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The Reserve Bank of India (RBI) has issued a notification announcing the consolidation of regulatory instructions under the Department of Regulation (DoR) through the release of 244 comprehensive Master Directions. These updated Master Directions combine all relevant instructions issued by the DoR and its previously merged departments, ensuring a single, streamlined regulatory framework. As part of this consolidation exercise, the RBI has identified and withdrawn 9,445 circulars that are either already covered within the new Master Directions or have become outdated or redundant. While these circulars stand repealed with immediate effect, the RBI clarifies that any action previously taken, initiated, or undertaken under the repealed guidelines will continue to remain valid and will be governed by the earlier provisions. The initiative aims to simplify regulatory compliance, enhance accessibility of instructions, remove obsolete directions, and offer a cleaner, more efficient framework for regulated entities to follow.

RESERVE BANK OF INDIA

RBI/2025-26/100
DOR.RRC.REC.302/33-01-010/2025-26

November 28, 2025

Consolidation of Regulations – Withdrawal of circulars

Please refer to the press release issued on November 28, 2025 announcing the release of 244 Master Directions consolidating the instructions currently administered by the Department of Regulation (DoR) of the Reserve Bank of India.

2. These 244 Master Directions encompass the instructions issued by DoR as well as the erstwhile Departments which have since been merged into DoR either partly or fully. Further, the extant instructions considered as obsolete have not been included in the consolidated Master Directions, as they are no longer relevant.

3. Accordingly, 9445 circulars listed in the Annex, which are either circulars whose instructions have been consolidated or circulars which have become obsolete / redundant, are withdrawn by the Reserve Bank with immediate effect and are hereby repealed.

4. Notwithstanding such repeal, any action taken or purported to have been taken, or initiated under the repealed Directions, instructions, or guidelines shall continue to be governed by the provisions there of.

Yours faithfully

(Shivaji Radhakrishnan)
General Manager

CIRCULARS WITHDRAWN AS PER RECOMMENDATIONS OF RRA 2.0

Date Subject Department
December 24, 2019 Introduction of a new type of semi-closed Prepaid Payment Instrument (PPI) – PPIs upto ₹10,000/- with loading only from bank account Department of Payment and Settlement Systems
August 30, 2019 Amendment to Master Direction on Issuance and Operation of Prepaid Payment Instruments (PPIs) Department of Payment and Settlement Systems
August 21, 2019 Real Time Gross Settlement (RTGS) System – Increase in operating hours Department of Payment and Settlement Systems
May 28, 2019 Real Time Gross Settlement (RTGS) System – Extension of Timings for Customer Transactions Department of Payment and Settlement Systems
January 04, 2019 Customer Protection – Limiting Liability of Customers in Unauthorised Electronic Payment Transactions in Prepaid Payment Instruments (PPIs) issued by Authorised Non-banks Department of Payment and Settlement Systems
October 16, 2018 Prepaid Payment Instruments (PPIs) – Guidelines for Interoperability Department of Payment and Settlement Systems
October 15, 2018 Directions for Central Counterparties (CCPs) Department of Payment and Settlement Systems
February 09, 2018 Levy of Penal Interest – Delayed Reporting Department of Currency Management
August 03, 2017 Natural Calamities Portal – Monthly Reporting System Financial Inclusion and Development Department
December 30, 2016 Special measures to incentivise Electronic Payments – Extension of time Department of Payment and Settlement Systems
December 27, 2016 Master Circular on Issuance and Operations of Prepaid Payment Instruments – Amendments to paragraph 7.9 Department of Payment and Settlement Systems
November 22, 2016 Special measures to incentivise Electronic Payments –

(i) Enhancement in issuance limits for Pre-Paid Payment Instruments (PPIs) in India

(ii) Special measures for merchants

Department of Payment and Settlement Systems
August 25, 2016 Financial Literacy Centres – Revised Reporting Format Financial Inclusion and Development Department
June 30, 2016 Guidelines for relief measures by banks in areas affected by natural calamities – utilisation of insurance proceeds Financial Inclusion and Development Department
October 15, 2015 Reporting requirement under Foreign Account Tax Compliance Act (FATCA) and Common Reporting Standards (CRS) Department of Payment and Settlement Systems
September 01, 2015 Changes in RTGS time window Department of Payment and Settlement Systems
August 21, 2015 Guidelines for Relief Measures by Banks in Areas Affected by Natural Calamities Financial Inclusion and Development Department
July 16, 2015 Foreign Investment in India by Foreign Portfolio Investors Financial Markets Regulation Department
July 15, 2015 Concurrent Audit System in Commercial Banks – Revision of RBI’s Guidelines Department of Supervision
July 09, 2015 Prepaid Payment Instrument (PPI) guidelines – Introduction of New Category of PPI for Mass Transit Systems (PPI-MTS) Department of Payment and Settlement Systems
June 4, 2015 Submission of Long Form Audit Report (LFAR) by Concurrent Auditors Department of Supervision
May 07, 2015 Security and Risk Mitigation Measures for Card Present and Electronic Payment Transactions Department of Payment and Settlement Systems
April 23, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
April 16, 2015 Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
April 16, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
April 16, 2015 Implementation of Section 51-A of UAPA, 1967- Updates of the UNSCR 1988(2011) Taliban Sanctions List Department of Payment and Settlement Systems
March 24, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
March 24, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989 (2011) Committee’s Al Qaida Sanctions List and UNSCR 1988(2011) Taliban Sanctions List – Modification in the Listing Format Department of Payment and Settlement Systems
February 27, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
February 18, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
February 12, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
February 04, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
January 21, 2015 Inter-Government Agreement (IGA) with United States of America (US) under Foreign Accounts Tax Compliance Act (FATCA) – Registration Department of Payment and Settlement Systems
January 09, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
January 09, 2015 Implementation of Section 51-A of UAPA, 1967- Updates of the UNSCR 1988(2011) Taliban Sanctions List Department of Payment and Settlement Systems
January 09, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
January 02, 2015 Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
January 02, 2015 Implementation of Section 51-A of UAPA, 1967- Updates of the UNSCR 1988(2011) Taliban Sanctions List Department of Payment and Settlement Systems
January 02, 2015 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
December 15, 2014 Extension of RTGS time window Department of Payment and Settlement Systems
December 03, 2014 Issuance and Operation of Pre-paid Payment Instruments (PPIs) in India – Relaxations Department of Payment and Settlement Systems
November 27, 2014 Know Your Customer (KYC) Norms /Anti-Money Laundering (AML) Standards/ Combating of Financing of Terrorism (CFT)/ Obligation of Payment System Operators under Prevention of Money Laundering Act (PMLA), 2002 Obligation of Payment System Operators – Amendment to Prevention of Money-Laundering (Maintenance of Records) Rules 2013 Department of Payment and Settlement Systems
November 24, 2014 Simplification of Know Your Customer (KYC) Norms – Creating Public awareness Department of Payment and Settlement Systems
October 09, 2014 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
October 09, 2014 Implementation of Section 51-A of UAPA, 1967- Updates of the UNSCR 1988(2011) Taliban Sanctions List Department of Payment and Settlement Systems
September 29, 2014 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267(1999) / 1989(2011) Committee’s Al Qaida sanctions list Department of Supervision
September 25, 2014 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1988(2011) Taliban Sanctions List Department of Supervision
September 03, 2014 Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
August 14, 2014 Inter-Government Agreement (IGA) with United States of America (US) under Foreign Accounts Tax Compliance Act (FATCA) – Registration Department of Payment and Settlement Systems
July 07, 2014 Financial Literacy Activities conducted by Financial Literacy Centres and Rural Branches of Banks – Monitoring System Financial Inclusion and Development Department
July 03, 2014 Know Your Customer (KYC) Norms /Anti-Money Laundering (AML) Standards/ Combating of Financing of Terrorism (CFT)/Obligation of Payment System Operators under Prevention of Money Laundering Act (PMLA), 2002 – Clarification on Proof of Address. Department of Payment and Settlement Systems
June 20, 2014 Know Your Customer (KYC) Norms /Anti-Money Laundering (AML) Standards/ Combating of Financing of Terrorism (CFT)/Obligation of Payment System Operators under Prevention of Money Laundering Act (PMLA), 2002 – e-KYC Service of UIDAI – Recognizing E- Aadhaar as an ‘Officially Valid Document’ under PML Rules Department of Payment and Settlement Systems
May 30, 2014 Know Your Customer (KYC) Norms /Anti-Money Laundering (AML) Standards/ Combating of Financing of Terrorism (CFT)/Obligation of PSOs under Prevention of Money Laundering Act (PMLA), 2002 – Amendment to Section 13(2) Department of Payment and Settlement Systems
May 13, 2014 Issuance and Operation of Pre-paid Payment Instruments in India – Consolidated Revised Policy Guidelines Department of Payment and Settlement Systems
March 28, 2014 Issuance and Operation of Pre-paid Payment Instruments in India – Consolidated Revised Policy Guidelines Department of Payment and Settlement Systems
March 18, 2014 Anti- Money Laundering (AML)/Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
January 07, 2014 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) / 1989(2011) Committee’s Al Qaida Sanctions List and Consolidated List Department of Payment and Settlement Systems
January 07, 2014 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
October 25, 2013 Know Your Customer (KYC) Norms /Anti-Money Laundering (AML) Standards/ Combating of Financing of Terrorism (CFT)/Obligation of PSOs under Prevention of Money Laundering Act (PMLA), 2002 – e-KYC Service of UIDAI – Recognizing on-line Aadhaar authentication (electronic verification process) to be accepted as an ‘Officially Valid Document’ under PML Rules Department of Payment and Settlement Systems
September 13, 2013 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
September 13, 2013 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1988 (2011) Sanctions List Department of Payment and Settlement Systems
September 13, 2013 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) / 1989(2011) Committee’s Al Qaida Sanctions List and Consolidated List Department of Payment and Settlement Systems
September 05, 2013 Cash withdrawal at Point of Sale (POS) – Prepaid Payment Instruments issued by banks Department of Payment and Settlement Systems
August 26, 2013 Rupee Export Credit – Interest Subvention Department of Regulation
July 16, 2013 Standardization and Enhancement of Security Features in Cheque Forms/Migrating to CTS 2010 standards Department of Payment and Settlement Systems
May 24, 2013 Rupee Export Credit – Interest Subvention Department of Regulation
May 08, 2013 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
May 08, 2013 Implementation of Section 51-A of UAPA, 1967 -Updates of the UNSCR 1267 (1999) and 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
March 14, 2013 Collection of Information on Customer Grievances Department of Payment and Settlement Systems
January 14, 2013 Rupee Export Credit – Interest Subvention Department of Regulation
January 08, 2013 Implementation of Section 51-A of UAPA, 1967 -Updates of the UNSCR 1267 (1999) and 1989(2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
January 08, 2013 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
January 01, 2013 Implementation of Swarna Jayanti Shahari Rozgar Yojana (SJSRY)-Regarding Financial Inclusion and Development Department
December 31, 2012 Revision in Existing Investment limits in Plant and Machinery / Equipment for Lending to Micro Enterprises in the 40:20 Proportion Financial Inclusion and Development Department
November 21, 2012 National / Regional Electronic Clearing Service (NECS/RECS) – Extension of service to remaining branches Department of Payment and Settlement Systems
October 19, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
October 19, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1988 (2011) Sanctions List Department of Payment and Settlement Systems
October 17, 2012 Supervisory Action Framework (SAF) for Urban Co-operative Banks (UCBs) Department of Supervision
October 01, 2012 Policy Guidelines for issuance and operation of Prepaid Payment Instruments in India – Amendments Department of Payment and Settlement Systems
September 06, 2012 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
September 06, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
July 06, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
July 06, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1988 (2011) Sanctions List Department of Payment and Settlement Systems
July 04, 2012 Merchant Discount Rates (MDR) structure for debit card transactions Department of Payment and Settlement Systems
June 28, 2012 Merchant Discount Rates (MDR) structure for debit card transactions Department of Payment and Settlement Systems
June 14, 2012 Policy Guidelines for issuance and operation of Prepaid Payment Instruments in India – Amendments Department of Payment and Settlement Systems
June 07, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
May 11, 2012 Guidelines for clearing of cheques where there is no formal clearing house Department of Payment and Settlement Systems
May 09, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
May 03, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) / 1989(2011) Committee’s Al Qaida Sanctions List Department of Supervision
April 23, 2012 Guidelines on Credit Default Swaps (CDS) for Corporate Bonds- Permitting All India Financial Institutions Financial Markets Regulation Department
April 18, 2012 ECS (Debit) mandate management procedure by the banks – adherence to Procedural Guidelines Department of Payment and Settlement Systems
April 12, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1988 (2011) Sanctions List Department of Payment and Settlement Systems
April 12, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
April 11, 2012 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
April 04, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1988 (2011) Sanctions List Department of Supervision
April 04, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) /1989 ( 2011) Committee’s Al Qaida Sanctions List Department of Supervision
April 02, 2012 Writing English Alphabets in Devanagari Script – Standardization Department of Regulation
March 26, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) / 2989 (2011) Committee’s Al Qaida Sanctions List Department of Supervision
March 20, 2012 Implementation of Section 51-A of UAPA, 1967 -Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Supervision
March 20, 2012 Implementation of Section 51-A of UAPA, 1967-Updates of the UNSCR 1988 (2011) Sanctions List Department of Supervision
March 15, 2012 Implementation of Section 51-A of UAPA, 1967 – Splitting of UNSC 1267 Committee’s List of Individuals and Entities linked to Al-Qaida and Taliban Department of Supervision
March 1, 2012 Supervisory Action Framework for Urban Cooperative Banks (UCBs) Department of Supervision
February 17, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
February 09, 2012 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT)- Standards Department of Payment and Settlement Systems
January 24, 2012 Implementation of Section 51-A of UAPA, 1967 – Updates of the UNSCR 1267 (1999) and 1989 (2011) Committee’s Al Qaida Sanctions List Department of Payment and Settlement Systems
January 23, 2012 Implementation of Section 51-A of UAPA, 1967- Splitting of UNSC 1267 Committee’s list of individuals and entities linked to Al-Qaida and Taliban Department of Payment and Settlement Systems
December 19, 2011 Credit under Dairy Segment of Agriculture and Allied Activities – Treatment under Indirect Finance to Agriculture Financial Inclusion and Development Department
October 20, 2011. Introduction of Credit Default Swaps for Corporate Bonds: Date for Operationalisation Changed Financial Markets Regulation Department
October 18, 2011 Inclusion of Credit under KCC under Direct Financing for Agriculture Financial Inclusion and Development Department
October 13, 2011 Inclusion of Credit under KCC under Direct Financing for Agriculture Financial Inclusion and Development Department
October 11, 2011 Rupee Export Credit Interest Rates Department of Regulation
October 03, 2011 List of Terrorist Individuals / Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban / Al-Qaida Organisation Department of Payment and Settlement Systems
September 12, 2011 List of Terrorist Individuals / Organisations – under UNSCR 1267 (1999)and 1822(2008) on Taliban / AL-Qaida Organisation Department of Supervision
September 05, 2011 RTGS service charges for members Department of Payment and Settlement Systems
August 18, 2011 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
August 18, 2011 Anti-Money Laundering (AML)/Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
August 04, 2011 List of Terrorist Individuals / Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban / Al-Qaida Organisation Department of Payment and Settlement Systems
August 04, 2011 Policy Guidelines for issuance and operation of Prepaid Payment Instruments in India Department of Payment and Settlement Systems
August 02, 2011 List of Terrorist Individuals / Organisations under UNSCR 1267 (1999) and 1822 (2008) on Taliban / AL-Qaida Organisation Department of Supervision
July 22, 2011 List of Terrorist Individuals / Organisations – under UNSCR 1267(1999) and 1822(2008) on Taliban / AL-Qaida Organisation Department of Supervision
June 30, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
June 27, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
June 22, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
May 20, 2011 List of Terrorist Individuals / Organisations – under UNSCR 1267(1999) and 1822(2008) on Taliban / AL-Qaida Organisation Department of Supervision
May 16, 2011 List of Terrorist Individuals / Organisations under UNSCR 1267 (1999) and 1822 (2008) on Taliban / AL-Qaida Organisation Department of Supervision
May 11, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
May 04, 2011 Policy Guidelines for issuance and operation of Prepaid Instruments in India Department of Payment and Settlement Systems
May 02, 2011 List of Terrorist Individuals / Organisations- under UNSCR 1267 (1999) and 1822(2008) on Taliban / AL-Qaida Organisation Department of Supervision
April 19, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
April 08, 2011 Anti- Money Laundering (AML) / Combating of Financing of Terrorism (CFT)- Standards Department of Payment and Settlement Systems
April 08, 2011 Anti-Money Laundering (AML)/Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
March 31, 2011 Establishment of Financial Literacy and Credit Counselling Centres Financial Inclusion and Development Department
March 23, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
March 23, 2011 Issuance and Operation of pre-paid payment instruments in India – Clarification Department of Payment and Settlement Systems
March 14, 2011 Automation of non-MICR Clearing Houses – Implementation of a new Clearing Software –Express Cheque Clearing System Department of Payment and Settlement Systems
March 10, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
January 18, 2011 Centralised Funds Management System (CFMS) – Extension of timings Department of Payment and Settlement Systems
January 18, 2011 Anti-Money Laundering (AML)/Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
January 18, 2011 Anti-Money Laundering (AML)/Combating of Financing of Terrorism (CFT) – Standards Department of Payment and Settlement Systems
January 07, 2011 List of Terrorist Individuals/ Organisations under UNSCR 1267(1999) and 1822(2008) on Taliban/Al-Qaida Organisation Department of Payment and Settlement Systems
January 04, 2011 Enhancing the scope of Speed Clearing Department of Payment and Settlement Systems
December 27, 2010 Collection of Statistics on pre-paid instruments Department of Payment and Settlement Systems
December 27, 2010 Issuance and operation of Prepaid Payment Instruments in India – Auditor Certificate on the balances in Escrow account Department of Payment and Settlement Systems
December 27, 2010 Issuance of Non-Convertible Debentures (NCDs) Financial Markets Regulation Department
December 15, 2010 Swarnajayanti Gram Swarozgar Yojana (SGSY) – Group Life Insurance Scheme Financial Inclusion and Development Department
December 06, 2010 Issuance of Non-Convertible Debentures (NCDs) Financial Markets Regulation Department
December 6, 2010 Ownership of Units – Two or More undertakings under the same Ownership – Status of the Unit Financial Inclusion and Development Department
November 24, 2010 Issuance and Operation of Prepaid Payment Instruments Department of Payment and Settlement Systems
November 12, 2010 Up-gradation of CFMS System to Windows 2008 Department of Payment and Settlement Systems
November 09, 2010 Electronic Funds Transfer Infrastructure in India – Usage of RTGS and NEFT Department of Payment and Settlement Systems
November 04, 2010 Issuance and Operation of pre-paid payment Instruments in India (Reserve Bank) Directions – Additional guidelines Department of Payment and Settlement Systems
November 03, 2010 Electronic Funds Transfer Infrastructure in India – Usage of RTGS and NEFT Department of Payment and Settlement Systems
September 15, 2010 Prevention of Money-laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Second Amendment Rules, 2010-obligation of entities authorized to operate Payment System in India Department of Payment and Settlement Systems
September 01, 2010 Dishonour / Return of Cheques – Need to Mention the ‘Date of Return’ in the Cheque Return Memo Department of Payment and Settlement Systems
September 01, 2010 Uniformity in penal interest payable by banks for delays in credit /return of NEFT /NECS /ECS transactions Department of Payment and Settlement Systems
July 16, 2010 Ready Forward Contracts in Corporate Debt Securities Financial Markets Regulation Department
June 23, 2010 Issuance of Non-Convertible Debentures (NCDs) Financial Markets Regulation Department
May 06, 2010 Levy of interest on clearing-related overdraft extended by Clearing House managing banks for settling clearing obligations of member banks Department of Payment and Settlement Systems
April 23, 2010 Rupee Export Credit Interest Rates Department of Regulation
April 13, 2010 Know Your Customer (KYC) Norms/ Anti-Money Laundering (AML) Standards/ Combating of Financing of Terrorism (CFT) Department of Payment and Settlement Systems
December 31, 2009 Remuneration Payable to the Statutory Central and Branch Auditors of Public Sector Banks from the year 2006-07 Department of Supervision
December 22, 2009 Know Your Customer (KYC) norms/Anti-Money Laundering (AML) standards/ Combating the Financing of Terrorism (CFT) obligation of Payment System Operators under Prevention of Money Laundering Act, (PMLA), 2002, as amended by Prevention of Money Laundering (Amendment) Act, 2009 Department of Payment and Settlement Systems
December 18, 2009 Extension of Service Window for RTGS Transactions Department of Payment and Settlement Systems
November 11, 2009 RTGS System – Mandatory Beneficiary Account Number Department of Payment and Settlement Systems
October 12, 2009 Rupee Export Credit Interest Rates Department of Regulation
October 12, 2009 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Revised Guidelines – 2009 Financial Inclusion and Development Department
August 24, 2009 Increase in Exemption of Collateral Security in respect of Individual and Group Loans under SGSY Scheme Financial Inclusion and Development Department
August 14, 2009 Policy Guidelines for issuance and operation of Prepaid Payment Instruments in India Department of Payment and Settlement Systems
July 31, 2009 Rupee Export Credit Interest Rates Department of Regulation
July 29, 2009 Electronic Clearing Service (ECS) – Accuracy of Input Data and Completeness of Account Number Information in ECS Mandates/Files Department of Payment and Settlement Systems
June 25, 2009 National Electronic Clearing Service (NECS) – Optimal Usage and Expansion Department of Payment and Settlement Systems
June 16, 2009 RTGS Transactions Department of Payment and Settlement Systems
May 11, 2009 Usage of Inter-bank window for customer transactions Department of Payment and Settlement Systems
April 27, 2009 Policy Guidelines for issuance and operation of Prepaid Payment Instruments in India Department of Payment and Settlement Systems
March 25, 2009 Rupee Export Credit Interest Rates Department of Regulation
February 11, 2009 Reconciliation of transactions at ATMs failure-Time limit Department of Payment and Settlement Systems
January 28, 2009 Extension of service window for RTGS transactions Department of Payment and Settlement Systems
January 21, 2009 Internal Assignments in Banks by Statutory Auditors Department of Supervision
December 16, 2008 Rupee Export Credit Interest Rates Department of Regulation
November 07, 2008 Rupee Export Credit Interest Rates Subvention Department of Regulation
October 23, 2008 Reconciliation of transactions at ATMs failure-Time limit Department of Payment and Settlement Systems
October 08, 2008 Levy of Service Charges for Electronic Payment Products and Outstation Cheque Collection Department of Payment and Settlement Systems
September 01, 2008 Orders of the President of India on the Recommendations made by the Parliamentary Committee on Official Language in the 8th volume of its Report Department of Regulation
August 01, 2008 Rupee Export Credit Interest Rates Department of Regulation
April 28, 2008 Rupee Export Credit Interest Rate Department of Regulation
March 10, 2008 Use of electronic mode of payment for large value transactions Department of Payment and Settlement Systems
December 20, 2007 Remuneration Payable to the Statutory Central and Branch Auditors of Public Sector Banks from the Year 2006-07 Department of Supervision
November 30, 2007 Rupee Export Credit Interest Rates Department of Regulation
November 15, 2007 Access Criteria for Clearing Houses at MICR Centres – Procedural Guidelines Department of Payment and Settlement Systems
October 06, 2007 Rupee Export Credit Interest Rates – Extension of Period & Widening of Coverage of Sectors Department of Regulation
July 25, 2007 Remuneration Payable to the Statutory Central and Branch Auditors of Public Sector Banks from the Year 2006-07 Department of Supervision
July 13, 2007 Rupee Export Credit Interest Rates Department of Regulation
June 6, 2007 Remuneration Payable to the Statutory Central and Branch Auditors of Public Sector Banks from the year 2006-07 Department of Supervision
March 28, 2007 Scheme to Cover Term Loans for Agriculture & Allied Activities under KCC Financial Inclusion and Development Department
March 09, 2007 Incentive for improving service to non- chest branches Department of Currency Management
October 20, 2006 Rupee Export Credit Interest Rate Department of Regulation
September 14, 2006 Delegation of Adequate Powers to the Bank Managers for Sanctioning Loans without Referring to Higher Authorities and following of the Procedure for Calculating Interest on Loan Excluding Subsidy Amount under SGSY Scheme Financial Inclusion and Development Department
December 23, 2005 ECS (Debit Clearing) – Revocation of mandate by the customers Department of Payment and Settlement Systems
November 23, 2005 Electronic Payment Products – Service Charges Department of Payment and Settlement Systems
October 17, 2005 Electronic Clearing Service (ECS) Department of Payment and Settlement Systems
August 26, 2005 Credit Flow to SME Sector – Reporting Format for Quarterly Review by the Government of India Financial Inclusion and Development Department
August 25, 2005 Notification No.S.O.420(E) dated March 28, 2005 Regarding Changes in the List of Reserved Items for Exclusive Manufacture in the Small Scale Sector Financial Inclusion and Development Department
July 25, 2005 Computerization of Currency Chest Operations Department of Currency Management
July 13, 2005 RTGS and other payment systems service charges Department of Payment and Settlement Systems
May 21, 2005 SJSRY – Administration / Adjustment of Back-End-Subsidy & Payment of Interest on Subsidy Portion Financial Inclusion and Development Department
April 13, 2005 Interest Rates to be Charged on Group Loans under Swarnjayanti Gram Swarozgar Yojana (SGSY) Financial Inclusion and Development Department
February 22, 2005 Clean Note Policy- Sorting of Banknotes Department of Currency Management
January 15, 2005 Notification No.S.O.1169 (E) dated 20.10.2004 Regarding – Changes in the List of Reserved Items for Exclusive Manufacture in the Small Scale Sector Financial Inclusion and Development Department
January 12, 2005 Enhancement in SSI Investment Limit in respect of Sports Goods Financial Inclusion and Development Department
October 26, 2004 Lending to Dealers in Agricultural Machinery and Distributors of Inputs for Allied Activities Financial Inclusion and Development Department
October 26, 2004 Special Agricultural Credit Plans (SACP) Financial Inclusion and Development Department
October 26, 2004 Data on Priority Sector Advances – Agricultural Lending Financial Inclusion and Development Department
October 16, 2004 Submission of Progress Reports under Swarnjayanti Gram Swarozgar Yojana (SGSY) – Certain Modifications Financial Inclusion and Development Department
August 17, 2004 Submission of Progress Reports and Change in the Periodicity of Returns under Swarnjayanti Gram Swarozgar Yojana (SGSY) Financial Inclusion and Development Department
June 18, 2004 Section 42 of the RBI Act, 1934 – Revision of Procedure for Payment of Interest on the Eligible CRR Balances on Monthly Basis Department of Regulation
May 18, 2004 Flow of Credit to Agriculture – Investment by Banks in Securitised Assets Financial Inclusion and Development Department
May 18, 2004 Flow of Credit to Agriculture – Loans for Storage Facilities Financial Inclusion and Development Department
April 20, 2004 Appointment of Statutory Auditors in Banks – Obtention of Declaration of Indebtedness Department of Supervision
April 16, 2004 Product Code for Activities mentioned in the Illustrative List of Small Scale Service & Business (Industry Related) Enterprises (SSSBE) – Intimation Regarding Financial Inclusion and Development Department
March 25, 2004 Submission of Progress Report under Government Sponsored Schemes – Change in Periodicity of Returns under SGSY, SJSRY and SLRS Financial Inclusion and Development Department
March 17, 2004 Remuneration Payable to the Statutory Central and Branch Auditors of Public Sector Banks from the year 2003-04 Department of Supervision
February 9, 2004 Validity of the SSI Registration of Tiny units – Discontinuation – Renewal of Registration of Ancillary SSI Units – Regarding Registration of SSSBEs Financial Inclusion and Development Department
January 13, 2004 Official Visits Abroad by Chairman & Chief Executive Officer Department of Regulation
December 30, 2003 Inspection by PC on OL – Creation of Hindi cadre and filling up of Hindi posts Department of Regulation
November 05, 2003 Primary Dealers’ Access to Call/Notice Money Market Financial Markets Regulation Department
October 11, 2003 Clean Note Policy – Banding of Note Packets- Use of stickers, etc Department of Currency Management
October 07, 2003 Special Financial Package for Large Value Exports – Rupee Credit Interest Rates Department of Regulation
September 30, 2003 Regarding computer details in banks, entries in passbooks/accounts, details on ATM cards and many forms only in English Department of Regulation
August 13, 2003 Credit Flow to SSI Sector – Quarterly Review by the Secretary (SSI & ARI) Financial Inclusion and Development Department
July 16, 2003 Branches under rule 10(4) of OL Rule 1976 – Notification of Offices – Sending legible list of branches Department of Regulation
July 14, 2003 Enhancement in SSI Investment Limit for Specified Items of the Stationery Sector and Drugs and Pharmaceuticals Sector Financial Inclusion and Development Department
July 07, 2003 Exchange of Information – Loan and Subsidy under Urban Self Employment Programme (USEP) Component of Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
June 24, 2003 Concurrent Audit of Forex Transactions in Banks Department of Supervision
May 21, 2003 SEBI Committee on Corporate Governance – Guidelines to Indian Commercial Banks Listed on Stock Exchanges Department of Regulation
May 12, 2003 Swarnjayanti Gram Swarozgar Yojana – Amendments in the Guidelines Financial Inclusion and Development Department
April 29, 2003 Priority Sector Advances – Finance Extended to Dealers in Drip Irrigation / Sprinkler Irrigation Systems / Agricultural Machinery – Liberalisation of Financial Inclusion and Development Department
April 16, 2003 Swarnjayanti Gram Swarozgar Yoiana (SGSY) – Financing of Groups having Defaulters Financial Inclusion and Development Department
April 12, 2003 Work in Hindi in Computer regarding Report in Hindi – Total number of Offices Department of Regulation
March 26, 2003 Ready Forward Contracts Financial Markets Regulation Department
March 07, 2003 Section 42 of the RBI Act, 1934 – Payment of Interest on Eligible CRR Balances on Monthly basis – Revision in the Format for Submission of Interest Claim – Introduction of New software for Form A Department of Regulation
March 05, 2003 Data Processing in Hindi in Banks Department of Regulation
January 21, 2003 Terms and Conditions of Appointment of Statutory/Concurrent/Internal Auditors – Implementation of the Recommendations of the Committee on Legal Aspects of Bank Frauds and the Recommendations of the High-Level Group set up by the Central Vigilance Commission (CVC) Department of Supervision
January 18, 2003 Credit Linked Capital Subsidy Scheme for Technology Upgradation of Small Scale Industries Financial Inclusion and Development Department
January 11, 2003 Introduction of New Software for Form A Returns – Revised Version Department of Regulation
December 20, 2002 Clean Note Policy Department of Currency Management
December 13, 2002 Honourable Prime Minister’s letter for Mentioning about the Commendable Work done in Hindi by the Bank Officers in their Annual Confidential Reports Department of Regulation
December 04, 2002 Implementation of SJSRY Financial Inclusion and Development Department
November 07, 2002 Rupee Export Credit Interest Rates Department of Regulation
October 29, 2002 Priority Sector Advances – Finance Extended to Dealers in Drip Irrigation/Sprinkler Irrigation Systems/Agricultural Machinery Financial Inclusion and Development Department
October 4, 2002 Flow of Credit to SSIs – Time Schedule for Disposal of Loan Applications Financial Inclusion and Development Department
September 28, 2002 Special Financial Package for Large Value Exports – Rupee Credit Interest Rates Department of Regulation
September 23, 2002 Incentive for improving service to non- chest branches – Clarification Department of Currency Management
September 11, 2002 Swarnjayanti Gram Swarozgar Yojana (SGSY) – Submission of Quarterly Review Note Financial Inclusion and Development Department
September 11, 2002 Swarnjayanti Gram Swarozgar Yojana (SGSY) – Group Life Insurance Scheme Financial Inclusion and Development Department
August 31, 2002 Priority Sector Lending – Scheme for Financing Agriclinics and Agribusiness Centres Financial Inclusion and Development Department
August 27, 2002 Local Advisory Board Department of Regulation
August 24, 2002 Introduction of Mobile Rural Bank System to Provide Bank Credit Facility at the Door-step of Rural Population Financial Inclusion and Development Department
August 13, 2002 Swarnjayanti Gram Swarozgar Yojana – Amendments in the Guidelines Financial Inclusion and Development Department
August 09, 2002 Hindi in Internal Work of Banks – Recommendations of the Group on Reporting System Department of Regulation
July 15, 2002 Exchange of Information – Loan and Subsidy under Urban Self-Employment Programme (USEP) Component of Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
July 05, 2002 Presence of chest representatives at the time of examination of soiled notes in the Reserve Bank Department of Currency Management
June 06, 2002 Special Financial Package for Large Value Exports Department of Regulation
June 04, 2002 Swarnjayanti Gram Swarozgar Yojana (SGSY) – Family and Wilful Defaulter – Clarification Financial Inclusion and Development Department
May 07, 2002 Concessive Rupee Export Credit for Deemed Exports Department of Regulation
April 19, 2002 Special Financial Package for Large Value Exports – Rupee Credit Interest Rates Department of Regulation
April 15, 2002 Priority Sector Advances – Credit Deployment to SSI Sector – Revised List of SSSBEs Financial Inclusion and Development Department
March 27, 2002 Work in Hindi on Computers – Guidelines Department of Regulation
March 26, 2002 Ready Forward Contracts Financial Markets Regulation Department
March 23, 2002 Incentive for improving service to non- chest branches Department of Currency Management
March 22, 2002 Presence of chest representatives at the time of examination of soiled notes in the Reserve Bank Department of Currency Management
March 07, 2002 Accounting of Subsidy Amount under SJSRY Financial Inclusion and Development Department
March 02, 2002 Interest Rates on Advances Department of Regulation
January 18, 2002 Work in Hindi in Computer Department of Regulation
December 10, 2001 Regarding implementation of guidelines regarding staffing pattern of Official Language Officers in Public Sector Banks Department of Regulation
November 26, 2001 Enhancement in SSI Investment Limit for specified Hosiery/Handtools Items Financial Inclusion and Development Department
November 22, 2001 Special Financial Package for Large Value Exports – Rupee Credit Interest Rates Department of Regulation
October 31, 2001 89th Meeting of Official Language Implementation Committee of Public Sector Banks – Follow-up Action – Use of Computers for Work in Hindi Department of Regulation
October 18, 2001 Recognition of IT related Activities and IT enabled Services as SSI/SSSBE and Manufacturing/Assembling of Three Wheelers as SSI Financial Inclusion and Development Department
September 24, 2001 Special Financial Package for large value exports – Rupee Credit Interest Rates Department of Regulation
July 23, 2001 Implementation of Differential Rate of Interest (DRI) Scheme Financial Inclusion and Development Department
July 10, 2001 Recognition of Water Mills (Gharat) as Small Scale Industry Financial Inclusion and Development Department
April 19, 2001 Interest Rates on Export Credit in Foreign Currency Department of Regulation
March 15, 2001 Implementation of Rajbhasha Policy in Banks – Honourable Prime Minister’s Directions for Increasing Use of Hindi in the Official Work Department of Regulation
February 26, 2001 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) – Prior Training for taking up Self-employment Activities under SJSRY Financial Inclusion and Development Department
February 12, 2001 Reporting system on Progress under Swarna Jayanti Sahakari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
December 22, 2000 Rate of Interest on Advances against Term Deposits Department of Regulation
November 27, 2000 QPR regarding Progressive Use of Hindi – Inclusion of Data on Computerised Branch Department of Regulation
November 27, 2000 Use of Hindi in Banks – Preparing Plan for providing Computer Training though Hindi Medium Department of Regulation
November 24, 2000 Swarna Jayanti Shaharl Rozgar Yojana (SJSRY) – Implementation Financial Inclusion and Development Department
November 04, 2000 Government Sponsored Programmes – Insistence on Collateral Security by Banks Financial Inclusion and Development Department
October 3, 2000 Credit Linked Capital Subsidy Scheme for Technology Upgradation of the Small Scale Industries Financial Inclusion and Development Department
October 3, 2000 Priority Sector Advances – Credit Deployment to SSI Sector Financial Inclusion and Development Department
September 12, 2000 Implementation of Rajbhasha policy in banks -Internet facility to Rajbhasha Departments Department of Regulation
September 08, 2000 20th Rajbhasha Conference of public sector banks – Proposal Nos. 10 and 11 Department of Regulation
July 25, 2000 Revised Proforma for Quarterly Progress Reports regarding use of Hindi in banks – Part II Department of Regulation
July 03, 2000 Swarnjayanti Gram Swarozgar Yojana (SGSY) – Reporting formats Financial Inclusion and Development Department
June 21, 2000 Revised Proforma for Quarterly Progress Reports regarding use of Hindi in Banks – Computerised Compilation of QPR Department of Regulation
May 12, 2000 Small Scale Industries – Reduction in the Investment Limit – Clarification Financial Inclusion and Development Department
April 27, 2000 Priority Sector Lending – Indirect Finance to Agriculture – Distribution of Inputs for Activities Allied to Agriculture Financial Inclusion and Development Department
April 7, 2000 Micro Credit Financial Inclusion and Development Department
April 6, 2000 Guidelines relating to Concurrent Audit System in Commercial Banks Department of Supervision
April 03, 2000 Implementation of Rajbhasha Policy in Banks -Constitution of Internal Standing Working Groups Department of Regulation
March 23, 2000 Interest Rates on Advances against Domestic/NRE/FCNR(B) Term Deposits Department of Regulation
March 22, 2000 Priority Sector Advances – Credit Deployment to SSI Sector Financial Inclusion and Development Department
March 14, 2000 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) – Implementation Financial Inclusion and Development Department
March 08, 2000 Working in Hindi on Computers Department of Regulation
March 07, 2000 Ready Forward contracts Financial Markets Regulation Department
February 29, 2000 Implementation of proper information system in banks Department of Regulation
February 02, 2000 Swarnjayanti Gram Swarozgar Yojana (SGSY) Financial Inclusion and Development Department
February 2, 2000 Priority Sector Advances – Credit Deployment to SSI Sector Financial Inclusion and Development Department
January 20, 2000 Capital Investment Subsidy Scheme for Construction/Expansion/Modernisation of Cold Storages and Storages for Horticulture Produce Financial Inclusion and Development Department
January 06, 2000 Display hoarding in hindi Department of Regulation
December 30, 1999 Swarnjayanti Gram Swarozgar Yojana (SGSY) Financial Inclusion and Development Department
December 28, 1999 Section 42 of the RBI Act 1934 – Revised Format for Submission of Quarterly Adhoc Interest Claim on Eligible CRR Balances Department of Regulation
November 05, 1999 Technological Problems being faced in Sending Telegrams in Devanagari (Hindi) Department of Regulation
September 30, 1999 Guidelines for Periodicals Department of Regulation
September 18, 1999 Preparation of Bilingual Data Processing Software for Branches of Public Sector Banks Department of Regulation
September 01, 1999 Swarnjayanti Gram Swarozgar Yojana (SGSY) Financial Inclusion and Development Department
August 12, 1999 Implementation of Rajbhasha Policy in Banks – Celebration of Golden Jubilee Year of Rajbhasha (Hindi) Department of Regulation
August 03, 1999 Preparation of banner and invitation of seminars in bilingual form Department of Regulation
July 26, 1999 Notification of Branches/ Offices under 10(4) of OL Rule, 1976 Department of Regulation
July 07, 1999 Computerised Compilation of Quarterly Progress Reports regarding Progressive Use of Hindi in Banks Department of Regulation
June 14, 1999 Interest on Delayed Payment to Small Scale and Ancillary Industrial Undertakings Amendment Act, 1998 Financial Inclusion and Development Department
June 08, 1999 Town Official Language Implementation Committee – Use of Hindi in Banks -Meetings of Office/Branch level Official Language Implementation Committees Department of Regulation
May 29, 1999 Implementation of SJSRY Financial Inclusion and Development Department
April 24, 1999 Section 42 of RBI Act, 1934 – Specimen Signatures of Officials Authorised to Sign Quarterly Interest (on CRR Balances) Claim Statements Department of Regulation
