Circular No. 06 dated 07-Jun-2004.
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1712 |
Issuance of cheque in local currency against foreign currency account and deduction of relevent charges. Ref: BRPD Circular Letter No. 02 dated 10-Mar-2004.
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1713 |
Cash Forward and Swap Transactions in Foreign Exchange. Ref: Circular No. 02 dated 25-Feb-2004.
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1714 |
Cash incentive for Export of Potato. Ref: FEPD Circular No. 01 dated 28-Jan-2004.
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1715 |
Circulation of Information regarding Bank Directors. Ref: Circular Letter No. 01 dated 13-Jan-2004.
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1716 |
Sending minutes of the meetings of Board of Directors/Executive Committee. Ref: Circular Letter No. 16 dated 29-Nov-2003.
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1717 |
Submission of Monthly Statements of Liability, Liquidity and Foreign Currency Clearing Account. Ref: Circular Letter No. 15 dated 18-Nov-2003.
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1718 |
Cheque dishonor due to insufficient fund. Ref: BRPD Circular No. 20 dated 25-Oct-2003.
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1719 |
Secondary Trading or Inter bank Repo. Ref: FRTMD Circular No. 05 dated 27-Jul-2003.
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1720 |
Statement of classified loan. Ref: BRPD Circular No. 15 dated 28-Jun-2003.
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