Skip to content
Home
Interest Rates
Schedule of Charges
Exchange Rates
Site Map
Feedback
Banking Information
Stay Updated
Last Updated on: Thursday, 20 August 2026
Search for:
Search Button
Menu
About
General Banking
AC Opening
Deposit Management
Cash Management
Clearing
Accounts
Logistics/ General Services
Customer Services
Credit Operations
Own Bank Finance
Bangladesh Bank Finance
Int'l Agency Finance
Credit Management
Credit Administration
Credit Monitoring
Credit Recovery
Foreign Exchange
Forex Fundamentals
Inward Remittance
Outward Remittance
Import Trade
Export Trade
Export Incentive
Offshore Banking
Forex Reporting
Branch Compliance
AML & Terrorist Financing
Fraud & Forgeries
Comprehensive Inspection
Acts and Rules and Ordinance
Head Office
Board of Directors
Human Resources
General Services
Financial Administration
Treasury Management
International Banking
Information Technology
Risk Management
Reporting
Statement Frequency
Daily
Weekly Statement
Monthly Statement
Quarterly Statement
Half-Yearly Statement
Yearly Statement
Channel Banking
Agent Banking
Digital Banking
Card Services
Banking Services
Bancassurance
E-Tender
Nat'l Savings Scheme
NRB Remittance
Islamic Banking
Foreign Exchange → Forex Reporting
SL
Title
41
MODIFICATION OF IMP FORM. REF: FEPD CIRCULAR LETTER NO. 22 DATED 16.09.2015.
42
SUBMISSION OF RETURNS ON FDI, PSED AND PI IN PRESCRIBED FORM (FI-1, FI-2, ED-1, ED-2, STED AND PI) / RIT ON MONTHLY/ QUARTERLY BASIS. REF: StD CIRCULAR NO. 03 DATED 12.05.2014.
43
Timely submission of the monthly statement regarding collection of Annual renewal fees of IRC to the corresponding regional office of CCI&E. Ref: FEPD(Import Section)/125/2014-2632 dated 15-Apr-2014.
44
Reporting of import transactions under buyers’ credits/suppliers’ credits and matching of Bill of Entry. Ref: FEPD Circular No. 07 dated 16-Feb-2014.
45
ONLINE REPORTING OF FOREIGN EXCHANGE TRANSACTIONS. REF: FEPD CIRCULAR LETTER NO. 35 DATED 10.12.2013.
46
Calculation of Daily Exchange Position: Outward Bill Purchased. Ref: FEPD Circular Letter No. 22 dated 17-Jul-2013.
47
REDISTRIBUTION OF FOREIGN EXCHANGE RELATED ACTIVITIES TO AVOID OVERLAPPING. REF: FEPD CIRCULAR LETTER NO. 17 DATED 26.06.2013.
48
SUBMISSION OF STATEMENT ON USE OF BUYER’S CREDIT IN FOREIGN EXCHANGE. REF: FEPD CIRCULAR LETTER NO. FEPD(IMPORT POLICY)125/2013-07 DATED 28.03.2013.
49
SUBMISSION OF EXCHANGE POSITION THROUGH RATIONALIZED INPUT TEMPLATE (RIT) IN WEB PORTAL. REF: FEPD CIRCULAR LETTER NO. 29 DATED 18.12.2012.
50
Online reporting of foreign exchange transactions. Ref: FEPD Circular Letter No. FEPD(Export)220/2012-26 dated 09-Dec-2012.
Posts pagination
Previous
1
…
4
5
6
Next
⇧
⮝