April 23, 1999 Advances against Domestic Term Deposits Department of Regulation
March 10, 1999 Section 42 of the Reserve Bank of India Act, 1934 – Submission of Final Form A for Reporting Fortnights and Quarterly Adhoc Interest Claim on Eligible Cash Balances Department of Regulation
December 31, 1998 IRDP – State-wise Poverty Line for Identification of BPL Population Financial Inclusion and Development Department
December 29, 1998 Kisan Credit Cards – Progress made in Implementation of the Scheme Financial Inclusion and Development Department
November 13, 1998 Implementation of Differential Rate of Interest (DRI) Scheme Financial Inclusion and Development Department
October 12, 1998 Implementation of Government Sponsored Programmes and J & K Self-employment Scheme Financial Inclusion and Development Department
September 07, 1998 New 20 Point Programme – Implementation of Financial Inclusion and Development Department
August 8, 1998 Priority Sector Advances – Credit Deployment to SSI Sector Financial Inclusion and Development Department
July 18, 1998 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) – Clarifications Financial Inclusion and Development Department
July 04, 1998 75th COLIC Meeting of PSBs – Follow up Action Department of Regulation
June 26, 1998 75th Meeting of Official Language Implementation Committee of Public Sector Banks – Follow-up Action Department of Regulation
June 20, 1998 Relief Measures to Persons Affected by Natural Calamities – Agricultural Advances Financial Inclusion and Development Department
June 02, 1998 Formation of Hindi Cadre and Filling up of Hindi Posts Department of Regulation
May 30, 1998 Official Visits Abroad by Chairman and Chief Executive Officer Department of Regulation
May 27, 1998 Guidelines on Advances to Priority Sector Second edition issued in April 1997 – Amendment to items 1.10 and 1.11 under section I – Agriculture Financial Inclusion and Development Department
May 05, 1998 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
March 30, 1998 Annual Audit Conducted by the Departmental Auditors – Pointing out the Violations by the Primary Co-operative Banks on various Directives/Guidelines issued by the RBI Department of Supervision
March 02, 1998 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
February 19, 1998 Priority Sector Advances – Credit Deployment to SSI Sector Financial Inclusion and Development Department
January 20, 1998 Conversion of FCNR(B) Accounts of the Returning Indians into RFC Accounts/Resident Rupee Accounts – Payment of Interest Department of Regulation
January 5, 1998 Priority Sector Advances – Credit Deployment to SSI Sector Financial Inclusion and Development Department
December 23, 1997 Section 2 of the RBI Act, 1934 – Revised Format for Submission of Quarterly Ad hoc Interest Claims on Eligible CRR Balances Department of Regulation
November 25, 1997 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
November 17, 1997 Swarna Jayanti Shahari Rozgar Yojana (SJSRY) Financial Inclusion and Development Department
August 16, 1997 Implementation of Government Sponsored Programmes and Jammu & Kashmir Self-Employment Scheme Financial Inclusion and Development Department
August 05, 1997 Implementation of Differential Rate of Interest (DRI) Scheme Financial Inclusion and Development Department
July 11, 1997 Recovery Performance – Government Sponsored Schemes Financial Inclusion and Development Department
June 03, 1997 Section 42 of the RBI Act, 1934 – Revised Format for Submission of Quarterly Ad hoc Interest Claims on Eligible CRR Balances Department of Regulation
May 28, 1997 Priority sector advances – Loans to State Electricity Boards for Systems Improvement Scheme under Special Project Agriculture (SI-SPA) Financial Inclusion and Development Department
May 19, 1997 Prime Minister’s Intergrated Urban Poverty Eradication Programme (PMI UPEP) Financial Inclusion and Development Department
January 16, 1997 Section 42 of Reserve Bank of India Act, 1934 – Payment of Interest on specified Additional Cash Balances Maintained with Reserve Bank of India Department of Regulation
December 24, 1996 Conversion of FCNR/NRE Accounts of the Returning Indians to RFC Accounts – Payment of Interest Department of Regulation
December 05, 1996 Financing of farmers for purchase of generator sets for irrigation purposes Financial Inclusion and Development Department
October 19, 1996 Interest rates on advances – Post-shipment Rupee Credit Department of Regulation
October 01, 1996 Bank Credit to Khadi and Village Industries (KVI) Sector Financial Inclusion and Development Department
August 14, 1996 Concurrent Audit System in Commercial Banks – Revision of RBI’s Guidelines Department of Supervision
August 09, 1996 Rate of interest on advances against term deposits Department of Regulation
August 01, 1996 Priority Sector Advances – Short term loans to traditional plantations Financial Inclusion and Development Department
July 04, 1996 Rate of Interest on Advances against Term Deposits Department of Regulation
May 24, 1996 Minutes of 67th Meeting of Official Languages Implementation Committee of Public Sector Banks – Action Plan for Progressive Use of Hindi Department of Regulation
May 22, 1996 Publication or Publishing Units as SSI Financial Inclusion and Development Department
March 25, 1996 Use of Hindi in Banks – Follow-up of Decisions Taken/Suggestions Given in the 66th Meeting of OLIC of Public Sector Banks Held on 12th January 1996 Department of Regulation
March 23, 1996 Scheme of financing commission agents for supply of agricultural inputs to farmers Financial Inclusion and Development Department
March 23, 1996 Financing of farmers for purchase of generator sets for irrigation purposes Financial Inclusion and Development Department
February 07, 1996 Implementation of Differential Rate of Interest (DRI) Scheme Financial Inclusion and Development Department
September 29, 1995 Rate of Interest on Advances against Term Deposits. Department of Regulation
September 29, 1995 Rate of Interest on Advances against Term Deposits Department of Regulation
September 25, 1995 Indirect Housing Finance Interest Rates Department of Regulation
September 12, 1995 Interest Rates on Advances Department of Regulation
June 20, 1995 Interest Rates on Advances Department of Regulation
June 20, 1995 Interest Rates on Advances Department of Regulation
May 29, 1995 DBOD.No.BC.61/12.05.001/94-95 Department of Regulation
April 17, 1995 Post-Shipment Credit denominated in Foreign Currency (PSCFC) Department of Regulation
January 30, 1995 DBOD.No.BC.286/06.02.01/95 Department of Regulation
September 07, 1994 Govt. of India Sponsored Schemes – Recovery Performances Financial Inclusion and Development Department
July 22, 1994 Interest Rates on Advances Department of Regulation
July 11, 1994 Progressive Use of Hindi in Banks – Issue and Acceptance of the Cheques Drawn/ Signed in Hindi Department of Regulation
July 01, 1994 Local Advisory Board Department of Regulation
May 20, 1994 Interest Rates on Advances Department of Regulation
March 23, 1994 Simplified Common Loan Application Forms for SSI Financial Inclusion and Development Department
March 8, 1994 DBOD.No.BC.27/06.02.01/94 Department of Regulation
March 05, 1994 Local Advisory Boards (LABs) of Foreign Banks Operating in India – Appointment of Chairmen/ Members Department of Regulation
February 28, 1994 Interest Rates on Advances Department of Regulation
February 28, 1994 Interest Rates on Advances Department of Regulation
January 31, 1994 Integrated Rural Development Programme (IRDP) – Streamlining the Arrangement for Flow of Credit and Supply of Inputs and Assets to Beneficiaries Financial Inclusion and Development Department
January 13, 1994 Local Advisory Boards (LABs) of Foreign Banks Operating in India – Functions and Working Department of Regulation
November 23, 1993 Computerization in the Primary (Urban) Co-operative Banks – Marathe Committee Department of Supervision
November 6, 1993 Institutional Credit to the SSI Sector – Disposal of Loan Applications Financial Inclusion and Development Department
November 04, 1993 Interest Rates on Advances – Discretion in the Rate of Interest to be Charged Department of Regulation
October 11, 1993 Introduction of a System of Concurrent Audit in Banks as Recommended by the Ghosh Committee on Frauds and Malpractices in Banks Department of Supervision
September 11, 1993 Interest on Delayed Payment to Small Scale and Ancillary Industrial Undertaking Financial Inclusion and Development Department
September 6, 1993 Report of the Committee to Examine the Adequacy of Institutional Credit for SSI Sector Financial Inclusion and Development Department
September 01, 1993 Interest Rates on Advances Department of Regulation
June 24, 1993 Computerization in the Primary (Urban) Co-operative Banks – Marathe Committee Department of Supervision
June 23, 1993 Interest Rates on Advances Department of Regulation
May 31, 1993 Local Advisory Board Department of Regulation
May 27, 1993 Assistance under Government Sponsored Programmes – Differential Rate of Interest Scheme (DRI) Financial Inclusion and Development Department
May 17, 1993 Use of Hindi in Banks- Compilation of Hindi Words Used in Different Indian Languages Department of Regulation
May 11, 1993 Section 35B of the Banking Regulation Act, 1949 -Appointment/Reappointment of Chief Executive Officer in India – Terms and Conditions, etc. Department of Regulation
April 27, 1993 Board of Directors Department of Regulation
April 07, 1993 Interest Rates on Advances Department of Regulation
February 27, 1993 Interest Rates on Advances Department of Regulation
February 03, 1993 Assistance under Subsidy Linked Government Sponsored Programmes Financial Inclusion and Development Department
January 21, 1993 Small Scale Service and Business (Industry related) Enterprises (SSSBEs) Financial Inclusion and Development Department
January 06, 1993 Guidelines for Relief Measures by Banks in Areas Affected by Natural Calamities – (Consumption Loans) Financial Inclusion and Development Department
December 3, 1992 Promulgation of Ordinance on Interest on Delayed Payment to Small Scale and Ancillary Industrial Undertaking Financial Inclusion and Development Department
November 27, 1992 Quarterly Progress Report (QPR) regarding Progressive Use of Hindi in Banks/Financial Institutions-Introduction of Revised Proforma Department of Regulation
November 19, 1992 Service Area Approach (SAA) – Revised Monitoring and Information System (SAMIS) Financial Inclusion and Development Department
October 31, 1992 Board of Directors Department of Regulation
October 31, 1992 Liberalisation of Exchange Control Regulations – Deputation of Chairman & Chief Executive Officers – Visits abroad Department of Regulation
October 08, 1992 Interest Rates on Advances Department of Regulation
October 08, 1992 SAMIS – Forwarding a copy of LBR-3/U-3 to SLBC by the branches of banks Financial Inclusion and Development Department
July 15, 1992 Revision in the Definition of Small-scale Industries Financial Inclusion and Development Department
July 06, 1992 SAMIS – Common errors observed in Lead Bank Return submitted by bank branches Financial Inclusion and Development Department
July 01, 1992 Regarding the implementation of the decision of the government on the recommendation made by PC on OL Department of Regulation
May 6, 1992 Composite Loan to Artisans, Village and Cottage Industries – Revised Definition Financial Inclusion and Development Department
April 27, 1992 Service Area Approach – Inclusion of Lead Banks in State Level Task Force (SLTF) Financial Inclusion and Development Department
April 23, 1992 DBOD.No.BC.122/06.02.06/92 Department of Regulation
April 21, 1992 Interest Rates on Advances Department of Regulation
April 21, 1992 Interest Rates on Advances Department of Regulation
April 13, 1992 Advances against FCNR/NRE Deposits – Manner of Charging Interest Department of Regulation
April 07, 1992 Service Area Monitoring and information System – Clarifications Financial Inclusion and Development Department
March 31, 1992 Lead Bank Scheme – Participation by MPs/MLAs in the District Level Review Committee meetings Financial Inclusion and Development Department
February 28, 1992 Tiny Enterprises Financial Inclusion and Development Department
February 28, 1992 Small Tiny and Industry related Service/Business Enterprises – SSSBEs Financial Inclusion and Development Department
February 26, 1992 Revision in the Definition of Small-Scale Industries Financial Inclusion and Development Department
February 6, 1992 Women Entrepreneurs Enterprise – Definition Financial Inclusion and Development Department
December 31, 1991 Post-shipment Export Credit denominated in Foreign Currency (PSCFC) Department of Regulation
December 27, 1991 DBOD.No.Rabha.BC.65/C.486(53)-91 Department of Regulation
December 26, 1991 Service Area Approach – Financing of IRDP beneficiaries of weak Regional Rural Banks Financial Inclusion and Development Department
December 20, 1991 Audit of Primary (Urban) Co-operative Banks Department of Supervision
November 30, 1991 Advances against FCNRA Deposits – Manner of Charging Interest Department of Regulation
November 30, 1991 Advances against FCNRA Deposits – Manner of Charging Interest Department of Regulation
November 13, 1991 Restriction on Credit to certain Sectors Department of Regulation
November 04, 1991 Interest Rates on Advances Department of Regulation
October 31, 1991 Interest Rates on Advances Department of Regulation
October 24, 1991 DBOD.No.Rabha.240/C.486 (53)-91 Department of Regulation
October 11, 1991 Lead Bank Scheme – District level meetings Financial Inclusion and Development Department
October 08, 1991 Section 42 of the Reserve Bank of India Act, 1934 -Cash Reserve Ratio (CRR) – Interest on Banks’ Cash Balances with the Reserve Bank of India Department of Regulation
October 08, 1991 Interest Rates on Advances Department of Regulation
September 24, 1991 Use of Hindi in Banks – Meeting of Official Language Implementation Committee (OLIC) of Public Sector Banks Department of Regulation
September 21, 1991 Interest Rates on Advances Department of Regulation
September 21, 1991 Banks’ Assistance to Persons Affected by Riots / Communal Disturbances, etc. Financial Inclusion and Development Department
September 13, 1991 Service Area Approach (SAA) – revised Monitoring and Information System (SAMIS) Financial Inclusion and Development Department
September 12, 1991 Interest Rates on Advances Department of Regulation
August 26, 1991 Computation of Value of Investment in Equipment, Plant and Machinery etc. taken on Hire-purchase/Lease by SSI Units and Other Categories of Priority Sector Borrowers Financial Inclusion and Development Department
August 21, 1991 Lead Bank Scheme – SLBC/DCC Meetings – Monitoring the Progress of Implementation of SUME Financial Inclusion and Development Department
August 16, 1991 Interest Rates on Advances Department of Regulation
August 14, 1991 Export Credit (Interest Subsidy) Scheme 1968 – Submission of Interest Subsidy Claims Department of Regulation
August 07, 1991 Interest Rates on Advances Department of Regulation
July 30, 1991 Rural Electrification – (SPA I & II) – Finance to State Electricity Boards – Classification Financial Inclusion and Development Department
July 22, 1991 Interest Rates on Advances Department of Regulation
July 13, 1991 IRDP – Streamlining the Arrangement for Flow of Credit and Supply of Input and Assets to Beneficiaries-Extension of the System of Cash Disbursement to more Number of Blocks – Study Report Financial Inclusion and Development Department
July 04, 1991 Interest Rates on Advances Department of Regulation
June 29, 1991 DBOD.No.Rabha.1722/C.486/53-91 Department of Regulation
June 25, 1991 Interest Rates on Advances Department of Regulation
June 18, 1991 Service Area Approach – Information and Monitoring System Financial Inclusion and Development Department
May 23, 1991 Interest Rates on Advances Department of Regulation
April 18, 1991 Special Smokeless Fuel (SSF)/Coal Briquetting Units – Provision of Bank Finance Financial Inclusion and Development Department
April 12, 1991 Interest Rates on Advances Department of Regulation
February 22, 1991 Interest Rates on Advances Department of Regulation
February 19, 1991 Interest Rates on Advances – Discounting of Bills Department of Regulation
February 11, 1991 Interest Rates on Advances – Accounts where Refinance is Availed from SIDBI Department of Regulation
January 10, 1991 Interest Rates on Loans under various Government of India Sponsored Schemes Financial Inclusion and Development Department
January 09, 1991 Export Credit (Interest Subsidy) Scheme, 1968 – Rates of Interest Subsidy in respect of Pre-shipment and Post-shipment Credits against Cash Incentives, Duty Drawback etc. Department of Regulation
December 01, 1990 Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit – Financing of Exports of Tobacco Department of Regulation
October 09, 1990 Interest Rates on Advances Department of Regulation
September 27, 1990 DBOD.No.Ret.BC.22/C.254-90 Department of Regulation
September 25, 1990 Advances to Goldsmiths to Net up Units under ‘Composite Loan Scheme’ Financial Inclusion and Development Department
September 21, 1990 Interest Rates on Advances Department of Regulation
August 31, 1990 Rehabilitation of Sick Small Scale Industrial Units Financial Inclusion and Development Department
July 20, 1990 Export Credit (Interest Subsidy) Scheme, 1968 -Packing Credit Advances – Financing of Exports of Readymade Garments Department of Regulation
June 21, 1990 Common Loan Applications Financial Inclusion and Development Department
June 15, 1990 Scheme of Urban Micro Enterprises (SUME) Financial Inclusion and Development Department
May 28, 1990 Lead Bank Scheme – Implementation of District Credit Plans – Monitoring of performance by the Board of Directors Financial Inclusion and Development Department
May 03, 1990 IRDP – Revision of Quantum of Flow of Physical and Financial Benefits to Scheduled Castes / Scheduled Tribes & Women in VIII Five Year Plan (1990-95) Financial Inclusion and Development Department
March 12, 1990 Interest Rates on Deposits and Advances Department of Regulation
February 02, 1990 Export Credit (Interest Subsidy) Scheme, 1968 – Irregularities in Subsidy Claims Department of Regulation
October 18, 1989 Export Credit (Interest Subsidy) Scheme, 1968 – Rates of Interest Subsidy Department of Regulation
September 26, 1989 DRI Scheme – Change in the reference date Financial Inclusion and Development Department
September 22, 1989 Financial Assistance for Implementation of Public Sector Oil Companies Programme for Awarding various Categories of Dealership/ Distributorship under Social Objective Scheme Financial Inclusion and Development Department
September 22, 1989 Financial Assistance for Implementation of Public Sector Oil Companies Programme for Awarding various Categories of Dealership/Distributorship under Social Objective Scheme Financial Inclusion and Development Department
August 16, 1989 Lead Bank Scheme Information system Financial Inclusion and Development Department
August 07,1989 DRI Scheme – Removal of Ceiling Restriction on Working Capital Financial Inclusion and Development Department
July 4, 1989 Small Scale Units Engaged in Hot Rolling of Semis, Bars, Wire Rods and Structural Sections of Steel – Financial Assistance Financial Inclusion and Development Department
June 28, 1989 Priority Sector Advances – Incidence of Guarantee Premium Payable to DICGC Financial Inclusion and Development Department
June 21, 1989 Interest Rates on Advances – Discounting of Bills Department of Regulation
June 16, 1989 DRI Scheme – Financial assistance to institutions Financial Inclusion and Development Department
June 12, 1989 Service Area Approach – Modified information System (MIS) Financial Inclusion and Development Department
June 07, 1989 Use of Hindi in the Branches of Indian Banks Situated in Foreign Countries Department of Regulation
May 24, 1989 Advances to SSI Sector – Incidence of Guarantee Premium Payable to DICGC Financial Inclusion and Development Department
May 15, 1989 Bank Finance for Housing Schemes Financial Inclusion and Development Department
April 25, 1989 Reporting System under Annual Action Plans Financial Inclusion and Development Department
April 22, 1989 Appointment of Statutory (Central / Branch) Auditors as Internal Auditors of Banks Department of Supervision
March 31, 1989 Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Exports of Silk Fabrics, Silk Piece Goods and Silk Made-ups Department of Regulation
March 31, 1989 Women Entrepreneurs’ Enterprise – Definition Financial Inclusion and Development Department
March 13, 1989 Packing Credit for Imports against Entitlements under Advance Licence/Import-Export Pass Book Scheme Department of Regulation
March 08, 1989 Interest Rates on Advances – Penal Rate of Interest – Clarification Department of Regulation
February 28, 1989 Advances to Priority Sector – Direct agricultural advances Financial Inclusion and Development Department
February 16, 1989 Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Exports of Readymade Garments Department of Regulation
February 02, 1989 DBOD.No.Ret.BC.68/C.254-89 Department of Regulation
January 27, 1989 Hindi Training Department of Regulation
December 17, 1988 Interest Rates on Advances – Bill Finance Department of Regulation
November 18, 1988 Excise Duty – Assessment of Working Capital Requirements Financial Inclusion and Development Department
October 17, 1988 Export Credit (Interest Subsidy) Scheme, 1968 – Export by Seed Processing Units and Food Processing Units Department of Regulation
October 08, 1988 Interest Rate on Advances – Advances to Central and State Government Agencies Entrusted with Procurement and Distribution of Commodities for Sale on a Commercial Basis. Department of Regulation
October 08, 1988 Selective Credit Control – Advances against Sensitive Commodities – Rate of Interest Department of Regulation
August 20, 1988 Penal Interest on Advances Department of Regulation
July 30, 1988 Credit Assistance to Small Scale Industries (SSI) Sector Financial Inclusion and Development Department
May 16, 1988 Lead Bank Scheme – Information System Financial Inclusion and Development Department
May 12, 1988 IRDP – Provision of Supplementary Dose of Assistance during VIIth Five Year Plan – Extension of the Period Financial Inclusion and Development Department
April 06, 1988 Use of Hindi in Banks – Arrangements for Imparting Training through Hindi Medium in the Training Institutes Department of Regulation
March 29, 1988 Bank Finance to State Level Corporations for Assisting Artisans, Village and Cottage Industries Financial Inclusion and Development Department
March 10, 1988 Advances to Priority Sector – Direct Agricultural Advances Financial Inclusion and Development Department
February 09, 1988 Use of Hindi in the Banks – Hindi Training – Achievement and Difficulties Department of Regulation
February 03, 1988 Use of Hindi in Banks – Inspection of Hindi Work Done by Bank Branches and Comments thereon in the Inspection Reports Department of Regulation
December 23, 1987 Use of Hindi in Training Institutes of Banks Department of Regulation
December 08, 1987 IRDP – Uniform Application Form – Issue of Acknowledgement Slip Financial Inclusion and Development Department
December 07, 1987 Self-Employment Programme for Urban Poor (SEPUP) – Compilation and Reporting of Data Financial Inclusion and Development Department
December 07, 1987 Self-Employment Programme for Urban Poor (SEPUP) – Compilation and Reporting of Data Financial Inclusion and Development Department
December 02, 1987 Export Credit (Interest Subsidy) Scheme, 1968 – Irregularities in Subsidy Claims Department of Regulation
November 30, 1987 Export Credit (Interest Subsidy) Scheme, 1968 – Extension of Packing Credit Beyond 180 days – Disposal of Applications Received from Branches of Banks Department of Regulation
November 24, 1987 DBOD.No.Ret.BC.64/C.254-87 Department of Regulation
November 24, 1987 Meetings of the Town Official Languages – Implementation Commitees – Regular Participation of Member Offices Required Department of Regulation
October 28, 1987 Financing for purchase of Solar Cookers for Domestic Use Financial Inclusion and Development Department
October 26, 1987 Export Credit (Interest Subsidy) Scheme, 1968 – Advances to Exporters of Engineering Goods against their Claims for Reimbursement of Difference between Domestic and International Price of Steel, etc. under the International Price Reimbursement Scheme (IPRS) Department of Regulation
September 21, 1987 Clarification regarding Exemption from Obligatory In-service Training in Hindi Department of Regulation
September 02, 1987 DBOD.No.Fol.BC.27/C.249-87 Department of Regulation
August 07, 1987 Provision and Use of only Bilingual Electronic Typewriters in Central Govt. Ministries/Departments/Attached and Subordinate Offices/Govt. Undertakings and Nationalised Banks Department of Regulation
June 25, 1987 Standards for Audit Classification of Primary (Urban) Co-operative Banks and Representation to Urban Banks/their Federations on the Boards of Management of State Co-operative Banks/District Central Co-operative Banks/Federations of Short-term Co-operative Credit Structure Department of Supervision
June 15, 1987 New 20-Point Programme, 1986 – Assistance by Banks Financial Inclusion and Development Department
April 21, 1987 Short-Term Loans to Traditional Plantations Financial Inclusion and Development Department
April 08, 1987 Appointment of Separate District Co-ordinators in Non-lead Districts Financial Inclusion and Development Department
March 21, 1987 Credit for Wastelands Development Financial Inclusion and Development Department
March 18, 1987 New 20-Point Programme-1986 – Assistance by Banks – Returns Financial Inclusion and Development Department
February 17, 1987 Advances to Indigent Students Prosecuting Higher Studies within India Financial Inclusion and Development Department
January 14, 1987 Bank Finance for Purchase of Commercial Vehicles Financial Inclusion and Development Department
December 16, 1986 IRDP – Streamlining the Arrangement for Flow of Credit and Supply of Inputs and Assets to Beneficiaries – Verification of Assets Financial Inclusion and Development Department
December 15,1986 New 20-Point Programme-1986 – Assistance by Banks Financial Inclusion and Development Department
November 28, 1986 IRDP – Streamlining the Arrangements for Flow of Credit and Supply of Inputs and Assets to Beneficiaries – ISB Sector Financial Inclusion and Development Department
November 24, 1986 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
October 14, 1986 Interest Rates on Advances – Computation of Total Limits – Clarifications Department of Regulation
September 25, 1986 Differential Rate of Interest (DRI) Scheme – Modifications to the Guidelines Financial Inclusion and Development Department
September 24, 1986 IRDP- Provision of Second Dose of Assistance during the Seventh Five Year Plan Financial Inclusion and Development Department
September 12, 1986 Hindi Teaching Scheme of the Government of India Department of Regulation
July 12, 1986 Use of Hindi in Banks – Bilingualisation of Stationery Items including Pay-in-Slips, Traveller Cheques, Cheque Form, etc. Department of Regulation
July 02, 1986 Use of Hindi in Banks – Revised Proforma for Quarterly Progress Reports Department of Regulation
June 11, 1986 IRDP Supplementary Assistance – Eligibility Financial Inclusion and Development Department
May 28, 1986 Official Languages Implementation Committee – 28th Meeting – Follow-up Action Department of Regulation
May 28, 1986 Minutes of 28th Meeting of the Official Languages Implementation Committee of the Department of Banking Operations and Development, Reserve Bank of India – Follow-up Action Department of Regulation
May 16, 1986 Bank Finance for Purchase of Tractors and Trucks Financial Inclusion and Development Department
April 12, 1986 Standards for Audit Classification of Primary (Urban) Co-operative banks Department of Supervision
March 24, 1986 Interest Rates on Advances – Effect of Revision thereto on Existing Advances Department of Regulation
March 07, 1986 Use of Hindi in Banks – Bilingualisation of Letter Heads, etc. Department of Regulation
February 10, 1986 Interest Rates on Advances – Chart Indicating Rates of Interest Prescribed by the Reserve Bank Department of Regulation
January 28, 1986 Use of Hindi in Banks – Purchase of Hindi Books of General Interest for Hindi Libraries Set up in Banks’ Offices Department of Regulation
January 27, 1986 Use of Hindi in Banks – Bilingualisation of Letter-heads, etc. Department of Regulation
January 20, 1986 Financing of Bought Leaf Factories for Manufacturing Tea Financial Inclusion and Development Department
October 25, 1985 Section 42 of RBI Act, 1934 – CRR – Rate of Interest Department of Regulation
October 8, 1985 Revision in the Definition of Small Scale Industries Advances by Scheduled Commercial Banks Financial Inclusion and Development Department
September 25,1985 Reasons for High Level of Overdues under IRDP Financial Inclusion and Development Department
August 9, 1985 Credit Assistance to Job-Seekers Registered with Employment Exchanges for Setting up Self-employment Ventures Financial Inclusion and Development Department
July 12, 1985 Financial Assistance for Implementing the Public Sector Oil Companies Programme for Awarding various Categories of Dealership/Distributorship under ‘Social Objective Scheme’ Financial Inclusion and Development Department
May 28, 1985 Selective Credit Control – Rate of Interest on Advances against Stocks of Paddy/Rice to Rice Shelling Units/Mills Department of Regulation
May 7, 1985 Recovery of Loans to Small Road Transport Operators Financial Inclusion and Development Department
April 29, 1985 Lead Bank Scheme – Information System Financial Inclusion and Development Department
March 23, 1985 Interest Rates on Advances Department of Regulation
March 04, 1985 Use of Hindi in the Banks – Balance Sheet and Profit and Loss Account – Proforma Department of Regulation
January 29, 1985 Use of Hindi in the Banks – Minutes of the 34th Meeting of the Official Languages Implementation Committee of Banking Division Department of Regulation
January 25, 1985 Use of Hindi in Banks – Hindi Section in Publications/House Journals Department of Regulation
January 04, 1985 Local Advisory Boards (LABs) of Foreign Banks Operating in India – Functions and Working – Revised Guidelines Department of Regulation
December 29, 1984 Notifying the Names of Branches/Offices under Rule 10(4) of Official Language Rule, 1976 Department of Regulation
December 11, 1984 Approval for Relaxation in the Operation of Reserve Bank of India Directives on Rates of Interest under Nursing Programmes in respect of Sick Small Scale Industrial Units Department of Regulation
December 04, 1984 Standards for Audit Classification of Primary (Urban) Co-operative Banks Department of Supervision
December 03, 1984 DBOD.No.GC.SIC.BC.115/C.739(A-1)-84 Department of Regulation
October 19, 1984 Export Credit (Interest Subsidy) Scheme, 1968 – Extension of Period of Packing Credits due to Port Strike Department of Regulation
August 22, 1984 Interest Rate on Advances – Units Producing & Distributing Seeds Department of Regulation
August 21, 1984 Use of Hindi in Banks – Follow-up Action on the Minutes of the Seventh Meeting of the Hindi Salahkar Samiti of the Ministry of Finance held on 23rd May 1984 Department of Regulation
August 08, 1984 Use of Hindi in Banks – Follow Uniformity in Terminology Department of Regulation
August 02, 1984 Revised Guidelines fo Relief Measures by Banks in Areas Affected by Natural Calamities Financial Inclusion and Development Department
July 20, 1984 Use of Hindi in Banks – 4th O.L. Conference – Follow-up Action Department of Regulation
July 04, 1984 Selective Credit Control – Advances against Paddy/Rice to Shelling Units/Mills Department of Regulation
May 28, 1984 Scheme for Granting Awards on Essays Originally Written in Hindi on Financial Subjects Department of Regulation
May 24, 1984 Use of Hindi in Banks – IV O.L. Conference – Follow-up Action Department of Regulation
December 24, 1983 Interest Rates on Advances Department of Regulation
November 15, 1983 Export Credit (Interest Subsidy) Scheme, 1968 -Packing Credit needs of the Cashew Industry of Kerala Department of Regulation
October 24, 1983 DBOD.No.Fol.1246(A)/C.249-93 Department of Regulation
July 19, 1983 Government Instructions regarding Venues of Board Meetings etc. Department of Regulation
June 16, 1983 Registration of Small Scale and Ancillary Units Set up by Medium and Large Scale Undertakings Financial Inclusion and Development Department
June 07, 1983 Section 35B of the Banking Regulation Act, 1949 Department of Regulation
June 07, 1983 Interest Rates on Advances Department of Regulation
June 02, 1983 Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Needs of the Cashew Industry of Kerala Department of Regulation
April 20, 1983 Small Scale Industries – Extension of Assistance to Small Scale Service Establishments Financial Inclusion and Development Department
February 24, 1983 Export Credit (Interest Subsidy) Scheme, 1968 -Audit by the Offices of the Director of Audit Department of Regulation
November 27, 1982 DBOD.No.Ret.BC.109/C.254-82 Department of Regulation
November 08, 1982 DBOD.No.FOL.BC.103/C.249-82 Department of Regulation
November 5, 1982 Banks Advances for Purchase of Tractors and Trucks Financial Inclusion and Development Department
September 1, 1982 Small Scale Industries – Extension of Assistance to Small Scale Service Establishments Financial Inclusion and Development Department
June 09, 1982 Selective Credit Control – Rate of Interest on Advances against Paddy and Rice Millers in Bengal Department of Regulation
May 31, 1982 Acceptance of Sitting Fees by Whole-time Officers of Banks Nominated on the Boards of Financial Institutions/Companies Department of Regulation
April 26, 1982 Interest Rates on Advances – State Level Agro Industries Corporations and State Apex Co-operative Marketing Federations Department of Regulation
February 27, 1982 Appointment of Whole-time Officers or Employees as Directors of Other Companies/Corporations, etc. Department of Regulation
February 12, 1982 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements Department of Regulation
November 13, 1981 Interest Rates on Advances Department of Regulation
July 24, 1981 Interest Rates on Advances Department of Regulation
June 19, 1981 Interest Rates on Advances Department of Regulation
June 17, 1981 Rate of Interest on Advances to Jute Corporation of India (JCI) and Cotton Corporation of India (CCI) Department of Regulation
June 11, 1981 Interest Rates on Advances Department of Regulation
June 04, 1981 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements Department of Regulation
June 01, 1981 Interest Rates on Advances Department of Regulation
May 16, 1981 Interest Rates on Advances Department of Regulation
May 02, 1981 Interest Rates on Advances – Clarifications Department of Regulation
April 02, 1981 Interest Rates on Advances Department of Regulation
March 07, 1981 Interest Rates on Advances Department of Regulation
January 27, 1981 Appointment of Whole-time Officers or Employees as Directors of Assisted Companies Department of Regulation
January 07, 1981 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
December 09, 1980 Report of the Working Group to Review the System of Cash Credit – Interest Rates on advances Department of Regulation
October 01, 1980 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
August 18, 1980 Increase in Interest Rates on Advances Department of Regulation
August 04, 1980 Evaluation Committee (Official Language Implementation) – Follow-up Action on the Recommendations of Department of Regulation
July 02, 1980 Interest Tax Act, 1974 Department of Regulation
June 20, 1980 Use of Hindi in Banks – Official Languages Implementation Committee of the Department of Banking Operations and Development, Reserve Bank of India, Central Office, Bombay 400 005 Department of Regulation
June 19, 1980 Interest Rates on Deposits and Advances – Clarification Department of Regulation
May 17, 1980 Execution of Translation Work on Honorarium basis in Bank Offices where no Hindi Staff has been provided Department of Regulation
March 27, 1980 Interest Rate on Overdue Inland Bills Department of Regulation
March 27, 1980 Interest Rates on Deposits and Advances – Clarification Department of Regulation
February 18, 1980 Availability of Suitable Staff for the Journals Published by the Ministry of Information and Broadcasting and Other Ministries/Departments and to Grant them Pay-scales etc. at par with their Counterparts for English Journals Department of Regulation
January 15, 1980 Complusory In-Service Training in Hindi – Exemption from the Training in Hindi on the Grounds of Age Department of Regulation
January 09, 1980 DBOD.No.BL.BC.9/C.555 (A)-80 Department of Regulation
December 10, 1979 Use of Hindi in Banks – Hindi Training of Bank Employees Department of Regulation
October 31, 1979 Ceiling Rate on Advances – Credit to Public Sector Agencies Department of Regulation
September 13, 1979 Interest Rate on Advances against Sensitive Commodities Department of Regulation
September 13, 1979 Ceiling Rate on Advances Department of Regulation
August 14, 1979 Use of Hindi in the Banks – Filling of Pass Books in Hindi Department of Regulation
June 05, 1979 Hindi Salahkar Samiti in the Ministry of Finance – Implementation of the decisions taken in the 3rd meeting held on 17th March, 1979 Department of Regulation
March 15, 1979 Interest Rate on Lending to the Agricultural Sector Department of Regulation
January 16, 1979 Use of Hindi in Banks – Features Observed in the Quarterly Progress Reports Received from the Banks Department of Regulation
January 15, 1979 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements. Department of Regulation
December 08, 1978 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
November 03, 1978 Use of Hindi in Banks Department of Regulation
October 21, 1978 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements Department of Regulation
October 13, 1978 Use of Hindi in the Banks Department of Regulation
September 01, 1978 Interest on Overdue Inland bills Department of Regulation
April 27, 1978 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
January 27, 1978 Minutes of the Third Meeting of the Official Languages Implementation Committee of the Department of Banking Operations and Development Reserve Bank of India, Central Office, Bombay held at Bombay the 6th January, 1978 Department of Regulation
December 20, 1977 Export Credit Department of Regulation
August 12, 1977 Use of Hindi in Banks – Exemption from Obligatory – In-service Training in Hindi Department of Regulation
August 11, 1977 Use of Hindi in Banks – Views on the Language, Standard, etc., of the Hindi Periodicals Department of Regulation
August 03, 1977 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
July 06, 1977 Export Credit (Interest Subsidy) Scheme, 1968 – Supplementary Claims Department of Regulation
March 02, 1977 Minutes of the Second Quarterly Meeting of the Official Languages Implementation Committee of the Department of Banking Operations and Development, Bombay held at Mahabank Training College of Bank of Maharashtra, Poona on the 26th February, 1977. Department of Regulation
February 26, 1977 Lateral Movement of Staff Department of Regulation
January 20, 1977 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
January 17, 1977 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
January 06, 1977 Appointment of Whole-time Officers or employees as Directors or Part-time Employees of Companies Department of Regulation
December 01, 1976 DBOD.No.Ret.BC.138/C.254-76 Department of Regulation
November 29, 1976 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
November 22, 1976 Use of Hindi in Banks – Minutes of the First Meeting of the Official Languages Implementation Committee in the Department of Banking Operations and Development, Reserve Bank of India, Bombay held on the 26th October, 1976 Department of Regulation
August 17, 1976 Progressive use of Hindi in Banks Department of Regulation
August 06, 1976 Committee of Parliament on Official Language Constituted in accordance with the Provisions of Section 4 of the Official Languages Act,1963 Department of Regulation
June 21, 1976 Acceptance of Travelling and Halting Allowances by Officers or Employees of Public Sector Banks Nominated on the Boards of Financial Institutions/Companies Department of Regulation
April 09, 1976 Credit Authorisation Scheme – Differential Rates Department of Regulation
April 01, 1976 Progressive use of Hindi in Banks Department of Regulation
March 23, 1976 Pre-shipment Credit to Sugar Mills Department of Regulation
February 20, 1976 Appointment of Whole-time Officers or Employees as Directors or Part-time Employees of Companies Department of Regulation
October 23, 1975 Export Credit Department of Regulation
October 16, 1975 Progressive use of Hindi in Banks – Discussions with the Representatives of Public Sector Banks Department of Regulation
October 01, 1975 Progressive use of Hindi in Banks – Annual Assessment Report for the Year 1974-75 Department of Regulation
July 02, 1975 Progressive Use of Hindi in Banks Department of Regulation
March 12, 1975 Progressive use of Hindi in Banks Department of Regulation
February 25, 1975 Use of Hindi in Banks – Assessment of Implementation of the Instructions Issued Reports to be submittted by the Inspecting officers of the Banks concerned Department of Regulation
February 25, 1975 Progressive Use of Hindi in Banks Department of Regulation
December 07, 1974 Translation of Statutory/Non-Statutory Documents and Procedural Literature etc. in Hindi Department of Regulation
October 11, 1974 Use of Hindi in Banks Department of Regulation
September 17, 1974 Progressive Use of Hindi in Banks Department of Regulation
February 20, 1974 Progressive Use of Hindi in Banks-Preparation of a Phased Programme for the Year 1974-75 Department of Regulation
January 12, 1974 Minutes of the 10th Meeting of the Official Languages Implementation Committee of the Department of Banking, Ministry of Finance, Government of India, New Delhi, held on the 17th November 1973 Department of Regulation
December 13, 1973 Prompt Circulation of Orders regarding Progressive Use of Hindi by the Ministries etc. Department of Regulation
November 28, 1973 Use of Hindi in Banks – Use of Hindi In Rubber Stamps, Office Seals, Letter-Heads and Envelopes Department of Regulation
October 23, 1973 Issue of Circular Letters Intended for all State Governments Both in Hindi and English Department of Regulation
October 22, 1973 Use of Hindi in Banks Department of Regulation
August 18, 1973 Use of Hindi in Bank Constitution of the Official Languages Implementation Committee in the Public Sector Banks Department of Regulation
August 01, 1973 Passing Hindi Examinations Entry in the Service Record Department of Regulation
July 27, 1973 Grant of Lumpsum Awards For Passing Hindi TypeWriting/Stenography Examinations Department of Regulation
May 31, 1973 Directive on Interest Rates on Advances Department of Regulation
January 20, 1973 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements Department of Regulation
September 02, 1972 Section 35B of the Banking Regulation Act, 1949 Department of Regulation
June 09, 1972 Acceptance of Sitting Fees by Custodians/ Officers of Nationalised Banks Nominated on the Boards of Financial Institutions/Companies Department of Regulation
November 23, 1971 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
October 07, 1971 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
July 30, 1971 Packing Credit Advances by Banks to Small Scale Industrial Units Department of Regulation
June 04, 1971 Interest Subsidy Refinance in respect of Packing Credit Advances Covered by Export Production Finance Guarantee of ECGC – Clarification Department of Regulation
April 23, 1971 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
April 16, 1971 Packing Credits and Post-shipment Credits – Interest Rate Structure Department of Regulation
March 22, 1971 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements Department of Regulation
March 22, 1971 Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements Department of Regulation
August 24, 1970 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
February 11, 1970 Export Credit Department of Regulation
November 28, 1969 DBOD.No.Ret.294/C.110-67 Department of Regulation
February 19, 1969 Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
January 27, 1969 Packing Credit Advances Department of Regulation
November 13, 1968 The Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
August 21, 1968 Appointment of Whole-Time Officers or Employees as Directors or Part-Time Employees of Companies Department of Regulation
June 15, 1968 The Export Credit (Interest Subsidy) Scheme, 1968 Department of Regulation
June 30, 1964 Section 35B of the Banking Companies Acts, 1949 Department of Regulation
November 13, 1959 Section 35B of the Banking Companies Act, 1949 Department of Regulation
March 26, 1959 Section 35B of the Banking Companies Act, 1949 Department of Regulation

***

Circulars Withdrawn by the Department of Regulation

S No.
Circular Number
Circular Name/Title
Date
1
DOR.MCS.REC.59/01.01.003/2025-26
Reserve Bank of India (Nomination Facility in Deposit Accounts, Safe Deposit Lockers and Articles kept in Safe Custody with the Banks) Directions, 2025
October 28, 2025
2
DOR.CAP.REC.No.55/21.01.002/2025-26
Reserve Bank of India (Basel III Capital Regulations – Perpetual Debt Instruments (PDI) in Additional Tier 1 Capital – Eligible Limit for Instruments Denominated in Foreign Currency/Rupee Denominated Bonds Overseas) Directions, 2025
September 29, 2025
3
DOR.CAP.REC.No.54/21.01.002/2025-26
Reserve Bank of India (Basel III Capital Regulations – Perpetual Debt Instruments (PDI) in Additional Tier 1 Capital – Eligible Limit for Instruments Denominated in Foreign Currency/Rupee Denominated Bonds Overseas) Directions, 2025
September 29, 2025
4
DOR.CAP.REC.No.53/21.01.002/2025-26
Reserve Bank of India (Basel III Capital Regulations – Perpetual Debt Instruments (PDI) in Additional Tier 1 Capital – Eligible Limit for Instruments Denominated in Foreign Currency/Rupee Denominated Bonds Overseas) Directions, 2025
September 29, 2025
5
DOR.CRE.REC.52/21.01.023/2025-26
Reserve Bank of India (Lending Against Gold and Silver Collateral) – (1st Amendment) Directions, 2025
September 29, 2025
6
DOR.CRE.REC.51/13.03.00/2025-26
Reserve Bank of India (Interest Rate on Advances) (Amendment Directions), 2025
September 29, 2025
7
DoR.MCS.REC.50/01.01.003/2025-26
Reserve Bank of India (Settlement of Claims in respect of Deceased Customers of Banks) Directions, 2025
September 26, 2025
8
DOR.MRG.REC.49/00.00.011/2025-26
Investment by State Co-operative Banks (StCBs) and Central Co-operative Banks (CCBs) in Shared Service Entity (SSE) established by NABARD
September 26, 2025
9
DOR.AML.REC.46/14.01.001/2025-26
Reserve Bank of India (Know Your Customer (KYC)) (2nd Amendment) Directions, 2025
August 14, 2025
10
DoR.MCS.REC.47/01.01.028/2025-26
Compliance with Hon’ble Supreme Court Order dated April 30, 2025 in the matter of Pragya Prasun and Ors. vs Union of India (W.P.(C) 289 of 2024) and Amar Jain vs Union of India & Ors. (W.P.(C) 49 of 2025)
August 14, 2025
11
DOR.STR.REC.45/13.07.010/2025-26
Reserve Bank of India (Non-Fund Based Credit Facilities) Directions, 2025
August 6, 2025
12
DOR.STR.REC.44/13.07.010/2025-26
Reserve Bank of India (Co-Lending Arrangements) Directions, 2025
August 6, 2025
13
DOR.STR.REC.43/21.04.048/2025-26
Reserve Bank of India (Investment in AIF) Directions, 2025
July 29, 2025
14
DOR.STR.REC.39/21.06.008/2025-26
Basel III Capital Regulations – External Credit Assessment Institutions (ECAIs) – CareEdge Global IFSC Limited
July 10, 2025
15
DoR.MCS.REC.38/01.01.001/2025-26
Reserve Bank of India (Pre-payment Charges on Loans) Directions, 2025
July 2, 2025
16
DoR.SOG (DEA Fund) No.37/30.01.002/2025-26
The Depositor Education and Awareness (DEA) Fund Scheme, 2014 – Revised Operational Guidelines
June 25, 2025
17
DOR.STR.REC.34/21.04.048/2025-26
Reserve Bank of India (Project Finance) Directions, 2025
June 19, 2025
18
DOR.SOG(LEG).REC/32/09.08.024/2025-26
Inoperative Accounts / Unclaimed Deposits in Banks – Revised Instructions (Amendment) 2025
June 12, 2025
19
DOR.AML.REC.31/14.01.001/2025-26
Updation / Periodic Updation of KYC – Revised Instructions
June 12, 2025
20
DOR.AML.REC.30/14.01.001/2025-26
Reserve Bank of India (Know Your Customer (KYC)) (Amendment) Directions, 2025
June 12, 2025
21
DOR.STR.REC.29/21.06.008/2025-26
Basel III Capital Regulations – External Credit Assessment Institution (ECAI)
June 9, 2025
22
DoR.CRE.REC.28/07.10.002/2025-26
Non-Achievement of PSL Targets – Prudential Treatment of Contribution Towards Eligible Funds with NABARD, NHB, SIDBI and MUDRA Ltd.
June 9, 2025
23
DOR.CRE.REC.27/21.01.003/2025-26
Large Exposures Framework – Amendment in the List of Exempted Exposures
June 9, 2025
24
DoR.FIN.REC.25/03.10.038/2025-26
Review of Qualifying Assets Criteria
June 6, 2025
25
DOR.CRE.REC.26/21.01.023/2025-26
Reserve Bank of India (Lending Against Gold and Silver Collateral) Directions, 2025
June 6, 2025
26
DOR.STR.REC.19/21.07.001/2025-26
Reserve Bank of India (Digital Lending) Directions, 2025
May 8, 2025
27
DoR.FIN.REC.No.45/03.10.119/2023-24
Master Direction – Reserve Bank of India (Non-Banking Financial Company – Scale Based Regulation) Directions, 2023 (Updated as on 05-05-2025)
May 5, 2025
28
DOR.FIN.HFC.CC.No.120/03.10.136/2020-21
Master Direction – Non-Banking Financial Company – Housing Finance Company (Reserve Bank) Directions, 2021 (Updated as on 05-05-2025)
May 5, 2025
29
DoR(NBFC).PD.003/03.10.119/2016-17
Master Direction – Core Investment Companies (Reserve Bank) Directions, 2016 (Updated as on 05-05-2025)
May 5, 2025
30
DoR.FIN.REC.16/26.03.001/2024-25
Master Direction – Reserve Bank of India (Asset Reconstruction Companies) Directions, 2024 (Updated as on 23-04-2025)
April 23, 2025
31
DOR.LRG.REC.18/03.10.001/2025-26
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR) – Review of Haircuts on High Quality Liquid Assets (HQLA) and Review of Composition and Run-off Rates on Certain Categories of Deposits
April 21, 2025
32
DOR.MCS.REC.17/01.01.003/2025-26
Opening of and Operation in Deposit Accounts of Minors
April 21, 2025
33
DoR.RET.REC.16/12.01.001/2025-26
Penal Interest on Shortfall in CRR and SLR Requirements – Change in Bank Rate
April 9, 2025
34
DOR.ACC.REC.No.45/21.04.018/2021-22
Master Direction on Financial Statements – Presentation and Disclosures (Updated as on 01-04-2025)
April 1, 2025
35
DOR.ACC.REC.No.46/21.04.018/2021-22
Master Direction on Financial Statements – Presentation and Disclosures (Updated as on 01-04-2025)
April 1, 2025
36
DOR.MRG.36/21.04.141/2023-24
Master Direction – Classification, Valuation and Operation of Investment Portfolio of Commercial Banks (Directions), 2023 (Updated as on 01-04-2025)
April 1, 2025
37
DOR.MRG.37/21.04.141/2023-24
Reserve Bank of India – Classification, Valuation and Operation of Investment Portfolio of Commercial Banks, Directions, 2023 (Updated as on 01-04-2025)
April 1, 2025
38
DOR.SOG(SPE).REC.8/13.03.00/2025-26
Master Direction – Reserve Bank of India (Interest Rate on Deposits) Directions, 2025
April 1, 2025
39
DOR.CAP.REC.03/09.18.201/2025-26
Master Circular – Prudential Norms on Capital Adequacy – Primary (Urban) Co-operative Banks (UCBs)
April 1, 2025
40
DOR.CAP.REC.2/21.06.201/2025-26
Master Circular – Basel III Capital Regulations
April 1, 2025
41
DoR.CRE.REC.14/07.10.002/2025-26
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
April 1, 2025
42
DOR.CRE.REC.No.05/21.04.172/2025-26
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
April 1, 2025
43
DOR.CRE.REC.No.11/07.10.002/2025-26
Master Circular – Housing Finance for UCBs
April 1, 2025
44
DOR.CRE.REC.No.12/08.12.001/2025-26
Master Circular – Housing Finance
April 1, 2025
45
DOR.CRE.REC.No.13/07.10.002/2025-26
Master Circular – Management of Advances – UCBs
April 1, 2025
46
DoR.HGG.GOV.No.1/18.10.010/2025-26
Master Circular on Board of Directors – UCBs
April 1, 2025
47
DoR.STR.REC 07/09.27.000/2025-26
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
April 1, 2025
48
DOR.STR.REC.06/13.07.010/2025-26
Master Circular – Guarantees and Co-Acceptances
April 1, 2025
49
DOR.STR.REC.10/21.04.048/2025-26
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
April 1, 2025
50
DOR.STR.REC.9/21.04.048/2025-26
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
April 1, 2025
51
DOR.STR.REC.72/21.04.048/2024-25
Revised Norms for Government Guaranteed Security Receipts (SRs)
March 29, 2025
52
DoR.AUT.REC.71/23.67.001/2024-25
Gold Monetization Scheme (GMS), 2015 – Amendment
March 25, 2025
53
DOR.CAP.REC.No.70/21.06.201/2024-25
Master Direction – Reserve Bank of India (Prudential Norms on Capital Adequacy for Regional Rural Banks) Directions, 2025
March 25, 2025
54
DOR.CAP.REC.No.68/21.01.002/2024-25
Treatment of Right-of-Use (ROU) Asset for Regulatory Capital Purposes
March 21, 2025
55
DOR.ACC.REC.No.66/21.04.018/2024-25
Reserve Bank of India (Financial Statements – Presentation and Disclosures) Directions, 2021 : Clarifications
March 20, 2025
56
DOR.ACC.REC.No.67/21.04.018/2024-25
Amortisation of Additional Pension Liability – Implementation of Pension Scheme in Regional Rural Banks with Effect from November 1, 1993 – Prudential Regulatory Treatment
March 20, 2025
57
DNBR.(PD).090/03.10.124/2017-18
Master Direction – Non-Banking Financial Company – Peer to Peer Lending Platform (Reserve Bank) Directions, 2017 (Updated as on 27-02-2025)
February 27, 2025
58
DNBR.PD.002/03.10.119/2016-17
Master Direction – Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 2016 (Updated as on 27-02-2025)
February 27, 2025
59
DOR.FIN.HFC.CC.No.120/03.10.136/2020-21
Master Direction – Non-Banking Financial Company – Housing Finance Company (Reserve Bank) Directions, 2021 (Updated as on 27-02-2025)
February 27, 2025
60
DoR.FIN.REC.No.45/03.10.119/2023-24
Master Direction – Reserve Bank of India (Non-Banking Financial Company – Scale Based Regulation) Directions, 2023 (Updated as on 27-02-2025)
February 27, 2025
61
DoR(NBFC).PD.003/03.10.119/2016-17
Master Direction – Core Investment Companies (Reserve Bank) Directions, 2016 (Updated as on 27-02-2025)
February 27, 2025
62
DOR.CRE.REC.63/21.06.001/2024-25
Review of Risk Weights on Microfinance Loans
February 25, 2025
63
DOR.STR.REC.61/21.06.001/2024-25
Exposures of Scheduled Commercial Banks (SCBs) to Non-Banking Financial Companies (NBFCs) – Review of Risk Weights
February 25, 2025
64
DOR.CRE.REC.62/07.10.002/2024-25
Review and Rationalization of Prudential Norms – UCBs
February 24, 2025
65
DOR.MRG.REC.60/00-00-017/2024-25
Reserve Bank of India (Prudential Regulations on Basel III Capital Framework, Exposure Norms, Significant Investments, Classification, Valuation and Operation of Investment Portfolio Norms and Resource Raising Norms for All India Financial Institutions) Directions, 2023 – Amendment
February 17, 2025
66
DoR.FIN.REC.40/01.02.000/2023-24
Master Direction – Reserve Bank of India (Prudential Regulations on Basel III Capital Framework, Exposure Norms, Significant Investments, Classification, Valuation and Operation of Investment Portfolio Norms and Resource Raising Norms for All India Financial Institutions) Directions, 2023 (Updated as on 17-02-2025)
February 17, 2025
67
DOR.CO.SOG(Leg)No.59/09.08.024/2024-25
All Agency Banks to Remain Open for Public on March 31, 2025 (Monday)
February 11, 2025
68
DoR.RET.REC.57/12.01.001/2024-25
Change in Bank Rate
February 7, 2025
69
DOR.FIN.REC.No.58/03.10.136/2024-25
Private Placement of Non-Convertible Debentures (NCDs) with Maturity Period of More than One Year by HFCs – Review of Guidelines
January 29, 2025
70
DoR.SIG.FIN.REC.56/26.03.001/2024-25
Guidelines on Settlement of Dues of Borrowers by ARCs
January 20, 2025
71
DoR.FIN.REC.No.55/20.16.056/2024-25
Master Direction – Reserve Bank of India (Credit Information Reporting) Directions, 2025
January 6, 2025
72
DOR.STR.REC.54/21.04.048/2024-25
Government Debt Relief Schemes (DRS)
December 31, 2024
73
DOR.No.RET.REC.32/12.01.001/2021-22
Master Direction – Reserve Bank of India [Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)] Directions – 2021 (Updated as on 16-12-2024)
December 16, 2024
74
DoR.RET.REC.52/12.01.001/2024-25
Maintenance of Cash Reserve Ratio (CRR)
December 6, 2024
75
DoR.RET.REC.53/12.01.001/2024-25
Notification on Maintenance of Cash Reserve Ratio (CRR)
December 6, 2024
76
DoR.SPE.REC.No.51/13.03.00/2024-2025
Interest Rates on Foreign Currency (Non-resident) Accounts (Banks) [FCNR(B)] Deposits
December 6, 2024
77
DBR.AML.BC.No.81/14.01.001/2015-16
Master Direction – Know Your Customer (KYC) Direction, 2016 (Updated as on 06-11-2024)
November 6, 2024
78
DOR.AML.REC.49/14.01.001/2024-25
Amendment to the Master Direction – Know Your Customer (KYC) Direction, 2016
November 6, 2024
79
DoR.FIN.REC.No.46/26.03.001/2024-25
Submission of Information to Credit Information Companies (CICs) by ARCs
October 10, 2024
80
DNBR.(PD-MGC)No.01/23.11.001/2016-17
Master Directions – Mortgage Guarantee Companies (Reserve Bank) Directions, 2016 (Updated as on 10-10-2024)
October 10, 2024
81
DNBR.PD.004/03.10.119/2016-17
Master Direction – Standalone Primary Dealers (Reserve Bank) Directions, 2016 (Updated as on 10-10-2024)
October 10, 2024
82
DoR.FIN.REC.95/03.10.038/2021-22
Master Direction – Reserve Bank of India (Regulatory Framework for Microfinance Loans) Directions, 2022 (Updated as on 10-10-2024)
October 10, 2024
83
DOR.STR.REC.45/04.02.001/2024-25
Interest Equalization Scheme (IES) on Pre and Post Shipment Rupee Export Credit
October 9, 2024
84
DOR.STR.REC.44/04.02.001/2024-25
Interest Equalization Scheme (IES) on Pre and Post Shipment Rupee Export Credit
September 20, 2024
85
DNBR.PD.009/03.10.119/2016-17
Master Direction – Non-Banking Financial Company – Account Aggregator (Reserve Bank) Directions, 2016 (Updated as on 06-09-2024)
September 6, 2024
86
DOR.STR.REC.41/04.02.001/2024-25
Interest Equalization Scheme (IES) on Pre and Post Shipment Rupee Export Credit
August 29, 2024
87
DoR.FIN.REC.35/03.10.124/2024-25
Review of Master Direction – Non-Banking Financial Company – Peer to Peer Lending Platform (Reserve Bank) Directions, 2017
August 16, 2024
88
DOR.CRE.REC.33/08.12.001/2024-25
Review of Risk Weights for Housing Finance Companies (HFCs)
August 12, 2024
89
DOR.FIN.REC.No.34/03.10.136/2024-25
Review of Regulatory Framework for HFCs and Harmonisation of Regulations Applicable to HFCs and NBFCs
August 12, 2024
90
DOR.CAP.REC.No.27/09.18.201/2024-25
Prudential Treatment of Bad and Doubtful Debt Reserve by Co-operative Banks
August 2, 2024
91
DOR.CAP.REC.No.30/09.18.201/2024-25
Guidelines on Treatment of Dividend Equalisation Fund (DEF) – Primary (Urban) Co-operative Banks (UCBs)
July 30, 2024
92
DoR.FIN.REC.No.31/20.16.003/2024-25
Master Direction on Treatment of Wilful Defaulters and Large Defaulters
July 30, 2024
93
DOR.CRE.REC.28/07.10.002/2024-25
Small Value Loans – Primary (Urban) Co-operative Banks (UCBs)
July 25, 2024
94
DOR.CRE.REC.29/07.10.002/2024-25
Bank Finance against Shares and Debentures
July 25, 2024
95
DOR.STR.REC.26/21.06.008/2024-25
Basel III Capital Regulations – Eligible Credit Rating Agencies (ECAI)
July 10, 2024
96
DoR.SPE.REC.No.24/13.03.00/2024-2025
Amendment to Master Direction – Reserve Bank of India (Interest Rate on Deposits) Directions, 2016
June 7, 2024
97
DBR.Dir.No.84/13.03.00/2015-16
Master Direction – Reserve Bank of India (Interest Rate on Deposits) Directions, 2016 (Updated as on 07-06-2024)
June 7, 2024
98
DOR.CRE.REC.22/21.03.054/2024-25
Banks’ Exposure to Capital Market – Issue of Irrevocable Payment Commitments (IPCs)
May 3, 2024
99
DOR.ORG.REC.21/14.10.001/2024-25
Guidance Note on Operational Risk Management and Operational Resilience
April 30, 2024
100
DOR.LIC.REC.20/16.13.218/2024-25
Voluntary Transition of Small Finance Banks to Universal Banks
April 26, 2024
101
DOR.CRE.REC.No.17/21.04.172/2024-25
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
April 24, 2024
102
DOR.MRG.REC.15/00.00.018/2024-25
Dealing in Rupee Interest Rate Derivative Products – Small Finance Banks
April 23, 2024
103
DoR.RET.REC.12/12.01.001/2024-25
CIMS Project Implementation – Submission of Statutory Returns (Form A, Form VIII and Form IX) on CIMS Portal
April 15, 2024
104
DOR.STR.REC.13/13.03.00/2024-25
Key Facts Statement (KFS) for Loans & Advances
April 15, 2024
105
DOR.CAP.REC.No.61/21.01.002/2021-22
Master Direction – Prudential Norms on Capital Adequacy for Local Area Banks (Directions), 2021 (Updated as on 08-04-2024)
April 8, 2024
106
DOR.CRE.REC.No.07/08.12.001/2024-25
Master Circular – Housing Finance
April 2, 2024
107
DOR.CRE.REC.No.6/07.10.002/2024-25
Master Circular – Housing Finance for UCBs
April 2, 2024
108
DOR.STR.REC.8/21.04.048/2024-25
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
April 2, 2024
109
DOR.STR.REC.9/21.04.048/2024-25
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
April 2, 2024
110
DOR.CAP.REC.4/21.06.201/2024-25
Master Circular – Basel III Capital Regulations
April 1, 2024
111
DOR.CAP.REC.5/09.18.201/2024-25
Master Circular – Prudential Norms on Capital Adequacy – Primary (Urban) Co-operative Banks (UCBs)
April 1, 2024
112
DoR.HGG.GOV.No.1/18.10.010/2024-25
Master Circular on Board of Directors – UCBs
April 1, 2024
113
DOR.STR.REC.2/13.07.010/2024-25
Master Circular – Guarantees and Co-acceptances
April 1, 2024
114
DoR.STR.REC.3/09.27.000/2024-25
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
April 1, 2024
115
DOR.STR.REC.85/21.04.048/2023-24
Investments in Alternative Investment Funds (AIFs)
March 27, 2024
116
DOR.SOG(LEG).REC/84/09.08.024/2023-24
All Agency Banks to Remain Open for Public on March 31, 2024 (Sunday)
March 20, 2024
117
DOR.RAUG.AUT.REC.No.81/24.01.041/2023-24
Amendment to the Master Direction – Credit Card and Debit Card – Issuance and Conduct Directions, 2022
March 7, 2024
118
DoR.AUT.REC.No.27/24.01.041/2022-23
Master Direction – Credit Card and Debit Card – Issuance and Conduct Directions, 2022 (Updated as on 07-03-2024)
March 7, 2024
119
DOR.MRG.REC.80/00-00-003/2022-23
Capital Adequacy Guidelines – Review of Trading Book
February 28, 2024
120
DOR.STR.REC.78/04.02.001/2023-24
Interest Equalization Scheme (IES) on Pre and Post Shipment Rupee Export Credit
February 22, 2024
121
DoR.FIN.REC.77/03.10.123/2023-24
Inclusion of Clearing Corporation of India Limited as a Financial Information Provider under Account Aggregator Framework
February 22, 2024
122
DoR.AUT.REC.74/24.01.041/2023-24
Participation of Indian Banks on India International Bullion Exchange IFSC Limited (IIBX)
February 9, 2024
123
DoR.HGG.GOV.REC.75/29.67.001/2023-24
Review of Fixed Remuneration Granted to Non-Executive Directors (NEDs)
February 9, 2024
124
DoR.REG/LIC.No.72/16.05.000/2023-24
Second Schedule to the Reserve Bank of India Act, 1934 – Norms for Inclusion
January 17, 2024
125
DoR.CRE.REC.71/07.10.002/2023-24
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
January 16, 2024
126
DOR.CRE.REC.70/21.01.003/2023-24
Credit / Investment Concentration Norms – Credit Risk Transfer
January 15, 2024
127
DOR.AML.REC.66/14.01.001/2023-24
Amendment to the Master Direction (MD) on KYC
January 4, 2024
128
DoR.SPE.REC.63/13.03.00/2023-2024
Review of Instructions on Bulk Deposits for Urban Co-operative Banks (UCBs
January 1, 2024
129
DOR.SOG.(LEG).REC/64/09.08.024/2023-24
Inoperative Accounts / Unclaimed Deposits in Banks – Revised Instructions
January 1, 2024
130
DCBR.Dir.No.1/13.01.000/2015-16
Master Direction – Reserve Bank of India (Co-operative Banks – Interest Rate on Deposits) Directions, 2016 (Updated as on 01-01-2024)
January 1, 2024
131
DOR.LRG.REC.62/03.10.001/2023-24
Basel III Framework on Liquidity Standards Net Stable Funding Ratio (NSFR) – Review of National Development Banks
December 29, 2023
132
DoR.MCS.REC.61/01.01.001/2023-24
Fair Lending Practice – Penal Charges in Loan Accounts : Extension of Timeline for Implementation of Instructions
December 29, 2023
133
DOR.STR.REC.60/21.04.048/2023-24
MHP Exemption for Transfer of Receivables
December 28, 2023
134
DOR.STR.REC.51/21.04.048/2021-22
Master Direction – Reserve Bank of India (Transfer of Loan Exposures) Directions, 2021 (Updated as on 28-12-2023)
December 28, 2023
135
DOR.STR.REC.52/21.04.048/2021-22
Master Direction – Reserve Bank of India (Transfer of Loan Exposures) Directions, 2021 (Updated as on 28-12-2023)
December 28, 2023
136
DOR.STR.REC.58/21.04.048/2023-24
Investments in Alternative Investment Funds (AIFs)
December 19, 2023
137
DOR.STR.REC.57/21.06.001/2023-24
Regulatory Measures towards Consumer Credit and Bank Credit to NBFCs
November 16, 2023
138
DoR.REG/LIC.No.54/19.51.052/2023-24
Clarification Regarding Shifting of Branches / Offices / Extension Counters within the Same City, Town or Village by District Central Co-operative Banks (DCCBs) and Guidelines on Closure of Branches and Extension Counters by DCCBs
October 30, 2023
139
DoR.REG/LIC.No.55/07.01.000/2023-24
Banking Regulation (Amendment) Act 2020 – Change in Name of Co-operative Banks
October 30, 2023
140
DoR.FIN.REC.52/03.10.123/2023-24
Review of Financial Information Provider (FIP) under Account Aggregator Framework
October 26, 2023
141
DoR.FIN.REC.53/03.10.123/2023-24
Joining the Account Aggregator Ecosystem as Financial Information User
October 26, 2023
142
DOR.SPE.REC.No.51/13.03.000/2023-24
Non-Callable Deposits – Master Direction on Interest Rate on Deposits
October 26, 2023
143
DoR.SPE.REC.50/13.03.00/2023-2024
Review of Instructions on Bulk Deposits for Regional Rural Banks (RRBs)
October 26, 2023
144
DOR.HGG.GOV.REC.46/29.67.001/2023-24
Appointment of Whole-Time Director(s)
October 25, 2023
145
DOR.AML.REC.44/14.01.001/2023-24
Amendment to the Master Direction (MD) on KYC
October 17, 2023
146
DoR.MCS.REC.38/01.01.001/2023-24
Responsible Lending Conduct – Release of Movable / Immovable Property Documents on Repayment / Settlement of Personal Loans
September 13, 2023
147
DBR.Dir.No.85/13.03.00/2015-16
Master Direction – Reserve Bank of India (Interest Rate on Advances) Directions, 2016 (Updated as on 12-09-2023)
September 12, 2023
148
DOR.RET.REC.34/12.01.001/2023-24
Reserve Bank of India Act, 1934 – Section 42(1A) – Requirement for Maintaining Additional CRR
September 8, 2023
149
DOR.RET.REC.35/12.01.001/2023-24
Notification on Reserve Bank of India Act, 1934 – Section 42(1A) – Requirement for Maintaining Additional CRR
September 8, 2023
150
DoR.MCS.REC.28/01.01.001/2023-24
Fair Lending Practice – Penal Charges in Loan Accounts
August 18, 2023
151
DOR.MCS.REC.32/01.01.003/2023-24
Reset of Floating Interest Rate on Equated Monthly Instalments (EMI) based Personal Loans
August 18, 2023
152
DOR.RET.REC.29/12.01.001/2023-24
Reserve Bank of India Act, 1934 – Section 42(1A) – Requirement for Maintaining Additional CRR
August 10, 2023
153
DOR.RET.REC.30/12.01.001/2023-24
Notification on Reserve Bank of India Act, 1934 – Section 42(1A) – Requirement for Maintaining Additional CRR
August 10, 2023
154
DOR.CRE.REC.No.27/07.10.002/2023-24
Master Circular – Management of Advances – UCBs
July 25, 2023
155
DOR.ORG.REC.22/21.06.050/2023-24
Reserve Bank of India – Master Direction on Minimum Capital Requirements for Operational Risk
June 26, 2023
156
DOR.CRE.REC.21/21.07.001/2023-24
Guidelines on Default Loss Guarantee (DLG) in Digital Lending
June 8, 2023
157
DOR.REG.No.19/07.01.000/2023-24
Rationalization of Branch Authorisation Policy for Urban Co-operative Banks (UCBs)
June 8, 2023
158
DOR.STR.REC.20/21.04.048/2023-24
Framework for Compromise Settlements and Technical Write-offs
June 8, 2023
159
DOR.CAP.REC.15/21.06.201/2023-24
Master Circular – Basel III Capital Regulations
May 12, 2023
160
DOR.STR.REC.14/21.04.048/2023-24
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
May 8, 2023
161
DOR.AML.REC.13/14.01.001/2023-24
Amendment to the Master Direction (MD) on KYC – Instructions on Wire Transfer
May 4, 2023
162
DOR.AML.REC.111/14.01.001/2023-24
Amendment to the Master Direction (MD) on KYC
April 28, 2023
163
DOR.STR.REC.12/21.04.048/2023-24
Provisioning for Standard Assets by Primary (Urban) Co-Operative Banks – Revised Norms under Four-Tiered Regulatory Framework
April 24, 2023
164
DOR.CAP.REC.11/09.18.201/2023-24
Master Circular – Prudential Norms on Capital Adequacy – Primary (Urban) Co-operative Banks (UCBs)
April 20, 2023
165
DOR.SFG.REC.10/30.01.021/2023-24
Framework for Acceptance of Green Deposits
April 11, 2023
166
DOR.CRE.REC.No.9/07.10.002/2023-24
Master Circular – Housing Finance for UCBs
April 11, 2023
167
DoS.CO.CSITEG/SEC.1/31.01.015/2023-24
Master Direction on Outsourcing of Information Technology Services
April 10, 2023
168
DOR.CRE.REC.No.06/08.12.001/2023-24
Master Circular – Housing Finance
April 3, 2023
169
DOR.CRE.REC.No.07/21.04.172/2023-24
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
April 3, 2023
170
DOR.SIG.FIN.REC 8/26.03.001/2023-24
Master Circular – Asset Reconstruction Companies
April 3, 2023
171
DOR.MRG.REC.01/00-00-011/2023-24
Master Direction – Reserve Bank of India (Classification, Valuation and Operation of Investment Portfolio of Primary (Urban) Co-operative Banks) Directions, 2023
April 1, 2023
172
DOR.MRG.REC.02/00-00-011/2023-24
Master Direction – Reserve Bank of India (Classification, Valuation and Operation of Investment Portfolio of Primary (Urban) Co-operative Banks) Directions, 2023
April 1, 2023
173
DOR.STR.REC.3/21.04.048/2023-24
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
April 1, 2023
174
DoR.STR.REC.4/09.27.000/2023-24
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
April 1, 2023
175
DOR.STR.REC.5/13.07.010/2023-24
Master Circular – Guarantees and Co-acceptances
April 1, 2023
176
DOR.CAP.REC.No.109/09.18.201/2022-23
Revised Regulatory Framework for Urban Co-operative Banks (UCBs) – Net Worth and Capital Adequacy
March 28, 2023
177
DOR.MRG.REC.102/00-00-009/2022-23
Governance, Measurement and Management of Interest Rate Risk in Banking Book
February 17, 2023
178
DOR.RET.REC.101/12.01.001/2022-23
Change in Bank Rate
February 8, 2023
179
CO.CEPD.PRS.No.S1233/13-01-018/2022-2023
Safe Deposit Locker/Safe Custody Article Facility provided by banks
January 23, 2023
180
DOR.HOL.No.95/16.13.100/2022-23
Master Direction – Reserve Bank of India (Acquisition and Holding of Shares or Voting Rights in Banking Companies) Directions, 2023
January 16, 2023
181
DOR.STR.REC.94/21.06.008/2022-23
Basel III Capital Regulations – Eligible Credit Rating Agencies
January 9, 2023
182
DNBR.(PD)090/03.10.124/2017-18
Master Directions – Non-Banking Financial Company – Peer to Peer Lending Platform (Reserve Bank) Directions, 2017 (Updated as on 29-12-2022)
December 29, 2022
183
DOR.RET.REC.88/12.01.001/2022-23
Change in Bank Rate
December 7, 2022
184
DOR.STR.REC.53/21.04.177/2021-22
Master Direction – Reserve Bank of India (Securitisation of Standard Assets) Directions, 2021 (Updated as on 05-12-2022)
December 5, 2022
185
DOR.STR.REC.54/21.04.177/2021-22
Master Direction – Reserve Bank of India (Securitisation of Standard Assets) Directions, 2021 (Updated as on 05-12-2022)
December 5, 2022
186
DOR.MRG.REC.87/00-00-020/2022-23
Operations of Subsidiaries and Branches of Indian Banks and All India Financial Institutions (AIFIs) in Foreign Jurisdictions and in International Financial Services Centers (IFSCs) – Compliance with Statutory / Regulatory Norms
December 1, 2022
187
DOR.REG.No.85/07.01.000/2022-23
Review of Norms for Classification of Urban Co-operative Banks (UCBs) as Financially Sound and Well Managed (FSWM)
December 1, 2022
188
DOR.CAP.REC.No.86/09.18.201/2022-23
Revised Regulatory Framework for Urban Co-operative Banks (UCBs) – Net Worth and Capital Adequacy
December 1, 2022
189
DOR.REG.No.84/07.01.000/2022-23
Revised Regulatory Framework – Categorization of Urban Co-operative Banks (UCBs) for Regulatory Purposes
December 1, 2022
190
DoR.FIN.REC.82/03.10.123/2022-23
Inclusion of Goods and Service Tax Network (GSTN) as a Financial Information Provider under Account Aggregator Framework
November 23, 2022
191
DOR.LRG.REC.83/03.10.001/2022-23
Basel III Framework on Liquidity Standards – Standing Deposit Facility
November 23, 2022
192
DoR.AUT.REC.81/24.01.001/2022-23
Eligibility Criteria for offering Internet Banking Facility by Regional Rural Banks, 2022@
November 1, 2022
193
DOR.SIG.FIN.REC 1/26.03.001/2022-23
Master Circular – Asset Reconstruction Companies (Updated as on 14-10-2022)
October 14, 2022
194
DOR.FIN.REC.No.72/03.10.117/2022-23
Diversification of Activities by SPDs – Review of Permissible Non-core Activities
October 11, 2022
195
DOR.FIN.REC.No.73/03.10.117/2022-23
Diversification of Activities by SPDs – Review of Permissible Non-core Activities – Prudential Regulations and Other Instructions
October 11, 2022
196
DOR.MRG.REC.76/00-00-007/2022-23
Reserve Bank of India (Unhedged Foreign Currency Exposure) Directions, 2022
October 11, 2022
197
Notification No.DOR.MRG.77/00-00-007/2022-23
Notification on Reserve Bank of India (Unhedged Foreign Currency Exposure) Directions, 2022
October 11, 2022
198
DOR.STR.REC.71/21.06.201/2022-23
Review of Prudential Norms – Risk Weights for Exposures to Corporates and NBFCs
October 10, 2022
199
DOR.RET.REC.70/12.01.001/2022-23
Change in Bank Rate
September 30, 2022
200
DOR.SOG(SPE).REC.No 68/13.03.00/2022-23
Master Directions on Interest Rate on Deposits
September 16, 2022
201
DOR.STR.REC.67/21.06.201/2022-23
Review of Prudential Norms – Risk Weights for Exposures guaranteed by Credit Guarantee Schemes (CGS)
September 7, 2022
202
DOR.CRE.REC.66/21.07.001/2022-23
Guidelines on Digital Lending
September 2, 2022
203
DOR.AUT.REC.62/22.01.001/2022-23
Section 23 of the Banking Regulation Act, 1949 – Branch Authorisation Policy – Left Wing Extremism Affected Districts – Revised List
August 22, 2022
204
DOR.ORG.REC.65/21.04.158/2022-23
Outsourcing of Financial Services – Responsibilities of Regulated Entities Employing Recovery Agents
August 12, 2022
205
DOR.MRG.REC.64/00-00-005/2022-23
Bilateral Netting of Qualified Financial Contracts – Amendments to Prudential Guidelines
August 11, 2022
206
DOR.REG.No.63/19.51.052/2022-23
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Opening of New Place of Business by District Central Co-operative Banks (DCCBs)
August 11, 2022
207
DOR.LIC.REC.60/16.13.218/2022-23
Authorised Dealer Category-I License Eligibility for Small Finance Banks
August 8, 2022
208
DOR.RET.REC.59/12.01.001/2022-23
Change in Bank Rate
August 5, 2022
209
DoR.AUT.REC.58/23.67.001/2022-23
Gold Monetization Scheme (GMS), 2015
August 4, 2022
210
DOR.CRE.REC.56/13.05.000/2022-23
Board Approved Loan Policy – Management of Advances – UCBs
July 26, 2022
211
DOR.SOG(SPE).REC.No.53/13.03.000/2022-23
Master Direction on Interest Rate on Deposits – Foreign Currency (Non-resident) Accounts (Banks) Scheme [FCNR(B)] and Non-Resident (External) Rupee (NRE) Deposit
July 6, 2022
212
DOR.STR.REC.51/21.04.048/2022-23
Provisioning Requirement for Investment in Security Receipts (SRs)
June 28, 2022
213
DOR.CRE.REC.No.49/09.22.010/2022-23
Master Circular – Housing Finance for UCBs
June 23, 2022
214
DoR.AUT.REC.No.48/24.01.041/2022-23
Extension of Timeline for Implementation of Certain Provisions of Master Direction – Credit Card and Debit Card – Issuance and Conduct Directions, 2022
June 21, 2022
215
DOR.CRE.REC.No.47/13.03.00/2022-23
Bank Finance to Government Owned Entities
June 14, 2022
216
DOR.RET.REC.44/12.01.001/2022-23
Change in Bank Rate
June 8, 2022
217
DOR.CRE.REC.43/09.22.010/2022-23
Enhancement in Individual Housing Loan Limits and Credit to Commercial Real Estate – Residential Housing (CRE-RH)
June 8, 2022
218
DOR.REG.No.45/19.51.052/2022-23
Section 23 of the Banking Regulation Act, 1949 – Doorstep Banking
June 8, 2022
219
DOR.CRE.REC.42/09.22.010/2022-23
Individual Housing Loans – Enhancement in Limits
June 8, 2022
220
DoR.AUT.REC.41/24.01.001/2022-23
Branches of Indian Banks Operating in GIFT-IFSC – Acting as Professional Clearing Member (PCM) of India International Bullion Exchange IFSC Limited (IIBX)
June 7, 2022
221
DOR.STR.REC.39/04.02.001/2022-23
Interest Equalization Scheme (IES) on Pre and Post Shipment Rupee Export Credit – Extension
May 31, 2022
222
DOR.CRE.REC.18/09.22.010/2022-23
Housing Finance – Loans for Repairs / Additions / Alterations – Enhancement of Limits
May 24, 2022
223
DOR.RET.REC.32/12.01.001/2022-23
Change in Bank Rate
May 4, 2022
224
DOR.RET.REC.34/12.01.001/2022-23
Notification on Maintenance of Cash Reserve Ratio (CRR)
May 4, 2022
225
DOR.LEG.REC.No.35/09.07.005/2022-23
ASBA Designated Branches to Remain Open for Public on May 8, 2022 (Sunday) to Facilitate Processing of Applications for LIC IPO
May 4, 2022
226
DOR.FIN.REC.No.30/03.10.001/2022-23
Review of Minimum Investment Grade Credit Ratings for Deposits of NBFCs
May 2, 2022
227
DOR.CRE.REC.28/21.04.048/2022-23
Legal Entity Identifier (LEI) for Borrowers
April 21, 2022
228
DOR.GOV.REC.No.26/18.10.004/2022-23
Creation of Honorary Designations at Board Level in Urban Co-operative Banks
April 21, 2022
229
DOR.CAP.REC.22/09.18.201/2022-23
Issue and Regulation of Share Capital and Securities – State Co-operative Banks and District Central Co-operative Banks
April 19, 2022
230
DOR.CRE.REC.23/21.08.008/2022-23
Consolidated Circular on Opening of Current Accounts and CC / OD Accounts by Banks
April 19, 2022
231
DOR.LRG.REC.19/21.04.098/2022-23
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR)
April 18, 2022
232
DOR.CRE.REC.13/08.12.015/2022-23
Individual Housing Loans – Rationalisation of Risk Weights
April 8, 2022
233
DOR.CRE.REC.No.17/13.05.000/2022-23
Master Circular – Management of Advances – UCBs
April 8, 2022
234
DOR.AUT.REC.12/22.01.001/2022-23
Establishment of Digital Banking Units (DBUs)
April 7, 2022
235
DNBR.PD.001/03.10.119/2016-17
Master Direction – Exemptions from the Provisions of RBI Act, 1934 (Updated as on 01-04-2022)
April 1, 2022
236
DOR.CAP.REC.2/09.18.201/2022-23
Master Circular – Prudential Norms on Capital Adequacy – Primary (Urban) Co-operative Banks (UCBs)
April 1, 2022
237
DOR.CAP.REC.3/21.06.201/2022-23
Master Circular – Basel III Capital Regulations
April 1, 2022
238
DOR.CRE.REC.No.06/08.12.001/2022-23
Master Circular – Housing Finance
April 1, 2022
239
DOR.CRE.REC.No.07/21.04.172/2022-23
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
April 1, 2022
240
DOR.MRG.REC.10/21.04.141/2022-23
Master Circular on Investments by Primary (Urban) Co-operative Banks
April 1, 2022
241
DOR.STR.REC.4/21.04.048/2022-23
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
April 1, 2022
242
DOR.STR.REC.5/21.04.048/2022-23
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
April 1, 2022
243
DOR.STR.REC.8/13.07.010/2022-23
Master Circular – Guarantees and Co-acceptances
April 1, 2022
244
DoR.STR.REC.9/09.27.000/2022-23
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
April 1, 2022
245
DOR.CAP.REC.No.97/21.06.201/2021-22
Bilateral Netting of Qualified Financial Contracts – Amendments to Prudential Guidelines
March 31, 2022
246
DOR.STR.REC.93/04.02.001/2021-22
Interest Equalization Scheme on Pre and Post Shipment Rupee Export Credit – Extension
March 8, 2022
247
DOR.CAP.REC.92/09.18.201/2021-22
Issue and Regulation of Share Capital and Securities – Primary (Urban) Co-operative Banks
March 8, 2022
248
DoR.RRA.88/01.01.101/2021-22
Regulations Review Authority (RRA 2.0) – Interim Recommendations – Discontinuation / Merger / Online Submission of Returns
February 18, 2022
249
DOR.CRE.REC.No.87/08.12.001/2021-22
Master Circular – Housing Finance
February 18, 2022
250
DOR.STR.REC.85/21.04.048/2021-22
Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances – Clarifications
February 15, 2022
251
DOR.SIG.FIN.REC.84/26.03.001/2021-22
Master Circular – Asset Reconstruction Companies
February 10, 2022
252
DOR.No.PRD.LRG.79/21.04.098/2021-22
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards and Net Stable Funding Ratio – Small Business Customers
January 6, 2022
253
DOR.CRE.REC.No.77/21.04.172/2021-22
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
January 5, 2022
254
DOR.AML.REC.74/14.01.001/2021-22
Periodic Updation of KYC – Restrictions on Account Operations for Non-compliance
December 30, 2021
255
DOR.CAP.REC.No.72/21.06.201/2021-22
General Permission for Infusion of Capital in Overseas Branches and Subsidiaries and Retention / Repatriation / Transfer of Profits in these Centres by Banks Incorporated in India
December 8, 2021
256
DOR.STR.REC.68/21.04.048/2021-22
Prudential norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances – Clarifications
November 12, 2021
257
DOR.SOG (SPE).REC.No 67/13.03.00/2021-22
Foreign Currency (Non-resident) Accounts (Banks) Scheme [FCNR(B)] – Master Direction on Interest Rate on Deposits
November 11, 2021
258
DOR.STR.REC.66/13.07.010/2021-22
Master Circular – Guarantees and Co-acceptances
November 9, 2021
259
DoR.STR.REC.65/09.27.000/2021-22
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
November 2, 2021
260
DOR.No.STR.REC.64/21.04.048/2021-22
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
November 1, 2021
261
DOR.CRE.REC.63/21.04.048/2021-22
Opening of Current Accounts by Banks – Need for Discipline
October 29, 2021
262
DoR.AUT.REC.62/23.67.001/2021-22
Gold Monetization Scheme (GMS), 2015
October 28, 2021
263
DOR.CRE.REC.No.60/03.10.001/2021-22
Scale Based Regulation (SBR) : A Revised Regulatory Framework for NBFCs
October 22, 2021
264
DOR.CAP.REC.No.56/21.06.201/2021-22
Basel III Capital Regulations – Perpetual Debt Instruments (PDI) in Additional Tier 1 Capital – Eligible Limit for Instruments Denominated in Foreign Currency / Rupee Denominated Bonds Overseas
October 4, 2021
265
DOR.No.STR.REC.55/21.04.048/2021-22
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
October 1, 2021
266
DOR.MRG.REC.50/21.04.141/2021-22
Master Circular on Investments by Primary (Urban) Co-operative Banks
September 20, 2021
267
DOR.AML.REC.48/14.01.001/2021-22
Application for Aadhaar e-KYC Authentication Licence
September 13, 2021
268
DOR.CRE.REC.47/21.01.003/2021-22
Large Exposures Framework – Credit Risk Mitigation (CRM)for Offsetting – Non-Centrally Cleared Derivative Transactions of Foreign Bank Branches in India with Their Head Office
September 9, 2021
269
DOR.GOV.REC.44/29.67.001/2021-22
Guidelines on Compensation of Whole Time Directors/ Chief Executive Officers/ Material Risk Takers and Control Function staff – Clarification
August 30, 2021
270
DOR.FIN.REC.No.41/03.10.136/2021-22
Notification as ‘Financial Institution’ under Section 2(1)(m)(iv) of Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 (SARFAESI Act)
August 25, 2021
271
DOR.LEG.REC/40/09.07.005/2021-22
Safe Deposit Locker / Safe Custody Article Facility Provided by the Banks – Revised Instructions
August 18, 2021
272
DBR.FSD.No.101/24.01.041/2015-16
Master Direction – Reserve Bank of India (Financial Services Provided by Banks) Directions, 2016 (Updated as on 10-08-2021)
August 10, 2021
273
DOR.DIR.REC.37/04.02.002/2021-22
Export Credit in Foreign Currency – Benchmark Rate
August 6, 2021
274
DOR.MRG.39/21.04.157/2021-22
Prudential Norms for Off-Balance Sheet Exposures of Banks – Restructuring of Derivative Contracts
August 6, 2021
275
DOR.STR.REC.38/21.04.048/2021-22
Resolution Framework for COVID-19-related Stress – Financial Parameters – Revised Timelines for Compliance
August 6, 2021
276
DOR.CRE.REC.35/21.04.048/2021-22
Guidelines for Implementation of the Circular on Opening of Current Accounts by Banks
August 4, 2021
277
DOR.FIN.REC.No.34/03.10.136/2021-22
Rating of Deposits of HFCs – Approved Credit Rating Agencies and Minimum Investment Grade Credit Rating
July 29, 2021
278
DOR.CRE.REC.No.33/13.03.00/2021-22
Loans and Advances – Regulatory Restrictions
July 23, 2021
279
DoR.ORG.REC.31/21.06.017/2021-22
Mandatory Leave for Employees Posted in Sensitive Positions or Areas of Operation
July 9, 2021
280
DoR.SPE.REC.29/13.03.00/2021-2022
Review of Instructions on Interest on Overdue Domestic Deposits
July 2, 2021
281
DOR.CRE(DIR).REC.28/04.02.001/2021-22
Interest Equalization Scheme on Pre and Post Shipment Rupee Export Credit – Extension
July 1, 2021
282
DOR.ORG.REC.27/21.04.158/2021-22
Guidelines for Managing Risk in Outsourcing of Financial Services by Co-operative Banks
June 28, 2021
283
DOR.CRE(DIR).REC.26/21.04.103/2021-22
Appointment of Chief Risk Officer in Primary (Urban) Co-operative Banks
June 25, 2021
284
DOR.CRE(DIR).REC.24/23.67.001/2021-22
Gold (Metal) Loans – Repayment
June 23, 2021
285
DoR.RET.REC.19/12.05.009/2021-22
Submission of Returns under Section 31 of the Banking Regulation Act, 1949 (AACS) – Extension of Time
June 4, 2021
286
DOR.STR.REC.20/21.04.048/2021-22
Resolution Framework – 2.0 : Resolution of Covid-19 Related Stress of Individuals and Small Businesses – Revision in the Threshold for Aggregate Exposure
June 4, 2021
287
DOR.STR.REC.21/21.04.048/2021-22
Resolution Framework – 2.0 : Resolution of Covid-19 Related Stress of Micro, Small and Medium Enterprises (MSMEs) – Revision in the Threshold for Aggregate Exposure
June 4, 2021
288
DOR. AML.REC 18/14.01.001/2021-22
Customer Due Diligence for Transactions in Virtual Currencies (VC)
May 31, 2021
289
DOR.RUR.REC.No.17/19.51.007/2021-22
Amalgamation of District Central Co-operative Banks (DCCBs) with the State Co-operative Bank (StCB) – Guidelines
May 24, 2021
290
DoR.DEA.REC.No.16/30.01.002/2021-22
Banking Regulation Act, 1949 – Section 26A Depositor Education and Awareness Fund Scheme, 2014 – Interest Rates Payable on Unclaimed Interest Bearing Deposit
May 11, 2021
291
DOR.AML.REC.No.15/14.01.001/2021-22
Amendment to the Master Direction (MD) on KYC
May 10, 2021
292
DOR.AML.REC13/14.01.001/2021-22
Periodic Updation of KYC – Restrictions on Account Operations for Non-Compliance
May 5, 2021
293
DOR.STR.REC.10/21.04.048/2021-22
Utilisation of Floating Provisions / Counter Cyclical Provisioning Buffer
May 5, 2021
294
DOR.STR.REC.11/21.04.048/2021-22
Resolution Framework – 2.0 : Resolution of Covid-19 Related Stress of Individuals and Small Businesses
May 5, 2021
295
DOR.STR.REC.12/21.04.048/2021-22
Resolution Framework 2.0 – Resolution of Covid-19 Related Stress of Micro, Small and Medium Enterprises (MSMEs)
May 5, 2021
296
DOR.GOV.REC.8/29.67.001/2021-22
Corporate Governance in Banks – Appointment of Directors and Constitution of Committees of the Board
April 26, 2021
297
DOR.ACC.REC.7/21.02.067/2021-22
Declaration of Dividends by Banks
April 22, 2021
298
DOR.CRE.REC.06/04.02.001/2021-22
Interest Equalization Scheme on Pre and Post Shipment Rupee Export Credit – Extension
April 12, 2021
299
DoR.LIC.REC.5/16.13.218/2021-22
Enhancement of Limit of Maximum Balance Per Customer at End of the Day from Rs.1 Lakh to Rs.2 Lakh – Payments Banks (PBs)
April 8, 2021
300
DOR.STR.REC.4/21.04.048/2021-22
Asset Classification and Income Recognition Following the Expiry of Covid-19 Regulatory Package
April 7, 2021
301
DoR.AUT.REC.2/23.67.001/2021-22
Gold Monetization Scheme (GMS), 2015
April 5, 2021
302
DOR.AML.BC.No.1/14.01.001/2021-22
Amendment to Master Direction (MD) on KYC – KYC Norms for Self Help Groups (SHGs)
April 1, 2021
303
DOR.CAP.51/21.06.201/2020-21
Bilateral Netting of Qualified Financial Contracts – Amendments to Prudential Guidelines
March 30, 2021
304
DOR.No.CRE.BC.47/21.01.003/2020-21
Large Exposures Framework – Deferment of Applicability of Limits on Non-Centrally Cleared Derivatives Exposures
March 23, 2021
305
DOR.MAM.No.49/09.16.901/2020-21
Master Direction – Amalgamation of Urban Cooperative Banks, Directions, 2020
March 23, 2021
306
DOR.AML.REC.48/14.01.001/2020-21
Amendment to Master Direction (MD) on KYC – Procedure for Implementation of Section 51A of the Unlawful Activities (Prevention) Act, 1967
March 23, 2021
307
DOR.No.CRE.BC.45/21.01.003/2020-21
Large Exposures Framework – Exemptions
February 24, 2021
308
DOR.CO.LIC.CC No.119/03.10.001/2020-21
Investment in NBFCs from FATF Non-Compliant Jurisdictions
February 12, 2021
309
DOR.No.Ret.BC.38/12.01.001/2020-21
Notification on Maintenance of Cash Reserve Ratio (CRR)
February 5, 2021
310
DOR.No.LRG.BC.40/21.04.098/2020-21
Basel III Framework on Liquidity Standards – Net Stable Funding Ratio (NSFR)
February 5, 2021
311
DOR.CAP.BC.No.34/21.06.201/2020-21
Basel III Capital Regulations – Review of Transitional Arrangements
February 5, 2021
312
DOR.CRG.CRS.Cir.No.5/13.05.000/2020-21
Loans and Advances to Directors, their Relatives, and Firms / Concerns in which they are Interested
February 5, 2021
313
DOR.No.CRE.BC.33/21.06.007/2020-21
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Eligible Credit Rating Agencies – CRISIL Ratings Limited
January 27, 2021
314
DOR.AML.BC.No.31/14.01.001/2020-21
Amendment to Master Direction (MD) on KYC – Centralized KYC Registry – Roll out of Legal Entity Template & other Changes
December 18, 2020
315
DOR.No.BP.BC.30/21.04.048/2020-21
Opening of Current Accounts by Banks – Need for Discipline
December 14, 2020
316
DOR.BP.BC.No.29/21.02.067/2020-21
Declaration of Dividends by Banks
December 4, 2020
317
DOR.RRB.No.28/31.01.001/2020-21
Introduction of Liquidity Adjustment Facility (LAF) and Marginal Standing Facility (MSF) for Regional Rural Banks (RRBs)
December 4, 2020
318
DoR(NBFC).PD.001/03.10.119/2016-17
Master Direction – Exemptions from the provisions of RBI Act, 1934
November 24, 2020
319
DOR.No.BP.BC.27/21.04.048/2020-21
Opening of Current Accounts by Banks – Need for Discipline
November 2, 2020
320
DOR.No.BP.BC.26/21.04.048/2020-21
Scheme for Grant of Ex-gratia Payment of Difference Between Compound Interest and Simple Interest for Six Months to Borrowers in Specified Loan Accounts (1.3.2020 to 31.8.2020)
October 26, 2020
321
DOR.No.BP.BC.24/08.12.015/2020-21
Individual Housing Loans – Rationalisation of Risk Weights
October 16, 2020
322
DoR(PCB).BPD.Cir.No.4/12.05.001/2020-21
Submission of Returns Under Section 31 (Read with Section 56) of the Banking Regulation Act, 1949 – Extension of Time
October 13, 2020
323
DOR.No.BP.BC.23/21.06.201/2020-21
Regulatory Retail Portfolio – Revised Limit for Risk Weight
October 12, 2020
324
DOR.BP.BC.No.16/21.04.098/2020-21
Basel III Framework on Liquidity Standards – Net Stable Funding Ratio (NSFR)
September 29, 2020
325
DOR.BP.BC.No.15/21.06.201/2020-21
Basel III Capital Regulations – Review of Transitional Arrangements
September 29, 2020
326
DoS.CO.PPG./SEC.03/11.01.005/2020-21
Automation of Income Recognition, Asset Classification and Provisioning processes in banks
September 14, 2020
327
DOR.No.BP.BC/13/21.04.048/2020-21
Resolution Framework for COVID-19-related Stress – Financial Parameters
September 7, 2020
328
DoR(PCB).BPD.Cir.No.2/12.05.001/2020-21
Submission of Returns under Section 31 of the Banking Regulation Act, 1949 (AACS) – Extension of Time
August 26, 2020
329
DoR(NBFC)(PD)CC.No.117/03.10.001/2020-21
Review of Guidelines for Core Investment Companies
August 13, 2020
330
DoR(PCB).BPD.Cir.No.1/13.05.001/2020-21
System-Based Asset Classification – UCBs
August 12, 2020
331
DOR.No.BP.BC/3/21.04.048/2020-21
Resolution Framework for COVID-19 – Related Stress
August 6, 2020
332
DOR.No.BP.BC/4/21.04.048/2020-21
Micro, Small and Medium Enterprises (MSME) Sector – Restructuring of Advances
August 6, 2020
333
DOR.No.BP.BC/5/21.04.201/2020-21
Basel III Capital Regulations – Treatment of Debt Mutual Funds / ETFs
August 6, 2020
334
DOR.No.BP.BC/7/21.04.048/2020-21
Opening of Current Accounts by Banks – Need for Discipline
August 6, 2020
335
DOR(NBFC).CC.PD.No.116/22.10.106/2020-21
Implementation of Indian Accounting Standards
July 24, 2020
336
DOR(NBFC).CC.PD.No.115/03.10.001/2020-21
Exemption from Registration as NBFC – Alternative Investment Fund (AIF)
July 10, 2020
337
DoR(NBFC)(PD)CC.No.114/03.10.001/2020-21
Extension of Timeline for Finalization of Audited Accounts
July 6, 2020
338
DoR.(NBFC).(PD).CC.No.113/03.10.001/2020-21
Special Liquidity Scheme for NBFCs / HFCs
July 1, 2020
339
DoR.BP.BC.No.01/21.04.048/2020-21
Distressed Assets Fund – Subordinate Debt for Stressed ssMSMEs
July 1, 2020
340
DoR.BP.BC.No.76/21.06.201/2019-20
Assignment of Risk Weights on Credit Facilities (Guaranteed Emergency Credit Line) under the Emergency Credit Line Guarantee Scheme
June 21, 2020
341
DBR.Appt.No:9/29.67.001/2019-20
Master Direction – Reserve Bank of India (‘Fit and Proper’ Criteria for Elected Directors on the Boards of PSBs) Directions, 2019 (Updated as on 03-06-2020)
June 3, 2020
342
DOR.DIR.BC.No.73/04.02.002/2019-20
Pre-Shipment and Post-Shipment Export Credit – Extension of Period of Advance
May 23, 2020
343
DOR.No.BP.BC.70/21.01.003/2019-20
Large Exposures Framework – Increase in Exposure to a Group of Connected Counterparties
May 23, 2020
344
DOR.No.BP.BC.71/21.04.048/2019-20
COVID-19 – Regulatory Package
May 23, 2020
345
DOR.No.BP.BC.72/21.04.048/2019-20
COVID19 Regulatory Package – Review of Resolution Timelines under the Prudential Framework on Resolution of Stressed Assets
May 23, 2020
346
DOR.No.Ret.BC.74/12.01.001/2019-20
Change in Bank Rate
May 22, 2020
347
DOR.Dir.BC.No.69/04.02.001/2019-20
Interest Equalisation Scheme on Pre and Post Shipment Rupee Export Credit – Extension
May 13, 2020
348
DOR.BP.BC.No.68/21.04.018/2019-20
Submission of Regulatory Returns – Extension of Timelines
April 29, 2020
349
DOR.AML.BC.No.66/14.01.001/2019-20
Internal ML / TF Risk Assessment by REs – Amendment to Master Direction (MD) on KYC
April 20, 2020
350
DOR.BP.BC.No.64/21.02.067/2019-20
Declaration of Dividends by Banks (Revised)
April 17, 2020
351
DOR.BP.BC.No.65/21.04.098/2019-20
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR)
April 17, 2020
352
DOR.No.BP.BC.62/21.04.048/2020-21
COVID19 Regulatory Package – Review of Resolution Timelines under the Prudential Framework on Resolution of Stressed Assets
April 17, 2020
353
DOR.No.BP.BC.63/21.04.048/2019-20
COVID19 Regulatory Package – Asset Classification and Provisioning
April 17, 2020
354
DOR.AML.BC.No.61/14.01.001/2019-20
Amendment to Master Direction (MD) on KYC
April 1, 2020
355
DoR.Appt.No.58/29.67.001/2019-20
Appointment of Managing Director and Chief Executive Officer (MD & CEO) / CEO / Part-Time Chairperson (PTC) in Banks – ‘Declaration and Undertaking’ and Allied Matters
March 31, 2020
356
DOR.CO.Leg.BC.No.59/09.07.005/2019-20
Doorstep Banking Services for Senior Citizens and Differently Abled Persons
March 31, 2020
357
DOR.NBD.No.44/16.13.218/2019-20
Guidelines for Licensing of Small Finance Banks in Private Sector’ Dated November 27, 2014 – Modifications to Existing Norms
March 28, 2020
358
DOR.No.Ret.BC.50/12.01.001/2019-20
Notification on Maintenance of Cash Reserve Ratio (CRR)
March 27, 2020
359
DOR.No.Ret.BC.53/12.01.001/2019-20
Change in Bank Rate
March 27, 2020
360
DOR.BP.BC.No.46/21.04.098/2019-20
Basel III Framework on Liquidity Standards – Net Stable Funding Ratio (NSFR)
March 27, 2020
361
DOR.No.BP.BC.47/21.04.048/2019-20
COVID-19 – Regulatory Package
March 27, 2020
362
DOR.BP.BC.No.45/21.06.201/2019-20
Basel III Capital Regulations- Review of Transitional Arrangements
March 27, 2020
363
DOR.No.BP.BC.43/21.01.003/2019-20
Large Exposures Framework
March 23, 2020
364
DOR.No.BP.BC.41/08.12.014/2019-20
Issue of Long Term Bonds by Banks – Financing of Infrastructure and Affordable Housing
March 17, 2020
365
DOR (NBFC).CC.PD.No.109/22.10.106/2019-20
Implementation of Indian Accounting Standards
March 13, 2020
366
DOR(PCB).BPD.CirNo.10/13.05.000/2019-20
Limits on Exposure to Single and Group Borrowers / Parties and Large Exposures and Revision in the Target for Priority Sector Lending – UCBs
March 13, 2020
367
DOR.DIR.BC.No.39/13.03.00/2019-20
External Benchmark Based Lending
February 26, 2020
368
Master Direction DBR.Dir.No.85/13.03.00/2015-16
Reserve Bank of India (Interest Rate on Advances) Directions, 2016 (Updated as on 26-02-2020)
February 26, 2020
369
DOR.No.BP.BC.34/21.04.048/2019-20
Micro, Small and Medium Enterprises (MSME) Sector – Restructuring of Advances
February 11, 2020
370
DOR.RRB.BL.BC.No.31/31.01.001/2019-20
Guidelines on Merchant Acquiring Business – Regional Rural Banks
February 6, 2020
371
DOR.IBD.BC.14570/23.13.004/2014-15
Setting up of IFSC Banking Units (IBUs) (Updated as on 21-01-2020)
January 21, 2020
372
DOR.IBD.BC.No.28/23.13.004/2019-20
Setting Up of IFSC Banking Units (IBUs) – Permissible Activities
January 21, 2020
373
DOR.AML.BC.No.27/14.01.001/2019-20
Amendment to Master Direction (MD) on KYC
January 9, 2020
374
DOR.NBFC.(PD)CC.No.107/03.10.001/2019-20
Extension of Relaxation on the Guidelines to NBFCs on Securitisation Transactions
December 31, 2019
375
DoR (PCB).BPD.Cir.No.8/12.05.002/2019-20
Constitution of Board of Management (BoM) in Primary (Urban) Co-operative Banks (UCBs)
December 31, 2019
376
DOR.(PCB).BPD.Cir.No.7/13.05.000/2019-20
Reporting of Large Exposures to Central Repository of Information on Large Credits (CRILC) – UCBs
December 27, 2019
377
DOR.NBFC(PD)CC.No.106/03.10.124/2019-20
Review of Master Directions – Non-Banking Financial Company – Peer to Peer Lending Platform (Reserve Bank) Directions, 2017
December 23, 2019
378
DBR.IBD.BC.14570/23.13.004/2014-15
Setting up of IFSC Banking Units (IBUs) (Updated as on 23-12-2019)
December 23, 2019
379
DOR.IBD.BC.26/23.13.004/2019-20
Setting Up of IFSC Banking Units (IBUs) – Permissible Activities
December 23, 2019
380
DNBR.PD.003/03.10.119/2016-17
Master Direction – Core Investment Companies (Reserve Bank) Directions, 2016 (Updated as on 22-11-2019)
November 22, 2019
381
DOR.NBFC.(PD).CC.No.105/03.10.136/2019-20
Withdrawal of Exemptions Granted to Housing Finance Institutions
November 11, 2019
382
DOR.Appt.BC.No.23/29.67.001/2019-20
Guidelines on Compensation of Whole Time Directors / Chief Executive Officers / Material Risk Takers and Control Function staff
November 4, 2019
383
DBR.No.BP.BC.20/08.12.014/2019-20
Lending by Banks to InvITs
October 14, 2019
384
DCBR.BPD.(PCB/RCB).Cir.No.04/07.01.000/2019-20
Revision in Proforma and Reporting of Bank / Branch Details under the Central Information System for Banking Infrastructure (CISBI)
October 11, 2019
385
DBR.No.Ret.BC.19/12.01.001/2019-20
Change in Bank Rate
October 4, 2019
386
DBR.No.BP.BC.17/21.06.001/2019-20
Risk Weight for Consumer Credit Except Credit Card Receivables
September 12, 2019
387
DBR.No.BP.BC.18/21.01.003/2019-20
Large Exposures Framework
September 12, 2019
388
DBR.DIR.BC.No.14/13.03.00/2019-20
External Benchmark Based Lending
September 4, 2019
389
DBR.IBD.BC.No.13/23.67.001/2019-20
Gold Monetisation Scheme, 2015
August 16, 2019
390
Master Direction No.DBR.IBD.No.45/23.67.003/2015-16
Gold Monetization Scheme, 2015 (Updated as on 16-08-2019)
August 16, 2019
391
Master Direction DBR.AML.BC.No.81/14.01.001/2015-16
Master Direction – Know Your Customer (KYC) Direction, 2016 (Updated as on 09-08-2019)
August 9, 2019
392
DBR.AML.BC.No.11/14.01.001/2019-20
Amendment to Master Direction (MD) on KYC
August 9, 2019
393
DBR.No.Ret.BC.10/12.01.001/2019-20
Change in Bank Rate
August 7, 2019
394
DCBR.BPD(PCB/RCB).Cir.No.02/13.01.000/2019-20
Financial Inclusion – Access to Banking Services – Basic Savings Bank Deposit Account (BSBDA)
August 2, 2019
395
DBR.BP.BC.No.2/21.04.098/2019-20
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), FALLCR against credit disbursed to NBFCs and HFCs
July 5, 2019
396
DBR.No.BAPD.BC.50/22.01.001/2018-19
Revision in Proforma and Reporting of Bank / Banking Outlet (BO)Details under the Central Information System for Banking Infrastructure (CISBI)
June 28, 2019
397
DBR.BP.BC.No.49/21.06.201/2018-19
Basel III Capital Regulations – Implementation of Leverage Ratio
June 28, 2019
398
DBR.Dir.BC.No.48/04.02.002/2018-19
Gold Card Scheme for Exporters
June 27, 2019
399
DBR.LEG.BC.No.47/09.07.005/2018-19
Financial Inclusion- Access to Banking Services – Basic Savings Bank Deposit Account (BSBDA)
June 10, 2019
400
DBR.No.BP.BC.45/21.04.048/2018-19
Prudential Framework for Resolution of Stressed Assets
June 7, 2019
401
DBR.No.Ret.BC.44/12.01.001/2018-19
Change in Bank Rate
June 6, 2019
402
DBR.No.BP.BC.43/21.01.003/2018-19
Large Exposures Framework
June 3, 2019
403
DBR.RRB.BL.BC.No.40/31.01.002/2018-19
Rationalisation of Branch Authorisation Policy – Revision of Guidelines
May 31, 2019
404
DNBR(PD)CC.No.100/03.10.001/2018-19
Extension of Relaxation on the Guidelines to NBFCs on Securitisation Transactions
May 29, 2019
405
DBR.AML.BC.No.39/14.01.001/2018-19
Amendment to Master Direction (MD) on KYC
May 29, 2019
406
DBR.BP.BC.No.38/21.04.048/2018-19
Disclosure on Exposure to Infrastructure Leasing & Financial Services Limited (ILFS) and its Group Entities
May 8, 2019
407
DBR.No.Ret.BC.33/12.01.001/2018-19
Change in Bank Rate
April 4, 2019
408
DBR.BP.BC.No.34/21.04.098/2018-19
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR) Liquidity Risk Monitoring Tools and LCR Disclosure Standards
April 4, 2019
409
DBR.No.BP.BC.31/21.01.003/2018-19
Large Exposures Framework (LEF)
April 1, 2019
410
DBR.No.Leg.BC.30/09.07.005/2018-19
All Agency Banks to Remain Open for Public on March 31, 2019 (Sunday)
March 26, 2019
411
DBR.BP.BC.No.29/21.07.001/2018-19
Deferral of Implementation of Indian Accounting Standards (Ind AS)
March 22, 2019
412
DBR.DIR.BC.No.27/13.03.00/2018-19
Review of Instructions on Bulk Deposit (Amended)
February 22, 2019
413
DBR.No.BP.BC.26/21.04.048/2018-19
Micro, Small and Medium Enterprises (MSME) Sector – Restructuring of Advances
February 22, 2019
414
DBR.BP.BC.No.25/21.06.001/2018-19
Risk Weights for Exposures to NBFCs
February 22, 2019
415
DBR.Dir No.84/13.03.00/2015-16
Master Direction – Reserve Bank of India (Interest Rate on Deposits) Directions, 2016 (Updated as on 22-02-2019)
February 22, 2019
416
DBR.No.Ret.BC.23/12.01.001/2018-19
Change in Bank Rate
February 7, 2019
417
DBR.Dir.BC.No.22/04.02.001/2018-19
Interest Equalisation Scheme on Pre and Post Shipment Rupee Export Credit
January 11, 2019
418
DBR.BP.BC.No.20/21.06.201/2018-19
Basel III Capital Regulations – Review of Transitional Arrangements
January 10, 2019
419
DBR.IBD.BC.19/23.67.001/2018-19
Gold Monetization Scheme, 2015
January 9, 2019
420
DBR.No.BP.BC.18/21.04.048/2018-19
Micro, Small and Medium Enterprises (MSME) Sector – Restructuring of Advances
January 1, 2019
421
DBR.BP.BC.No.17/21.04.098/2018-19
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), FALLCR against Credit Disbursed to NBFCs and HFCs
December 28, 2018
422
DBR.Leg.No.BC.15/09.08.020/2018-19
Filing of Security Interest Relating to Immovable (other than Equitable Mortgage), Movable and Intangible Assets in CERSAI
December 27, 2018
423
DBR.BP.BC.No.12/21.04.048/2018-19
Guidelines on Loan System for Delivery of Bank Credit
December 5, 2018
424
Mail Box Clarification
Relaxation on the Guidelines to NBFCs on Securitisation Transactions
November 30, 2018
425
DNBR(PD)CC.No.95/03.10.001/2018-19
Relaxation on the Guidelines to NBFCs on Securitisation Transactions
November 29, 2018
426
DBR.BP.BC.No.08/21.04.098/2018-19
Basel III Framework on Liquidity Standards – Net Stable Funding Ratio (NSFR) – Final Guidelines
November 29, 2018
427
DBR.Dir.BC.No.09/04.02.001/2018-19
Interest Equalisation Scheme on Pre and Post Shipment Rupee Export Credit
November 29, 2018
428
DBR.BP.BC.No.7/21.04.142/2018-19
Partial Credit Enhancement to Bonds Issued by Non-Banking Financial Companies and Housing Finance Companies
November 2, 2018
429
DBR.BP.BC.No.05/21.04.098/2018-19
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), FALLCR Against Credit Disbursed to NBFCs and HFCs
October 19, 2018
430
DBR.BP.BC.No.4/21.04.098/2018-19
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
September 27, 2018
431
DCBR.CO.LS.PCB.Cir.No.5/07.01.000/2018-19
Voluntary Transition of Primary (Urban) Co-operative Banks (UCBs) into Small Finance Banks (SFBs)
September 27, 2018
432
DCBR.BPD.(PCB/RCB).Cir.No.3/16.27.000/2018-19
Introduction of Liquidity Adjustment Facility (LAF) and Marginal Standing Facility (MSF) for Scheduled Co-operative Banks
August 16, 2018
433
DBR.Ret.BC.No.01/12.01.001/2018-19
Maintenance of CRR / SLR on Foreign Currency Assets / Liabilities- Reference Rate for INR / USD and Exchange Rate of Other Major Currencies
August 2, 2018
434
DBR.No.Ret.BC.03/12.01.001/2018-19
Change in Bank Rate
August 1, 2018
435
DBR.BP.BC.No.002/21.04.141/2018-19
Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks – Valuation of State Development Loans
July 27, 2018
436
DNBR(PD)CC.No.094/03.10.001/2018-19
Diversification of Activities of Standalone Primary Dealers – Foreign Exchange Business
July 27, 2018
437
DBR.AML.BC.No.210/14.01.001/2018-19
Incorporation of Name of the Purchaser on the Face of the Demand Draft
July 12, 2018
438
DCBR.BPD.(PCB/RCB)Cir.No.1/16.20.000/2018-19
Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks – Spreading of MTM Losses and Creation of Investment Fluctuation Reserve (IFR) by Co-operative Banks
July 6, 2018
439
Mail Box Clarification
Customer Protection – Limiting Liability of Customers in Unauthorised Electronic Banking Transactions
June 20, 2018
440
DBR.BP.BC.No.114/21.04.098/2017-18
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
June 15, 2018
441
DBR.No.BAPD.BC.111/22.01.001/2017-18
Section 23 of the Banking Regulation Act, 1949 – Branch Authorisation Policy – Left Wing Extremism Affected Districts – Revised List
June 14, 2018
442
DBR.IBD.BC.109/23.67.001/2017-18
Gold Monetization Scheme, 2015
June 7, 2018
443
DBR.DEA Fund Cell.BCNo.110/30.01.002/2017-18
Banking Regulation Act, 1949 – Section 26A Depositor Education and Awareness Fund Scheme, 2014 – Operational Guidelines – Payment of Interest
June 7, 2018
444
DNBR(PD)CC.No.093/03.10.001/2017-18
Investment in the Units of an Infrastructure Investment Trust (InvIT) by sponsor CIC-NDSI
June 7, 2018
445
DBR.No.Ret.BC.107/12.01.001/2017-18
Change in Bank Rate
June 6, 2018
446
DBR.No.BP.BC.108/21.04.048/2017-18
Encouraging Formalisation of MSME Sector
June 6, 2018
447
DBR.BP.BC.No.106/21.04.098/2017-18
Basel III Framework on Liquidity Standards – Net Stable Funding Ratio (NSFR) – Final Guidelines
May 17, 2018
448
DBR.IBD.BC.105/23.13.004/2017-18
Setting up of IFSC Banking Units (IBUs) – Permissible Activities
May 17, 2018
449
DCBR.BPD.(PCB).Cir.No.07/09.09.002/2017-18
Revised Guidelines on Lending to Priority Sector for Primary (Urban) Co-operative Banks (UCBs)
May 10, 2018
450
Mail Box Clarification
Guidelines for Computing Exposure for Counterparty Credit Risk Arising from Derivative Transactions and Guidelines on Capital Requirements for Banks’ Exposure to Central Counterparties
April 2, 2018
451
DBR.No.BP.BC.100/21.04.048/2017-18
Relief for MSME Borrowers Registered under Goods and Services Tax (GST)
February 7, 2018
452
Mail Box Clarification
Review of Prudential Norms – Risk Weights for Exposures to Corporates, AFCs and NBFC-IFCs
December 29, 2017
453
DBR.No.Leg.BC.98/09.08.019/2017-18
Submission of Financial Information to Information Utilities
December 19, 2017
454
DCBR.BPD.(PCB/RCB).Cir.No.06/12.05.001/2017-18
Customer Protection – Limiting Liability of Customers of Co-operative Banks in Unauthorised Electronic Banking Transactions
December 14, 2017
455
Mail Box Clarification
Mailbox Clarification on SLR Treatment of Balances in Settlement Guarantee Fund (SGF) of CCIL
November 30, 2017
456
DBR.No.Leg.BC.96/09.07.005/2017-18
Statement on Developmental and Regulatory Policies – October 4, 2017 – Banking Facility for Senior Citizens and Differently abled Persons
November 9, 2017
457
DNBR(PD)090/03.10.124/2017-18
Master Directions – Non-Banking Financial Company – Peer to Peer Lending Platform (Reserve Bank) Directions, 2017 (Updated as on 09-11-2017)
November 9, 2017
458
DBR.No.BP.BC.92/21.04.048/2017-18
Introduction of Legal Entity Identifier for Large Corporate Borrowers
November 2, 2017
459
Mail Box Clarification
Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of SLR and Holdings of SLR in HTM Category
October 13, 2017
460
DBR.No.Ret.BC.90/12.02.001/2017-18
Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of SLR and Holdings of SLR in HTM Category
October 4, 2017
461
DBR.No.Ret.BC.91/12.02.001/2017-18
Notification on Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of SLR and Holdings of SLR in HTM Category
October 4, 2017
462
Mail Box Clarification
Review of Prudential Norms – Risk Weights for Exposures to Corporates, AFCs and NBFC-IFCs
October 4, 2017
463
DNBR.PD).090/03.10.124/2017-18
Master Directions – Non-Banking Financial Company – Peer to Peer Lending Platform (Reserve Bank) Directions, 2017
October 4, 2017
464
DBR.No.FSD.BC.89/24.01.040/2017-18
Amendments to Master Direction – Reserve Bank of India (Financial Services Provided by Banks) Directions, 2016
September 25, 2017
465
Master Direction/DBR.FSD.No.101/24.01.041/2015-16
Master Direction – Reserve Bank of India (Financial Services provided by Banks) Directions, 2016 (Updated as on 25-09-2017)
September 25, 2017
466
DO.DBR.BP.No.2535/21.07.001/2017-18
Implementation of Indian Accounting Standards (Ind AS) – Submission of Proforma Ind AS Financial Statements by Banks
September 13, 2017
467
DNBR(PD).CC.No.89/03.10.001/2017-18
Eligible Credit Rating Agencies – Rating of Fixed Deposits by Infomerics Valuation and Rating Private Limited (IVRPL)
August 14, 2017
468
DNBR(PD)CC.No.088/03.10.001/2017-18
Appointment of Nominated Counsel in the Hon’ble High Court of Delhi at New Delhi- Compliance of the Order dated 21.07.2017
August 14, 2017
469
DBR.No.Ret.BC.82/12.01.001/2017-18
Change in Bank Rate
August 2, 2017
470
DBR.BP.BC.No.81/21.04.098/2017-18
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standard
August 2, 2017
471
Mail Box Clarification
Review of Prudential Norms – Risk Weights for Exposures to Corporates, AFCs and NBFC-IFCs
July 24, 2017
472
DCBR.BPD.(PCB/RCB).Cir.No.02/12.05.001/2017-18
Recording of Details of Transactions in Passbook / Statement of Account by Co-operative Banks
July 13, 2017
473
DBR.No.Leg.BC.78/09.07.005/2017-18
Customer Protection – Limiting Liability of Customers in Unauthorised Electronic Banking Transactions
July 6, 2017
474
DBR.NBD.No.15323/16.13.218/2016-17
Limits on Balances in Customer Accounts with Payments Banks – Sweep out Arrangements with Other Banks
June 29, 2017
475
DBR.NBD.No.77/16.13.218/2016-17
Limits on Balances in Customer Accounts with Payments Banks – Sweep out Arrangements with Other Banks
June 29, 2017
476
DBR.No.Leg.BC.76/09.07.005/2016-17
Recording of Details of Transactions in Passbook / Statement of Account
June 22, 2017
477
DBR.No.Leg.BC.77/09.07.005/2016-17
Recording of Details of Transactions in Passbook / Statement of Account
June 22, 2017
478
DBR.No.BP.BC.74/21.06.009/2016-17
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Eligible Credit Rating Agencies – INFOMERICS Valuation and Rating Pvt Ltd. (INFOMERICS)
June 13, 2017
479
DBR.No.Ret.BC.71/12.02.001/2016-17
Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
June 7, 2017
480
DBR.No.Ret.BC.73/12.02.001/2016-17
Notification on Section 24 and Section 56 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR)
June 7, 2017
481
DBR.BP.BC.No.72/08.12.015/2016-17
Individual Housing Loans : Rationalisation of Risk-Weights and Loan to Value (LTV) Ratios
June 7, 2017
482
DCBR.CO.LS.(PCB/RCB).Cir.No.5/07.01.000/2016-17
Regulatory Requirements for Issue of Pre-paid Payment Instruments by Co-operative Banks
May 25, 2017
483
DBR.Appt.No.BC.68/29.67.001/2016-17
Minimum Qualifications and Experience for CFO and CTO
May 18, 2017
484
DBR.No.BAPD.BC.69/22.01.001/2016-17
Rationalisation of Branch Authorisation Policy – Revision of Guidelines
May 18, 2017
485
DBR.No.BP.BC.70/21.04.142/2016-17
Partial Credit Enhancement to Corporate Bonds
May 18, 2017
486
DBR.CO.No.Ret.BC/66/12.07.144/2016-17
Submission of Statutory Returns (SLR-Form VIII) in XBRL Platform
May 11, 2017
487
DCBR.RAD(PCB/RCB)Cir.No.4/7.12.001/2016-17
Guidelines on Merchant Acquisition for Card Transactions
April 28, 2017
488
DNBR.PD(ARC)CC.No.03/26.03.001/2016-17
Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002 – Section 3(1)(b) – Requirement of Net Owned Fund (NOF) for Asset Reconstruction Companies
April 28, 2017
489
DBR.BP.BC.No.65/21.04.103/2016-17
Risk Management Systems – Role of the Chief Risk Officer (CRO)
April 27, 2017
490
Mail Box Clarification
Basel III Capital Regulations – Elements of Common Equity Tier 1 Capital
April 25, 2017
491
DBR.No.BP.BC.64/21.04.048/2016-17
Additional Provisions For Standard Advances At Higher Than The Prescribed Rates
April 18, 2017
492
DBR.IBD.BC.59/23.13.004/2016-17
Setting up of IFSC Banking Units (IBUs) – Permissible Activities
April 10, 2017
493
DBR.No.Ret.BC.58/12.01.001/2016-17
Change in Bank Rate
April 6, 2017
494
DBR.No.Leg.BC.56/09.07.005/2016-17
Opening of All Agency Banks for Government Business on April 1, 2017 – Revised Instructions
March 29, 2017
495
DBR.No.Leg.BC.55/09.07.005/2016-17
All Agency Banks to Remain Open for Public on All days from March 25, 2017 to April 1, 2017
March 24, 2017
496
DBR.BP.BC.No.50/21.06.201/2016-17
Basel III Capital Regulations – Additional Tier 1 Capital
February 2, 2017
497
DBR.No.BP.BC.49/21.04.048/2016-17
Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
December 28, 2016
498
DBR.AML.BC.48/14.01.01/2016-17
Compliance to Provisions of Master Direction on Know Your Customer (KYC)
December 15, 2016
499
DBR.AML.BC.47/14.01.01/2016-17
Amendment to Master Direction on Know Your Customer
December 8, 2016
500
DBR.AML.BC.No.18/14.01.001/2016-17
Amendment to Master Direction (MD) on KYC
December 8, 2016
501
DBR.No.Ret.BC.45/12.01.001/2016-17
Notification : Reserve Bank of India Act, 1934 – Section 42(1A) Withdrawal of the Incremental CRR
December 7, 2016
502
DBR.No.Ret.BC.46/12.01.001/2016-17
Reserve Bank of India Act, 1934 – Section 42(1A) Withdrawal of the Incremental CRR
December 7, 2016
503
DBR.AML.BC.No.44/14.01.001/2016-17
Requirement of Customer Due Diligence and Need for Maintenance of Records
December 6, 2016
504
DBR.BP.BC.No.42/08.12.014/2016-17
Financing of Infrastructure – ‘Definition of ‘Infrastructure Lending’
December 1, 2016
505
DBR.No.BP.BC.43/21.01.003/2016-17
Large Exposure Framework
December 1, 2016
506
DBR.Appt.BC.No.38/29.39.001/2016-17
Notification : Special Knowledge or Practical Experience useful to Banking Companies
November 24, 2016
507
DBR.Appt.BC.No.39/29.39.001/2016-17
Special Knowledge or Practical Experience useful to Banking Companies
November 24, 2016
508
DBR.No.BP.BC.37/21.04.048/2016-17
Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
November 21, 2016
509
DBR.No.BP.5609/21.06.001/2016-17
Risk Weights for Advances Guaranteed by Various Schemes
November 17, 2016
510
DBR.RRB.BC.No.36/31.01.002/2016-17
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Census data 2011
November 16, 2016
511
DBR.IBD.BC.32/23.13.004/2016-17
Setting up of IFSC Banking Units (IBUs) – Permissible Activities
November 10, 2016
512
DBR.No.BP.BC.29/21.06.201/2016-17
Guidelines for Computing Exposure for Counterparty Credit Risk Arising from Derivative Transactions
November 10, 2016
513
DBR.No.BP.BC.30/21.06.201/2016-17
Guidelines on Capital Requirements for Bank Exposures to Central Counterparties
November 10, 2016
514
DBR.No.BP.BC.34/21.04.132/2016-17
Schemes for Stressed Assets – Revisions
November 10, 2016
515
DBR.No.Leg.BC.31/09.07.005/2016-17
Banks to remain open for public on Saturday, November 12 and Sunday, November 13, 2016
November 9, 2016
516
DBR.BP.BC.No.28/21.06.001/2016-17
Issue of Rupee Denominated Bonds Overseas
November 3, 2016
517
DBR.BP.BC.No.20/21.06.001/2016-17
Risk Weights for exposures to HFCs
October 20, 2016
518
DBR.No.Ret.BC.14/12.02.001/2016-17
Notification on Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
October 13, 2016
519
DBR.No.Ret.BC.15/12.02.001/2016-17
Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
October 13, 2016
520
DBR.NBD.No.25/16.13.218/2016-17
Operating Guidelines for Payments Banks
October 6, 2016
521
DBR.NBD.No.26/16.13.218/2016-17
Operating Guidelines for Small Finance Banks
October 6, 2016
522
DBR.No.Ret.BC.19/12.01.001/2016-17
Change in Bank Rate
October 4, 2016
523
DNBS.PPD.03/66.15.001/2016-17
Master Direction – Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2016
September 29, 2016
524
DNBS.PPD.01/66.15.001/2016-17
Master Direction – Monitoring of Frauds in NBFCs (Reserve Bank) Directions, 2016
September 29, 2016
525
DBR.No.Leg.BC.13/09.07.005/2016-17
Income Declaration Scheme, 2016 – Acceptance of Cash Over the Counter
September 8, 2016
526
DBR.CID.BC.No.10/20.16.042/2016-17
Free Annual Credit Report to Individuals
September 1, 2016
527
DCBR.BPD (PCB).BC.No.3/12.05.001/2016-17
Advances against Term Deposits of Non-members
September 1, 2016
528
DBR.No.BAPD.BC.12/22.01.001/2016-17
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Authorisation – Census data 2011
September 1, 2016
529
DBR.BP.BC.No.5/21.04.142/2016-17
Partial Credit Enhancement (PCE) to Corporate Bonds
August 25, 2016
530
DBR.No.BP.BC.7/21.04.157/2016-17
Prudential Norms for Off-balance Sheet Exposures of Banks – Restructuring of derivative contracts
August 25, 2016
531
DBR.BP.BC.No.8/21.01.003/2016-17
Guidelines on Enhancing Credit Supply for Large Borrowers through Market Mechanism
August 25, 2016
532
DBR.No.BP.BC.6/21.06.001/2016-17
Review of Prudential Norms – Risk Weights for Exposures to Corporates, AFCs and NBFC-IFCs
August 25, 2016
533
DNBR.PD.006/13.10.119/2016-17
Master Direction – Residuary Non-Banking Companies (Reserve Bank) Directions, 2016 (Updated as on 22-02-2019)
August 25, 2016
534
DBR.No.BP.BC.4/21.03.009/2016-17
Capacity Building in Banks and AIFIs
August 11, 2016
535
RBI/2016-17/DBR.FID.No.1/01.02.000/2016-17
Implementation of Indian Accounting Standards (Ind AS)
August 4, 2016
536
DBR.No.Leg.BC.3/09.07.005/2016-17
Dishonour of cheques – Modification in procedure
August 4, 2016
537
DBR.BP.BC.No.2/21.04.098/2016-17
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
July 21, 2016
538
DCBR.BPD.BC.No.01/19.51.026/2016-17
Investments in Non-SLR instruments by State / Central Co-operative Banks
July 14, 2016
539
DBR.AML.BC.No.1/14.01.001/2016-17
Amendment to Master Direction on KYC – Operationalisation of Central KYC Registry (CKYCR) and KYC norms for Foreign Portfolio Investors (FPIs)
July 8, 2016
540
DPSS.CO.PD.Mobile Banking.No./2/02.23.001/2016-2017
Master Circular – Mobile Banking transactions in India – Operative Guidelines for Banks@
July 1, 2016
541
DCBR.BPD(PCB)Cir.No.20/12.05.001/2015-16
Amendment in rules for implementation of Pradhan Mantri Jeevan Jyoti Bima Yojana (PMJJBY)
June 30, 2016
542
DCBR.CO.LS(PCB)Cir.No.19/07.01.000/2015-16
Issue of authorization for opening Controlling Offices (Regional / Zonal / Administrative Offices) u/s 23 of the Banking Regulation Act, 1949 (AACS)
June 30, 2016
543
DBR.BP.BC.No.106/21.07.001/2015-16
Implementation of Indian Accounting Standards (Ind AS)
June 23, 2016
544
DBR.BP.BC.No.105/21.06.001/2015-16
Reporting Requirements under Basel III Capital Regulations – Review
June 23, 2016
545
DBR.FID.No.108/01.02.000/2015-16
Master Direction – Reserve Bank of India (Financial Statements of All India Financial Institutions – Presentation, Disclosure and Reporting) Directions, 2016
June 23, 2016
546
Mail Box Clarification
Statutory Auditor’s certificate – Certifying the claims for subvention as true and correct
June 6, 2016
547
Notification No.DNBR 042/CGM(CDS)-2016
Non- Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
May 26, 2016
548
Notification No.DNBR.041/CGM(CDS)-2016
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
May 26, 2016
549
Notification No.DNBR.043/CGM(CDS)-2016
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
May 26, 2016
550
DBR.CID.BC.No.98/20.16.042/2015-16
Investment in Credit Information Companies
May 19, 2016
551
DBR.No.Leg.BC.93/09.07.005/2015-16
Publicity in the bank branches cautioning public against placing deposits in dubious schemes
April 21, 2016
552
DCBR.CO.BPD.(PCB).No.15/13.05.000/2015-16
Unsecured Exposure Norms for UCBs – Relaxation
April 21, 2016
553
Master Direction DBR.PSBD.No.96/16.13.100/2015-16
Master Direction – Amalgamation of Private Sector Banks, Directions, 2016
April 21, 2016
554
Mail Box Clarification
Flexible Structuring of Existing Long Term Project Loans & Financing of Cost Overruns of Projects under Implementation
April 20, 2016
555
DNBR.(PD).CC.No.047/03.10.119/2015-16
Master Circular- ‘Non-Banking Financial Company – Micro Finance Institutions’ (NBFC-MFIs) – Directions (Updated as on 20-04-2016)
April 20, 2016
556
DBR.No.BP.BC.92/21.04.048/2015-16
Provisioning pertaining to Fraud Accounts
April 18, 2016
557
Notification No.DNBR 041/CGM(CDS)-2016
Non-Banking Financial Company – Micro Finance Institutions (Reserve Bank) Directions, 2011 (Amendment)
April 13, 2016
558
DNBR.(PD).CC.No.043/03.10.119/2015-16
Master Circular – ‘Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Updated as on 11-04-2016)
April 11, 2016
559
DNBR.(PD).CC.No.044/03.10.119/2015-16
Master Circular – ‘Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Updated as on 11-04-2016)
April 11, 2016
560
DNBR.(PD).CC.No.049/03.10.119/2015-16
Master Circular – The Non-Banking Financial Company – Factors (Reserve Bank) Directions, 2012 (Updated as on 11-04-2016)
April 11, 2016
561
DNBR.(PD).CC.No.058/03.10.119/2015-16
Master Circular – Frauds – Future approach towards monitoring of frauds in NBFCs (updated upto 11-04-2016)
April 11, 2016
562
DNBR.(PD)CC.No.045/03.10.119/2015-16
Master Circular – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’ (Updated as on 11-04-2016)
April 11, 2016
563
DNBR(PD)CC.No.056/03.10.119/2015-16
Master Circular – Miscellaneous Instructions to all Non-Banking Financial Companies (Updated as on 11-04-2016)
April 11, 2016
564
Notification No. DNBR.040/CGM(CDS)-2016
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
April 7, 2016
565
DBR.No.Ret.BC.90/12.01.001/2015-16
Change in Bank Rate
April 5, 2016
566
DBR.IBD.BC.89/23.67.001/2015-16
Gold Monetisation Scheme, 2015
March 31, 2016
567
DBR.BP.BC.No.86/21.04.098/2015-16
Liquidity Risk Management & Basel III Framework on Liquidity Standards -& Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
March 23, 2016
568
DCBR.CO.BPD.BC.No.13/19.51.008/2015-16
Section 23 of Banking Regulation Act, 1949 (AACS) – Extending Value-Added Services through ATMs
March 23, 2016
569
Notification No.DNBR.037/CGM(CDS)-2016
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
March 10, 2016
570
Notification No.DNBR.038/CGM(CDS)-2016
Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
March 10, 2016
571
Notification No.DNBR.039/CGM(CDS)-2016
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
March 10, 2016
572
DCBR.CO.RCBD.Cir.No.12/19.51.012/2015-16
Application of Minimum Capital Adequacy Norms to State and Central Cooperative Banks (StCBs / DCCBs)
March 10, 2016
573
Mail Box Clarification
Flexible Structuring of Existing Long Term Project Loans to Infrastructure and Core Industries
March 2, 2016
574
DBR.No.BP.BC.83/21.06.201/2015-16
Master Circular – Basel III Capital Regulations – Revision
March 1, 2016
575
DBR.BP.BC.No.82/21.04.132/2015-16
Review of Prudential Guidelines – Revitalising Stressed Assets in the Economy
February 25, 2016
576
Notification No.DNBR.036/CGM(CDS)-2016
Non-Banking Financial Company – Factor (Reserve Bank) Directions, 2012 (Amendment)
February 18, 2016
577
DBR.BP.BC.No.76/21.07.001/2015-16
Implementation of Indian Accounting Standards (Ind AS)
February 11, 2016
578
DBR.BP.BC.No.77/21.04.098/2015-16
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
February 11, 2016
579
DBR.No.Leg.BC.78/09.07.005/2015-16
Legal Guardianship Certificates issued under the Mental Health Act, 1987
February 11, 2016
580
DCBR.CO.SCB.Cir. No.1/13.05.000/2015-16
Interest Equalisation Scheme on Pre and Post Shipment Rupee Export Credit
February 11, 2016
581
DBR.IBD.BC.75/23.67.001/2015-16
Sale of India Gold Coin (IGC)
January 21, 2016
582
DCBR.BPD.(PCB/RCB).Cir.No.9/12.05.001/2015-16
Acceptance of cheques bearing a date as per National Calendar (Saka Samvat) for payment
January 21, 2016
583
DBR.IBD.BC.74/23.67.001/2015-16
Amended Circular on Gold Monetisation Scheme, 2015
January 21, 2016
584
DBR.No.BAPD.BC.72/22.01.001/2015-16
Section 23 of Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy – Off Site ATMs
January 14, 2016
585
DBR.No.BP.BC.71/21.06.201/2015-16
Master Circular – Basel III Capital Regulations – Clarification
January 14, 2016
586
Mail Box Clarification
Principles on classification of sale and lease back transactions as restructuring
January 13, 2016
587
DBR.IBD.BC.8536/23.13.004/2015-16
Setting up of IFSC Banking Units (IBUs) – Permissible activities
January 7, 2016
588
DBR.Dir.BC.No.70/13.03.00/2015-16
Non-Fund Based Facility to Non-constituent Borrowers of Bank
January 7, 2016
589
DBR.IBD.BC.No.68/23.37.001/2015-16
Extension of Credit Facilities to Overseas Step-down Subsidiaries of Indian Corporates
December 31, 2015
590
DPSS.CO.PD.No./1265/02.23.001/2015-2016
Mobile Banking Transactions in India – Operative Guidelines for Banks@
December 17, 2015
591
DBR.No.Ret.BC.63/12.01.001/2015-16
Section 24 and Section 56 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
December 10, 2015
592
DBR.Dir.BC.No.62/04.02.001/2015-16
Interest Equalisation Scheme on Pre and Post Shipment Rupee Export Credit
December 4, 2015
593
DBR.AML.No.7312/14.01.001/2015-16
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
December 3, 2015
594
Notification No.DNBR.033/CGM(CDS)-2015
Non-Banking Financial Company – Micro Finance Institutions (Reserve Bank) Directions, 2011 (Amendment)
November 26, 2015
595
Notification No.DNBR.034/CGM(CDS)-2015
Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
November 26, 2015
596
Notification No.DNBR.035/CGM(CDS)-2015
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
November 26, 2015
597
DBR.IBD.BC. 61/23.07.001/2015-16
Engagement of Services of Expatriate Officers in Indian Offices of Foreign Banks
November 26, 2015
598
DBR.BP.BC.No.55/21.04.172/2015-16
Bank Finance to Factoring Companies
November 26, 2015
599
DBR.No.FSD.BC.58/24.01.007/2015-16
Provision of Factoring Services by Banks – Review
November 19, 2015
600
DBR.No.BP.BC.57/21.06.201/2015-16
Non-Operative Financial Holding Company (NOFHC) – Application of Capital Adequacy Norms
November 19, 2015
601
DBR.RRB.BC.No.59/31.01.001/2015-16
Internet Banking Facility for Customers of Regional Rural Banks@
November 19, 2015
602
DCBR.BPD.(PCB/RCB) Cir.No.6/19.51.026/2015-16
Internet Banking Facility for Customers of Cooperative Banks@
November 5, 2015
603
DBR.IBD.BC.52/23.67.003/2015-16
Gold Monetisation Scheme, 2015 – Amendment
November 3, 2015
604
DBR.IBD.BC.53/23.67.003/2015-16
Gold Monetisation Scheme, 2015 – Interest Rate
November 3, 2015
605
DCBR.CO.RCBD.BC.No.5/19.51.026/2015-16
Investments in Market Infrastructure Companies by State / Central Cooperative Banks
October 21, 2015
606
DBR.BP.BC.No.43/21.06.001/2015-16
Risk Weights for Claims on Foreign Central Banks
October 8, 2015
607
DBR.BP.BC.No.44/08.12.015/2015-16
Individual Housing Loans : Rationalisation of Risk-Weights and LTV Ratios
October 8, 2015
608
DBR.No.Ret.BC.42/12.01.001/2015-16
Change in Bank Rate
September 29, 2015
609
DBR.BP.BC.No.40/21.04.142/2015-16
Partial Credit Enhancement to Corporate Bonds
September 24, 2015
610
DBR.Dir.BC.No.38/13.03.00/2015-16
Guidelines on Compensation of Chief Executive Officer / Whole Time Directors – Restrictions under Section 20 of the Banking Regulation Act, 1949 – Loans to Directors
September 16, 2015
611
DBR.AML.No.3074/14.01.001/2015-16
Reporting Requirement under Foreign Account Tax Compliance Act (FATCA) and Common Reporting Standards (CRS) – Guidance Note
August 31, 2015
612
DBR.No.BAPD.BC.34/22.01.001/2015-16
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy
August 6, 2015
613
Notification No.DNBR(PD).030CGM(CDS)-2015
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
July 30, 2015
614
Notification No.DNBR(PD).031/CGM(CDS)-2015
Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
July 30, 2015
615
Notification No.DNBR(PD).032/CGM(CDS)-2015
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
July 30, 2015
616
DCBR.CO.LS(PCB)Cir.No.2/07.01.000/2015-16
Extending Value Added Services through ATMs by Primary (Urban) Co-operative Banks (UCBs)
July 30, 2015
617
DBR.AML.No.1637/14.01.001/2015-16
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 30, 2015
618
DBR.No.BP.BC.30/21.04.048/2015-16
Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances – Credit Card Accounts
July 16, 2015
619
DNBR.(PD).029/CGM(CDS)-2015
Non-Banking Financial Companies (Approval of Acquisition or Transfer of Control) Directions, 2015
July 9, 2015
620
DBR.Leg.BC.25./09.07.005/2015-16
Opening of Current Accounts by Banks – Need for Discipline
July 2, 2015
621
Notification No.DNBR.027/CGM(CDS)-2016
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015
July 2, 2015
622
Notification No.DNBR.028/CGM(CDS)-2016
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
July 2, 2015
623
DBR.No.BP.BC.27/21.04.048/2015-16
Discount Rate for Computing Present Value of Future Cash Flows
July 2, 2015
624
DBR.No.BP.BC.26/21.04.098/2015-16
Bucketing of Excess SLR and MSF Securities in Structural Liquidity Statement
July 2, 2015
625
DNBR.(PD).CC.No.03/SCRC/26.03.001/2015-16
Notification as amended up to June 30, 2015 – The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2015
626
DNBR(PD)CC.No.04./SCRC/26.03.001/2015-16
Notification as Amended upto June 30, 2015 – Change in or Take Over of the Management of the Business of the Borrower by Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines, 2010
July 1, 2015
627
DBR No.DIR.BC.14/04.02.002/2015-16
Master Circular – Rupee / Foreign Currency Export Credit and Customer Service To Exporters
July 1, 2015
628
DBR.AML.BC.No.15/14.01.001/2015-16
Master Circular – Know Your Customer (KYC) norms / Anti-Money Laundering (AML) standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under PMLA, 2002
July 1, 2015
629
DBR.BP.BC No.23 /21.04.018/2015-16
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2015
630
DBR.BP.BC.No.5/21.04.172/2015-16
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2015
631
DBR.CO.RRB.BL.BC.No.17/31.01.002/2015-16
Master Circular on Branch Licensing
July 1, 2015
632
DBR.No.BP.BC.1/21.06.201/2015-16
Master Circular – Basel III Capital Regulations
July 1, 2015
633
DBR.No.BP.BC.2/21.04.048/2015-16
Master Circular – Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2015
634
DBR.No.BP.BC.3/21.01.002/2015-16
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2015
635
DBR.No.BP.BC.4./21.06.001/2015-16
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline-New Capital Adequacy Framework (NCAF)
July 1, 2015
636
DBR.No.BP.BC.6/21.04.141/2015-16
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2015
637
DBR.No.CID.BC.22/20.16.003/2015-16
Master Circular on Wilful Defaulters
July 1, 2015
638
DBR.No.Dir.BC.10/13.03.00/2015-16
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2015
639
DBR.No.Dir.BC.11/13.03.00/2015-16
Master Circular – Guarantees and Co-acceptances
July 1, 2015
640
DBR.No.Dir.BC.12/13.03.00/2015-16
Master Circular – Exposure Norms
July 1, 2015
641
DBR.No.DIR.BC.13/08.12.001/2015-16
Master Circular – Housing Finance
July 1, 2015
642
DBR.No.Dir.BC.7/13.03.00/2015-16
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2015
643
DBR.No.Dir.BC.8/13.03.00/2015-16
Master Circular on Interest Rates on Deposits held in FCNR (B) Accounts
July 1, 2015
644
DBR.No.Dir.BC.9/13.03.00/2015-16
Master Circular – Interest Rates on Advances
July 1, 2015
645
DBR.No.FID.FIC.2/01.02.00/2015-16
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2015
646
DBR.No.FSD.BC.18/24.01.009/2015-16
Master Circular on Credit Card, Debit Card and Rupee Denominated Co-branded Pre-paid Card Operations of Banks and Credit card issuing NBFCs
July 1, 2015
647
DBR.No.FSD.BC.19/24.01.001/2015-16
Master Circular – Para-Banking Activities
July 1, 2015
648
DBR.No.Leg.BC.21/09.07.006/2015-16
Master Circular on Customer Service in Banks
July 1, 2015
649
DBR.No.Ret.BC.24/12.01.001/2015-16
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2015
650
DCBR.BPD.(PCB).MC.No:11/09.09.001/2015-16
Master Circular – Priority Sector Lending – UCBs
July 1, 2015
651
DCBR.BPD.(PCB).MC.No:6/13.01.000/2015-16
Master Circular on Maintenance of Deposit Accounts – Primary (Urban) Co-operative Banks
July 1, 2015
652
DCBR.BPD.(PCB).MC.No.12/09.14.000/2015-16
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
July 1, 2015
653
DCBR.BPD.(PCB).MC.No.14/13.05.000/2015-16
Master Circular- Management of Advances – UCBs
July 1, 2015
654
DCBR.BPD.(PCB).MC.No.4/16.20.000/2015-16
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2015
655
DCBR.BPD.(PCB).MC.No.5/12.03.000/2015-16
Master Circular on Maintenance of Statutory Reserves – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Primary (Urban) Co-operative Banks
July 1, 2015
656
DCBR.BPD.(PCB).MC.No.7/13.01.000/2015-16
Master Circular Interest Rates on Rupee Deposits – Primary (Urban) Co-operative Banks
July 1, 2015
657
DCBR.BPD.(PCB)MC.No.10/09.18.201/2015-16
Master Circular – Prudential Norms on Capital Adequacy – UCBs
July 1, 2015
658
DCBR.BPD.(PCB)MC.No.9/09.22.010/2015-16
Master Circular – Finance for Housing Schemes – UCBs
July 1, 2015
659
DCBR.BPD.(PCB)MCNo.8/09.27.000/2015-16
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2015
660
DCBR.BPD(PCB/RCB)Cir.No.2/14.01.062/2015-16
Master Circular on Board of Directors – UCBs
July 1, 2015
661
DCBR.CO.BPD.(PCB).MC.No.13/13.05.000/2015-16
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2015
662
DCBR.CO.BPD.(PCB).MC.No.15/12.05.001/2015-16
Master Circular on Customer Service – UCBs
July 1, 2015
663
DCBR.CO.BPD.(PCB).MC.No.3/12.05.001/2015-16
Master Circular on Inspection & Audit Systems in Primary (Urban) Co-operative Banks
July 1, 2015
664
DCBR.CO.BPD.MC.No.1/12.05.001/2015-16
Master Circular on Frauds – Classification and Reporting
July 1, 2015
665
DCBR.LS.(PCB)MC.No.16/07.01.000/2015-16
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2015
666
DNBR.(PD).CC.No.042/03.10.119/2015-16
Master Circular – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’
July 1, 2015
667
DNBR.(PD).CC.No.046/03.10.119/2015-16
Master Circular – ‘Infrastructure Debt Fund-Non-Banking Financial Companies (Reserve Bank) Directions, 2011’
July 1, 2015
668
DNBR.(PD).CC.No.048/03.10.119/2015-16
Master Circular – Regulatory Framework for Core Investment Companies (CICs)
July 1, 2015
669
DNBR.(PD).CC.No.050/03.10.119/2015-16
Master Circular – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2015
670
DNBR.(PD).CC.No.052/03.10.119/2015-16
Master Circular- Exemptions from the provisions of RBI Act, 1934
July 1, 2015
671
DNBR.(PD).CC.No.053/03.10.119/2015-16
Master Circular – ‘Non-Banking Financial Companies – Corporate Governance (Reserve Bank) Directions, 2015’
July 1, 2015
672
DNBR.(PD).CC.No.054/03.10.119/2015-16
Master Circular – Fair Practices Code
July 1, 2015
673
DNBR.(PD).CC.No.055/03.10.119/2015-16
Master Circulars – Miscellaneous Instructions to NBFC-ND-SI
July 1, 2015
674
DNBR.(PD).CC.No.057/03.10.119/2015-16
Master Circular – Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008
July 1, 2015
675
DNBR.(PD).CC.No.060/03.10.119/2015-16
Master Circular – Opening of Branch / Subsidiary / Joint Venture / Representative office or Undertaking Investment Abroad by NBFCs
July 1, 2015
676
DNBR.(PD).CC.No.061/03.10.119/2015-16
Master Circular – Requirement for Obtaining Prior Approval of RBI in Cases of Acquisition / Transfer of Control of NBFCs (Updated as on 04-08-2015)
July 1, 2015
677
DNBR.(PD).CC.No.062/03.10.119/2015-16
Master Circular – Capital Adequacy Standards and Risk Management Guidelines for Standalone Primary Dealers
July 1, 2015
678
DNBR.(PD)CC.No.059/03.10.119/2015-16
Master Circular – Allied activities- Entry into Insurance Business, issue of Credit Card and Marketing and Distribution of Certain Products
July 1, 2015
679
DNBR(PD)CC No.051/03.10.119/2015-16
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) -‘Prevention of Money Laundering Act, 2002-Obligations of NBFCs in terms of Rules notified thereunder
July 1, 2015
680
DNBR(PD)CC.No.063/03.10.119/2015-16
Master Circular – Prudential Guidelines for the Primary Dealers in Government Securities Market (Updated as on 07-08-2015)
July 1, 2015
681
DNBS.IT.CC.No.01/24.01.191/2015-16
Master Circular – Returns to be submitted by NBFCs
July 1, 2015
682
DNBR.(PD-MGC).C.C.No.01/23.11.001/2015-16
Notification as amended upto June 30, 2015 – ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’
July 1, 2015
683
DNBR.(PD-MGC).C.C.No.02/23.11.001/2015-16
Notification as Amended upto June 30, 2015 ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 1, 2015
684
DNBR.(PD-MGC).C.C.No.03/23.11.001/2015-16
Notification as amended upto June 30, 2015 – ‘Mortgage Guarantee Companies (Reserve Bank) Guidelines, 2008’
July 1, 2015
685
Mail Box Clarification
No Due Certificate
June 24, 2015
686
DBR.No.BAPD.BC.102/22.01.001/2014-15
Reporting requirement on On-site, Off-site and Mobile ATMs
June 11, 2015
687
DNBR.(PD).CC.No.037/03.01.001/2014-15
Master Circular – ‘Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015’
June 11, 2015
688
DNBR(PD)CC.No.039/03.01.001/2014-15
Master Circular – ‘Infrastructure Debt Fund-Non-Banking Financial Companies (Reserve Bank) Directions, 2011’
June 11, 2015
689
Mail Box Clarification
Substitution of Centres, Conversion of Branches and Merger of Branches
June 9, 2015
690
DNBR.(PD).CC.No.038/03.01.001/2014-15
Master Circular – ‘Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015’
June 3, 2015
691
DNBR(PD).CC.No.040/03.01.001/2014-15
Master Circular – ‘Non-Banking Financial Companies – Corporate Governance (Reserve Bank) Directions, 2015’
June 3, 2015
692
DBR.No.Ret.BC.99/12.01.001/2014-15
Change in Bank Rate
June 2, 2015
693
DCBR.BPD.(PCB/RCB).Cir.No.37/16.11.00/2014-15
Revision in Bank Rate
June 2, 2015
694
DBR.BP.BC.No.98/08.12.014/2014-15
Issue of Long Term Bonds by banks for Financing of Infrastructure and Affordable Housing – Cross Holding
June 1, 2015
695
DBR.No.BC.95/29.67.001/2014-15
Calendar of reviews
May 28, 2015
696
DBR.No.BP.BC.96/21.04.157/2014-15
Hedging of Commodity Price Risk – Creating awareness among borrowers
May 28, 2015
697
DNBS.(PD).CC.No.379/03.02.001/2014-15
Master Circular – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’ (Updated as on 25-05-2015)
May 25, 2015
698
DNBS.(PD).CC.No.380/03.02.001/2014-15
Master Circular – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’ (Updated as on 25-05-2015)
May 25, 2015
699
DNBS.(PD).CC.No.395/03.10.38/2014-15
Master Circular – ‘Non Banking Financial Company – Micro Finance Institutions’ (NBFC-MFIs) – Directions (Updated as on 25-05-2015)
May 25, 2015
700
DNBS.(PD).CC.No.389/03.10.001/2014-15
Master Circular – Allied activities – Entry into Insurance Business, issue of Credit Card and Marketing and Distribution of certain Products (Updated as on 25-05-2015)
May 25, 2015
701
DNBS.(PD).CC.No.396/03.02.001/2014-15
Master Circular – The Non-Banking Financial Company – Factors (Reserve Bank) Directions, 2012 (Updated as on 25-05-2015)
May 25, 2015
702
Notification No.DNBR.024/CGM(CDS)-2015
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
May 21, 2015
703
Notification No.DNBR.025/CGM(CDS)-2015
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
May 21, 2015
704
Notification No.DNBR.026/CGM(CDS)-2015
Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
May 21, 2015
705
DCBR.BPD.(PCB).Cir.No.9/12.05.001/2014-15
Modalities for Implementation of Atal Pension Yojana (APY)
May 21, 2015
706
DBR.AML.No.17668/14.06.001/2014-15
Implementation of Section 51-A of Unlawful Activities Prevention Act (UAPA), 1967-12th Update of Al-Qaida Sanctions List
May 20, 2015
707
DBR.No.BC.93/29.67.001/2014-15
Calendar of Reviews
May 14, 2015
708
DCBR.BPD(PCB/RCB).Cir.No.35/12.05.001/2014-15
Provisioning Pertaining to Fraud Accounts
May 14, 2015
709
DCBR.CO.RCB.No.BC.34/19.51.008/2014-15
Opening of Branches / Extension Counters by State Co-operative Banks
May 7, 2015
710
DNBR(PD)CC.No.02/SCRC/26.03.001/2014-2015
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003 (Amendment)
May 7, 2015
711
DCBR.BPD(PCB)Cir.No.8/12.05.001/2014-15
Modalities for Implementation of Pradhan Mantri Jeevan Jyoti Bima Yojana (PMJJBY) and Pradhan Mantri Suraksha Bima Yojana (PMSBY)
May 5, 2015
712
DBR.No.BAPD.BC.92/22.01.003/2014-15
Acquisition of Accommodation on Lease / Rental basis by Commercial Banks for their use (i.e. for Office and Residence of Staff) – Liberalization of Guidelines
April 30, 2015
713
DCBR.BPD.(PCB/RCB).Cir.No.33/12.05.001/2014-15
Rights of Transgender Persons – Changes in Bank Forms / Applications etc.
April 30, 2015
714
DNBR(PD).CC.No.030/03.10.42/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) Standards
April 23, 2015
715
DBR.No.Leg.BC.91/09.07.005/2014-15
Rights of Transgender Persons – Changes in Bank Forms / Applications etc.
April 23, 2015
716
DCBR.CO.RCB.No.BC.29/19.51.008/2014-15
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Guidelines on Off-site / Mobile Automated Teller Machines (ATMs)
April 16, 2015
717
DNBR.019/CGM.(CDS)-2015
Non-Banking Financial Companies – Corporate Governance (Reserve Bank) Directions, 2015
April 10, 2015
718
DNBR(PD).016/CGM(CDS)-2015
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
April 10, 2015
719
DNBR(PD).017/CGM(CDS)-2015
Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
April 10, 2015
720
DNBR(PD).018/CGM(CDS)-2015
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
April 10, 2015
721
Notification No.DNBR.013/CGM(CDS)-2015
Non-Banking Financial Company – Micro Finance Institutions (Reserve Bank) Directions, 2011 (Amendment)
April 8, 2015
722
Notification No.DNBR.014/CGM(CDS)-2015
Non-Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
April 8, 2015
723
Notification No.DNBR.015/CGM(CDS)-2015
Systemically Important Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2015 (Amendment)
April 8, 2015
724
DCBR.CO.BPD.Cir.No.25/14.01.062/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – UCBs / StCBs / DCCBs
April 8, 2015
725
DBR.No.BP.BC.85/21.04.048/2014-15
Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances – Refinancing of Exposures to Borrowers
April 6, 2015
726
DBR.AML.No.14746/14.01.001/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
April 6, 2015
727
DCBR.BPD.(PCB/RCB).Cir.No.24/14.01.062/2014-15
Know Your Customer (KYC) Guidelines – Accounts of Proprietary Concerns
April 1, 2015
728
DBR.No.BP.BC.83/21.04.048/2014-15
Provisioning pertaining to Fraud Accounts
April 1, 2015
729
DCBR.BPD.(PCB/RCB).Cir.No.22/14.01.062/2014-15
Filing of ‘Nil’ CTR / NTR
March 31, 2015
730
DBR.No.BP.BC.80/21.06.201/2014-15
Prudential Guidelines on Capital Adequacy and Liquidity Standards – Amendments
March 31, 2015
731
DBR.No.BP.BC.79/21.04.048/2014-15
Utilisation of Floating Provisions / Counter Cyclical Provisioning Buffer
March 30, 2015
732
Mail Box Clarification
Special Regulatory Treatment for Asset Classification on Restructuring of Advances by Banks
March 30, 2015
733
DNBR.(PD).CC.No.024/03.10.001/2014-15
Revised Regulatory Framework for NBFCs
March 27, 2015
734
DNBR.007/CGM.(CDS)-2015
Net Owned Fund Requirements
March 27, 2015
735
Mail Box Clarification
Allotment of Unique Customer Identification Code (UCIC) – Some Clarifications
March 26, 2015
736
DCBR.BPD.(PCB).Cir.No.7/14.01.062/2014-15
Priority Sector Lending – Persons with Disabilities (PwD) – Inclusion under Weaker Sections
March 19, 2015
737
DNBR.PD.CC.No.022/03.10.042/2014-15
Designated Director – Amendment to Section 13(2) of Prevention of Money Laundering Act (PMLA) 2002
March 16, 2015
738
DBR.No.BP.BC.76/21.04.158/2014-15
Guidelines on Managing Risks and Code of Conduct in Outsourcing of Financial Services by Banks
March 11, 2015
739
Mail Box Clarification
Installation of On – Site and Off – Site ATMs – Local Area Banks
March 11, 2015
740
DBR.BP.BC.No.74/08.12.015/2014-15
Housing Loans : Review of Instructions
March 5, 2015
741
DBR.No.Ret.BC.73/12.01.001/2014-15
Change in Bank Rate
March 4, 2015
742
DCBR.BPD.(PCB/RCB).Cir.No.19/16.11.00/2014-15
Revision in Bank Rate
March 4, 2015
743
DNBR(PD-SC/RC)No.01/CGM(CDS)/2014-2015
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003 (Amendment)
February 24, 2015
744
Mail Box Clarification
Refinancing of Project Loans
February 24, 2015
745
DCBR.BPD(PCB)Cir.No.5/14.01.062/2014-15
Credit Facilities to Minority Communities – Inclusion of Jain Community under Section 2(c) of the National Commission of Minorities (NCM) Act, 1992
February 18, 2015
746
DNBS(PD).CC.No.392/03.02.001/2014-15
Master Circulars – Miscellaneous Instructions to all Non-Banking Financial Companies (Updated as on 06-02-2015)
February 6, 2015
747
DBR.No.BP.BC.71/21.06.201/2014-15
Guidelines for Implementation of Countercyclical Capital Buffer (CCCB)
February 5, 2015
748
DBR.No.Ret.BC.69/12.02.001/2014-15
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
February 3, 2015
749
DCBR.BPD.(PCB/RCB).Cir.No.14/16.26.000/2014-15
Section 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Statutory Liquidity Ratio (SLR)
February 3, 2015
750
DCBR.BPD.(PCB/RCB).Not.No.2/16.26.000/2014-15
Notification on Section 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Statutory Liquidity Ratio (SLR)
February 3, 2015
751
Mail Box Clarification
e-KYC using the services of Business Facilitators
February 3, 2015
752
DBR.No.DEA.Fund.Cell.BC.66/30.01.002/2014-15
Unclaimed Deposits / Inoperative Accounts in Banks – Display list of Inoperative Accounts
February 2, 2015
753
DBR.No.DEA.Fund.Cell.BC.67/30.01.002/2014-15
The Depositor Education and Awareness Fund Scheme, 2014 – Section 26A of Banking Regulation Act, 1949 – Unclaimed Deposits / Inoperative Accounts in Banks – Updation of list of Inoperative Accounts on their website
February 2, 2015
754
DBR.No.BAPD.BC.68/22.01.001/2014-15
Section 23 of the Banking Regulation Act, 1949 – Installation of off-site Cash Deposit Machines (CDMs) / Bunch Note Acceptor Machines (BNAMs)
February 2, 2015
755
DBR.AML.No.11254/14.07.018/2014-15
Inter-Governmental Agreement (IGA) with United States of America (US) under Foreign Accounts Tax Compliance Act (FATCA) – Registration
January 28, 2015
756
DBR.Leg.No.BC.64/09.07.005/2014-15
Display of Information by Banks
January 22, 2015
757
DNBR.(PD).003/GM(AM)/2015
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 19, 2015
758
DNBR(PD).004.GM(AM)/2015
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 19, 2015
759
DNBR(PD).001/GM(AM)-2015
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 16, 2015
760
DNBR(PD).002/GM.(AM)-2015
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 16, 2015
761
DBR.No.Ret.BC.61/12.01.001/2014-15
Change in Bank Rate
January 15, 2015
762
DCBR.BPD.(PCB/RCB).Cir.No.12/16.11.00/2014-15
Revision in Bank Rate
January 15, 2015
763
DBR.No.CID.BC.59/20.16.056/2014-15
Membership of Credit Information Companies (CICs)
January 15, 2015
764
DBR.No.BP.BC.58/21.06.201/2014-15
Implementation of Basel III Capital Regulations in India – Revised Framework for Leverage Ratio
January 8, 2015
765
Mail Box Clarification
Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
January 8, 2015
766
DCBR.CO.BPD(RCB).Cir.No.09/14.01.062/2014-15
Designated Director – Amendment to Section 13(2) of Prevention of Money Laundering Act (PMLA) 2002
January 7, 2015
767
DBR.No.CID.BC.57/20.16.003/2014-15
Master Circular on Wilful Defaulters (Updated as on 07-01-2015)
January 7, 2015
768
DNBR(PD).CC.No.009/03.10.42/2014-15
Know your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of NBFCs under Prevention Of Money Laundering Act (PMLA), 2002 – Client Due Diligence Measures
January 2, 2015
769
DBR.AML.No.9644/14.07.018/2014-15
Inter-Governmental Agreement (IGA) with United States of America (US) under Foreign Accounts Tax Compliance Act (FATCA) – Registration
December 30, 2014
770
DBR.RRB.BC.No.55/03.05.33/2014-15
Levy of Penal Charges on Non-Maintenance of Minimum Balances in Savings Bank Accounts
December 22, 2014
771
DCBR.BPD.(PCB/RCB).Cir.No.3/12.05.001/2014-15
Levy of Penal Charges on Non-Maintenance of Minimum Balances in Savings Bank Accounts
December 12, 2014
772
DPSS.CO.PD.No.1017/02.23.02/2014-15
Mobile Banking Transactions in India – Operative Guidelines for Banks@
December 4, 2014
773
DNBR(PD).CC.No.005/03.10.42/2014-15
Know Your Customer’ (KYC) Guidelines / Anti-Money Laundering Standards (AML) / Obligation of NBFCs under Prevention of Money Laundering Act (PMLA), 2002 Obligation of NBFCs – Amendment to Prevention of Money-laundering (Maintenance of Records) Rules 2013
December 1, 2014
774
DBR.No.BAPD.BC.51/22.01.001/2014-15
Branch Authorisation Policy – Information to be Submitted by Banks along with Annual Branch Expansion Plan (ABEP)
November 28, 2014
775
DBR.BP.BC.No.50/08.12.014/2014-15
Issue of Long Term Bonds by Banks – Financing of Infrastructure and Affordable Housing
November 27, 2014
776
DNBR.(PD).CC.No.004/03.10.42/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) Standards
November 27, 2014
777
DCBR.CO.BPD.(AD).Cir.No.2/14.01.062/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
November 26, 2014
778
DBR.Dir.BC.No.47/13.03.00/2014-15
Levy of Penal Charges on Non-maintenance of Minimum Balances in Savings Bank Accounts
November 20, 2014
779
DCBR.CO.BPD.(AD).Cir.No.1/14.01.062/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
November 13, 2014
780
Mail Box Clarification
Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances – Projects under Implementation
November 7, 2014
781
DCBR.CO.BPD.(PCB).No.1/14.01.062/2014-15
Designated Director – Amendment to Section 13(2) of Prevention of Money Laundering Act (PMLA)
November 5, 2014
782
DBR.AML.No.6704/14.01.001/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
November 5, 2014
783
DBR.BP.BC.No.46/21.04.098/2014-15
Basel III Framework on Liquidity Standards – Monitoring tools for Intraday Liquidity Management
November 3, 2014
784
RPCD.RRB.RCB.AML.BC.No.39/07.51.018/2014-15
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) Guidelines – Clarifications on Periodic Updation of Low Risk Customers, Non-Requirement of Repeated KYC for the Same Customer to Open New Accounts and Partial Freezing of KYC Non-Compliant Accounts
October 31, 2014
785
RPCD.RRB.RCB.AML.No.4424/07.51.018/2014-15
KYC – Clarification on Proof of Address
October 31, 2014
786
UBD.BPD.(PCB).Cir.No.26/14.01.062/2014-15
Names as Appearing in the Certificate of Registration and the Licence – Use of – Primary (Urban) Co-operative Banks (UCBs)
October 30, 2014
787
DNBS.(PD).CC.No.381/03.02.001/2014-15
Master Circular – ‘Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’ (Updated as on 30-10-2014)
October 30, 2014
788
DNBS.(PD).CC.No.387/03.10.42/2014-15
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in terms of Rules notified thereunder’ (Updated as on 30-10-2014)
October 30, 2014
789
DNBS.(PD).CC.No.388/03.10.042/2014-15
Master Circular – Fair Practices Code (Updated as on 30-10-2014)
October 30, 2014
790
UBD.BPD.(PCB).Cir.No.24/13.05.000/2014-15
Undertaking of Activity by UCBs as PAN Service Agents (PSA)
October 29, 2014
791
UBD.BPD.(SCB).Cir.No.1/16.27.000/2014-15
Fourth Bi-monthly Monetary Policy for 2014-15 Introduction of Liquidity Adjustment Facility (LAF) for Scheduled Urban Cooperative Banks
October 29, 2014
792
RPCD.RCB.BC.No.37/07.51.012/2014-15
Risk Weights for calculation of CRAR
October 29, 2014
793
RPCD.CO.RRB.BC.No.38/03.05.33/2014-15
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents
October 29, 2014
794
RPCD.CO.RRB.BC.No.34/03.05.33/2014-15
Fourth Bi-Monthly Monetary Policy Statement, 2014-15 – SLR Holdings under Held to Maturity Category
October 20, 2014
795
DBOD.AML.No.5487/14.01.001/2014-15
KYC – Clarification on Proof of Address
October 13, 2014
796
UBD.BPD.(PCB).Cir.No.21/09.18.300/2014-15
Internet Banking (View Only) Facility for Customers of UCBs@
October 13, 2014
797
Mail Box Clarification
Reporting of Integrally connected Transactions
October 8, 2014
798
RPCD.RRB.RCB.BC.No.32/03.05.33/2014-15
Treatment of Accounts opened for Credit of Scholarship Amounts under Government Schemes
September 10, 2014
799
RPCD.RRB.RCB.AML.BC.No.31/07.51.018/2014-15
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under Prevention of Money Laundering Act (PMLA), 2002 – Client Due Diligence measures
September 9, 2014
800
RPCD.RRB.RCB.AML.No.2797/07.51.018/2014-15
Simplification of KYC Norms – Creating Public Awareness
September 9, 2014
801
DBOD.APPT.BC.No.40/29.39.001/2014-15
Upper Age Limit for Whole Time Directors on the Boards of Banks
September 9, 2014
802
RPCD.CO.RCB.BC.28/07.51.010/2014-15
Need for Bank Branches / ATMs to be made accessible to persons with Disabilities
September 9, 2014
803
DBOD.AML.No.3356/14.01.001/2014-15
Simplification of KYC Norms – Creating Public Awareness
September 4, 2014
804
UBD.CO.BPD.PCB.Cir.No.12/09.19.900/2014-15
Guidelines for Transfer of Assets and Liabilities of Urban Cooperative Banks to Commercial Banks- Modification
September 3, 2014
805
DBOD.No.BP.BC.35/21.04.048/2014-15
Timelines for Credit Decisions
September 1, 2014
806
DBOD.No.BP.BC.38/21.06.201/2014-15
Implementation of Basel III Capital Regulations in India – Amendments
September 1, 2014
807
DBOD.No.Leg.BC.37/09.07.005/2014-15
Treatment of accounts opened for credit of Scholarship Amounts under Government Schemes
September 1, 2014
808
DNBS(PD).276/PCGM(KKV)-2014
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
August 21, 2014
809
UBD.CO.LS.(PCB).Cir.No.8/07.01.000/2014-15
Clarifications on Review of Norms for Opening of onsite / off-site ATMs by Urban Co-operative Banks
August 20, 2014
810
DBOD.No.BP.BC.32/21.04.012/2014-15
Relaxation to Trade and Industry in the State of Jammu & Kashmir
August 14, 2014
811
RPCD.CO.RRB.BC.No.25/03.05.33/2014-15
Monetary Policy Statement 2014-15 – SLR Holdings under Held to Maturity Category
August 7, 2014
812
DNBS.(PD-SC/RC).No.12/PCGM.(KKV)-2014
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003 (Amendment)
August 7, 2014
813
RPCD.RCB.BC.No.21/07.51.020/2014-15
Notification on Section 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Statutory Liquidity Ratio (SLR)
August 6, 2014
814
RPCD.RCB.BC.No.22/07.51.020/2014-15
Section 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Statutory Liquidity Ratio (SLR)
August 6, 2014
815
RPCD.RRB.BC.No.24/03.05.33/2014-15
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
August 6, 2014
816
RPCD.RRB.No.23/03.05.33/2014-15
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
August 6, 2014
817
UBD.BPD.(PCB).Cir.No.7/16.26.000/2014-15
Section 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Statutory Liquidity Ratio (SLR)
August 5, 2014
818
UBD.BPD.(PCB).Not.No.1/16.26.000/2014-15
Notification on Section 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Statutory Liquidity Ratio (SLR)
August 5, 2014
819
DNBS(PD-SC/RC).No.11/PCGM.(KKV)/-2014
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003 (Amendment)
August 5, 2014
820
DNBS(PD).CC.No.403/03.10.42/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
August 1, 2014
821
UBD.BPD.(AD).Cir.No.1/14.01.062/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
July 31, 2014
822
RPCD.RRB.RCB.AML.No.1288/07.51.018/2014-15
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 28, 2014
823
DBOD.AML.No.1422/14.01.001/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 22, 2014
824
RPCD.RRB.RCB.AML.BC.No.14/07.51.018/2014-15
Know Your Customer (KYC) norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002 – Amendment to Prevention of Money-Laundering (Maintenance of Records) Rules 2013
July 21, 2014
825
RPCD.RCB.BC.No.15/07.51.020/2014-15
Notification on Banking Laws (Amendment) Act, 2012 – Amendments to Sections 18 & 24 of the Banking Regulation Act, 1949 (AACS) – Maintenance of Cash Reserve Ratio (CRR) for Non-Scheduled StCBs and CCBs and Statutory Liquidity Ratio (SLR) for StCBs and CCBs
July 21, 2014
826
DBOD.BP.BC.No.25/08.12.014/2014-15
Issue of Long Term Bonds by Banks – Financing of Infrastructure and Affordable Housing
July 15, 2014
827
DNBS(PD).CC.No.400/03.10.42/2014-15
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of NBFCs under Prevention of Money Laundering Act (PMLA), 2002 Recognising E-Aadhaar as an ‘Officially Valid Document’ under PML Rules
July 14, 2014
828
DNBS.(PD).CC.No.398/03.10.42/2014-15
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of NBFCs under Prevention of Money Laundering Act (PMLA), 2002 – Clarification on Proof of Address
July 10, 2014
829
RPCD.RRB.RCB.AML.BC.No.12/07.51.018/2014-15
Know Your Customer (KYC) / Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) Guidelines – Unique Customer Identification Code (UCIC) for Banks’ Customers in India
July 3, 2014
830
UBD.CO.LS.(PCB).Cir.No.1/07.01.000/2014-15
Review of Norms for Opening of Onsite / off-site ATMs by Urban Co-operative Banks
July 2, 2014
831
DNBS.(PD).CC.No.397/03.02.001/2014-15
Master Circular – Requirement for Obtaining Prior Approval of RBI in Cases of Acquisition / Transfer of Control of NBFCs
July 1, 2014
832
DNBS.(PD).CC.No.386/03.02.001/2014-15
Notification as amended upto June 30, 2014 – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2014
833
DNBS.(PD).CC.No.39/SCRC/26.03.001/2014-2015
Notification as amended upto June 30, 2013 – The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2014
834
DNBS.PD.CC.No.384/03.02.004/2014-15
Master Circular – Exemptions from the provisions of RBI Act, 1934
July 1, 2014
835
DNBS(PD)CC.No.40/SCRC/26.03.001/2014-2015
Notification as Amended upto June 30, 2014 – Change in or Take Over of the Management of the Business of the Borrower by Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines, 2010
July 1, 2014
836
RPCD.CO.RRB.No.BL.BC.4/03.05.90/2014-15
Master Circular on Branch Licensing
July 1, 2014
837
DNBS.(PD-MGC).C.C.No.17/23.11.001/2014-15
Notification as amended upto June 30, 2014 – ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’
July 1, 2014
838
DNBS.(PD-MGC).C.C.No.18/23.11.001/2014-15
Notification as Amended upto June 30, 2014 ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 1, 2014
839
DNBS.(PD-MGC).C.C.No.19/23.11.001/2014-15
Notification as amended upto June 30, 2014 – ‘Mortgage Guarantee Companies (Reserve Bank) Guidelines, 2008’
July 1, 2014
840
DBOD No.CID.BC.3/20.16.003/2014-15
Master Circular on Wilful Defaulters
July 1, 2014
841
DBOD.AML.BC.No.22/14.01.001/2014-15
Master Circular – Know Your Customer (KYC) norms / Anti-Money Laundering (AML) standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under PMLA, 2002
July 1, 2014
842
DBOD.BP.BC.No.10/21.04.172/2014-15
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2014
843
DBOD.BP.BC.No.8/21.04.018/2014-15
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2014
844
DBOD.FID.FIC.No.4/01.02.00/2014-15
Master Circular – Exposure Norms for Financial Institutions
July 1, 2014
845
DBOD.No.BAPD.BC.7/22.01.001/2014-15
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2014
846
DBOD.No.BP.BC.20/21.04.141/2014-15
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2014
847
DBOD.No.BP.BC.4/21.01.002/2014-15
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2014
848
DBOD.No.BP.BC.5/21.06.001/2014-15
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF)
July 1, 2014
849
DBOD.No.BP.BC.6/21.06.201/2013-14
Master Circular – Basel III Capital Regulations
July 1, 2014
850
DBOD.No.BP.BC.9/21.04.048/2014-15
Master Circular – Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2014
851
DBOD.No.Dir.BC.12/13.03.00/2014-15
Master Circular – Exposure Norms
July 1, 2014
852
DBOD.No.Dir.BC.13/13.03.00/2014-15
Master Circular – Interest Rates on Advances
July 1, 2014
853
DBOD.No.Dir.BC.14/13.03.00/2014-15
Master Circular of Instructions Relating to Deposits held in FCNR(B) Accounts
July 1, 2014
854
DBOD.No.Dir.BC.15/13.03.00/2014-15
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2014
855
DBOD.No.Dir.BC.16/13.03.00/2014-15
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2014
856
DBOD.No.Dir.BC.17/13.03.00/2014-15
Master Circular – Guarantees and Co-acceptances
July 1, 2014
857
DBOD.No.DIR.BC.18/08.12.001/2014-15
Master Circular – Housing Finance
July 1, 2014
858
DBOD.No.DIR.BC.19/04.02.002/2014-15
Master Circular – Rupee / Foreign Currency Export Credit and Customer Service To Exporters
July 1, 2014
859
DBOD.No.FID.FIC.1/01.02.00/2014-15
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2014
860
DBOD.No.FID.FIC.2/01.02.00/2014-15
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2014
861
DBOD.No.FID.FIC.3/01.02.00/2014-15
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2014
862
DBOD.No.FSD.BC.01/24.01.001/2014-15
Master Circular – Para-Banking Activities
July 1, 2014
863
DBOD.No.FSD.BC.02/24.01.009/2014-15
Master Circular on Credit Card, Debit Card and Rupee Denominated Cobranded Prepaid Card Operations of Banks
July 1, 2014
864
DBOD.No.Leg.BC.21/09.07.006/2014-15
Master Circular on Customer Service in Banks
July 1, 2014
865
DBOD.No.Ret.BC.11/12.01.001/2014-15
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2014
866
DNBS.(PD).CC.No.382/03.02.001/2014-15
Master Circular – ‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008’
July 1, 2014
867
DNBS.(PD).CC.No.390/03.10.001/2014-15
Master Circular – Corporate Governance
July 1, 2014
868
DNBS.(PD).CC.No.391/03.10.001/2014-15
Master Circulars – Miscellaneous Instructions to NBFC-ND-SI
July 1, 2014
869
DNBS.(PD).CC.No.393/03.02.001/2014-15
Master Circular – Regulatory Framework for Core Investment Companies (CICs)
July 1, 2014
870
DNBS.(PD).CC.No.394/03.02.001/2014-15
Master Circular – Opening of Branch / Subsidiary / Joint Venture / Representative office or Undertaking Investment Abroad by NBFCs
July 1, 2014
871
DNBS.PD.CC.No.383/03.10.042/2014-15
Master Circular – Returns to be submitted by NBFCs
July 1, 2014
872
DNBS.PD.CC.No.385/03.10.042/2014-15
Master Circular – Frauds – Future Approach towards monitoring of frauds in NBFCs
July 1, 2014
873
RPCD.RRB.RCB.AML.BC.No.02/07.51.018/2014-15
Master Circular – Know Your Customer (KYC) norms / Anti-Money Laundering (AML) standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002
July 1, 2014
874
UBD.BPD.(PCB).MC.No:13/13.01.000/2014-15
Master Circular on Maintenance of Deposit Accounts – Primary (Urban) Co-operative Banks
July 1, 2014
875
UBD.BPD.(PCB).MC.No.1/13.05.000/2014-15
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2014
876
UBD.BPD.(PCB).MC.No.10/12.05.001/2014-15
Master Circular on Customer Service – UCBs
July 1, 2014
877
UBD.BPD.(PCB).MC.No.11/13.01.000/2014-15
Master Circular Interest Rates on Rupee Deposits – Primary (Urban) Co-operative Banks
July 1, 2014
878
UBD.BPD.(PCB).MC.No.12/16.20.000/2014-15
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2014
879
UBD.BPD.(PCB).MC.No.15/12.03.000/2014-15
Master Circular on Maintenance of Statutory Reserves – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Primary (Urban) Co-operative Banks
July 1, 2014
880
UBD.BPD.(PCB).MC.No.2/09.22.010/2014-15
Master Circular – Finance for Housing Schemes – UCBs
July 1, 2014
881
UBD.BPD.(PCB).MC.No.3/09.14.000/2014-15
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
July 1, 2014
882
UBD.BPD.(PCB).MC.No.4/09.27.000/2014-15
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2014
883
UBD.BPD.(PCB).MC.No.5/13.05.000/2014-15
Master Circular – Management of Advances – UCBs
July 1, 2014
884
UBD.BPD.(PCB).MC.No.6/09.18.201/2014-15
Master Circular – Prudential Norms on Capital Adequacy – UCBs
July 1, 2014
885
UBD.BPD.(PCB)MC.No.16/12.05.001/2014-15
Master Circular on Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Measures / Combating of Financing of Terrorism (CFT) / Obligations of Banks under Prevention of Money Laundering Act (PMLA), 2002
July 1, 2014
886
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2014-15
Master Circular on Inspection & Audit Systems in Primary (Urban) Co-operative Banks
July 1, 2014
887
UBD.CO.BPD.(PCB)MC.No.7/09.09.001/2014-15
Master Circular – Priority Sector Lending – UCBs
July 1, 2014
888
UBD.CO.BPD.MC.No.17/12.05.001/2014-15
Master Circular on Frauds – Classification and Reporting
July 1, 2014
889
UBD.CO.BPD.MC.No.8/12.05.001/2014-15
Master Circular on Board of Directors – UCBs
July 1, 2014
890
UBD.LS(PCB)MC.No.14/07.01.000/2014-15
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2014
891
DBOD.AML.No.20472/14.07.018/2013-14
Inter-Governmental Agreement (IGA) with United States of America (US) under Foreign Accounts Tax Compliance Act (FATCA)- Registration
June 27, 2014
892
DBOD.No.DEAF.Cell.BC.126/30.01.002/2013-14
Banking Regulation Act, 1949 – Section 26A : Depositor Education and Awareness Fund Scheme, 2014 – Operational Guidelines – Payment of Interest
June 26, 2014
893
UBD.CO.BPD.(SCB).Cir.No.4/13.05.000/2013-14
Undertaking of Point of Presence (PoP) Services under Pension Fund Regulatory and Development Authority (PFRDA) for expanding network of National Pension System (NPS)
June 26, 2014
894
DBOD.No.BAPD.BC.122/22.01.009/2013-14
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents
June 24, 2014
895
Mail Box Clarification
Repayment of Term / Fixed Deposits in Banks
June 20, 2014
896
UBD.CO.BPD.(SCB).Cir.No.3/09.50.001/2013-14
Online Trading Facility to Demat Account Holders – UCBs
June 18, 2014
897
Mail Box Clarification
Shifting of Bank Branches from One Centre to another
June 17, 2014
898
UBD.BPD.Cir.No.70/13.03.000/2013-14
Need for bank branches / ATMs to be made Accessible to persons with Disabilities
June 11, 2014
899
DBOD.BP.BC.No.120/21.04.098/2013-14
Basel III Framework on Liquidity Standards – Liquidity Coverage Ratio (LCR), Liquidity Risk Monitoring Tools and LCR Disclosure Standards
June 9, 2014
900
RPCD.RCB.BC.No.108/07.51.020/2013-14
Notification on The Banking Laws (Amendment) Act 2012 – Amendments to Section 18 & 24 of Banking Regulation (B.R.) Act, 1949 (AACS) – Maintenance of Cash Reserve Ratio (CRR) for Non-Scheduled StCBs and CCBs and Statutory Liquidity Ratio (SLR) for StCBs and CCBs
June 5, 2014
901
RPCD.RCB.BC.No.109/07.51.020/2013-14
Notification on The Banking Laws (Amendment) Act 2012 – Amendments to Section 18 & 24 of Banking Regulation (B.R.) Act, 1949 (AACS) – Maintenance of Cash Reserve Ratio (CRR) for Non-Scheduled StCBs and CCBs and Statutory Liquidity Ratio (SLR) for StCBs and CCBs
June 5, 2014
902
UBD.BPD.(PCB).Cir.No.68/16.26.000/2013-14
The Banking Laws (Amendment) Act 2012 – Amendments to Section 18 & 24 of Banking Regulation (B.R.) Act, 1949 (AACS) – Maintenance of Cash Reserve Ratio (CRR) for Non-Scheduled UCBs and Statutory Liquidity Ratio (SLR) for UCBs
June 5, 2014
903
RPCD.CO.RRB.BC.No.106/03.05.33/2013-14
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
June 4, 2014
904
RPCD.CO.RRB.No.107/03.05.33/2013-14
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
June 4, 2014
905
DBOD.No.Ret.BC.118/12.02.001/2013-14
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
June 3, 2014
906
DBOD.Ret.BC.117/12.02.001/2013-14
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
June 3, 2014
907
DNBS(PD).CC.No.378/03.10.42/2013-14
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of NBFCs under Prevention of Money Laundering Act (PMLA), 2002 – Amendment to Section 13(2)
May 29, 2014
908
UBD.CO.BPD.(PCB).Cir.No.66/13.05.000/2013-14
Lending to Public Sector Undertakings
May 28, 2014
909
RPCD.CO.RRB.BC.No.103/03.05.33/2013-14
Need for Bank Branches / ATMs to be made Accessible to persons with Disabilities
May 27, 2014
910
DBOD.No.Leg.BC.113/09.07.005/2013-14
Need for Bank Branches / ATMs to be made Accessible to Persons with Disabilities
May 21, 2014
911
UBD.CO.BPD.(PCB).Cir.No.63/13.05.000/2013-14
Undertaking of Activity by the Urban Cooperative Banks (UCBs) as PAN Service Agent (PSA) for providing PAN Issuance Services to its Customers by entering into tie-up with Authorized Agencies
May 16, 2014
912
UBD.BPD.(PCB).Cir.No.56/13.04.00/2013-14
Interest Tax Act 1974 – Collection from Borrowers
May 5, 2014
913
Mail Box Clarification
Gold related Queries
April 23, 2014
914
DBOD.No.BP.BC.107/21.04.048/2013-14
Fund / Non-Fund based Credit Facilities to Overseas Joint Ventures / Wholly Owned Subsidiaries / Wholly owned Step-down Subsidiaries of Indian Companies
April 22, 2014
915
RPCD.FID.BC.No.96/12.01.011/2013-14
Scaling up of the Business Correspondent (BC) Model – Issues in Cash Management
April 22, 2014
916
Mail Box Clarification
Prudential Norms for Conversion of Unpaid Interest into ‘Funded Interest Term Loan’ (FITL), Debt or Equity Instruments
April 11, 2014
917
DBOD.IBD.No.105/23.01.001/2013-14
Policy for Sale and Purchase of Property and Acquiring / letting out Property on Lease / Rental basis by Banks at their Overseas Centres
April 9, 2014
918
Notification No.DNBS.(PD)274/CGM(NSV)-2014
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
April 7, 2014
919
DBOD.No.IBD.BC.104/23.67.001/2013-14
Gold (Metal) Loans (GMLs)
April 2, 2014
920
UBD.BPD.(PCB).Cir.No.53/13.05.000/2013-14
Guidelines on Sale of Financial Assets to Securitisation Company / Reconstruction Company (SC / RC) by Multi State Urban Cooperative Banks
March 28, 2014
921
DBOD.No.BP.BC.102/21.06.201/2013-14
Implementation of Basel III Capital Regulations in India – Capital Planning
March 27, 2014
922
DBOD.No.DEAF.Cell.BC.101/30.01.002/2013-14
The Depositor Education and Awareness Fund Scheme, 2014 – Section 26A of Banking Regulation Act, 1949
March 21, 2014
923
RPCD.RRB.RCB.AML.No.10292/07.51.018/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 13, 2014
924
RPCD.CO.RCB.BC.No.90/07.51.010/2013-14
Ensuring Reasonableness of Bank Charges and Charges Levied for Sending SMS Alerts by State Cooperative Banks (StCBs) / District Central Cooperative Banks (DCCBs)
March 5, 2014
925
DBOD.AML.No.15245/14.01.001/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 5, 2014
926
RPCD.CO.RRB.RCB.BC.NO.85/03.05.33/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
February 11, 2014
927
RPCD.CO.RRB/RCB.Dir.No.86/03.05.33/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
February 11, 2014
928
DBOD.No.BP.BC.96/21.06.102/2013-14
Guidelines on Management of Intra-Group Transactions and Exposures
February 11, 2014
929
UBD.BPD.(PCB).Cir.No.47/13.01.000/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
February 7, 2014
930
DBOD.No.BP.95/21.04.048/2013-14
Utilisation of Floating Provisions / Counter Cyclical Provisioning Buffer
February 7, 2014
931
Mail Box Clarification
FCNR (B) / NRE Deposits – Exemption from ANBC
February 6, 2014
932
RPCD.CO.RRB.RCB.BC.No.82/03.05.33/2013-14
Bank Rate
January 29, 2014
933
DBOD.No.Ret.BC.88/12.01.001/2013-14
Bank Rate
January 28, 2014
934
UBD.BPD.(PCB).Cir.No.46/16.11.00/2013-14
Revision in Bank Rate
January 28, 2014
935
RPCD.CO.RRB.RCB.BC.No.79/03.05.33/2013-14
Legal Guardianship Certificates Issued under the Mental Health Act, 1987 and National Trust for the Welfare of Persons with Autism, Cerebral Palsy,Mental Retardation and Multiple Disabilities Act, 1999
January 28, 2014
936
UBD.BPD.(PCB).Cir.No.45/13.05.000/2013-14
Housing Sector : New Sub-Sector CRE-Residential Housing (CRE-RH) Segment within CRE Sector & Rationalisation of Provisioning and Risk Weight
January 28, 2014
937
RPCD.RRB.RCB.BC.No.80/07.51.014/2013-14
Collection of Account Payee Cheques – Prohibition on Crediting Proceeds to Third Party Account
January 28, 2014
938
Notification No. DNBS(PD).No.271/CGM(NSV)-2014
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 23, 2014
939
Notification No.DNBS(PD).No.272/CGM(NSV)-2014
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 23, 2014
940
Notification No.DNBS.(PD-SC/RC).No.10/PCGM.(NSV)/-2014
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003 (Amendment)
January 23, 2014
941
RPCD.CO.RRB.BC.No.78/03.05.33/2013-14
Ensuring Reasonableness of Bank Charges and Charges Levied for Sending SMS Alerts by Regional Rural Banks (RRBs)
January 22, 2014
942
UBD.BPD.(PCB).CIR.No.44/13.01.000/2013-14
Legal Guardianship Certificates Issued under the Mental Health Act, 1987 and National Trust for the Welfare of Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities Act, 1999
January 21, 2014
943
DBOD.No.Leg.BC.84/09.07.005/2013-14
Legal Guardianship Certificates issued under the Mental Health Act, 1987 and National Trust for the Welfare of Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities Act, 1999
January 13, 2014
944
Notification No.DNBS(PD).269/PCGM (NSV)-2014
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 8, 2014
945
Notification No.DNBS(PD).270/PCGM(NSV)-2014
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 8, 2014
946
DBOD.No.BP.BC.82/21.06.217/2013-14
Banks’ Exposure to Central Counterparties (CCPs) – Interim Arrangements
January 7, 2014
947
RPCD.CO.RRB.BC.No./74/03.05.33/2013-14
Guidelines for Classification and Valuation of Investments
January 7, 2014
948
RPCD.RCB.BC.73/07.51.012/2013-14
Application of Minimum Capital Adequacy Norms to State and Central Cooperative Banks (StCBs / CCBs)
January 7, 2014
949
Notification No.DNBS.267/PCGM(NSV)-2014
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 1, 2014
950
Notification No.DNBS.268/PCGM(NSV)-2014
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
January 1, 2014
951
DBOD.No.BP.BC.81/21.06.201/2013-14
Basel III Capital Regulations – Capital Requirements for Credit Valuation Adjustment Risk on OTC Derivatives and for Banks’ Exposures to Central Counterparties
December 31, 2013
952
Mail Box Clarification
Deferment of Premium Receivable on Sold Options / Option Structures : Applicability for Interbank Clients
December 24, 2013
953
DBOD.No.BP.BC.78/21.04.048/2013-14
Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances – Credit Card Accounts
December 20, 2013
954
RPCD.RRB.RCB.AML.No.6235/07.51.018/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
December 10, 2013
955
UBD.CO.BPD.(PCB).Cir.No.42/12.05.001/2013-14
Charges Levied by Banks for Sending SMS Alerts
December 6, 2013
956
UBD.BPD(AD).Cir.No.6/14.01.062/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
December 6, 2013
957
UBD.CO.BPD.(PCB).Cir.No.41/12.05.001/2013-14
Timely Issue of TDS Certificate to Customers
December 5, 2013
958
RPCD.CO.RRB.BC.NO.62/03.05.33/2013-14
Periodicity of Payment of Interest on Rupee Savings / Term Deposits
December 2, 2013
959
RPCD.CO.RRB.BC.NO.65/03.05.33/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
December 2, 2013
960
RPCD.CO.RRB.Dir.No.64/03.05.33/2013-14
Interest Rates on FCNR(B) Deposits
December 2, 2013
961
RPCD.CO.RRB.Dir.No.66/03.05.33/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
December 2, 2013
962
RPCD.CO.RRB/RCB.BC.NO.63/03.05.33/2013-14
Interest Rates on FCNR (B) Deposits
December 2, 2013
963
RPCD.RCB.BC.Dir.No.67/07.51.014/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
December 2, 2013
964
RPCD.RCB.BC.No.68/07.51.014/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
December 2, 2013
965
UBD.BPD.(PCB).Cir.No.40/13.01.000/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
December 2, 2013
966
UBD.BPD.AD.Cir.No.5/13.01.000/2013-14
Interest Rates on FCNR(B) Deposits
December 2, 2013
967
UBD.BPD.Dir.No.4/13.01.000/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
December 2, 2013
968
UBD.BPD.Dir.No.5/13.01.000/2013-14
Interest Rates on FCNR(B) Deposits
December 2, 2013
969
DBOD.BP.BC.No.75/21.04.103/2013-14
Guidelines on Stress Testing
December 2, 2013
970
DBOD.No.FSD./24.01.018/2013-14
Entry of Banks into Insurance Business – Insurance Broking Business
November 29, 2013
971
Notification No.DNBS.265/PCGM(NSV)-2013
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
November 29, 2013
972
Notification No.DNBS.266/PCGM(NSV)-2013
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
November 29, 2013
973
DBOD.CID.BC.No.74/20.16.042/2013-14
Investment in Credit Information Companies
November 29, 2013
974
DBOD.AML.No.10604/14.01.001/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
November 29, 2013
975
DBOD.No.Dir.BC.67/13.10.00/2013-14
Charges Levied by Banks for Sending SMS Alerts
November 26, 2013
976
DBOD.BP.BC.No.66/08.12.014/2013-14
Financing of Infrastructure – Definition of ‘Infrastructure Lending’
November 25, 2013
977
UBD.BPD.(PCB).CIR.No.39/13.05.006/2013-14
Performance Audit of Agricultural Debt Waiver & Debt Relief Scheme 2008
November 20, 2013
978
UBD.CO.BPD.(PCB).Cir.No.38/13.05.000/2013-14
Undertaking of Activity by the UCBs as PAN Service Agent (PSA) for providing PAN issuance Services to its Customers by entering into tie-up with UTI Infrastructure and Technology Services Ltd (UTIITSL)
November 14, 2013
979
UBD.BPD.PCB.Cir.No.37/09.22.010/2013-14
Advances Guaranteed by Credit Risk Guarantee Fund Trust for Low Income Housing (CRGFTLIH) – Risk Weights and Provisioning
November 14, 2013
980
UBD.CO.BPD.PCB.Cir.No.14/09.18.300/2013-14
Implementation of Core Banking Solution (CBS) by Urban Co-operative Banks (UCBs)
November 9, 2013
981
DBOD.No.Leg.BC.65/09.07.005/2013-14
Timely Issue of TDS Certificate to Customers
November 6, 2013
982
UBD.BPD.(PCB).Cir.No.35/13.01.000/2013-14
Financial Inclusion – Access to Banking Services – Basic Savings Bank Deposit Account (BSBDA) – FAQs
October 31, 2013
983
RPCD.CO.RRB.RCB.BC.No.50/03.05.33/2013-14
Bank Rate
October 30, 2013
984
DBOD.No.Ret.BC.64/12.01.001/2013-14
Bank Rate
October 29, 2013
985
UBD.BPD.(PCB).Cir.No.33/16.11.00/2013-14
Revision in Bank Rate
October 29, 2013
986
DBOD.NO.PSBD.BC.62/16.13.100/2013-14
Amendments to Banking Regulation Act 1949 – Banking Laws (Amendment) Act 2012 – Applicability to Private Sector Banks
October 23, 2013
987
DBOD.No.BAPD.BC.60/22.01.001/2013-14
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy
October 21, 2013
988
Mail Box Clarification
Master Circular – Basel III Capital Regulations – Applicable Risk Weights for ECGC Guaranteed Exposures
October 18, 2013
989
DBOD.BP.BC.No.59/21.06.007/2013-14
Change of Name of SME Rating Agency of India Limited to SMERA Ratings Limited (SMERA)
October 17, 2013
990
UBD.CO.LS.(PCB).Cir.No.30/07.01.000/2013-14
Section 23 of B. R. Act, 1949 (AACS) – Authorization for Specialized Branches – Central Processing Centres (CPCs) / Retail Assets Processing Centres etc.
October 15, 2013
991
UBD.CO.BPD.(PCB).Cir.No.29/13.05.000/2013-14
Unsecured Exposure Norms for UCBs
October 10, 2013
992
RPCD.CO.RRB.RCB.No.44/03.05.33/2013-14
Bank Rate
October 8, 2013
993
RPCD.CO.RCB.BC.No.43/07.51.013/2013-14
Housing Sector : Innovative Housing Loan Products – Upfront Disbursal of Housing Loans
October 8, 2013
994
UBD.CO.BPD.(PCB).MC.No.18/09.09.001/2013-14
Revised guidelines on Lending to Priority Sector for UCBs
October 8, 2013
995
DBOD.No.Ret.BC.58/12.01.001/2013-14
Bank Rate
October 7, 2013
996
UBD.BPD.(PCB).Cir.No.28/16.11.00/2013-14
Revision in Bank Rate
October 7, 2013
997
UBD.BPD.(PCB)CIR No.22/13.05.006/2013-14
Performance Audit of Agricultural Debt Waiver & Debt Relief Scheme (ADWDRS), 2008 by CAG & Re-verification Exercise by the Banks
September 30, 2013
998
UBD.BPD.(PCB)Cir.No.21/14.01.062/2013-14
Foreign Contribution (Regulation) Rule, 2011- Online Reporting of Receipt of Foreign Contribution by banks – Primary (Urban) Cooperative Banks
September 27, 2013
999
DBOD.Dir.BC.No.57/04.02.001/2013-14
Export Credit in Foreign Currency
September 25, 2013
1000
Mail Box Clarification
Setting off FCNR (B) / NRE Deposits – CRR / SLR and PSL Targets
September 23, 2013
1001
DBOD.AML.No.4814/14.08.001/2013-14
Foreign Contribution (Regulation) Rule, 2011 – Online Reporting of Receipt of Foreign Contribution by Banks
September 20, 2013
1002
DBOD.No.Ret.BC.56/12.01.001/2013-14
Bank Rate
September 20, 2013
1003
RPCD.CO.RRB.RCB.BC.No.39/03.05.33/2013-14
Bank Rate
September 20, 2013
1004
RPCD.CO.RRB.RCB.No.40/03.05.33/2013-14
Section 42(1) of the Reserve Bank of India Act, 1934 – Change in Daily Minimum Cash Reserve Maintenance Requirement
September 20, 2013
1005
UBD.BPD.(PCB).Cir.No.19/16.11.00/2013-14
Revision in Bank Rate
September 20, 2013
1006
DBOD.No.BAPD.BC.54/22.01.001/2013-14
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy
September 19, 2013
1007
RPCD.RRB.RCB.AML.BC.No.36/07.51.018/2013-14
Financial Inclusion – Access to Banking Services – Basic Savings Bank Deposit Account (BSBDA) – FAQs
September 17, 2013
1008
UBD.CO.BPD.(PCB).Cir.No.17/09.22.010/2013-14
Housing Sector : Innovative Housing Loan Products – Upfront Disbursal of Housing Loans – Primary (Urban) Co-operative Banks
September 17, 2013
1009
Notification No.DNBS(PD).263/CGM(NSV)-2013
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
September 16, 2013
1010
Notification No.DNBS(PD).264/CGM(NSV)-2013
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
September 16, 2013
1011
DBOD.No.Leg.BC.52/09.07.005/2013-14
Financial Inclusion – Access to Banking Services – Basic Savings Bank Deposit Account (BSBDA) – FAQs
September 11, 2013
1012
RPCD.RRB.BC.No.29/03.05.33/2013-14
Housing Sector : Innovative Housing Loan Products – Upfront Disbursal of Housing Loans
September 11, 2013
1013
UBD.BPD(AD).Cir.No.4/14.01.062/2013-14
Foreign students studying in India – KYC Procedure for Opening of bank Accounts – Primary (Urban) Cooperative Banks (UCBs)
September 10, 2013
1014
RPCD.CO.RCB.BC.No.30/07.51.014/2013-14
Settlement of Claims of Deceased Depositor – Simplification of Procedure – Placing of claim forms on bank’s Website
September 10, 2013
1015
RPCD.CO.RRB.BC.No.33/03.05.33/2013-14
Settlement of Claims of Deceased Depositor – Simplification of Procedure – Placing of Claim Forms on Bank’s Website
September 10, 2013
1016
UBD.CO.BPD.(PCB).Cir.No.13/09.22.010/2013-14
Finance for Housing Schemes – Primary (Urban) Co-operative Banks – Loans for Repairs / Additions / Alterations – Enhancement of Limits
September 10, 2013
1017
UBD.BPD.(PCB)CIR No.10/13.01.000/2013-14
Settlement of Claims of Deceased Depositor – Simplification of Procedure – Placing of Claim Forms on Bank’s Website
September 5, 2013
1018
DNBS.(PD):261/2013-14
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998 (Amendment)
September 3, 2013
1019
DNBS.(PD):262/2013-14
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
September 3, 2013
1020
UBD.BPD.(PCB)CIR.No.8/13.01.000/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
September 3, 2013
1021
DBOD.BP.BC.No.51/08.12.015/2013-14
Housing Sector : Innovative Housing Loan Products – Upfront Disbursal of Housing Loans
September 3, 2013
1022
DBOD.No.Leg.BC.48/09.07.005/2013-14
Settlement of Claims of Deceased Depositor – Simplification of Procedure – Placing of Claim Forms on Bank’s Website
September 3, 2013
1023
DBOD.AML.BC.No.44/14.01.001/2013-14
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under Prevention of Money Laundering Act (PMLA), 2002 – e-KYC Service of UIDAI – Recognising on-line Aadhaar Authentication (Electronic Verification Process) to be Accepted as an ‘Officially Valid Document’ under PML Rules
September 2, 2013
1024
DBOD.NO.BAPD.BC.46/22.01.009/2013-14
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents for Distribution of Banknotes and Coins – Alternative Avenues
September 2, 2013
1025
UBD.BPD.(AD).Cir.No.3/13.05.000/2013-14
Interest Rates on Rupee Export Credit – UCBs
August 30, 2013
1026
UBD.BPD.DIR No.3/13.01.000/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
August 30, 2013
1027
UBD.BPD.(PCB).Cir.No.7/09.72.000/2013-14
Donations to Trusts and Institutions Where Directors, their Relatives Hold Position or are Interested
August 30, 2013
1028
UBD.BPD.(PCB).MC.No.15/12.03.000/2013-14
Master Circular on Maintenance of Statutory Reserves – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Primary (Urban) Co-operative Banks (Updated as on 28-08-2013)
August 28, 2013
1029
UBD.BPD.(PCB).CIR.No.5/13.01.000/2013-14
Section 42(1) of the Reserve Bank of India Act, 1934 and Section 18 and 24 of the Banking Regulation Act, 1949 (AACS) – FCNR (B) / NRE Deposits – Exemption from Maintenance of CRR / SLR and Exclusion from ABC for Priority Sector Lending
August 27, 2013
1030
UBD.BPD.Dir.(Exp).No.2/13.05.000/2013-14
Interest Rates on Rupee Export Credit – UCBs
August 26, 2013
1031
RPCD.RCB.BC.Dir.No.25/07.51.014/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
August 22, 2013
1032
RPCD.RCB.BC.No.26/07.51.014/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
August 22, 2013
1033
UBD.BPD.AD.CIR.No.2/13.01.000/2013-14
Interest Rates on FCNR(B) Deposits
August 21, 2013
1034
UBD.BPD.DIR.No.1/13.01.000/2013-14
Interest Rates on FCNR(B) Deposits
August 21, 2013
1035
RPCD.CO.RRB/RCB.BC.No.20/03.05.33/2013-14
Section 42(1) of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – FCNR(B) / NRE Deposits – Exemption from Maintenance of CRR / SLR
August 19, 2013
1036
RPCD.CO.RRB.BC.No.22/03.05.33/2013-14
Interest Rates on FCNR(B) Deposits
August 19, 2013
1037
RPCD.CO.RRB.BC.No.24/03.05.33/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
August 19, 2013
1038
RPCD.CO.RRB.Dir.No.21/03.05.33/2013-14
Interest Rates on FCNR(B) Deposits
August 19, 2013
1039
RPCD.CO.RRB.Dir.No.23/03.05.33/2013-14
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
August 19, 2013
1040
DBOD.No.Ret.BC.36/12.01.001/2013-14
Section 42(1) of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – FCNR(B) / NRE Deposits – Exemption from Maintenance of CRR / SLR and Exclusion from ANBC for Priority Sector Lending
August 14, 2013
1041
RPCD.CO.RRB.BC.No.18/03.05.33/2013-14
Frontloading of Branches in Unbanked Rural Areas
August 7, 2013
1042
Notification no.DNBS.259/CGM(CRS)-2013
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
August 2, 2013
1043
Notification No.DNBS.260/CGM(CRS)-2013
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
August 2, 2013
1044
RPCD.RRB.BC.No.17/03.05.33/2013-14
Recommendations of Damodaran Committee on Customer Service in Banks – Uniformity in Intersol Charges
July 31, 2013
1045
RPCD.CO.RRB.No.16/03.05.33/2013-14
Section 42(1) of the Reserve Bank of India Act, 1934 – Change in Daily Minimum Cash Reserve Maintenance Requirement
July 24, 2013
1046
DBOD.No.Ret.BC.31/12.01.001/2013-14
Bank Rate
July 15, 2013
1047
RPCD.CO.RRB.RCB.BC.No.13/03.05.33/2013-14
Bank Rate
July 15, 2013
1048
UBD.BPD.(PCB).Cir.No.1/16.11.00/2013-14
Revision in Bank Rate
July 15, 2013
1049
UBD.BPD(AD).Cir.No.1/14.01.062/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
July 9, 2013
1050
RPCD.RRB.RCB.AML.No.342/07.51.018/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 5, 2013
1051
Notification No. DNBS(PD).258/CGM.(CRS).2013
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998 (Amendment)
July 4, 2013
1052
DBOD.AML.No.314/14.01.001/2013-14
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 4, 2013
1053
DNBS(PD)CCNo.349/03.10.001/2013-14
Raising Money through Private Placement by NBFCs-Non-Convertible Debentures (NCDs) – Clarification
July 2, 2013
1054
DBOD.No.BP.BC.28/21.06.201/2013-14
Capital Requirements for Banks’ Exposures to Central Counterparties
July 2, 2013
1055
DNBS (PD)CCNo.334/03.02.001/2013-14
Notification as amended upto June 30, 2013 -‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008’
July 1, 2013
1056
DNBS.(PD-MGC).C.C.No.14/23.11.001/2013-14
Notification as amended upto June 30, 2013 – ‘Mortgage Guarantee Company (Reserve Bank) Guidelines, 2008’
July 1, 2013
1057
DNBS.(PD-MGC).C.C.No.15/23.11.001/2013-14
Notification as amended upto June 30, 2013 – ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’
July 1, 2013
1058
DNBS.(PD).CC.No.31/SCRC/26.03.001/2013-2014
Notification as amended upto June 30, 2013 – The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2013
1059
RPCD.CO.RRB.No.BL.BC.8/03.05.90/2013-14
Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 1, 2013
1060
DBOD.No.Dir.BC.26/13.03.00/2013-14
Recommendations of Damodaran Committee on Customer Service in Banks – Uniformity in Intersol Charges
July 1, 2013
1061
DNBS.(PD).CC.No.331/03.02.001/2013-14
Notification as Amended upto June 30, 2012 – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’
July 1, 2013
1062
DNBS.(PD).CC.No.332/03.02.001/2013-14
Notification as amended upto June 30, 2013 – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2013
1063
DNBS.(PD).CC.No.333/03.02.001/2013-14
Notification as amended upto June 30, 2013 – ‘Non-Banking Financial (Non – Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2013
1064
DNBS.(PD).CC.No.338/03.02.001/2013-14
Notification as amended upto June 30, 2013 – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2013
1065
DNBS(PD-MGC)C.C.No.16/23.11.001/2013-14
Notification as Amended upto June 30, 2013 – ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 1, 2013
1066
DNBS(PD)CC.No.32/SCRC/26.03.001/2013-2014
Notification as Amended upto June 30, 2013 – Change in or Take Over of the Management of the Business of the Borrower by Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines, 2010
July 1, 2013
1067
DBOD.AML.BC.No.24/14.01.001/2013-14
Master Circular – Know Your Customer (KYC) norms / Anti-Money Laundering (AML) standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under PMLA, 2002
July 1, 2013
1068
DBOD.BP.BC.No.6/21.04.172/2013-14
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2013
1069
DBOD.BP.BC.No.7/21.04.018/2013-14
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2013
1070
DBOD.FID.FIC.No.4/01.02.00/2013-14
Master Circular – Exposure Norms for Financial Institutions
July 1, 2013
1071
DBOD.No.BAPD.BC.18/22.01.001/2013-14
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2013
1072
DBOD.No.BP.BC.1/21.04.048/2013-14
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2013
1073
DBOD.No.BP.BC.2/21.06.201/2013-14
Master Circular – Basel III Capital Regulations
July 1, 2013
1074
DBOD.No.BP.BC.21/21.01.002/2013-14
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2013
1075
DBOD.No.BP.BC.8/21.04.141/2013-14
Master Circular – Prudential norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2013
1076
DBOD.No.BP.BC.9/21.06.001/2013-14
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF)
July 1, 2013
1077
DBOD.No.CID.BC.3/20.16.003/2013-14
Master Circular on Wilful Defaulters
July 1, 2013
1078
DBOD.No.Dir.BC.10/13.03.00/2013-14
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2013
1079
DBOD.No.Dir.BC.11/13.03.00/2013-14
Master Circular of Instructions Relating to Deposits held in FCNR(B) Accounts
July 1, 2013
1080
DBOD.No.Dir.BC.12/13.03.00/2013-14
Master Circular – Guarantees and Co-acceptances
July 1, 2013
1081
DBOD.No.Dir.BC.13/13.03.00/2013-14
Master Circular – Exposure Norms
July 1, 2013
1082
DBOD.No.Dir.BC.14/13.03.00/2013-14
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2013
1083
DBOD.No.Dir.BC.15/13.03.00/2013-14
Master Circular – Interest Rates on Advances
July 1, 2013
1084
DBOD.No.DIR.BC.16/04.02.002/2013-14
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 1, 2013
1085
DBOD.No.DIR.BC.17/08.12.001/2013-14
Master Circular – Housing Finance
July 1, 2013
1086
DBOD.No.FID.FIC.1/01.02.00/2013-14
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2013
1087
DBOD.No.FID.FIC.2/01.02.00/2013-14
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2013
1088
DBOD.No.FID.FIC.3/01.02.00/2013-14
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2013
1089
DBOD.No.FSD.BC.05/24.01.001/2013-14
Master Circular – Para-Banking Activities
July 1, 2013
1090
DBOD.No.FSD.BC.4/24.01.011/2013-14
Master Circular on Credit Card, Debit Card and Rupee Denominated Cobranded Prepaid Card Operations of Banks
July 1, 2013
1091
DBOD.No.Leg.BC.22/09.07.006/2013-14
Master Circular on Customer Service in Banks
July 1, 2013
1092
DBOD.No.Rajbhasha.BC.20/06.11.04/2013-14
Master Circular – Use of Hindi in Banks
July 1, 2013
1093
DBOD.No.Ret.BC.19/12.01.001/2013-14
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2013
1094
DNBS (PD) CC No.348/03.02.001/2013-14
Master Circular – The Non-Banking Financial Company -Factors (Reserve Bank) Directions, 2012
July 1, 2013
1095
DNBS (PD) CC.No.339/03.10.42/2013-14
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in Terms of Rules Notified thereunder’
July 1, 2013
1096
DNBS (PD)CC.No.33/SCRC/26.03.001/2013-2014
Master Circular on directions / instructions issued to the Securitisation Companies / Reconstruction Companies
July 1, 2013
1097
DNBS.(PD).CC.No.345/03.02.001/2013-14
Master Circular – Regulatory Framework for Core Investment Companies(CICs)
July 1, 2013
1098
DNBS.(PD)CC.No.347/03.10.38/2013-14
Master Circular – Introduction of New Category of NBFCs – ‘Non Banking Financial Company-Micro Finance Institutions’ (NBFC-MFIs) – Directions
July 1, 2013
1099
DNBS.PD.CC.No.335/03.10.042/2013-14
Master Circular – Returns to be submitted by NBFCs
July 1, 2013
1100
DNBS.PD.CC.No.336/03.02.004/2013-14
Master Circular- Exemptions from the provisions of RBI Act, 1934
July 1, 2013
1101
DNBS.PD.CC.No.337/03.10.042/2013-14
Master Circular – Frauds – Future approach towards Monitoring of Frauds in NBFCs
July 1, 2013
1102
DNBS(PD).CC.No.344./03.02.001/2013-14
Master Circulars – Miscellaneous Instructions to All Non-Banking Financial Companies
July 1, 2013
1103
DNBS(PD)CC No.340/03.10.042/2013-14
Master Circular – Fair Practices Code
July 1, 2013
1104
DNBS(PD)CC No.341/03.10.001/2013-14
Master Circular – Allied Activities – Entry into Insurance Business, Issue of Credit card and Marketing and Distribution of certain Products
July 1, 2013
1105
DNBS(PD)CC No.342/03.10.001/2013-14
Master Circular – Corporate Governance
July 1, 2013
1106
DNBS(PD)CC No.343/03.10.001/2013-14
Master Circulars – Miscellaneous Instructions to NBFC – ND – SI
July 1, 2013
1107
DNBS(PD)CC No.346/03.02.001/2013-14
Master Circular 2013 – Opening of Branch-Subsidiary-Joint Venture-Representative office or Undertaking Investment Abroad by NBFCs
July 1, 2013
1108
UBD.BPD.(PCB) MC No.1/13.05.000/2013-14
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2013
1109
UBD.BPD.(PCB).MC.No.10/12.05.001/2013-14
Master Circular on Customer Service – UCBs
July 1, 2013
1110
UBD.BPD.(PCB).MC.No.11/13.01.000/2013-14
Master Circular Interest Rates on Rupee Deposits – Primary (Urban) Co-operative Banks
July 1, 2013
1111
UBD.BPD.(PCB).MC.No.12/16.20.000/2013-14
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2013
1112
UBD.BPD.(PCB).MC.No.13/13.01.000/2013-14
Master Circular on Maintenance of Deposit Accounts – Primary (Urban) Co-operative Banks
July 1, 2013
1113
UBD.BPD.(PCB).MC.No.16/12.05.001/2013-14
Master Circular on Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Measures / Combating of Financing of Terrorism (CFT) / Obligations of Banks under Prevention of Money Laundering Act (PMLA), 2002
July 1, 2013
1114
UBD.BPD.(PCB).MC.No.2/09.22.010/2013-14
Master Circular – Finance for Housing Schemes – UCBs
July 1, 2013
1115
UBD.BPD.(PCB).MC.No.3/09.14.000/2013-14
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
July 1, 2013
1116
UBD.BPD.(PCB).MC.No.4/09.27.000/2013-14
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2013
1117
UBD.BPD.(PCB).MC.No.5/13.05.000/2013-14
Master Circular – Management of Advances – UCBs
July 1, 2013
1118
UBD.BPD.(PCB).MC.No.6/09.18.201/2013-14
Master Circular – Prudential Norms on Capital Adequacy – UCBs
July 1, 2013
1119
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2013-14
Master Circular on Inspection & Audit Systems in Primary (Urban) Co-operative Banks
July 1, 2013
1120
UBD.CO.BPD.MC.No.17/12.05.001/2013-14
Master Circular on Frauds – Classification and Reporting
July 1, 2013
1121
UBD.CO.BPD.MC.No.8/12.05.001/2013-14
Master Circular on Board of Directors – UCBs
July 1, 2013
1122
UBD.LS.(PCB).MC.No.14/07.01.00/2013-14
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2013
1123
DBOD.BP.BC.No.106/08.12.014/2012-13
Financing of Infrastructure – Definition of ‘Infrastructure Lending’
June 28, 2013
1124
DNBD(PD)CC.No.330/03.10.001/2012-13
Raising Money through Private Placement by NBFCs – Debentures etc.
June 27, 2013
1125
Notification No.DNBS.(PD)257/PCGM(NSV)-2013
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998 (Amendment)
June 27, 2013
1126
RPCD.CO.RRB.BC.No.78/03.05.33/2012-13
Acknowledgement by RRBs at the Time of Submission of Form 15-G / 15-H
June 24, 2013
1127
DBOD.BP.BC.No.104/08.12.015/2012-13
Housing Sector : New Sub-sector CRE (Residential Housing) within CRE & Rationalisation of Provisioning, Risk-weight and LTV Ratios
June 21, 2013
1128
DBOD.No.BP.BC.102/21.04.157/2012-13
Prudential Norms for Off-balance Sheet Exposures of Banks – Deferment of Option Premium
June 18, 2013
1129
Notification No. DNBS(PD).256/CGM(CRS)2013
Notification on Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007 (Amendment)
June 11, 2013
1130
Mail Box Clarification
Review of Prudential Guidelines on Restructuring of Advances by Banks and Financial Institutions
June 6, 2013
1131
UBD.BPD.(AD)Cir.No.4/13.05.000/2012-13
Interest Rates on Rupee Export Credit – UCBs
June 4, 2013
1132
UBD.BPD.Dir.(Exp).No.10/13.05.000/2012-13
Interest Rates on Rupee Export Credit
May 31, 2013
1133
DBOD.No.Leg.BC.100/09.07.005/2012-13
Acknowledgement by Banks at the Time of Submission of Form 15-G/15-H
May 31, 2013
1134
DBOD.NO.BAPD.BC.97/22.01.001/2012-13
Branch Authorisation Policy – Front Loading of Branches in Unbanked Rural Centres
May 28, 2013
1135
DBOD.No.BP.BC.98/21.06.201/2012-13
Guidelines on Composition of Capital Disclosure Requirements
May 28, 2013
1136
DBOD.BP.BC.No.95/21.06.001/2012-13
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Parallel Run and Prudential Floor
May 27, 2013
1137
UBD.CO.LS.(PCB).Cir.No.50/07.01.000/2012-13
Annual Business Plan – Elimination of requirement to Submit Proposal in Duplicate
May 24, 2013
1138
DBOD.No.Ret.BC.91/12.01.001/2012-13
Bank Rate
May 3, 2013
1139
RPCD.CO.RRB.RCB.BC.No.73/03.05.33/2012-13
Bank Rate
May 3, 2013
1140
UBD.BPD.(PCB).Cir.No.48/16.11.00/2012-13
Bank Rate
May 3, 2013
1141
Mail Box Clarification
Inclusion of Accrued Interest in the Net Demand and Time Liabilities (NDTL) for Maintenance of Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Scheduled Commercial Banks (SCBs)
April 25, 2013
1142
DBOD.No.BP.BC-90/21.04.048/2012-13
Advances Guaranteed by Credit Risk Guarantee Fund Trust for Low Income Housing (CRGFTLIH) – Risk Weights and Provisioning
April 16, 2013
1143
Mail Box Clarification
Relationship between Modified Duration Gap (MDG) and Sensitivity of Market Value of its Equity (MVE) to Interest Rate Changes
April 5, 2013
1144
UBD.BPD(AD)Cir.No.3/14.01.062/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
April 4, 2013
1145
UBD.BPD.(PCB)Cir.No.45/13.05.000/2012-13
Unsecured Exposure Norms for UCBs
April 3, 2013
1146
DBOD.No.BP.BC.89.21.04.009/2012-13
New Capital Adequacy Framework – Non-market related Off Balance Sheet Items – Bank Guarantees
April 2, 2013
1147
DBOD.No.BP.BC.88/21.06.201/2012-13
Guidelines on Implementation of Basel III Capital Regulations in India – Clarifications
March 28, 2013
1148
DBOD.No.Ret.BC.84/12.01.001/2012-13
Bank Rate
March 19, 2013
1149
RPCD.CO.RRB.RCB.BC.No.69/03.05.33/2012-13
Bank Rate
March 19, 2013
1150
UBD.BPD.(PCB).Cir.No.44/16.11.00/2012-13
Bank Rate
March 19, 2013
1151
DBOD.BP.BC.No.83/08.12.014/2012-13
Prudential Norms on Advances to Infrastructure Sector
March 18, 2013
1152
RPCD.RRB.RCB.AML.No.9753/07.51.018/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 15, 2013
1153
DBOD.AML.No.12913/14.01.001/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 11, 2013
1154
UBD.BPD(PCB)Cir.No.40/13.05.000/2012-13
Performance Audit of Agricultural Debt Waiver and Debt Relief Scheme, 2008
March 7, 2013
1155
UBD.CO.BPD.Cir.No.38/12.05.001/2012-13
In the High Court of Delhi at New Delhi CP No. 265/1998 – Reserve Bank of India v. JVG Finance Ltd CP No. 123/2010 – Brain Bridge Advertising & Marketing Pvt. Ltd. v. Ambika R & D Pvt. Ltd. – Court Order dated September 26, 2012
February 27, 2013
1156
DBOD.No.IBD.BC.81/23.67.001/2012-13
Gold Deposit Scheme
February 14, 2013
1157
RPCD.RCB.BC.No.64/07.51.014/2012-13
Bank Finance for Purchase of Gold
February 7, 2013
1158
UBD.BPD.(PCB).Cir.No.36/13.05.001/2012-13
Bank Finance for Purchase of Gold
February 6, 2013
1159
UBD.BPD.(PCB).Cir.No.35/16.11.00/2012-13
Bank Rate
January 30, 2013
1160
DBOD.No.Ret.BC.75/12.01.001/2012-13
Notification on Maintenance of Cash Reserve Ratio (CRR)
January 29, 2013
1161
DBOD.No.Ret.BC.76/12.01.001/2012-13
Maintenance of Cash Reserve Ratio (CRR)
January 29, 2013
1162
DBOD.No.Ret.BC.77/12.01.001/2012-13
Bank Rate
January 29, 2013
1163
DBOD.No.Ret.BC.79/12.01.001/2012-13
Notification on Maintenance of Cash Reserve Ratio (CRR)
January 29, 2013
1164
RPCD.CO.RRB.RCB.BC.No.62/03.05.33/2012-13
Bank Rate
January 29, 2013
1165
DBOD.BP.BC.No.72/21.01.002/2012-13
Retail Issue of Subordinated Debt for Raising Tier II Capital
January 24, 2013
1166
UBD.BPD.(AD)Cir.No.2/13.05.000/2012-13
Interest Rates on Rupee Export Credit – UCBs
January 22, 2013
1167
UBD.BPD.Dir.(Exp).No.9/13.05.000/2012-13
Notification on Interest Rates on Rupee Export Credit
January 21, 2013
1168
UBD.BPD.(PCB).CIR.No.32/13.01.000/2012-13
Settlement of Claims in Respect of Deceased Depositors – Simplification of Procedure – UCBs
January 21, 2013
1169
UBD.BPD.PCB.Cir.No.31/13.05.000/2012-13
Performance Audit of Agricultural Debt Waiver and Debt Relief Scheme, 2008
January 15, 2013
1170
DBOD.No.BP.BC-68/21.04.048/2012-13
Review of Circulars Issued to Private Sector Banks on Writing-off of Bad Debts / Losses, Compromise Proposals – Delegation of Powers
January 1, 2013
1171
Notification no. DNBS.253/CGM(CRS)-2012
Notification on Definition of ‘Infrastructure Loan’ of NBFCs – Harmonisation
December 28, 2012
1172
Notification no. DNBS.254/CGM(CRS)-2012
Notification on Definition of ‘Infrastructure Loan’ of NBFCs – Harmonisation
December 28, 2012
1173
RPCD.CO.RCB.BC.No.53/07.51.010/2012-13
The Co-operative Banks (Nomination) Rules, 1985 – Clarifications
December 24, 2012
1174
RPCD.CO.RCB.BC.No.6335/07.51.010/2012-13
The Co-operative Banks (Nomination) Rules, 1985 – Clarifications
December 24, 2012
1175
DNBS.PD/CC.NO.316/03.10.001/2012-13
Standardisation and Enhancement of Security Features in Cheque Forms – Migrating to CTS 2010 Standards
December 20, 2012
1176
RPCD.CO.RRB.RCB.AML.No.6163/07.51.018/2012-13
Anti Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
December 17, 2012
1177
RPCD.RRB.BC.No.52/03.05.33/2012-13
Conversion of Term Deposits, Daily Deposits or Recurring Deposits for Reinvestment in Term Deposits by Regional Rural Banks
December 14, 2012
1178
UBD.BPD.(PCB)Cir.No.27/13.04.002/2012-13
Setting up of Central Electronic Registry under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002
December 14, 2012
1179
RPCD.RRB.BC.No.51/03.05.33/2012-13
The Banking Companies (Nomination) Rules, 1985 – Clarifications
December 12, 2012
1180
DBOD.AML.No.8422/14.01.001/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
December 12, 2012
1181
Notification No.DNBS.(PD)252/CGM(US)-2012
Notification on Core Investment Companies – Overseas Investment (Reserve Bank) Directions, 2012
December 6, 2012
1182
RPCD.RRB.No.BC.49/03.05.33/2012-13
NPA Management – Requirement of an Effective Mechanism and Granular Data
December 6, 2012
1183
RPCD.CO.BC.50/03.05.33/2012-13
Bank Finance for Purchase of Gold
December 5, 2012
1184
UBD.BPD (PCB)Cir.No.25/13.01.000/2012-13
The Co-operative Banks (Nomination) Rules, 1985 – Clarifications
December 3, 2012
1185
DBOD.BP.BC.No.62/21.04.103/2012-13
Second Quarter Review of Monetary Policy 2012-13 – Non-Performing Assets (NPAs) and Restructuring of Advances
November 21, 2012
1186
DBOD.NO.BAPD.BC.60/22.01.001/2012-13
Branch Authorisation Policy – Opening of Administrative / Controlling Offices in Tier 1 Centres
November 20, 2012
1187
DBOD.No.BAPD.BC.59/22.01.003/2012-13
Acquisition of Accommodation on Lease / Rental basis by Commercial Banks for their use (i.e. for Office and Residence of Staff)
November 20, 2012
1188
DBOD.BP.BC.No.58/08.12.014/2012-13
Second Quarter Review of Monetary Policy 2012-13 – Definition of ‘Infrastructure Lending’
November 20, 2012
1189
DBOD.No.Dir.BC.57/13.03.00/2012-13
Bank Finance for Purchase of Gold
November 19, 2012
1190
DBOD.BP.No.56/21.04.098/2012-13
Liquidity Risk Management by Banks
November 7, 2012
1191
RPCD.CO.RRB.BC.No.43/03.05.90/2012-13
Branch Licensing Policy – Opening of Branches in Unbanked Rural Centres
November 6, 2012
1192
DBOD.No.BP.BC.54/21.06.007/2012-13
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Change of Name of Fitch Ratings to India Ratings and Research Private Limited (India Ratings)
November 5, 2012
1193
RPCD.CO.RRB.No.BL.BC.42/03.05.90/2012-13
Master Circular on Branch Licensing – Regional Rural Banks – Amendment
November 2, 2012
1194
RPCD.CO.RRB.BC.No.41/03.05.33/2012-13
NEFT System
November 1, 2012
1195
DBOD.No.Ret.BC.51/12.01.001/2012-13
Notification on Section 42(1) of the Reserve Bank of India Act, 1934 Maintenance of Cash Reserve Ratio (CRR)
October 30, 2012
1196
RPCD.CO.RCB.RRB.BC.No.38/03.05.33/2012-13
Notification on Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
October 30, 2012
1197
RPCD.CO.RCB.RRB.BC.No.39/03.05.33/2012-13
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
October 30, 2012
1198
DBOD.No.BP.BC.50/21.04.012/2012-13
Relaxation to Trade and Industry in the State of Jammu & Kashmir
October 23, 2012
1199
UBD.CO.BPD.(PCB).Cir.No.20/12.05.001/2012-13
Supervisory Action Framework (SAF) for Urban Co-operative Banks (UCBs)
October 17, 2012
1200
DNBS(PD).CC.No.307/03.10.42/2012-13
Uploading of Reports in ‘Test Mode’ on FINnet Gateway Reporting
October 16, 2012
1201
UBD.BPD.(PCB).Cir.No.19/14.01.062/2012-13
Uploading of Reports in ‘Test Mode’ on FINnet Gateway
October 15, 2012
1202
RPCD.No.RRB.BC.35/03.05.90/2012-13
Banking Facilities to Visually Challenged / Persons with Disabilities
October 11, 2012
1203
RPCD.No.RRB.BC.33/.03.05.033/2012-13
Interest Rate on Deposits
October 8, 2012
1204
UBD.BPD(PCB)Cir.No.13/14.01.062/2012-13
Uploading of Reports in ‘Test Mode’ on FINnet Gateway
September 27, 2012
1205
DBOD.DIR.BC.No.45/04.02.001/2012-13
Notification on Interest Rate Ceiling on Lines of Credit with Overseas Banks
September 27, 2012
1206
DBOD.DIR.No.46/04.02.001/2012-13
Interest Rate Ceiling on Lines of Credit with Overseas Banks
September 27, 2012
1207
UBD.BPD.(PCB)Cir.No.12/09.16.900/2012-13
Financial Restructuring of UCBs
September 26, 2012
1208
RPCD.CO.RCB.RRB.BC.No.27/07.02.01/2012-13
Notification on Section 42(1) of the Reserve Bank of India Act, 1934 Maintenance of Cash Reserve Ratio (CRR)
September 18, 2012
1209
RPCD.CO.RCB.RRB.BC.No.28/07.02.01/2012-13
Section 42(1) of the Reserve Bank of India Act, 1934 Maintenance of Cash Reserve Ratio (CRR)
September 18, 2012
1210
Notification No.DNBS.250/CGM(US)-2012
Notification on Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
September 14, 2012
1211
Notification No.DNBS.251/CGM(US)-2012
Notification on Non-Banking Financial (Non- Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
September 14, 2012
1212
DBOD.No.BP.BC/42/21.04.048/2012-13
NPA Management – Requirement of an Effective Mechanism and Granular Data
September 14, 2012
1213
DBOD.No.BP.BC.41/21.06.009/2012-13
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) Eligible Credit Rating Agencies – SME Rating Agency of India Ltd. (SMERA)
September 13, 2012
1214
UBD.BPD.(PCB).Cir.No.8/14.01.062/2012-13
Know Your Customer (KYC) / Anti-Money Laundering (AML) /Combating of Financing of Terrorism (CFT) – Risk Categorization and Updation of Customer Profiles – Primary (Urban) Co-operative Banks
September 13, 2012
1215
Mail Box Clarification
Opening of Ultra Small Branches in Rural Areas
September 11, 2012
1216
Mail Box Clarification
Applicability of Irrevocable Payment Commitments
September 11, 2012
1217
DBOD.BP.BC.No.40/21.04.172/2012-13
Bank Finance to Factoring Companies
September 11, 2012
1218
UBD.BPD.Cir.No.7/13.01.000/2012-13
Interest Rate on Deposits
September 6, 2012
1219
DBOD.No.Leg.BC.38/09.07.005/2012-13
Banking Facilities to Visually Challenged / Persons with Disabilities
September 5, 2012
1220
UBD.BPD.(PCB)CIR.No.6/13.01.000/2012-13
Premature Repayment of Term / Fixed Deposits in banks with ‘Either or Survivor’ or ‘Former or Survivor’ mandate – Clarification
August 30, 2012
1221
RPCD.CO.RCB.BC.No.26/07.38.01/2012-13
Interest Rate on Deposits
August 28, 2012
1222
RPCD.CO.RRB.RCB.BC./03.05.33/2012-13
Repayment of Term / Fixed Deposits with ‘Either or Survivor’ or ‘Former or Survivor’ Mandate
August 23, 2012
1223
RPCD.CO.RRB.RCB.BC.No.24/07.38.01/2012-13
Financial Inclusion – access to banking Services – Basic Savings Bank Deposit Account
August 22, 2012
1224
UBD.BPD.Cir.No.5/13.01.000/2012-13
Financial Inclusion – Access to Banking Services – Basic Savings Bank Deposit Account
August 17, 2012
1225
DBOD.No.Leg.BC.37/09.07.005/2012-13
Premature Repayment of Term / Fixed Deposits in Banks with ‘Either or Survivor’ or ‘Former or Survivor’ mandate – Clarification
August 16, 2012
1226
DBOD.No.Leg.BC.35/09.07.005/2012-13
Financial Inclusion – Access to Banking Services Basic Savings Bank Deposit Account
August 10, 2012
1227
UBD.BPD(AD)Cir.No.1/14.01.062/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
August 3, 2012
1228
RPCD.CO.RRB.BC.No.22/03.05.28(B)/2012-13
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
August 1, 2012
1229
RPCD.CO.RRB.No.21/03.05.28(B)/2012-13
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
August 1, 2012
1230
DBOD.DIR.No.34/04.02.001/2012-13
Advances – Out of pocket expenses
August 1, 2012
1231
RPCD.CO.RRB.BL.BC.No.18/03.05.90/2011-12
Simplification of the Procedure for Branch Licensing
August 1, 2012
1232
RPCD.CO.RRB.BL.BC.No.19/03.05.90/2011-12
Relaxation in Branch Licensing Policy – Tier 2 Centres
August 1, 2012
1233
RPCD.CO.RRB.NO.16/03.05.33(C)/2012-13
Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 31, 2012
1234
RPCD.CO.RRB.NO.17/03.05.33(C)/2012-13
Interest Rates Deposits held in FCNR(B)& Accounts
July 31, 2012
1235
RPCD.CO.RRB.RCB.AML.No.838/03.05.28(A)/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 30, 2012
1236
DBOD.AML.No.1594/14.01.001/2012-13
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 27, 2012
1237
RPCD.CO.RCB.BC.Dir.No.14/07.38.01/2012-13
Interest Rate on Deposit held in FCNR(B) Accounts
July 23, 2012
1238
DBOD.No.BP.BC.31/21.04.157/2012-13
Prudential Norms for Off-balance Sheet Exposures of Banks
July 23, 2012
1239
Notification DNBS.PD.No.247/CGM(US)-2012
Notification on The Non-Banking Financial Company – Factors (Reserve Bank)Directions, 2012
July 23, 2012
1240
Mail Box Clarification
Home Loans – Levy of Fore – Closure Charges / Pre-payment Penalty
July 17, 2012
1241
UBD.BPD.(PCB)Cir.No.3/14.01.062/2012-13
Intra-bank Deposit Accounts Portability
July 10, 2012
1242
DBOD.No.BP.BC.28/21.06.001/2012-13
Prudential Guidelines on Capital Adequacy Treatment of Head Office Debit Balance – Foreign Banks
July 9, 2012
1243
UBD.BPD.(PCB).Cir.No.4/12.05.001/2012-13
Declaration of Dividend by UCBs
July 5, 2012
1244
RPCD.CO.RRB.BC.No.10/03.05.033/2012-13
Section 42 of the RBI Act, 1934 – Maintenance of CRR on Foreign Currency (Non-Resident) [FCNR (B)] Scheme
July 2, 2012
1245
DNBS(PD)CC.No.28/SCRC/26.03.001/2012-2013
Notification as Amended upto June 30, 2012 – The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 2, 2012
1246
DNBS(PD)CC.No.280/03.02.001/2012-13
Notification as Amended upto June 30, 2012 ‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008’
July 2, 2012
1247
DNBS(PD)CC.No.284/03.02.001/2012-13
Notification as Amended upto June 30, 2012 ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 2, 2012
1248
RPCD.CO.RRB.No.BL.BC.05/03.05.090/2012-13
Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 2, 2012
1249
DNBS.(PD).CC.No.277/03.02.001/2012-13
Notification as Amended upto June 30, 2012 – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’
July 2, 2012
1250
DNBS.(PD).CC.No.278/03.02.001/2011-12
Notification as amended upto June 30, 2012 – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 2, 2012
1251
DNBS.(PD).CC.No.279/03.02.001/2012-13
Notification as Amended upto June 30, 2012 – ‘Non-Banking Financial (Non – Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 2, 2012
1252
DNBS(PD-MGC)C.C.No.11/23.11.001/2012-13
Notification as amended upto June 30, 2012 – Mortgage Guarantee Company (Reserve Bank) Guidelines, 2008
July 2, 2012
1253
DNBS(PD-MGC)C.C.No.12/23.11.001/2012-13
Notification as amended upto June 30, 2012 ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’
July 2, 2012
1254
DNBS(PD-MGC)C.C.No.13/23.11.001/2012-13
Notification as Amended upto June 30, 2012 ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 2, 2012
1255
DNBS(PD)CC.No.29/SCRC/26.03.001/2012-2013
Notification as Amended upto June 30, 2012 – Change in or Take Over of the Management of the Business of the Borrower by Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines, 2010
July 2, 2012
1256
DBOD No.DIR.BC.06/04.02.002/2012-13
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 2, 2012
1257
DBOD.AML.BC.No.11/14.01.001/2012-13
Master Circular – Know Your Customer (KYC) norms / Anti-Money Laundering (AML) standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under PMLA, 2002
July 2, 2012
1258
DBOD.BP.BC.No.14/21.04.018/2012-13
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 2, 2012
1259
DBOD.BP.BC.No.27/21.04.172/2012-13
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 2, 2012
1260
DBOD.FID.FIC.No.4/01.02.00/2012-13
Master Circular – Exposure Norms for Financial Institutions
July 2, 2012
1261
DBOD.No.BL.BC.26/22.01.001/2012-13
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 2, 2012
1262
DBOD.No.BP.BC.13/21.04.141/2012-13
Master Circular – Prudential norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 2, 2012
1263
DBOD.No.BP.BC.15/21.01.002/2012-13
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 2, 2012
1264
DBOD.No.BP.BC.16/21.06.001/2012-13
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF)
July 2, 2012
1265
DBOD.No.BP.BC.9/21.04.048/2012-13
Master Circular – Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 2, 2012
1266
DBOD.No.CID.BC.10/20.16.003/2012-13
Master Circular on Wilful Defaulters
July 2, 2012
1267
DBOD.No.Dir.BC.02 /13.03.00/2012-13
Master Circular – Guarantees and Co-acceptances
July 2, 2012
1268
DBOD.No.DIR.BC.07/08.12.001/2012-13
Master Circular – Housing Finance
July 2, 2012
1269
DBOD.No.Dir.BC.1/13.03.00/2012-13
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 2, 2012
1270
DBOD.No.Dir.BC.3/13.03.00/2012-13
Master Circular – Exposure Norms
July 2, 2012
1271
DBOD.No.Dir.BC.4/13.03.00/2012-13
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 2, 2012
1272
DBOD.No.Dir.BC.5/13.03.00/2012-13
Master Circular – Interest Rates on Advances
July 2, 2012
1273
DBOD.No.Dir.BC.8/13.03.00/2012-13
Master Circular of Instructions Relating to Deposits held in FCNR(B) Accounts
July 2, 2012
1274
DBOD.No.FID.FIC.1/01.02.00/2012-13
Master Circular – Resource Raising Norms for Financial Institutions
July 2, 2012
1275
DBOD.No.FID.FIC.2/01.02.00/2012-13
Master Circular – Disclosure Norms for Financial Institutions
July 2, 2012
1276
DBOD.No.FID.FIC.3/01.02.00/2012-13
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 2, 2012
1277
DBOD.No.FSD.BC.23/24.01.011/2012-13
Master Circular on Credit Card Operations of Banks
July 2, 2012
1278
DBOD.No.FSD.BC.24/24.01.001/2012-13
Master Circular – Para-Banking Activities
July 2, 2012
1279
DBOD.No.Leg.BC.21/09.07.006/2012-13
Master Circular on Customer Service in Banks
July 2, 2012
1280
DBOD.No.Rajbhasha.BC.25/06.11.04/2012-13
Master Circular – Use of Hindi in Banks
July 2, 2012
1281
DBOD.No.Ret.BC.22/12.01.001/2012-13
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 2, 2012
1282
DNBS.(PD).CC.No.286/03.10.042/2012-13
Master Circular – Fair Practices Code
July 2, 2012
1283
DNBS.(PD).CC.No.287/03.10.001/2012-13
Master Circular – Allied Activities – Entry into Insurance Business, Issue of Credit card and Marketing and Distribution of certain Products
July 2, 2012
1284
DNBS.(PD).CC.No.289/03.10.001/2012-13
Master Circulars – Miscellaneous Instructions to NBFC – ND-SI
July 2, 2012
1285
DNBS.(PD).CC.No.291/03.02.001/2012-13
Master Circular – Regulatory Framework for Core Investment Companies (CICs)
July 2, 2012
1286
DNBS.(PD).CC.No.292/03.02.001/2012-13
Master Circular 2012 – Opening of Branch-Subsidiary-Joint Venture-Representative office or Undertaking Investment Abroad by NBFCs
July 2, 2012
1287
DNBS.(PD)CC.No.293/03.10.38/2011-12
Master Circular – Introduction of New Category of NBFCs – ‘Non Banking Financial Company-Micro Finance Institutions’ (NBFC-MFIs) – Directions
July 2, 2012
1288
DNBS.PD.CC.No.282/03.02.004/2012-13
Master Circular – Exemptions from the Provisions of RBI Act, 1934
July 2, 2012
1289
DNBS.PD.CC.No.282/03.10.042/2012-13
Master Circular – Returns to be submitted by NBFCs
July 2, 2012
1290
DNBS(PD).CC.No.290/03.02.001/2012-13
Master Circulars – Miscellaneous Instructions to All Non-Banking Financial Companies
July 2, 2012
1291
DNBS(PD)CC.No.285/03.10.42/2012-13
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in Terms of Rules Notified thereunder’
July 2, 2012
1292
DNBS(PD)CC.No.288/03.10.001/2012-13
Master Circular – Corporate Governance
July 2, 2012
1293
DNBS(PD)CC.No.30/SCRC/26.03.001/2012-2013
Master Circular on Directions / Instructions issued to the Securitisation Companies / Reconstruction Companies
July 2, 2012
1294
UBD.BPD.(PCB).MC.No:13/13.01.000/2012-13
Master Circular on Maintenance of Deposit Accounts – Primary (Urban) Co-operative Banks
July 2, 2012
1295
UBD.BPD.(PCB).MC.No.1/13.05.000/2012-13
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
July 2, 2012
1296
UBD.BPD.(PCB).MC.No.10/12.05.001/2012-13
Master Circular on Customer Service – UCBs
July 2, 2012
1297
UBD.BPD.(PCB).MC.No.15/12.03.000/2012-13
Master Circular on Maintenance of Statutory Reserves – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Primary (Urban) Co-operative Banks
July 2, 2012
1298
UBD.BPD.(PCB).MC.No.16/12.05.001/2012-13
Master Circular on Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Measures / Combating of Financing of Terrorism (CFT) / Obligations of Banks under Prevention of Money Laundering Act (PMLA), 2002
July 2, 2012
1299
UBD.BPD.(PCB).MC.No.2/09.22.010/2012-13
Master Circular – Finance for Housing Schemes – UCBs
July 2, 2012
1300
UBD.BPD.(PCB).MC.No.7/09.09.001/2012-13
Master Circular- Priority Sector Lending – UCBs
July 2, 2012
1301
UBD.BPD.(PCB)MC.No.3/09.14.000/2012-13
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
July 2, 2012
1302
UBD.BPD.(PCB)MC.No.4/09.27.000/2012-13
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 2, 2012
1303
UBD.BPD.(PCB)MC.No.5/13.05.000/2012-13
Master Circular – Management of Advances – UCBs
July 2, 2012
1304
UBD.BPD.(PCB)MC.No.6/09.18.201/2012-13
Master Circular – Prudential Norms on Capital Adequacy – UCBs
July 2, 2012
1305
UBD.BPD.PCB)MC.No.11/13.01.000/2012-13
Master Circular Interest Rates on Rupee Deposits – Primary (Urban) Co-operative Banks
July 2, 2012
1306
UBD.BPD(PCB).MC.No.12/16.20.000/2012-13
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 2, 2012
1307
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2012-2013
Master Circular on Inspection & Audit Systems in Primary (Urban) Co-operative Banks
July 2, 2012
1308
UBD.CO.BPD.MC.No.17/12.05.001/2012-13
Master Circular on Frauds – Classification and Reporting
July 2, 2012
1309
UBD.CO.BPD.MC.No.8/12.05.001/2012-13
Master Circular on Board of Directors – UCBs
July 2, 2012
1310
UBD.LS.(PCB).MC.No.14/07.01.00/2012-13
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 2, 2012
1311
UBD.LS(PCB) MC.No.14/07.01.00/2012-13
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 2, 2012
1312
UBD.BPD.(AD).Cir No.8/13.05.000/2011-12
Interest Rates on Rupee Export Credit – UCBs
June 26, 2012
1313
Mail Box Clarification
Implementation of the Internal Rating Based (IRB) Approaches for Calculation of Capital Charge for Credit Risk
June 25, 2012
1314
UBD.BPD. Dir.(Exp). No.4/13.05.000/2011-12
Notification on Interest Rates on Rupee Export Credit – UCBs
June 21, 2012
1315
DBOD.Dir.(Exp).BC.No.112/04.02.001/2011-12
Rupee Export Credit Interest Rates
June 19, 2012
1316
DBOD.No.Leg.BC.108/09.07.005/2011-12
Strengthening the Regulatory Framework for Unclaimed Deposits
June 6, 2012
1317
UBD.BPD.(PCB).Cir.No.40/16.11.00/2011-12
Bank Rate
June 5, 2012
1318
DNBS(PD).246/CGM(US)-2012
Notification on Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
May 30, 2012
1319
RPCD.CO.RCB.BC.Dir.No.79/07.38.01/2011-12
Interest Rates on FCNR(B) Deposits
May 29, 2012
1320
RPCD.CO.RCB.BC.No.80/07.38.01/2011-12
Interest Rate on FCNR(B) Deposits
May 29, 2012
1321
RPCD.CO.RCB.BC.No.78/07.38.01/2011-12
Conversion of Term Deposits, Daily Deposits or Recurring Deposits for Reinvestment in Term Deposits by State and Central Co-operative Banks
May 28, 2012
1322
DBOD.BP.BC.No.106/21.04.172/2011-12
Bank Finance to NBFCs Predominantly Engaged in lending against Gold
May 18, 2012
1323
UBD.BPD.(PCB).CIR.No.33/09.09.001/2011-12
Priority Sector Lending – Indirect Finance to Housing Sector
May 18, 2012
1324
UBD.BPD.DIR.No.8/13.01.000/2011-12
Notification on Interest Rates on FCNR(B) Deposits
May 17, 2012
1325
UBD.BPD.AD.CIR.No.7/13.01.000/2011-12
Interest Rates on FCNR(B) Deposits
May 17, 2012
1326
DBOD.No.BL.BC.105/22.01.009/2011-12
Financial Inclusion – Use of Business Correspondents
May 17, 2012
1327
DNBS.(PD)243/CGM(US)-2012
Notification on Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
May 11, 2012
1328
DNBS.(PD)244/CGM(US)-2012
Notification on Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
May 11, 2012
1329
DNBS(PD).245/CGM(US)-2012
Notification on Core Investment Companies (Reserve Bank) Directions, 2011
May 11, 2012
1330
DBOD.No.BP.BC-104/21.04.048/2011-12
Transfer of Borrowal Accounts from One Bank to Another
May 10, 2012
1331
RPCD.CO.RRB.Dir.No.75/03.05.33.(C)/2011-12
Notification on Interest Rates on FCNR (B) Deposits
May 8, 2012
1332
RPCD.CO.RRB.No.76/03.05.33.(C)/2011-12
Interest Rates on FCNR (B) Deposits
May 8, 2012
1333
DBOD.DIR.BC.No.99/04.02.001/2011-12
Notification on Deregulation of Interest Rates on Export Credit in Foreign Currency
May 4, 2012
1334
DBOD.DIR.No.100/04.02.001/2011-12
Deregulation of Interest Rates on Export Credit in Foreign Currency
May 4, 2012
1335
DBOD.No.BP.BC.98/21.06.201/2011-12
Guidelines on Implementation of Basel III Capital Regulations in India
May 2, 2012
1336
DBOD.AML.BC.No.97/14.01.001/2011-12
Intra-bank Deposit Accounts Portability
April 27, 2012
1337
UBD.BPD.(PCB).Cir.No.32/16.11.00/2011-12
Bank Rate
April 26, 2012
1338
RPCD.CO.RRB.RCB.BC.No.72/03.05.33/2011-12
Bank Rate
April 20, 2012
1339
UBD.BPD.(AD).Cir.No.6/14.01.062/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
April 20, 2012
1340
DBOD.No.Ret.BC.96/12.01.001/2011-12
Bank Rate
April 19, 2012
1341
Mail Box Clarification
Deletion of the term Overseas Corporate Bodies (OCBs)
April 17, 2012
1342
DBOD.No.BP.BC.92/21.06.007/2011-12
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Eligible Credit Rating Agencies – Brickwork Ratings India Pvt. Ltd. (Brickwork)
April 13, 2012
1343
Mail Box Clarification
Section 23 of Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy – Off Site ATMs
April 10, 2012
1344
DBOD.DIR.BC.No.90/04.02.001/2011-12
Interest Rates on Export Credit in Foreign Currency
March 30, 2012
1345
DBOD.DIR.No.91/04.02.001/2011-12
Interest Rates on Export Credit in Foreign Currency
March 30, 2012
1346
UBD.BPD.(PCB).Cir.No.29/13.05.000/2011-12
Discounting of Bills by UCBs – Restricted Letters of Credit (LC)
March 30, 2012
1347
UBD.CO.BPD.(PCB).No.28/12.05.001/2011-12
Guidelines issued under Section 36(1) (a) of the Banking Regulation Act, 1949 (AACS) – Implementation of the provisions of Foreign Contribution (Regulation) Act, 2010
March 27, 2012
1348
DBOD.No.Leg.BC.89/09.07.005/2011-12
The Banking Companies (Nomination) Rules, 1985 – Clarifications
March 26, 2012
1349
RPCD.CO.RRB.RCB.BC.No.63/07.40.06/2011-12
Bank Rate
March 15, 2012
1350
RPCD.CO.RRB.RCB.AML.No.9177/07.02.12/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 15, 2012
1351
DBOD.AML.No.13738/14.01.001/2011-12
Anti – Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 14, 2012
1352
RPCD.CO.RCB.RRB.BC.No.64/03.05.33/2011-12
Maintenance of CRR
March 12, 2012
1353
RPCD.CO.RCB.RRB.BC.No.65/03.05.33/2011-12
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
March 12, 2012
1354
UBD.BPD.(PCB).Cir.No.26/16.11.00/2011-12
Bank Rate
March 7, 2012
1355
UBD.CO.BPD.No.25/12.05.001/2011-12
Convergence of Indian Accounting Standards with International Financial Reporting Standards – Urban Co-operative Banks
March 6, 2012
1356
DBOD.No.BL.BC.82/22.01.009/2011-12
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs)
March 2, 2012
1357
UBD.BPD.(PCB).Cir.No.22/12.05.001/2011-12
Supervisory Action Framework for Urban Cooperative Banks (UCBs)
March 1, 2012
1358
UBD.CO.BPD.(AD).Cir.No.5/14.01.062/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
February 23, 2012
1359
RPCD.CO.RRB.RCB.AML.BC.No.59/03.05.33(E)/2011-12
Guidelines issued under Section 36(1) (a) of the Banking Regulation Act, 1949 – Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Implementation of the provisions of Foreign Contribution (Regulation) Act, 2010
February 9, 2012
1360
UBD.BPD.(PCB).CIR.No.18/13.01.000/2011-12
Deregulation of Savings Bank Deposit Interest Rate – Clarification
February 7, 2012
1361
DBOD.AML.BC.No.80/14.08.001/2011-12
Guidelines Issued under Section 36(1)(a) of the Banking Regulation Act, 1949 – Implementation of the provisions of Foreign Contribution (Regulation) Act, 2010
February 6, 2012
1362
DBOD.No.BP.BC.78/08.12.001/2011-12
Housing Loans by Commercial Banks – Loan to Value (LTV) Ratio
February 3, 2012
1363
DBOD.No.BP.BC.79/21.01.001/2011-12
Grant of Loans and Advances and Award of Contracts to Directors of Banks and their Relatives
February 3, 2012
1364
RPCD.CO.RRB.BC.No.57/03.05.33/2011-12
Deregulation of Savings Bank Deposit Interest Rate – Guidelines
January 30, 2012
1365
RPCD.CO.RCB.BC.No.55/07.02.01/2011-12
Notification on Maintenance of CRR
January 25, 2012
1366
RPCD.CO.RCB.BC.No.56/07.02.01/2011-12
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
January 25, 2012
1367
Mail Box Clarification
Deferment of Premium receivable on Sold Options – New Clarification
January 25, 2012
1368
RPCD.CO.RCB.AML.No.7036/07.02.12/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
January 16, 2012
1369
RPCD.CO.RRB.AML.No.7081/03.05.28(A)/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
January 16, 2012
1370
DBOD.AML.No.10461/14.01.001/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
January 12, 2012
1371
UBD.BPD.DIR.No.5/13.01.000/2011-12
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and Ordinary Non-Resident (NRO) Accounts
December 28, 2011
1372
DBOD.Dir.BC.68/13.03.00/2011-12
Banks’ Exposure to Capital Market – Issue of Irrevocable Payment Commitments (IPCs)
December 27, 2011
1373
DBOD.No.BP.BC.69/21.06.001/2011-12
Capital Requirement for Banks’ Investments in Financial Entities exempted from Capital Market Exposure
December 27, 2011
1374
DNBS.PD.No.237/CGM(US)-2011
Notification on Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
December 26, 2011
1375
DNBS.PD.No.238/CGM(US)-2011
Notification on Non-Banking Financing (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Banks) Directions, 2007
December 26, 2011
1376
DBOD.No.BP.BC.67/21.06.202/2011-12
Implementation of the Internal Rating Based (IRB) Approaches for Calculation of Capital Charge for Credit Risk
December 22, 2011
1377
DPSS.CO.PD.No.1098/02.23.02/2011-12
Mobile Banking Transactions in India – Operative Guidelines for Banks@
December 22, 2011
1378
Mail Box Clarification
Bills Discounted under Letter of Credit (LC) – Exposure Norms
December 21, 2011
1379
RPCD.CO.RRB.BC.No.45/03.05.33(C)/2011-12
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and Ordinary Non-Resident (NRO) Accounts
December 19, 2011
1380
RPCD.CO.RRB.Dir.No.44/03.05.33(C)/2011-12
Deregulation of Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and Ordinary Non-Resident (NRO) Accounts
December 19, 2011
1381
Notification No.DNBS.PD.No.234/CGM(US)-2011
Notification on Non-Banking Financial Company – Micro Finance Institutions (Reserve Bank) Directions, 2011
December 2, 2011
1382
DBOD.No.BL.BC.60/22.01.001/2011-12
Branch Authorization Policy – Relaxation – Opening of Tier 2 branches under General Permission
November 29, 2011
1383
UBD.BPD.DIR.No.4/13.01.000/2011-12
Deregulation of Savings Bank Deposit Interest Rate
November 25, 2011
1384
RPCD.CO.RCB.BC.Dir.No.37/07.38.01/2011-12
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 24, 2011
1385
RPCD.CO.RCB.BC.Dir.No.39/07.38.01/2011-12
Interest Rates on Deposits accepted under Foreign Currency Non-Resident Accounts (Banks) Scheme
November 24, 2011
1386
RPCD.CO.RCB.BC.No.38/07.38.01/2011-12
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 24, 2011
1387
RPCD.CO.RCB.BC.No.40/07.38.01/2011-12
Interest Rate on FCNR(B) Deposits
November 24, 2011
1388
RPCD.CO.RRB.BC.No.36/03.05.33(C)/2011-12
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR (B) Deposits
November 24, 2011
1389
RPCD.CO.RRB.Dir.No.35/03.05.33(C)/2011-12
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR (B) Deposits
November 24, 2011
1390
UBD.BPD.(PCB).CIR.No.12/13.01.000/2011-12
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits – UCBs
November 24, 2011
1391
UBD.BPD.AD.CIR.No.4/13.01.000/2011-12
Interest Rates on FCNR (B) Deposits – UCBs
November 24, 2011
1392
RPCD.CO.RCBD.BC.No.34/07.38.03/2011-12
Collection of Account Payee Cheques – Prohibition on Crediting Proceeds to Third Party Account
November 24, 2011
1393
RPCD.CO.RRB.BC.No.33/03.05.33/2011-12
Deregulation of Savings Bank Deposit Interest Rate – Guidelines
November 23, 2011
1394
UBD.BPD.DIR.No.2/13.01.000/2011-12
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
November 23, 2011
1395
UBD.BPD.DIR.No.3/13.01.000/2011-12
Interest Rates on FCNR(B) Deposits
November 23, 2011
1396
RPCD.CO.RCB.AML.BC.No.32/07.40.00/2011-12
Payment of Cheques / Drafts / Pay Orders / Banker’s Cheques
November 22, 2011
1397
Notification No.DNBS.233/CGM(US)-2011
Notification on Infrastructure Debt Fund-Non-Banking Financial Companies (Reserve Bank) Directions, 2011
November 21, 2011
1398
UBD.BPD.(PCB).CIR.No.11/13.01.000/2011-12
Repayment of Term / Fixed Deposits in Banks
November 17, 2011
1399
DBOD.DIR.BC.No.51/04.02.001/2011-12
Interest Rates on Export Credit in Foreign Currency
November 15, 2011
1400
DBOD.DIR.No.52/04.02.001/2011-12
Interest Rates on Export Credit in Foreign Currency
November 15, 2011
1401
RPCD.CO.RRB.BC.No.30/03.05.33/2011-12
Collection of Account Payee Cheques – Prohibition on Crediting Proceeds to Third Party Account
November 11, 2011
1402
DBOD.BP.BC.No.49/21.01.001/2011-12
Issue of Demand Drafts for Rs.20,000/- and above
November 4, 2011
1403
DBOD.No.Leg.BC.46/09.07.005/2011-12
Repayment of Term / Fixed Deposits in Banks
November 4, 2011
1404
DBOD.No.Leg.BC.48/09.07.005/2011-12
Customer Service – Non-Issuance of Passbooks to Savings Bank Accountholders (Individuals)
November 4, 2011
1405
UBD.BPD.Dir.(Exp).No.1/13.05.000/2011-12
Interest Rates on Rupee Export Credit
November 3, 2011
1406
UBD.BPD (AD) Cir.No.3/13.05.000/2011-12
Interest Rates on Rupee Export Credit – UCBs
November 3, 2011
1407
DBOD.BP.BC.No.45/08.12.015/2011-12
Guidelines on Commercial Real Estate (CRE)
November 3, 2011
1408
DBOD.Dir.BC.43/13.03.00/2011-12
Banks’ Exposure to Capital Market – Issue of Irrevocable Payment Commitments (IPCs)
October 31, 2011
1409
UBD.BPD.(PCB)Cir.No.9/12.05.001/2011-12
Adherence to KYC Norms – Credit Discipline in Lending
October 31, 2011
1410
UBD.BPD.(PCB).Cir.No.7/09.22.010/2011-12
Revision in Limits of Housing Loans and Repayment Period – Second Quarter Review of Monetary Policy 2011-12
October 31, 2011
1411
DNBS.(PD).CC.No.247/03.10.42/2011-12
Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in terms of Rules notified thereunder’ – Reporting Format under Project FINnet
October 28, 2011
1412
RPCD.CO.RRB.BC.Dir.No.27/03.05.33/2011-12
Deregulation of Savings Bank Deposit Interest Rate
October 25, 2011
1413
Mail Box Clarification
Branch Authorisation Policy
October 25, 2011
1414
UBD.CO.(PCB).BPD.Cir.6/09.11.00/2011-12
SGL and CSGL Accounts – Eligibility Criteria and Operational Guidelines
October 25, 2011
1415
DBOD.No.BP.BC.39/21.06.007/2011-12
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Revision of Rating Symbols and Definitions of Credit Rating Agencies
October 13, 2011
1416
UBD.BPD.(SCB)Cir.No.1/09.18.300/2011-12
Internet Banking for Customers of UCBs@
September 26, 2011
1417
Notification No.DNBS.230/CGM.(US)-2011
Notificaton on Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
September 22, 2011
1418
Notification No.DNBS.231/CGM(US)-2011
Notificaton on Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
September 22, 2011
1419
DBOD.PSBD.No. /16.08.08/2011-12
Meeting of the Advisory Committee on Hindi held on 31.03.2011 at New Delhi – Action Points
September 21, 2011
1420
RPCD.CO.RRB.BC.No.17/03.05.33/2011-12
Misuse of Banking Channels – Issue and Payment of Demand Drafts for Rs.50,000/- and above
August 16, 2011
1421
DBOD.No.BP.BC.28/21.04.157/2011-12
Prudential Norms for Off-balance Sheet Exposures of Banks
August 11, 2011
1422
RPCD.CO.RCB.AML.No.1286/07.02.12/2011-12
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
August 3, 2011
1423
RPCD.CO.RCB.AML.No.1287/07.02.12/2011-12
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
August 3, 2011
1424
UBD.CO.BPD.(PCB).Cir.No.1/14.01.062/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
August 3, 2011
1425
UBD.CO.BPD.(PCB).Cir.No.2/14.01.062/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards – Primary (Urban) Co-operative Banks
August 3, 2011
1426
DBOD.BP.BC.No.26/21.01.001/2011-12
Misuse of Banking Channels – Issue and Payment of Demand Drafts for Rs. 50,000/- and above
August 1, 2011
1427
RPCD.CO.RRB.AML.No.1203/03.05.28(A)/2011-12
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
July 29, 2011
1428
DBOD.No.BP.BC.25/21.04.012/2011-12
Relaxation to Trade and Industry in the State of Jammu & Kashmir
July 28, 2011
1429
RPCD.CO.RRB.AML.No.1170/03.05.28(A)/2011-12
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
July 28, 2011
1430
DBOD.AML.No.1454/14.01.001/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 27, 2011
1431
DBOD.AML.No.1456/14.01.001/2011-12
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
July 27, 2011
1432
DBOD.No.BL.BC.24/22.01.001/2011-12
Branch Authorization Policy – Opening of Branches in unbanked Rural Centres
July 15, 2011
1433
RPCD.CO.RRB.No.BL.BC.07/03.05.90-A/2011-12
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 1, 2011
1434
DNBS.(PD-MGC).C.C.No.8/23.11.01/2011-12
Notification as amended upto June 30, 2011 – ‘Mortgage Guarantee Company (Reserve Bank) Guidelines, 2008’
July 1, 2011
1435
DNBS.(PD-MGC).C.C.No.9/23.11.01/2011-12
Notification as amended upto June 30, 2011 – ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’
July 1, 2011
1436
DNBS.(PD-MGC)C.C.No.10/23.11.01/2011-12
Notification as amended upto June 30, 2011 – ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 1, 2011
1437
DNBS.(PD).CC.No.26/SCRC/26.03.001/2011-2012
Notification as amended upto June 30, 2011 – Change in or Take Over of the Management of the Business of the Borrower by Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines, 2010
July 1, 2011
1438
DNBS.(PD).CC.No.25/SCRC/26.03.001/2011-2012
Notification as amended upto June 30, 2011 – The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2011
1439
DNBS(PD)CC.No.230/03.02.001/2011-12
Notification as amended upto June 30, 2011 – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2011
1440
DBOD No.BP.BC.19/21.04.141/2011-12
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment portfolio by Banks
July 1, 2011
1441
DBOD.AML.BC.No.2/14.01.001/2011-12
Master Circular – Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002
July 1, 2011
1442
DBOD.BP.BC.No.16/21.04.018/2011-12
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2011
1443
DBOD.BP.BC.No.20/21.04.172/2011-12
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2011
1444
DBOD.FID.FIC.No.4/01.02.00/2011-12
Master Circular – Exposure Norms for Financial Institutions
July 1, 2011
1445
DBOD.No.BL.BC.33/22.01.001/2011-12
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2011
1446
DBOD.No.BP.BC.11/21.06.001/2010-11
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF)
July 1, 2011
1447
DBOD.No.BP.BC.12/21.04.048/2011-12
Master Circular – Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2011
1448
DBOD.No.BP.BC.17/21.01.002/2011-12
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2011
1449
DBOD.No.CID.BC.1/20.16.003/2011-12
Master Circular on Wilful Defaulters
July 1, 2011
1450
DBOD.No.DIR.(Exp).BC.4/04.02.002/2011-12
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 1, 2011
1451
DBOD.No.DIR.BC.03/08.12.001/2011-12
Master Circular on Housing Finance
July 1, 2011
1452
DBOD.No.Dir.BC.10/13.03.00/2011-12
Master Circular of Instructions relating to Deposits held in FCNR(B) Accounts
July 1, 2011
1453
DBOD.No.Dir.BC.5/13.03.00/2011-12
Master Circular – Interest Rates on Advances
July 1, 2011
1454
DBOD.No.Dir.BC.6/13.03.00/2011-12
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2011
1455
DBOD.No.Dir.BC.7/13.03.00/2011-12
Master Circular – Exposure Norms
July 1, 2011
1456
DBOD.No.Dir.BC.8/13.03.00/2011-12
Master Circular – Guarantees and Co-acceptances
July 1, 2011
1457
DBOD.No.Dir.BC.9/13.03.00/2011-12
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2011
1458
DBOD.No.FID.FIC.1/01.02.00/2011-12
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2011
1459
DBOD.No.FID.FIC.2/01.02.00/2011-12
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2011
1460
DBOD.No.FID.FIC.3/01.02.00/2011-12
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2011
1461
DBOD.No.FSD.BC.14/24.01.011/2011-12
Master Circular on Credit Card Operations of Banks
July 1, 2011
1462
DBOD.No.FSD.BC.15/24.01.001/2011-12
Master Circular – Para-Banking Activities
July 1, 2011
1463
DBOD.No.Leg.BC.18/09.07.006/2011-12
Master Circular on Customer Service in Banks
July 1, 2011
1464
DBOD.No.Rajbhasha.BC.21/06.11.04/2011-12
Master Circular – Use of Hindi in Banks
July 1, 2011
1465
DBOD.No.Ret.BC.13/12.01.001/2011-12
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2011
1466
DNBS.(PD).CC.No.235/03.10.001/2011-12
Master Circulars – Miscellaneous Instructions to NBFC-ND-SI
July 1, 2011
1467
DNBS.(PD).CC.No.237/03.02.001/2011-12
Master Circulars – Regulatory Framework for Core Investment Companies (CICs)
July 1, 2011
1468
DNBS.(PD).CC.No.238/03.02.001/2011-12
Master Circular 2011 – Opening of Branch-Subsidiary-Joint Venture-Representative office or Undertaking Investment Abroad by NBFCs
July 1, 2011
1469
DNBS.(PD)CC.No.231/03.10.42/2011-12
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in terms of Rules notified thereunder’
July 1, 2011
1470
DNBS.(PD)CC.No.233/03.10.001/2011-12
Master Circular – Allied Activities – Entry into Insurance Business, Issue of Credit Card and Marketing and Distribution of Certain Products
July 1, 2011
1471
DNBS.(PD)CC.No.27/SCRC/26.03.001/2011-2012
Master Circular on Directions / Instructions issued to the Securitisation Companies / Reconstruction Companies
July 1, 2011
1472
DNBS.PD.CC.No.227/03.10.042/2011-12
Master Circular – Returns to be submitted by NBFCs
July 1, 2011
1473
DNBS.PD.CC.No.228/03.02.004/2011-12
Master Circular – Exemptions from the Provisions of RBI Act, 1934
July 1, 2011
1474
DNBS(PD).CC.No.236/03.02.001/2011-12
Master Circulars – Miscellaneous Instructions to All Non-Banking Financial Companies
July 1, 2011
1475
DNBS(PD)CC.No.232/03.10.042/2011-12
Master Circular – Fair Practices Code
July 1, 2011
1476
DNBS(PD)CC.No.234/03.10.001/2011-12
Master Circular – Corporate Governance
July 1, 2011
1477
UBD.BPD.(PCB).MC.No.10/12.05.001/2011-12
Master Circular on Customer Service – Primary (Urban) Co-operative Banks
July 1, 2011
1478
UBD.BPD.(PCB).MC.No.12/16.20.000/2011-12
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2011
1479
UBD.BPD.(PCB).MC.No.16/12.05.001/2011-2012
Master Circular on Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under Prevention of Money Laundering Act, 2002
July 1, 2011
1480
UBD.BPD.(PCB).MC.No.2/09.22.010/2011-12
Master Circular – Finance for Housing Schemes – UCBs
July 1, 2011
1481
UBD.BPD.(PCB).MC.No.3/09.14.000/2011-12
Master Circular – Income Recognition, Asset Classification, Provisioning and Other Related Matters – UCBs
July 1, 2011
1482
UBD.BPD.(PCB).MC.No.4/09.27.000/2011-12
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2011
1483
UBD.BPD.(PCB).MC.No.5/13.05.000/2011-12
Master Circular – Management of Advances – UCBs
July 1, 2011
1484
UBD.BPD.(PCB).MC.No.6/09.18.201/2011-12
Master Circular – Prudential Norms on Capital Adequacy – UCBs
July 1, 2011
1485
UBD.BPD.(PCB)MC.No.1/13.05.000/2011-12
Master Circular – Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2011
1486
UBD.BPD.(PCB)MC.No.7/09.09.001/2011-12
Master Circular- Priority Sector Lending – UCBs
July 1, 2011
1487
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2011-2012
Master Circular on Inspection and Audit Systems in Primary (Urban) Co-operative Banks
July 1, 2011
1488
UBD.CO.BPD.MC.No.8/12.05.001/2011-12
Master Circular on Board of Directors – Primary (Urban) Co-operative Banks
July 1, 2011
1489
UBD.LS.(PCB).MC.No.14/07.01.00/2011-12
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2011
1490
UBD.PCB.MC.No:13/13.01.000/2011-12
Master Circular on Maintenance of Deposit Accounts – Primary (Urban) Co-operative Banks
July 1, 2011
1491
UBD.PCB.MC.No.11/13.01.000/2011-12
Master Circular – Interest Rates on Rupee Deposits – Primary (Urban) Co-operative Banks
July 1, 2011
1492
UBD.PCB.MC.No.15/12.03.000/2011-12
Master Circular on Maintenance of Statutory Reserves – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Primary (Urban) Co-operative Banks
July 1, 2011
1493
Mail Box Clarification
Para 2.2.3.2(iii) of Master Circular on Exposure Norms dated July 1, 2010 – Exposure to Indian Joint Ventures / Wholly Owned Subsidiaries Abroad and Overseas Step-down Subsidiaries of Indian Corporates
June 20, 2011
1494
Notification No.DNBS.(PD)229/CGM(US)-2011
Notification on Non-Banking Financial Companies (Opening of Branch / Subsidiary / Joint Venture / Representative Office or Undertaking Investment Abroad by NBFCs) Directions, 2011
June 14, 2011
1495
RPCD.CO.RCB.BC.No.73/07.38.03/2010-11
Setting up of Central Electronic Registry under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002
May 26, 2011
1496
DBOD.Dir.BC.96/13.03.00/2010-11
Finance for and Loans / Advances against IDRs
May 25, 2011
1497
Mail Box Clarification
Collateralised Derivative Transactions – Implication for DTL / NDTL Compilation
May 25, 2011
1498
UBD.BPD.(PCB).CIR.No.49/09.14.000/2010-11
Enhancement in Gratuity Limits – Prudential Regulatory Treatment
May 24, 2011
1499
DBOD.No.BC.No.95/29.39.001/2010-11
‘Fit and Proper’ Criteria for Directors on the Boards of Banks
May 23, 2011
1500
RPCD.CO.RRB.BC.No.72/03.05.33/2010-11
Setting up of Central Electronic Registry under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002
May 19, 2011
1501
Mail Box Clarification
Issue of Bank Guarantee (BG) / Letter of Credit (LC) by Commercial Banks to constituents of Co-operative Banks
May 19, 2011
1502
Mail Box Clarification
Accounting and Valuation of STRIPS
May 19, 2011
1503
DBOD.No.BP.BC.94/21.04.048/2011-12
Enhancement of Rates of Provisioning for Non-Performing Assets and Restructured Advances
May 18, 2011
1504
Mail Box Clarification
Banks’ Investments in Preference Shares – Asset Classification
May 18, 2011
1505
DBOD.Dir.BC.No.93/08.12.14/2010-11
National Disaster Management Guidelines on Ensuring Disaster Resilient Construction of Buildings and Infrastructure
May 12, 2011
1506
UBD.BPD.(PCB).Cir.No.47/13.05.000/2010-11
Monetary Policy Statement 2011-12 : Exposure to Housing, Real Estate and Commercial Real Estate – Primary (Urban) Co-operative Banks
May 11, 2011
1507
UBD.BPD.(PCB)CIR.No.46/09.09.001/2010-11
Limit of Housing Loans Under Priority Sector Advances – UCBs
May 11, 2011
1508
DPSS.CO.No.2502/02.23.02/2010-11
Mobile Banking Transactions in India – Operative Guidelines for Banks@
May 4, 2011
1509
RPCD.CO.RCB.BC.Dir.No.64/07.38.01/2010-11
Interest Rates on Deposits
May 3, 2011
1510
RPCD.CO.RCB.BC.No.65/07.38.01/2010-11
Interest Rates on Deposits
May 3, 2011
1511
RPCD.CO.RRB.BC.Dir.No.67/03.05.33/2010-11
Interest Rates on Deposits
May 3, 2011
1512
RPCD.CO.RRB.BC.No.68/03.05.33/2010-11
Interest Rates on Deposits
May 3, 2011
1513
UBD.BPD.(PCB)CIR.No.45/13.01.00/2010-11
Interest Rates on Deposits
May 3, 2011
1514
UBD.BPD.DIR.No.3/13.01.00/2010-11
Interest Rates on Deposits
May 3, 2011
1515
RPCD.CO.RCB.AML.No.12293/07.02.12/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
April 27, 2011
1516
RPCD.CO.RCB.AML.No.12295/07.02.12/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
April 27, 2011
1517
DBOD.Leg.No.BC.86/09.08.011/2010-11
Setting up of Central Electronic Registry under the Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act 2002
April 21, 2011
1518
DBOD.No.BP.BC.87/21.04.048/2010-11
Provisioning Coverage Ratio (PCR) for Advances
April 21, 2011
1519
DBOD.Dir.BC.No.85/04.02.001/2010-11
Liquidation of Post-Shipment Rupee Export Credit
April 18, 2011
1520
RPCD.CO.RRB.BC.No.59/03.05.34/2010-11
Investment in SLR Securities by Regional Rural Banks (RRBs)
April 11, 2011
1521
RPCD.CO.RRB.BC.No.59/03.05.72/2010-11
Compounding of Interest on Agriculture Loans
April 11, 2011
1522
DBOD.No.Ret.BC.84/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
April 8, 2011
1523
Mail Box Clarification
Advances against Bullion / Primary Gold
April 5, 2011
1524
RPCD.CO.RRB.AML.No.11332/03.05.28(A)/2010-11
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
April 1, 2011
1525
DBOD.No.Leg.BC.83/09.07.005/2010-11
The Banking Companies (Nomination) Rules, 1985 – Clarifications
March 30, 2011
1526
RPCD.CO.RCB.BC.No.57/07.02.03/2010-11
Meeting of Committee on Investor Education and Protection Fund – Ministry of Corporate Affairs – Minutes of the Meeting
March 29, 2011
1527
RPCD.CO.RRB.BC.No.56/03.05.90-A/2010-11
Section 23 of Banking Regulation Act, 1949 – Relaxations in Branch Licensing Policy
March 29, 2011
1528
RPCD.CO.RRB.AML.No.11078/03.05.28(A)/2010-11
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
March 29, 2011
1529
UBD.BPD.No.41/12.05.001/2010-11
Collection account payee cheques – Prohibition on crediting proceeds to third party accounts
March 29, 2011
1530
DBOD.AML.No.15007/14.01.001/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 24, 2011
1531
DBOD.AML.No.15008/14.01.001/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 24, 2011
1532
RPCD.CO.RCB.AML.No.10096/07.02.12/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 10, 2011
1533
RPCD.CO.RCB.AML.No.9886/07.02.12/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
March 7, 2011
1534
DNBS.PD/CC.No.211/03.02.002/2010-11
All Deposit Taking NBFCs – CRAR Fifteen Percent w.e.f March 31, 2012
February 17, 2011
1535
Notification No.DNBS.224/CGM(US)-2011
Notification on Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
February 17, 2011
1536
DBOD.FID.FIC.No.11/01.02.00/2010-11
Recognition of Permanent Diminution in the Value of Investments in Banks’ Subsidiaries / Joint Ventures
February 1, 2011
1537
DBOD.No.BL.BC.78/22.01.001/2010-11
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy
January 27, 2011
1538
DBOD.No.Ret.BC.76/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
January 25, 2011
1539
DBOD.FID.FIC.No.10/01.02.00/2010-11
Prudential Guidelines on Restructuring of Advances by select All-India Financial Institutions (AIFIs) : Credit Support to MFIs
January 25, 2011
1540
DBOD.BP.BC.No.75/21.06.001/2010-11
Regulatory Capital Instruments – Step up Option
January 20, 2011
1541
RPCD.CO.RRB.No.47/03.05.33/2010-11
Meeting of Committee on Investor Education and Protection Fund – Ministry of Corporate Affairs – Minutes of the Meeting
January 20, 2011
1542
RPCD.CO.RCBD.BC.No.48/03.03.01/2010-11
Housing Finance
January 20, 2011
1543
Notification No.DNBS.222/CGM(US)-2011
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
January 17, 2011
1544
Notification No.DNBS.223/CGM(US)-2011
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
January 17, 2011
1545
DNBS.PD.CC.No.207/03.02.002/2010-11
Provision of 0.25% for Standard Assets of NBFCs
January 17, 2011
1546
RPCD.CO.RRB.AML.No.7857/03.05.28(A)/2010-11
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
January 17, 2011
1547
RPCD.CO.RRB.AML.No.7861/03.05.28(A)/2010-11
Anti-Money Laundering (AML) / Combating of Financial Terrorism (CFT) – Standards
January 17, 2011
1548
UBD.BPD.(PCB).Cir.No.5/13.05.000/2010-11
Interest Rates on Rupee Export Credit – UCBs
January 11, 2011
1549
DBOD.AML.No.10854/14.01.038/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
January 11, 2011
1550
DBOD.AML.No.10858/14.01.038/2010-11
Anti-Money Laundering (AML) / Combating of Financing of Terrorism (CFT) – Standards
January 11, 2011
1551
DNBS.(PD).CC.No.206/03.10.001/2010-11
Regulatory Framework for Core Investment Companies (CICs)
January 5, 2011
1552
Notification No.DNBS.(PD).221/CGM(US)-2011
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
January 5, 2011
1553
Notification No.DNBS.(PD).219/CGM(US)-2011
Core Investment Companies (Reserve Bank) Directions, 2011
January 5, 2011
1554
Notification No.DNBS.(PD).220/CGM(US)-2011
Notification on Core Investment Companies (Reserve Bank) Directions, 2011
January 5, 2011
1555
UBD.BPD.No.33/12.05.001/2010-11
Operation of Bank Accounts and Money Mules
December 31, 2010
1556
DBOD.BP.BC.No.71/21.06.001/2010-11
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Parallel Run and Prudential Floor
December 31, 2010
1557
UBD.BPD.Dir.(Exp).No.2/13.05.000/2010-11
Interest Rates on Rupee Export Credit
December 28, 2010
1558
RPCD.CO.RRB.BC.No.43/03.05.28(B)/2010-11
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
December 27, 2010
1559
RPCD.CO.RRB.No.42/03.05.28(B)/2010-11
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
December 27, 2010
1560
DBOD.No.BP.BC.69/08.12.001/2010-11
Housing Loans by Commercial Banks – LTV Ratio, Risk Weight and Provisioning
December 23, 2010
1561
DBOD.No.Ret.BC.68/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
December 16, 2010
1562
UBD.BPD.(PCB).Cir.No.28/09.18.300/2010-11
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents / Business Facilitators by Urban Co-operative Banks
December 10, 2010
1563
RPCD.CO.RCB.AML.BC.No.32/07.40.00/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under Prevention of Money Laundering Act, 2002 (PMLA) – Level of Compliance
December 7, 2010
1564
RPCD.CO.RCB.BC.No.34/07.02.01/2010-11
Balances held by State and Central Co-operative Banks with IDBI Bank Limited – Treatment for CRR / SLR Purpose
December 7, 2010
1565
DNBS.PD/CC.No.204/03.05.002/2010-11
Submission of Balance Sheet and Profit and Loss Account
December 1, 2010
1566
Notification No.DNBS.217/CGM(US)-2010
Non-Banking Financial (Deposit Accepting) Companies Prudential Norms Directions, 2007
December 1, 2010
1567
Notification No.DNBS.218/CGM(US)-2010
Non-Banking Financial (Non-Deposit Accepting) Companies Prudential Norms Directions, 2007
December 1, 2010
1568
DBOD.FID.FIC.No.9/01.02.00/2010-11
Prudential Guidelines – Investment in Venture Capital Funds (VCFs)
December 1, 2010
1569
DBOD.No.Ret.BC.63/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
November 30, 2010
1570
Mail Box Clarification
Banks’ Exposure to Capital Market – Issue of Irrevocable Payment Commitments (IPCs)
November 19, 2010
1571
RPCD.CO.RF.BC.No.29/07.38.01/2010-11
Disclosing all Information Relating to Processing Fees / Charges
November 19, 2010
1572
RPCD.CO.RRB.BC.No.28/03.05.90-A/2010-11
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Licensing Policy
November 18, 2010
1573
UBD.BPD.(PCB).Cir.No.24/12.05.001/2010-11
Opening of Current Account and Subsidiary General Ledger Account with Reserve Bank and Membership of Indian Financial Network (INFINET) and Real Time Gross Settlement (RTGS) System
November 16, 2010
1574
UBD.BPD.(PCB).Dir.No.1/13.05.000/2010-11
Maximum Limit on Unsecured Loans and Advances
November 15, 2010
1575
UBD.BPD.(PCB).Cir.No.21/13.05.000/2010-11
Maximum Limit on Unsecured Loans and Advances
November 15, 2010
1576
UBD.BPD.(PCB).Cir.No.23/13.05.000/2010-11
Exposure to Housing, Real Estate Sector and Commercial Real Estate – Urban Co-operative Banks
November 15, 2010
1577
DBOD.Leg.BC.61/09.07.005/2010-11
Guidelines on Fair Practices Code for Lenders – Disclosing all Information relating to Processing Fees / Charges
November 12, 2010
1578
DBOD.No.Ret.BC.60/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
November 9, 2010
1579
DBOD.No.BP.BC.59/21.04.098/2010-11
Guidelines on Banks’ Asset Liability Management Framework – Interest Rate Risk
November 4, 2010
1580
DBOD.No.Ret.BC.55/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
November 1, 2010
1581
DBOD.No.Ret.BC.54/12.02.001/2010-11
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
October 29, 2010
1582
DBOD.Dir.BC.52/13.03.00/2010-11
Banks’ Exposure to Capital Market – Issue of Irrevocable Payment Commitments (IPCs)
October 28, 2010
1583
DBOD.FID.FIC.No.7/01.02.00/2010-11
Prudential Norms on Investment in Zero Coupon Bonds
October 28, 2010
1584
DBOD.No.BP.BC.51/21.06.101/2010-11
Introduction of Exchange Traded Currency Options – Permitting Banks to Participate in Currency Options on Recognized Stock / New Exchanges
October 28, 2010
1585
RPCD.CO.RCB.No.26/07.02.01/2010-11
Notification – Balances held by State and Central Co-operative Banks with IDBI Bank Limited – Treatment for CRR / SLR Purpose
October 22, 2010
1586
RPCD.CO.RCBD.BC.No.24/07.38.03/2010-11
Collection of Third Party Account Payee Cheques – Prohibition on crediting proceeds to Third Party Accounts
October 19, 2010
1587
RPCD.CORRB.BC.No.25/03.05.33/2010-11
Collection of Third Party Account Payee Cheques – Prohibition on crediting proceeds to Third Party Accounts
October 19, 2010
1588
DBOD.FID.FIC.No.6/01.02.00/2010-11
Prudential Guidelines on Restructuring of Advances by Select All-India Financial Institutions (AIFIs)
October 14, 2010
1589
RPCD.CO.RRB.BC.No.23/03.05.33/2010-11
Opening of No-Frills Accounts by Students for Availing various Government Scholarships
October 13, 2010
1590
UBD.BPD.(PCB).Cir.No.4/16.12.000/2010-11
Guidelines on Trading of Currency Options on Recognised Stock / New Exchanges – Participation of UCBs
October 11, 2010
1591
DBOD.BP.BC.No.47/21.01.001/2010-11
Collection of Third Party Account Payee Cheques – Prohibition on crediting proceeds to Third Party Accounts
October 1, 2010
1592
DBOD.Dir.BC.46/13.03.00/2010-11
Banks’ Exposure to Capital Market – Issue of Irrevocable Payment Commitments (IPCs)
September 30, 2010
1593
DBOD.No.BL.BC.43/22.01.009/2010-11
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs)
September 28, 2010
1594
DBOD.No.BP.BC.42/21.04.141/2010-11
Bank Loans for Financing Promoters Contribution
September 27, 2010
1595
DBOD.No.Dir.BC.41/13.03.00/2010-11
Items Excluded from Capital Market Exposure
September 21, 2010
1596
RPCD.CO.RRB.AML.No.3186/03.05.28(A)/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
September 9, 2010
1597
DNBS.(PD).CC.No.198/03.10.42/2010-11
Prevention of Money-Laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Amendment Rules, 2010 – Obligation of Banks
August 26, 2010
1598
RPCD.CO.FID.BC.No.2433/12.01.012/2010-11
Opening of No-Frills Accounts by Students for Availing various Government Scholarships
August 26, 2010
1599
RPCD.CO.RRB.AML.No.2341/03.05.28(A)/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
August 24, 2010
1600
RPCD.CO.RF.AML.No.2308/07.02.12/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
August 23, 2010
1601
DBOD.Dir.(Exp).BC.No.35/04.02.001/2010-11
Interest Rates on Rupee Export Credit
August 9, 2010
1602
DBOD.Dir.(Exp).BC.No.36/04.02.001/2010-11
Rupee Export Credit Interest Rates
August 9, 2010
1603
DBOD.AML.No.2329/14.01.037/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
August 9, 2010
1604
DNBS.(PD).CC.No.194/03.10.42/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards
August 9, 2010
1605
RPCD.CO.RF.AML.No.1643/07.02.12/2010-11
Know your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
August 9, 2010
1606
DBOD.AML.No.1930/14.01.036/2010-11
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
August 2, 2010
1607
DBOD.Dir.BC.32/13.03.00/2010-11
Banks’ Exposure to Capital Market – Loans extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
July 30, 2010
1608
DBOD.No.Ret.BC.28/12.02.001/2010-11
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
July 27, 2010
1609
DBOD.No.Ret.BC.29/12.02.001/2010-11
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
July 27, 2010
1610
RPCD.CO.RRB.AML.BC.No.14/03.05.33(E)/2010-11
Prevention of Money-Laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Second Amendment Rules, 2010 – Obligation of Banks
July 23, 2010
1611
DBOD.No.BL.BC.27/22.01.001/2010-11
Section 23 of Banking Regulation Act, 1949 – Mobile Branches and Mobile ATMs
July 23, 2010
1612
UBD.CO.BPD.No.304/13.05.006/2010-11
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008
July 12, 2010
1613
DNBS.PD/CC.No.190/03.02.002/2010-11
NBFCs-ND-SI issuing Guarantees – Applicability of exemption from Concentration Norms
July 9, 2010
1614
Notification No.DNBS.(PD).214/CGM(US)-2010
Notification on NBFCs-ND-SI issuing Guarantees – Applicability of exemption from Concentration Norms
July 9, 2010
1615
Mail Box Clarification
Provisioning for Standard Assets – Medium Enterprises
July 6, 2010
1616
DBOD.No.Ret.BC.24/12.02.001/2010-2011
Section 24 of Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity support under Liquidity Adjustment Facility (LAF) – Extension
July 2, 2010
1617
RPCD.CO.RRB.No.BL.BC.8/03.05.90-A/2010-11
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 1, 2010
1618
DNBS.(PD).CC.No.176/03.02.001/2010-11
Notification as amended up to June 30, 2010 – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’
July 1, 2010
1619
DNBS.(PD).CC.No.177/03.02.001/2010-11
Notification as amended up to June 30, 2010 – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2010
1620
DNBS.(PD).CC.No.178/03.02.001/2010-11
Notification as amended up to June 30, 2010 – ‘Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2010
1621
DNBS.(PD).CC.No.179/03.02.001/2010-11
Notification as amended up to June 30, 2010 – ‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008’
July 1, 2010
1622
DNBS.(PD).CC.No.183/03.02.001/2010-11
Notification as amended up to June 30, 2010 – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2010
1623
DNBS.(PD-MGC).C.C.No.7/23.11.01/2010-11
Notification as amended up to June 30, 2010 – ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 1, 2010
1624
DNBS.(PD).CC.No.22/SCR/26.03.001/2010-2011
Notification as amended up to June 30, 2010 – Change in or Take Over of the Management of the Business of the Borrower by Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines, 2010
July 1, 2010
1625
DNBS.(PD)CC.No.20/SCRC/26.03.001/2010-2011
Notification as amended up to June 30, 2010 – The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2010
1626
DNBS(PD-MGC)C.C.No.5/23.11.01/2010-11
Notification as amended up to June 30, 2010 – ‘Mortgage Guarantee Company (Reserve Bank) Guidelines, 2008’
July 1, 2010
1627
DNBS(PD-MGC)C.C.No.6/23.11.01/2010-11
Notification as amended up to June 30, 2010 – ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’
July 1, 2010
1628
DBOD.AML.BC.No.1/14.08.001/2010-11
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of Banks in regulating Receipt of Foreign Contributions by Associations / Organizations in India
July 1, 2010
1629
DBOD.AML.BC.No.2/14.01.001/2010-11
Master Circular – Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002
July 1, 2010
1630
DBOD.BP.BC.No.3/21.04.018/2010-11
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2010
1631
DBOD.BP.BC.No.5/21.04.172/2010-11
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2010
1632
DBOD.No.BL.BC.8/22.01.001/2010-11
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2010
1633
DBOD.No.BP.BC.15/21.06.001/2010-11
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF)
July 1, 2010
1634
DBOD.No.BP.BC.18/21.04.141/2010-11
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2010
1635
DBOD.No.BP.BC.21/21.04.048/2010-11
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2010
1636
DBOD.No.BP.BC.4./21.01.002/2010-11
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2010
1637
DBOD.No.DIR.(Exp).BC.06/04.02.002/2010-11
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 1, 2010
1638
DBOD.No.DIR.(HSG).BC.07/08.12.001/2010-11
Master Circular on Housing Finance
July 1, 2010
1639
DBOD.No.Dir.BC.10/13.03.00/2010-11
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2010
1640
DBOD.No.Dir.BC.11/13.03.00/2010-11
Master Circular of Instructions relating to Deposits held in FCNR(B) Accounts
July 1, 2010
1641
DBOD.No.Dir.BC.12/13.03.00/2010-11
Master Circular – Guarantees and Co-acceptances
July 1, 2010
1642
DBOD.No.Dir.BC.13/13.03.00/2010-11
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2010
1643
DBOD.No.Dir.BC.14/13.03.00/2010-11
Master Circular – Exposure Norms
July 1, 2010
1644
DBOD.No.Dir.BC.9/13.03.00/2010-11
Master Circular – Interest Rates on Advances
July 1, 2010
1645
DBOD.No.DL.BC.20/20.16.003/2010-11
Master Circular on Wilful Defaulters
July 1, 2010
1646
DBOD.No.FID.FIC.1/01.02.00/2010-11
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2010
1647
DBOD.No.FID.FIC.2/01.02.00/2010-11
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2010
1648
DBOD.No.FID.FIC.3/01.02.00/2010-11
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2010
1649
DBOD.No.FID.FIC.4/01.02.00/2010-11
Master Circular – Exposure Norms for Financial Institutions
July 1, 2010
1650
DBOD.No.FSD.BC.16/24.01.011/2010-11
Master Circular on Credit Card Operations of Banks
July 1, 2010
1651
DBOD.No.FSD.BC.17/24.01.001/2010-11
Master Circular – Para-Banking Activities
July 1, 2010
1652
DBOD.No.Leg.BC.19/09.07.006/2010-11
Master Circular on Customer Service in Banks
July 1, 2010
1653
DBOD.No.Rajbhasha BC.22/06.11.04/2010-11
Master Circular – Use of Hindi in Banks
July 1, 2010
1654
DBOD.No.Ret.BC.23/12.01.001/2010-11
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2010
1655
DNBS.(PD).CC No./188.03.10.001/2010-11
Master Circulars – Miscellaneous Instructions to NBFC-ND-SI
July 1, 2010
1656
DNBS.(PD).CC.No.184/03.10.42/2010-11
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards (AML) – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in terms of Rules notified thereunder’
July 1, 2010
1657
DNBS.(PD).CC.No.185/03.10.042/2010-11
Master Circular – Fair Practices Code
July 1, 2010
1658
DNBS.(PD).CC.No.186/03.10.001/2010-11
Master Circular – Allied Activities – Entry into Insurance Business, Issue of Credit Card and Marketing and Distribution of certain Products
July 1, 2010
1659
DNBS.(PD).CC.No.187/03.10.001/2010-11
Master Circular – Corporate Governance
July 1, 2010
1660
DNBS.(PD)CC.No.21/SCRC/26.03.001/2010-2011
Master Circular on Directions / Instructions issued to the Securitisation Companies / Reconstruction Companies
July 1, 2010
1661
DNBS.PD.CC.No.180/03.10.042/2010-11
Master Circular – Returns to be submitted by NBFCs
July 1, 2010
1662
DNBS.PD.CC.No.181/03.02.004/2010-11
Master Circular – Exemptions from the Provisions of RBI Act, 1934
July 1, 2010
1663
DNBS(PD)CC.No.189/03.02.001/2010-11
Master Circulars – Miscellaneous Instructions to All Non-Banking Financial Companies
July 1, 2010
1664
UBD.(PCB).MC.No.12/16.20.000/2010-11
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2010
1665
UBD.(PCB).MC.No.7/09.09.001/2010-11
Master Circular – Priority Sector Lending – UCBs
July 1, 2010
1666
UBD.BPD.(PCB).MC.No./12.05.001/2010-2011
Master Circular – Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002
July 1, 2010
1667
UBD.BPD.(PCB).MC.No.10/09.39.000/2010-11
Master Circular on Customer Service – UCBs
July 1, 2010
1668
UBD.BPD.(PCB).MC.No.12/16.20.000/2010-11
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2010
1669
UBD.BPD.(PCB).MC.No.16/12.05.001/2010-2011
Master Circular – Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002
July 1, 2010
1670
UBD.BPD.MC.No.5/13.05.000/2010-11
Master Circular on Management of Advances – UCBs
July 1, 2010
1671
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2010-2011
Master Circular on Inspection & Audit Systems in Primary (Urban) Co-op. Banks
July 1, 2010
1672
UBD.CO.BPD(PCB)MC.No.8/12.05.001/2010-11
Master Circular on Board of Directors – UCBs
July 1, 2010
1673
UBD.LS.(PCB).MC.No.14/07.01.00/2010-11
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Up-gradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2010
1674
UBD.PCB.MC.No.1/13.05.000/2010-11
Master Circular on Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2010
1675
UBD.PCB.MC.No.11/13.01.000/2010-11
Master Circular – Interest Rates on Rupee Deposits – Primary (Urban) Co-operative Banks
July 1, 2010
1676
UBD.PCB.MC.No.13/13.01.000/2010-11
Master Circular on Maintenance of Deposit Accounts – Primary (Urban) Co-operative Banks
July 1, 2010
1677
UBD.PCB.MC.No.15/12.03.000/2010-11
Master Circular on Maintenance of Statutory Reserves – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR) by Primary (Urban) Co-operative Banks
July 1, 2010
1678
UBD.PCB.MC.No.2/09.22.010/2010-11
Master Circular on Finance for Housing Schemes – UCBs
July 1, 2010
1679
UBD.PCB.MC.No.3/09.14.000/2010-11
Master Circular on Income Recognition, Asset Classification, Provisioning & Other Related Matters – UCBs
July 1, 2010
1680
UBD.PCB.MC.No.4/09.27.000/2010-11
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2010
1681
UBD.PCB.MC.No.6/09.18.201/2010-11
Prudential Norms on Capital Adequacy – Master Circular – UCBs
July 1, 2010
1682
DBOD.Dir.BC.116/13.03.00/2009-10
Banks’ Exposure to Capital Market – Loans extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
June 30, 2010
1683
DBOD.Dir.(Exp).BC.No.114/04.02.001/2009-10
Interest Rates on Rupee Export Credit
June 29, 2010
1684
DBOD.Dir.(Exp).BC.No.115/04.02.001/2009-10
Rupee Export Credit Interest Rates
June 29, 2010
1685
UBD.CO.BPD.No.70/09.09.001/2009-10
Priority Sector Lending – Advances to Micro and Small Enterprises engaged in Exports and Export Credit to Agriculture and Allied Activities – UCBs
June 15, 2010
1686
RPCD.CO.RRB.No.12898/03.05.33/2009-10
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs)
June 11, 2010
1687
UBD.(PCB).BPD.Cir.No.69/09.22.010/2009-10
Exposure to Real Estate and Commercial Real Estate Sector – UCBs
June 9, 2010
1688
DNBS.(PD).CC.No.175/03.10.42/2009-10
Prevention of Money-Laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Amendment Rules, 2009 – Obligation of Banks / Financial Institutions
May 26, 2010
1689
DBOD.No.Ret.BC.103/12.02.001/2009-10
Section 24 of the Banking Regulation Act, 1949 – Shortfall in maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
May 26, 2010
1690
Mail Box Clarification
Invocation of Pledge on Locked-in Shares of Promoter
May 14, 2010
1691
RPCD.CO.RF.AML.No.11830/07.02.12/2009-10
Know your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) – StCBs & CCBs
May 12, 2010
1692
RPCD.CO.RF.AML.BC.No.80/03.05.33(E)/2009-10
Prevention of Money-Laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Amendment Rules, 2010 – Obligation of Banks
May 6, 2010
1693
DBOD.Dir.(Exp).BC.No.101/04.02.001/2009-10
Interest Rates on Advances
May 6, 2010
1694
UBD.BPD.PCB.Cir.No.65/13.01.000/2009-10
Conversion of Term Deposits, Daily Deposits or Recurring Deposits for Reinvestment in Term Deposits by Primary (Urban) Co-operative Banks (UCBs)
May 5, 2010
1695
UBD.CO.LS.Cir.No.64/07.01.000/2009-10
Annual Policy Statement for the Year 2010-11 – Opening of Off-site ATMs by Primary (Urban) Cooperative Banks – Liberalisation
May 4, 2010
1696
UBD.BPD.(PCB).Cir.No.3/16.26.000/2009-10
Collection of Foreign Currency Denominated Cheques
April 30, 2010
1697
DNBS.(PD).CC.No.172/03.10.42/2009-10
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
April 30, 2010
1698
DBOD.No.BP.BC.100/21.04.012/2009-10
Relaxation to Trade and Industry in the State of Jammu & Kashmir
April 29, 2010
1699
RPCD.CO.RRB.AML.No.11048/03.05.28(A)/2009-10
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
April 27, 2010
1700
DBOD.No.BL.BC.99/22.01.009/2009-2010
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs)
April 26, 2010
1701
DNBS.(PD).CC.No.171/03.10.42/2009-10
Prevention of Money-Laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Amendment Rules, 2009 – Obligation of Banks / Financial Institutions
April 23, 2010
1702
DBOD.No.BP.BC.96/08.12.014/2009-10
Prudential Norms on Advances to Infrastructure Sector
April 23, 2010
1703
RPCD.CO.RF.BC.No.74/07.02.01/2009-10
Notification on Maintenance of CRR
April 21, 2010
1704
RPCD.CO.RF.BC.No.75/07.02.01/2009-10
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
April 21, 2010
1705
RPCD.CO.RRB.No.72/03.05.28(B)/2009-10
Notification on Maintenance of Cash Reserve Ratio (CRR)
April 21, 2010
1706
RPCD.CO.RRB.No.73/03.05.28(B)/2009-10
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
April 21, 2010
1707
UBD.PCB.Cir.No.58/13.05.000/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008
April 21, 2010
1708
Notification No.DNBS.(PD-SC/RC).No.7/CGM(ASR)/-2010
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
April 21, 2010
1709
Notification No.DNBS.PD.(SC/RC).8/CGM(ASR)-2010
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
April 21, 2010
1710
Notification No.DNBS.PD.(SC/RC).9/CGM(ASR)-2010
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
April 21, 2010
1711
DBOD.No.Ret.BC.89/12.01.001/2009-10
Notification on Maintenance of CRR
April 20, 2010
1712
DBOD.No.Ret.BC.90/12.01.001/2009-10
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
April 20, 2010
1713
RPCD.CO.RF.BC.No.71/07.37.02/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
April 19, 2010
1714
RPCD.RRB.BC.No.68/03.05.34/2009-10
Investment in SLR Securities by Regional Rural Banks (RRBs)
April 9, 2010
1715
DBOD.No.Dir.BC.88/13.03.00/2009-10
Guidelines on the Base Rate
April 9, 2010
1716
Mail Box Clarification
Definition of Infrastructure Lending
April 9, 2010
1717
RPCD.CO.RRB.BC.No.65/03.05.33/2009-10
Cheque Collection Policy (CCP) – Immediate Credit of Local / Outstation Cheques
April 8, 2010
1718
DBOD.No.BP.BC.86/21.06.001(A)/2009-10
Prudential Guidelines on Capital Adequacy – Implementation of Internal Models Approach for Market Risk
April 7, 2010
1719
DBOD.No.FID.FIC.10/01.02.00/2009-10
Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances – Projects under Implementation
April 7, 2010
1720
DBOD.BP.BC.No.87/21.06.001/2009-10
Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF) – Parallel Run and Prudential Floor
April 7, 2010
1721
RPCD.CO.RRB.BC.No.63/03.05.72/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy – RSBs
April 6, 2010
1722
UBD.PCB.Cir.No.54/13.05.000/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
April 5, 2010
1723
UBD.CO.(PCB).BPD.Cir.52/09.11.00/2009-10
Maintenance of CSGL Accounts
April 5, 2010
1724
DBOD.No.BP.BC.82/21.04.048/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
March 30, 2010
1725
Mail Box Clarification
Infusion of Additional Funds by Promoters
March 30, 2010
1726
DBOD.AML.No.16477/14.01.034/2009-10
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
March 26, 2010
1727
UBD.CO.BPD(PCB).Cir.No.50/09.09.001/2009-10
Priority Sector Lending – Categorisation of Activities under Service under the MSMED Act, 2006
March 25, 2010
1728
RPCD.RRB.No.BC.61/03.05.34/2009-10
Provisioning Requirement for Standard Assets
March 4, 2010
1729
RPCD.CO.RF.AML.BC.No.59/07.40.00/2009-10
Prevention of Money-Laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Amendment Rules, 2009 – Obligation of Banks / Financial Institutions
March 3, 2010
1730
UBD.BPD.(PCB).Cir.No.47/09.16.900/2009-10
Guidelines for Transfer of Assets and Liabilities of Urban Cooperative Banks to Commercial Banks
February 24, 2010
1731
UBD.BPD.PCB.Cir.No.46/13.05.006/2009-10
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008
February 24, 2010
1732
DBOD.DIR.(Exp).BC.No.75/04.02.001/2009-10
Interest Rates on Export Credit in Foreign Currency
February 19, 2010
1733
DBOD.DIR.(Exp).No.76/04.02.001/2009-10
Interest Rates on Export Credit in Foreign Currency
February 19, 2010
1734
DBOD.No.BP.BC.74/21.04.172/2009-10
Risk Weights and Exposure Norms in respect of Bank Exposure to NBFCs categorised as ‘Infrastructure Finance Companies’
February 12, 2010
1735
UBD.BPD.(PCB).Cir.No.42/09.11.600/2009-10
Prudential Guidelines on Capital Charge for Market Risks
February 8, 2010
1736
DBOD.No.BP.BC.73/21.06.001/2009-10
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – New Capital Adequacy Framework (NCAF)
February 8, 2010
1737
RPCD.CO.RRB.No.BC.54/03.05.90-A/2009-10
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs) – Policy for Opening of Regional Offices by RRBs
February 5, 2010
1738
RPCD.CO.RF.BC.No.50/07.02.01/2009-10
Notification on Maintenance of CRR
February 1, 2010
1739
RPCD.CO.RF.BC.No.51/07.02.01/2009-10
StCBs – Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
February 1, 2010
1740
RPCD.CO.RRB.BC.No.52/03.05.28(B)2009-10
Notification on Maintenance of CRR
February 1, 2010
1741
RPCD.CO.RRB.BC.No.53/03.05.28(B)/2009-10
RRBs – Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
February 1, 2010
1742
DBOD.No.BL.BC.72/22.01.001/2009-10
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy
February 1, 2010
1743
DBOD.No.Ret.BC.70/12.01.001/2009-2010
Notification on Maintenance of CRR
January 29, 2010
1744
DBOD.No.Ret.BC.71/12.01.001/2009-10
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
January 29, 2010
1745
RPCD.CORRB.AML.BC.No.49/03.05.33(E)/2009-10
Prevention of Money-laundering (Maintenance of Records of the Nature and Value of Transactions, the Procedure and Manner of Maintaining and Time for Furnishing Information and Verification and Maintenance of Records of the Identity of the Clients of the Banking Companies, Financial Institutions and Intermediaries) Amendment Rules, 2009 – Obligation of Banks / Financial Institutions
January 28, 2010
1746
Mail Box Clarification
Inclusion of Quarterly Un-Audited Profits for Computation of Capital Adequacy
January 28, 2010
1747
Mail Box Clarification
Guaranteeing Returns of Investors of Capital Instruments of Banks
January 25, 2010
1748
RPCD.CO.RRB.BC.No.48/03.05.50/2009-10
Computation of Net Demand and Time Liabilities (NDTL) for the purpose of Maintenance of CRR / SLR
January 18, 2010
1749
Mail Box Clarification
Capital Adequacy Framework for Security Receipts
January 18, 2010
1750
DBOD.BP.BC.No.69/21.01.002/2009-10
Retail Issue of Subordinated Debt for Raising Tier II Capital
January 13, 2010
1751
DBOD.No.FID.FIC.7/01.02.00/2009-10
Prudential Norms on Creation and Utilisation of Floating Provisions
January 5, 2010
1752
DPSS.CO.No.1357/02.23.02/2009-10
Mobile Banking Transactions in India – Operative Guidelines for Banks@
December 24, 2009
1753
DBOD.Dir.BC.66/13.03.00/2009-10
Banks’ Exposure to Capital Market – Loans extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
December 23, 2009
1754
UBD.BPD.(PCB).Cir.No.37/13.01.000/2009-10
Settlement of Interest Rate Futures (IRF) – UCBs
December 21, 2009
1755
UBD.(PCB).BPD.Cir.No.34/16.26.000/2009-10
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Section 24 – Investment in Government and other approved Securities by Urban Co-operative Banks (UCBs)
December 17, 2009
1756
UBD.BPD.(PCB).Cir.No.30/09.14.000/2008-09
Prudential Treatment of Different Types of Provisions in respect of Loan Portfolios
December 16, 2009
1757
RPCD.CO.RF.AML.No.6548/07.02.12/2009-10
Know your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
December 10, 2009
1758
RPCD.CO.RRB.No.6557/03.05.28-A/2009-10
Know Your Customer (KYC) Norms / Anti-Money Laundering(AML)Standards / Combating of Financing of Terrorism (CFT
December 10, 2009
1759
RPCD.CORRB.No.45/03.05.33/2009-10
Marketing / Distribution of Mutual Fund Units / Insurance etc., products by RRBs
December 9, 2009
1760
DBOD.No.FID.FIC.6/01.02.00/2009-10
Second Quarter Review of Monetary Policy for the Year 2009-10 Provisioning Coverage for Advances
December 8, 2009
1761
UBD.BPD.(PCB).Cir.No.29/09.11.600/2009-10
Second Quarter Review of Monetary Policy for the Year 2009-10 – Provisioning Requirement for Standard Assets
December 8, 2009
1762
UBD.No.BPD.PCB.26/09.11.200/2009-10
Marketing / Distribution of Mutual Fund / Insurance Products by Urban Cooperative Banks
December 3, 2009
1763
DBOD.No.BL.BC.65/22.01.001/2009-10
Section 23 of the Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy
December 1, 2009
1764
DBOD.No.BP.BC.64/21.04.048/2009-10
Second Quarter Review of Monetary Policy for the Year 2009-10 – Provisioning Coverage for Advances
December 1, 2009
1765
DBOD.No.BL.63/22.01.009/2009-10
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs)
November 30, 2009
1766
DBOD.AML.No.8923/14.01.032/2009-10
Know Your Customer (KYC) Norms / Anti – Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
November 20, 2009
1767
DBOD.No.Ret.BC.61/12.02.001/2009-10
Notification on Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR) – Local Area Banks
November 19, 2009
1768
DBOD.No.Ret.BC.62/12.02.001/2009-10
Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR) – Local Area Banks
November 19, 2009
1769
UBD.CO.BPD.(PCB).Cir.No.22/12.05.001/2009-10
Extension of Safe Deposit Locker / Safe Custody Article Facility and Access to Safe Deposit Lockers / Return of Safe Custody Articles by Banks – Urban Co-operative Banks
November 16, 2009
1770
DNBS.(PD).CC.164/03.10.042/2009-10
Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in terms of Rules Notified thereunder
November 13, 2009
1771
RPCD.CO.RF.BC.No.42/07.38.01/2009-10
Safe Deposit Lockers
November 13, 2009
1772
RPCD.CO.RF.BC.No.40/07.02.01/2009-10
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
November 9, 2009
1773
RPCD.CO.RRB.BC.No.41/03.05.28(B)/2009-10
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
November 9, 2009
1774
Mail Box Clarification
Banks’ Exposure towards Power Projects based on Renewable Energy Sources
November 9, 2009
1775
DBOD.No.Leg.BC.59/09.07.005/2009-10
Dishonour of Cheques – Dealing with Incidents of Frequent Dishonour
November 9, 2009
1776
Mail Box Clarification
Clarification on Capital Reserve Account and Special Reserves created under the Income Tax Act, 1961
November 6, 2009
1777
DBOD.Ret.BC.No.56/12.02.001/2009-10
Section 24 of the Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
November 5, 2009
1778
DBOD.No.BP.BC.58/21.04.048/2009-10
Second Quarter Review of Monetary Policy for the Year 2009-10 – Provisioning Requirement for Standard Assets
November 5, 2009
1779
DBOD.Dir.(Exp).BC.No.53/04.02.001/2009-10
Interest Rates on Advances
October 29, 2009
1780
RPCD.CO.No.RRB.No.35/03.05.28(B)/2009-10
Notification on Maintenance of Statutory Liquidity Ratio (SLR)
October 29, 2009
1781
RPCD.CO.RRB.BC.No.36/03.05.28(B)/2009-10
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
October 29, 2009
1782
RPCD.CO.RRB.BC.No.38/03.05.28(B)/2009-10
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR) – RRBs
October 29, 2009
1783
RPCD.CO.RRB.NO.37/03.05.28(B)/2009-10
Notification on Maintenance of Statutory Liquidity Ratio (SLR) – RRBs
October 29, 2009
1784
DBOD.Dir.(Exp).BC.No.54/04.02.001/2008-09
Rupee Export Credit Interest Rates
October 29, 2009
1785
DBOD.No.Ret.BC.50/12.02.001/2009-10
Notification – Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR)
October 28, 2009
1786
DBOD.Ret.BC.51/12.02.001/2009-10
Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR)
October 28, 2009
1787
UBD.(PCB).BPD.CirNo.17/13.01.000/2009-10
Guidelines on Exchange Traded Interest Rate Futures (IRFs) – UCBs
October 28, 2009
1788
UBD.CO.BPD.Cir.No.2/13.05.000/2009-10
Rupee Export Credit Interest Rates
October 26, 2009
1789
UBD.BPD.No.16/09.22.010/2009-10
Finance for Housing Projects – Incorporating Clause in the terms and conditions to Disclose in Pamphlets / Brochures / Advertisements – Information Regarding Mortgage of Property to the Bank
October 26, 2009
1790
UBD.BPD.Dir.(Exp).No.2/13.05.000/2009-10
Interest Rate on Rupee Export Credit
October 23, 2009
1791
DBOD.DL.BC.49/20.16.040/2009-10
Amendment of Regulation 5(1)(b) of the Credit Information Companies Regulations, 2006
October 23, 2009
1792
Notification No.DNBS.(PD).209/CGM.(ANR)-2009
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
October 22, 2009
1793
Notification No.DNBS.(PD).210/CGM.(ANR)-2009
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
October 22, 2009
1794
RPCD.CO.RRB.BC.No.19/03.05.33/2009-10
Collection of Third Party Account Payee Cheques – Prohibition on crediting proceeds to Third Party Accounts
October 11, 2009
1795
RPCD.CO.RF.BC.No.26/07.07.11/2009-10
Section 6 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Forms of Business in which Co-operative Banks may engage
September 29, 2009
1796
RPCD.CO.RRB.BC.No.25/03.05.33/2009-10
Payment of Interest on Savings Bank Account on a Daily Product Basis
September 24, 2009
1797
DBOD.No.BP.BC.46/21.04.048/2009-10
Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances – Computation of NPA Levels
September 24, 2009
1798
DBOD.No.Ret.BC.45/12.01.001/2009-10
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
September 18, 2009
1799
RPCD.CO.RF.BC.No.22/07.40.06/2009-10
Display of Information regarding Local Level Committees set up under the National Trust for the Welfare of Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities Act, 1999
September 17, 2009
1800
UBD.CO.BPD.Cir.No.1/13.05.000/2009-10
Rupee Export Credit Interest Rates
September 16, 2009
1801
RPCD.CO.RF.BC.No.23/07.37.02/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
September 16, 2009
1802
RPCD.CO.RRB.BC.No.21/03.05.33/2009-10
Finance for Housing Projects – Incorporating Clause in the Terms and Conditions to disclose in Pamphlets / Brochures / Advertisements Information regarding Mortgage of Property to Regional Rural Banks (RRBs)
September 14, 2009
1803
RPCD.CO.RRB.BC.No.20/03.05.72/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy – RRBs
September 11, 2009
1804
UBD.BPD.Dir.(Exp).No.1/13.05.000/2009-10
Interest Rate on Rupee Export Credit
September 10, 2009
1805
DBOD.BP.BC.No.42/08.12.015/2009-10
Guidelines on Classification of Exposures as Commercial Real Estate (CRE) Exposures
September 9, 2009
1806
DBOD.No.Ret.BC.41/12.02.001/2009-10
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
September 8, 2009
1807
DBOD.No.BP.BC.38/21.01.002/2009-10
Issue of Subordinated Debt for Raising Tier II Capital
September 7, 2009
1808
DBOD.No.Dir.(Exp).BC.39/04.02.001/2009-10
Gold Card Scheme for Exporters
September 7, 2009
1809
RPCD.CO.RF.BC.No.18/07.38.03/2009-10
Collection of Account Payee Cheques – Prohibition on Crediting Proceeds to Third Party Account
September 7, 2009
1810
RPCD.CO.RRB.BC.No.17/03.05.28(B)/2009-10
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR)
September 4, 2009
1811
UBD.BPD.PCB.Cir.No.8/13.05.006/2009-10
Budget Announcement 2009-10 – Extension of Last Date under One Time Settlement Scheme (Under Agricultural Debt Waiver and Debt Relief Scheme, 2008) upto December 31, 2009
September 3, 2009
1812
DBOD.No.Leg.BC.37/09.07.005/2009-10
Display of Information regarding Local Level Committees set up under the National Trust for the Welfare of Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities Act, 1999
September 2, 2009
1813
UBD.(PCB).BPD.Cir.No.7/13.01.000/2009-10
Payment of Interest on Savings Bank Account on a Daily Product Basis – UCBs
September 1, 2009
1814
DBOD.No.BP.BC.35/21.04.048/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
August 31, 2009
1815
UBD.CO.BSD.(SCB).No.5/12.09.009/2009-10
Section 6 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Forms of Business in which Co-operative Banks may engage
August 31, 2009
1816
DNBS.(PD).CC.No.159/03.03.01/2009-10
Acceptance of Deposits by Chit Fund Companies
August 28, 2009
1817
Notification No.DNBS.207/CGM.(ANR)-2009
Notification on Acceptance of Deposits by Chit Fund Companies
August 28, 2009
1818
DBOD.BP.BC.No.32/21.01.001/2009-10
Collection of Account Payee Cheque – Prohibition on Crediting Proceeds to Third Party Account
August 27, 2009
1819
DBOD.No.BP.BC.33/21.04.048/2009-10
Prudential Treatment in respect of Floating Provisions
August 27, 2009
1820
DBOD.No.Dir.(Hsg).BC.31/08.12.001/2009-10
Finance for Housing Projects – Incorporating Clause in the Terms and Conditions to disclose in Pamphlets / Brochures / Advertisements information regarding Mortgage of Property to the Bank
August 27, 2009
1821
Mail Box Clarification
Implementation of New Capital Adequacy Framework (NCAF) – Deduction of Credit Enhancement towards Securitisation Transaction
August 24, 2009
1822
UBD.(PCB).BPD.Cir.No.4/13.01.000/2009-10
Payment of Interest on Accounts Frozen by UCBs
August 20, 2009
1823
UBD.BPD.PCB.Cir.No.3/13.05.006/2009-10
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008
August 17, 2009
1824
RPCD.CO.RCBD.BC.No.15/03.03.01/2009-10
Housing Finance
August 13, 2009
1825
DBOD.No.Leg.BC.30/09.07.005/2009-10
Payment of Interest on Accounts Frozen by Banks
August 12, 2009
1826
DBOD.No.BP.BC.29/21.06.001/2009-10
Prudential Guidelines on Capital Adequacy and Market Discipline – Implementation of the New Capital Adequacy Framework (NCAF)
August 12, 2009
1827
DBOD.No.FID.FIC.2397/01.02.00/2009-10
Lending under Consortium Arrangements / Multiple Banking Arrangements
August 5, 2009
1828
DBOD.No.FID.FIC.5/01.02.00/2009-10
Lending under Consortium Arrangements / Multiple Banking Arrangements
August 5, 2009
1829
Mail Box Clarification
Priority Sector Lending – Classification of Advances to Corporates / Private Companies / Sugar Co-operative Mills
August 4, 2009
1830
DBOD.No.BP.BC.28/21.04.141/2009-10
Inter-bank Participations – Scheduled Commercial Banks
August 4, 2009
1831
RPCD.CO.RF.BC.No.14/07.06.00/2009-10
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Policy for Opening of New Place of Business by State Co-Operative Banks
August 4, 2009
1832
DBOD.BP.BC.No.23/21.06.001/2009-10
Introduction of Advanced Approaches of Basel II Framework in India – Time Schedule
July 7, 2009
1833
RPCD.CO.RRB.No.BL.BC.8/03.05.90-A/2009-10
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 1, 2009
1834
DNBS.(PD).CC.No.143/03.02.001/2009-10
Master Circular – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’
July 1, 2009
1835
DNBS.(PD).CC.No.145/03.02.001/2009-10
Master Circular – ‘Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2009
1836
DNBS.(PD).CC.No.146/03.02.001/2009-10
Master Circular – ‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008’
July 1, 2009
1837
DNBS.(PD).CC.No.150/03.02.001/2009-10
Master Circular – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2009
1838
DNBS(PD)CC.No.144/03.02.001/2009-10
Master Circular – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2009
1839
RPCD.CO.RRB.BC.No.11/03.05.33/2009-10
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning and Capital Adequacy – RRBs
July 1, 2009
1840
DNBS(PD)CC.No.15/SCRC/26.03.001/2009-2010
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2009
1841
DBOD.AML.BC.No.1/14.08.001/2009-10
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of Banks in regulating Receipt of Foreign Contributions by Associations / Organizations in India
July 1, 2009
1842
DBOD.AML.BC.No.2/14.01.001/2009-10
Master Circular – Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of Banks under PMLA, 2002
July 1, 2009
1843
DBOD.BP.BC.No.22/21.04.018/2009-10
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2009
1844
DBOD.BP.BC.No.5/21.04.172/2009-10
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2009
1845
DBOD.No.BL.BC.20/22.01.001/2009-10
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2009
1846
DBOD.No.BP.BC.17/21.04.048/2009-10
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2009
1847
DBOD.No.BP.BC.21/21.06.001/2009-10
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – Implementation of the New Capital Adequacy Framework (NCAF)
July 1, 2009
1848
DBOD.No.BP.BC.3/21.04.141/2009-10
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2009
1849
DBOD.No.BP.BC.6/21.01.002/2009-10
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2009
1850
DBOD.No.DIR.(Exp).BC.07/04.02.02/2009-10
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 1, 2009
1851
DBOD.No.DIR.(HSG).BC.08/08.12.01/2009-10
Master Circular on Housing Finance
July 1, 2009
1852
DBOD.No.Dir.BC.10/13.03.00/2009-10
Master Circular – Interest Rates on Advances
July 1, 2009
1853
DBOD.No.Dir.BC.11/13.03.00/2009-10
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2009
1854
DBOD.No.Dir.BC.12/13.03.00/2009-10
Master Circular of Instructions relating to Deposits held in FCNR(B) Accounts
July 1, 2009
1855
DBOD.No.Dir.BC.13/13.03.00/2009-10
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2009
1856
DBOD.No.Dir.BC.14/13.03.00/2009-10
Master Circular – Guarantees and Co-acceptances
July 1, 2009
1857
DBOD.No.Dir.BC.15/13.03.00/2009-10
Master Circular – Exposure Norms
July 1, 2009
1858
DBOD.No.DL.BC.16/20.16.003/2009-10
Master Circular on Wilful Defaulters
July 1, 2009
1859
DBOD.No.FID.FIC.1/01.02.00/2009-10
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2009
1860
DBOD.No.FID.FIC.2/01.02.00/2009-10
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2009
1861
DBOD.No.FID.FIC.3/01.02.00/2009-10
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2009
1862
DBOD.No.FID.FIC.4/01.02.00/2009-10
Master Circular – Exposure Norms for Financial Institutions
July 1, 2009
1863
DBOD.No.FSD.BC.18/24.01.001/2009-10
Master Circular – Para-Banking Activities
July 1, 2009
1864
DBOD.No.FSD.BC.19/24.01.011/2009-10
Master Circular on Credit Card Operations of Banks
July 1, 2009
1865
DBOD.No.Leg.BC.9/09.07.006/2009-10
Master Circular on Customer Service in Banks
July 1, 2009
1866
DBOD.No.Rajbhasha.BC.4/06.11.04/2009-10
Master Circular – Use of Hindi in Banks
July 1, 2009
1867
DNBS.(PD-MGC)CC.No.4/23.11.01/2009-10
Master Circulars – Mortgage Guarantee Companies
July 1, 2009
1868
DNBS.(PD).CC.No.147/03.02.01/2009-10
Master Circular – ‘Reserve Bank of India (Non-Banking Financial Companies) Returns Specifications 1997’
July 1, 2009
1869
DNBS.(PD).CC.No.152/03.10.42/2009-10
Master Circular – ‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in Terms of Rules Notified thereunder’
July 1, 2009
1870
DNBS.(PD).CC.No.153/03.10.042/2009-10
Master Circular – Fair Practices Code
July 1, 2009
1871
DNBS.(PD).CC.No.154/28.18.001/2009-10
Master Circular – Residuary Non-Banking Companies
July 1, 2009
1872
DNBS.(PD).CC.No.155/03.10.001/2009-10
Master Circular – Allied Activities – Entry into Insurance Business, Issue of Credit Card and Marketing and Distribution of Certain Products
July 1, 2009
1873
DNBS.(PD).CC.No.156/03.10.001/2009-10
Master Circular – Corporate Governance
July 1, 2009
1874
DNBS.(PD).CC.No.157/03.10.001/2009-10
Master Circulars – Miscellaneous Instructions to NBFC-ND-SI
July 1, 2009
1875
DNBS.(PD).CC.No.158/03.02.001/2009-10
Master Circulars – Miscellaneous Instructions to Non-Banking Financial Companies
July 1, 2009
1876
DNBS.(PD).CC.No.16/SCRC/26.03.001/2009-2010
Master Circular on Directions / Instructions issued to the Securitisation Companies / Reconstruction Companies
July 1, 2009
1877
DNBS.(PD)CC.No.151/03.10.42/2009-10
Master Circular – ‘Know Your Customer’ (KYC) Guidelines – Anti Money Laundering Standards
July 1, 2009
1878
DNBS.PD.CC.No.148/03.02.004/2009-10
Master Circular – Exemptions from the Provisions of RBI Act, 1934
July 1, 2009
1879
UBD.(PCB).MC.No.7/09.09.001/2009-10
Master Circular – Priority Sector Lending – UCBs
July 1, 2009
1880
UBD.BPD.(PCB).MC.No.10/09.39.000/2009-10
Master Circular on Customer Service – UCBs
July 1, 2009
1881
UBD.BPD.(PCB).MC.No.12/16.20.000/2009-10
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2009
1882
UBD.BPD(PCB)MC.No.13/13.01.000/2009-10
Master Circular on Maintenance of Deposit Accounts – UCBs
July 1, 2009
1883
UBD.BPD(PCB)MC.No.5/13.05.000/2009-10
Master Circular on Management of Advances – UCBs
July 1, 2009
1884
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2009-2010
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
July 1, 2009
1885
UBD.CO.BPD(PCB)MC.No.8/12.05.001/2009-10
Master Circular on Board of Directors – UCBs
July 1, 2009
1886
UBD.CO.BSD.NSB.1/Ret/MC.No/15/12.03.000/2009-10
Master Circular on Maintenance of Statutory Reserves Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2009
1887
UBD.LS.(PCB).MC.No.14/07.01.00/2009-10
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Upgradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2009
1888
UBD.No.BPD.MC.No.11/13.01.000/2009-10
Master Circular – Interest Rates on Rupee Deposits – UCBs
July 1, 2009
1889
UBD.PCB.MC.No.1/13.05.000/2009-10
Master Circular on Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2009
1890
UBD.PCB.MC.No.2/09.22.010/2009-10
Master Circular on Finance For Housing Schemes – UCBs
July 1, 2009
1891
UBD.PCB.MC.No.3/09.14.000/2009-10
Master Circular on Income Recognition, Asset Classification, Provisioning & Other Related Matters – UCBs
July 1, 2009
1892
UBD.PCB.MC.No.4/09.27.000/2009-10
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2009
1893
UBD.PCB.MC.No.6/09.18.201/2009-10
Prudential Norms on Capital Adequacy – Master Circular – UCBs
July 1, 2009
1894
UBD.PCB.Cir.No.73/09.14.000/2008-09
Prudential Treatment of Different Types of Provisions in respect of Loan Portfolios
June 29, 2009
1895
RPCD.CO.RF.BC.No.116/07.37.02/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning
June 26, 2009
1896
UBD.BPD.PCB.Cir.No.72/13.05.000/2008-09
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008
June 26, 2009
1897
DBOD.No.Dir.BC.139/13.03.00/2008-2009
Banks’ Exposure to Capital Market – Loans extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
June 25, 2009
1898
DBOD.No.BP.BC.140/21.04.048/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
June 25, 2009
1899
Mail Box Clarification
DVP Funding to Brokers – Margin Requirements
June 24, 2009
1900
RPCD.CO.RRB.BC.No.115/03.05.33/2008-09
Valuation of Properties – Empanelment of Valuers
June 22, 2009
1901
RPCD.CO.RRB.BC.No.13705/03.05.90-A/2008-09
‘Controlling Office’ renamed as ‘Regional Office’ – RRBs
June 18, 2009
1902
UBD.PCB.Cir.No.3/13.05.000/2008-09
Rupee Export Credit Interest Rates
June 18, 2009
1903
RPCD.CO.RRB.BC.No.114/03.05.90-A/2008-09
‘Controlling Office’ renamed as ‘Regional Office’ – RRBs
June 18, 2009
1904
RPCD.CO.No.RRB.13612/03.05.33/2008-09
Financial Inclusion by Extension of Banking Services – Use of Business Facilitators (BFS) and Business Correspondents (BCs)
June 16, 2009
1905
UBD.BPD.No.71/09.09.001/2008-09
Credit Delivery to the Micro and Small Enterprises Sector
June 16, 2009
1906
RPCD.CO.RF.BC.No.113/07.37.02/2008-09
Income Recognition, Asset Classification, Provisioning and Other Related Matters
June 16, 2009
1907
UBD.CO.BPD.(PCB).Cir.No.70/12.05.001/2008-09
Declaration of Dividend by UCBs
June 15, 2009
1908
DBOD.No.BL.BC.137/22.01.001/2008-09
Section 23 of Banking Regulation Act, 1949 – Relaxations in Branch Authorisation Policy – Off Site ATMs
June 12, 2009
1909
UBD.BPD.Dir.(Exp).No.1/13.05.000/2008-09
Interest Rates on Rupee Export Credit
June 11, 2009
1910
RPCD.CO.RF.BC.No.112/07.37.02/2008-09
Valuation of Properties – Empanelment of Valuers
June 3, 2009
1911
DBOD.AML.No.20716/14.01.027/2008-09
Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT)
June 3, 2009
1912
Mail Box Clarification
KYC – Add-on / Supplementary Cards
June 1, 2009
1913
RPCD.CO.RRB.BC.No.110/03.05.33/2008-09
The Bankers’ Books Evidence Act, 1891 – Submission of Certified Copies of Entries / Print out to Courts
May 29, 2009
1914
DBOD.No.DIR.BC.136/13.03.00/2008-09
Issue of Guarantees by Banks
May 29, 2009
1915
DNBS.PD/CC.No.140/03.02.002/2008-09
Increase in CRAR – Extension of Time
May 26, 2009
1916
Notification No.DNBS.206/CGM(ASR)-2009
Notification on Increase in CRAR – Extension of Time
May 26, 2009
1917
DBOD.No.BP.BC.135/21.04.012/2008-09
Relaxation to Trade and Industry in the State of Jammu and Kashmir
May 26, 2009
1918
DBOD.BP.BC.No.134/21.06.001/2008-09
Capital Adequacy Norms for Banks’ Exposures to Central Counterparties (CCPs)
May 26, 2009
1919
RPCD.CO.RF.BC.No.109/07.38.01/2008-09
Exposure to Commercial Real Estate
May 25, 2009
1920
RPCD.CO.RRB.BC.No.103/03.05.28-A/2008-09
Banking Companies (Nomination) Rules, 1985 – Acknowledgement of Nomination and indicating the Name of the Nominee in Pass Books / Fixed Deposit Receipts
May 13, 2009
1921
Mail Box Clarification
NGOs / NPOs
May 12, 2009
1922
DBOD.No.FID.FIC.6/01.02.00/2008-09
Prudential Guidelines on Restructuring of Advances by Select All-India Financial Institutions
May 7, 2009
1923
RPCD.CO.RF.BC.No.104/07.37.02/2008-09
Investment Portfolio of Banks – Transactions in Securities
May 7, 2009
1924
UBD.PCB.Cir.No.65/09.16.900/2008-09
Financial restructuring of Urban Cooperative Banks
May 6, 2009
1925
RPCD.CO.RRB.BC.No.101/03.05.90-A/2008-09
‘Controlling Office’ renamed as ‘Regional Office’ – RRBs
May 4, 2009
1926
DBOD.Dir.(Exp).BC.No.130/04.02.001/2008-09
Rupee Export Credit Interest Rates
April 29, 2009
1927
UBD.CO.BPD.(PCB).No.64/12.05.001/2008-09
In the High Court of Delhi at New Delhi – RBI V/s Hoffland Finance Ltd. – C.P. No. 351 of 1999
April 29, 2009
1928
UBD.CO.BPD.(PCB)Cir.No.63/9.39.000/2008-09
Need for Bank Branches / ATMs to be made Accessible to Persons with Disabilities
April 29, 2009
1929
DNBS.PD/CC.No.138/03.02.002/2008-09
Increase in CRAR-Extension of Time
April 24, 2009
1930
DBOD.No.BL.BC.129/22.01.009/2008-2009
Financial Inclusion by Extension of Banking Services – Use of Business Facilitators (BFs) and Business Correspondents (BCs)
April 24, 2009
1931
RPCD.CO.RF.BC.No.100/07.38.03/2008-09
The Bankers’ Books Evidence Act, 1891 – Submission of Certified Copies of Entries / Print Out to Courts
April 24, 2009
1932
DBOD.No.BP.BC.127/21.04.009/2008-09
Extension of Guarantee – Maturity Beyond Ten Years
April 22, 2009
1933
RPCD.CO.RRB.BC.No.97/03.05.90-A/2008-09
Need for Bank Branches / ATMs to be made Accessible to persons with disabilities
April 21, 2009
1934
RPCD.CO.RRB.BC.No.98/03.05.28/2008-09
Security Arrangement in Bank Branches – Regional Rural Banks
April 21, 2009
1935
Mail Box Clarification
Schemes involving Prize / Lottery / Other Incentives with an Element of Chance
April 20, 2009
1936
UBD.PCB.BPD.Cir.No.60/13.05.000/2008-09
Prudential Guidelines on Restructuring of Advances by UCBs
April 20, 2009
1937
Mail Box Clarification
HUF A/c Term Deposit Receipt where Karta is a Senior Citizen
April 15, 2009
1938
Mail Box Clarification
Bank Guarantee with Auto Renewal Clause
April 15, 2009
1939
RPCD.CO.RF.BC.No.96/07.38.01/2008-09
Co-operative Banks (Nomination) Rules, 1985 – Acknowledgement of Nomination and Indicating the Name of the Nominee in Pass Books / Fixed Deposit Receipts
April 13, 2009
1940
DBOD.No.Leg.BC.123/09.07.005/2008-09
Need for Bank Branches / ATMs to be made Accessible to persons with disabilities
April 13, 2009
1941
DBOD.No.BP.BC.122/21.04.048/2008-09
Prudential Treatment in respect of Floating Provisions
April 9, 2009
1942
UBD.PCB.No.59/13.05.000/2008-09
Lending under Consortium Arrangement / Multiple Banking Arrangements
April 9, 2009
1943
DBOD.No.BP.BC.120/21.01.002/2008-2009
Guidelines for Issuing Preference Shares as part of Regulatory Capital
April 2, 2009
1944
UBD.CO.BPD.PCB.Cir.No.57/12.05.001/2008-09
Bankers’ Book Evidence Act, 1891 – Submission of Certified Copies of Entries / Print out to Courts
March 31, 2009
1945
DBOD.No.Dir.BC.119/13.03.00/2008-2009
Banks’ Exposure to Capital Market – Loans extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
March 30, 2009
1946
RPCD.RRB.BC.No.94/03.05.34/2008-09
Valuation of Investment in SLR / Approved Securities by Regional Rural Banks (RRBs)
March 26, 2009
1947
DBOD.No.BP.BC.118/21.04.048/2008-09
Prudential Treatment of different Types of Provisions in respect of Loan Portfolios
March 25, 2009
1948
RPCD.CO.RRB.BC.No.92/03.05.072/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
March 23, 2009
1949
Mail Box Clarification
Prudential Norms – Exemption of EMI Extension due to changes in Floating Rate from being classified as Restructuring
March 13, 2009
1950
UBD.CO.BPD.(PCB).Cir.No.56/09.39.000/2008-09
Co-Operative Banks (Nomination) Rules, 1985 – Acknowledgement of Nomination and Indicating the Name of the Nominee in Pass Books / Fixed Deposit Receipts
March 12, 2009
1951
UBD.PCB.Cir.No.54/13.05.000/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
March 9, 2009
1952
UBD.PCB.Cir.No.55/09.14.000/2008-09
Guidelines for Relief Measures by Banks to Poultry Units in West Bengal
March 9, 2009
1953
DBOD.No.Leg.BC.114/09.07.005/2008-09
Banking Companies (Nomination) Rules, 1985 – Acknowledgement of Nomination and Indicating the Name of the Nominee in Pass Books / Fixed Deposit Receipts
March 9, 2009
1954
RPCD.CO.RF.BC.No.91/07.37.02/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
March 6, 2009
1955
UBD.PCB.BPD.No.53/13.05.000/2008-09
Prudential Guidelines on Restructuring of Advances by UCBs
March 6, 2009
1956
DBOD.No.BP.BC.112/21.04.048/2008-09
Union Budget 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
March 5, 2009
1957
DNBS.PD/CC.No.137/03.05.002/2008-09
Monitoring Framework for Non-deposit taking NBFCs
March 2, 2009
1958
DBOD.No.FID.FIC.5/01.02.00/2008-09
Prudential Guidelines on Restructuring of Advances by Select All-India Financial Institutions
February 26, 2009
1959
DNBS.(PD).CC.No.136/03.10.001/2008-09
Framework for Addressing the Liquidity Constraints of NBFCs
February 18, 2009
1960
DNBS.(PD).205/CGM(PK)-2009
Notification on Reserve Bank of India (Non-Banking Financial Companies) Specifications 2009
February 13, 2009
1961
DNBS.(PD).CC.No.135/22.02.02/2008-09
Reserve Bank of India (Non-Banking Financial Companies) Specifications 2009′
February 13, 2009
1962
UBD.PCB.No.49/13.05.000/2008-09
Lending under Consortium Arrangement / Multiple Banking Arrangements
February 12, 2009
1963
Mail Box Clarification
‘Prudential Norms for Issuance of Letter of Comfort (LoC) by Banks’
February 11, 2009
1964
DBOD.No.BP.BC.110/08.12.001/2008-09
Lending under Consortium Arrangement / Multiple Banking Arrangements
February 10, 2009
1965
Mail Box Clarification
Master Circular on Exposure Norms
February 6, 2009
1966
DBOD.BP.BC.No.109/21.06.001/2008-09
Introduction of Advanced Approaches of Basel II Framework in India – Draft Time Schedule
February 5, 2009
1967
DBOD.DIR.(Exp).BC.No.106/04.02.001/2008-09
Interest Rates on Export Credit in Foreign Currency
February 5, 2009
1968
DBOD.DIR.(Exp).No.107/04.02.001/2008-09
Interest Rates on Export Credit in Foreign Currency
February 5, 2009
1969
DBOD.No.BP.BC.No.105/21.04.132/2008-09
Prudential Guidelines on Restructuring of Advances by Banks
February 4, 2009
1970
Mail Box Clarification
Prudential Norms – Floating Provisions
February 4, 2009
1971
UCB.Cir.43/09.16.900/08-09
Guidelines for Merger / Amalgamation of UCBs
January 30, 2009
1972
UBD.PCB.Cir.No.42/13.05.006/08-09
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008
January 30, 2009
1973
UBD.(PCB).Cir.No.37/16.26.000/2008-09
Banking Regulation Act 1949 (AACS) – Investments in Government and Other Approved Securities by UCBs – Exemption under Section 24A
January 21, 2009
1974
UBD.PCB.No.36/13.05.000/2008-09
Lending under Consortium Arrangement / Multiple Banking Arrangements
January 21, 2009
1975
DBOD.BP.No.11744/21.04.048/2008-09
Data on Unsecured / Secured Advances
January 20, 2009
1976
Mail Box Clarification
Prudential Norms for Borrowal Accounts covered under the Agricultural Debt Waiver and Debt Relief Scheme, 2008
January 15, 2009
1977
UBD.(PCB).Cir.No.33/16.26.00/2008-09
USD Denominated Cheques – Improvements in Collection Process – UCBs
January 14, 2009
1978
RPCD.CO.RF.BC.No.80/07.02.01/2008-09
Notification on Maintenance of CRR
January 5, 2009
1979
RPCD.CO.RF.BC.No.81/07.02.01/2008-09
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
January 5, 2009
1980
RPCD.CO.RRB.BC.No.82/03.05.28(B)/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – RRBs
January 5, 2009
1981
RPCD.CO.RRB.No.6607/03.05.28(B)/2008-09
Notification on Maintenance of Cash Reserve Ratio (CRR) – RRBs
January 5, 2009
1982
Mail Box Clarification
Cash Transaction Reports
January 2, 2009
1983
DBOD.No.Ret.BC.102/12.01.001/2008-2009
Notification on Maintenance of CRR
January 2, 2009
1984
DBOD.No.Ret.BC.103/12.01.001/2008-09
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of CRR
January 2, 2009
1985
DBOD.BP.No.104/21.04.132/2008-09
Prudential Guidelines on Restructuring of Advances by Banks
January 2, 2009
1986
Notification No.DNBS.204/CGM(ASR)-2009
Notification on Regulation of Excessive Interest Charged by NBFCs
January 2, 2009
1987
DNBS.PD.CC.No./132/22.10.72/2008-09
Raising of Short Term Foreign Currency Borrowings – NBFCs-ND-SI
December 23, 2008
1988
RPCD.CO.RF.BC.No.78/07.38.01/2008-09
Disclosing All Information relating to Processing Fees / Charges
December 19, 2008
1989
Mail Box Clarification
Exclusion of Exposure to Brokers in respect of Currency Derivatives Segment from Capital Market Exposure
December 18, 2008
1990
UBD.PCB.11/16.26.000/08-09
Notification on Balances held by UCBs with IDBI Bank Limited – Treatment for CRR / SLR Purpose
December 15, 2008
1991
DBOD.No.Dir.BC.98/13.03.00/2008-2009
Banks’ Exposure to Capital Market – Loans Extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
December 12, 2008
1992
DBOD.No.BP.97/21.04.158/2008-09
Guidelines on Managing Risks and Code of Conduct in Outsourcing of Financial Services by Banks
December 11, 2008
1993
RPCD.CO.RRB.BC.No.75/03.05.28-B/2008-09
Guidelines on Fair Practices Code for Lenders – Disclosing all Information relating to Processing Fees / Charges
December 10, 2008
1994
DBOD.No.BP.BC.No.93/21.04.132/2008-09
Prudential Guidelines on Restructuring of Advances by Banks
December 8, 2008
1995
DBOD.Dir.(Exp).BC.No.95/04.02.01/2008-09
Rupee Export Credit Interest Rates – Interest on Overdue Export Bills
December 8, 2008
1996
DBOD.No.BP.BC.94/08.12.001/2008-09
Lending under Consortium Arrangement / Multiple Banking Arrangements
December 8, 2008
1997
UBD.PCB.Cir.No.30/09.09.001/08-09
Housing Loans – Orders of the Delhi High Court – Writ Petition by Kalyan Sanstha Welfare Organisation against Union of India and Others – Implementation of Directions – UCBs
December 8, 2008
1998
DBOD.No.BP.BC.92/21.06.001/2008-09
Implementation of the New Capital Adequacy Framework (NCAF) – Parallel Run Reporting Format – Monitoring of Prudential Floor
December 4, 2008
1999
DBOD.No.Ret.BC.90/12.02.001/2008-09
Notification on Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR) – Local Area Banks
December 2, 2008
2000
DBOD.No.Ret.BC.91/12.02.001/2008-09
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR) – Local Area Banks
December 2, 2008
2001
RPCD.CO.RRB.BC.No.71/03.05.33/2008-09
Housing Loans – Orders of the Delhi High Court – Writ Petition by Kalyan Sanstha Welfare Organisation against Union of India and Others – Implementation of Directions
December 2, 2008
2002
UBD.PCB.Cir.No.29/09.11.600/2008-09
Review of Prudential Norms – Provisioning for Standard Assets and Risk Weights for Exposures to Commercial Real Estate and NBFCs
December 1, 2008
2003
RPCD.CO.RF.BC.70/07.40.06/2008-09
Housing Loans – Orders of the Delhi High Court – Writ Petition by Kalyan Sanstha Welfare Organisation against Union of India and Others – Implementation of Directions
November 28, 2008
2004
DBOD.Dir.(Exp).BC.No.87/04.02.01/2008-09
Rupee Export Credit Interest Rates – Extension of Period of Credit
November 28, 2008
2005
DBOD.Dir.(Exp).BC.No.88/04.02.01/2008-09
Rupee Export Credit Interest Rates – Extension of Period of Credit
November 28, 2008
2006
UBD(PCB)CO.BPD.Cir.No.28/16.26.00/2008-09
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Section 24 – Investment in Government and Other approved Securities by Urban Co-operative Banks (UCBs)
November 26, 2008
2007
DBOD.No.Leg.BC.86/09.07.005/2008-09
Guidelines on Fair Practices Code for Lenders – Disclosing all Information relating to Processing Fees / Charges
November 25, 2008
2008
DBOD.DL.BC.No.85/20.16.040/2008-09
Investment in Credit Information Companies
November 20, 2008
2009
RPCD.CO.RF.BC.Dir.No.65/07.38.01/2008-09
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 17, 2008
2010
RPCD.CO.RF.BC.Dir.No.67/07.38.01/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 17, 2008
2011
RPCD.CO.RF.BC.No.66/07.38.01/2008-09
Interest Rate on FCNR(B) Deposits
November 17, 2008
2012
RPCD.CO.RF.BC.No.68/07.38.01/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 17, 2008
2013
RPCD.CO.RRB.BC.No.63/03.05.33(C)/2008-09
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR (B) Deposits
November 17, 2008
2014
RPCD.CO.RRB.Dir.No.62/03.05.33(C)/2008-09
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR (B) Deposits
November 17, 2008
2015
UBD.(PCB).CO.BPD.Cir.No.25/13.01.000/2008-09
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits – UCBs
November 17, 2008
2016
UBD.BPD.AD.Cir.No.26/13.01.000/2008-09
Interest Rate on FCNR (B) Deposits – UCBs (ADs)
November 17, 2008
2017
RPCD.CO.RF.BC.No.69/07.37.02/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
November 17, 2008
2018
RPCD.CO.RRB.BC.No.64/03.05.072/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning and Capital Adequacy – RRBs
November 17, 2008
2019
UBD.PCB.Cir.No.27/13.05.000/08-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning, and Capital Adequacy – UCBs
November 17, 2008
2020
RPCD.CO.RRB.BC.No.61/03.05.90-A/2008-09
Mid-Term Review of Annual Policy for the Year 2008-09 Branch Licensing – Regional Rural Banks – Further Liberalisation – Conditions for Opening of New Branches
November 17, 2008
2021
UBD.No.Dir.8/13.01.000/2008-09
Interest Rates on Deposits held in Non-Resident (External) Rupee (NRE) Deposits
November 15, 2008
2022
UBD.No.Dir.9/13.01.000/2008-09
Interest Rate on FCNR (B) Deposits
November 15, 2008
2023
DBOD.BP.BC.83/21.01.002/2008-09
Review of Prudential Norms – Provisioning for Standard Assets and Risk Weights for Exposures to Corporates, Commercial Real Estate and NBFC-ND-SI
November 15, 2008
2024
DBOD.Dir.(Exp).BC.No.79/04.02.01/2008-09
Rupee Export Credit Interest Rates – Extension of Period of Credit
November 15, 2008
2025
DBOD.Dir.(Exp).BC.No.80/04.02.01/2008-09
Rupee Export Credit Interest Rates – Extension of Period of Credit
November 15, 2008
2026
DBOD.No.BP.BC.78/21.04.048/2008-09
Union Budget 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
November 11, 2008
2027
DBOD.No.Ret.BC.70/12.01.001/2008-2009
Notification on Maintenance of CRR
November 3, 2008
2028
DBOD.No.Ret.BC.71/12.01.001/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
November 3, 2008
2029
DBOD.No.Ret.BC.72/12.02.001/2008-09
Notification on Maintenance of Statutory Liquidity Ratio (SLR)
November 3, 2008
2030
DBOD.No.Ret.BC.73/12.02.001/2008-09
Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR)
November 3, 2008
2031
DBOD.No.Ret.BC.74/12.02.001/2008-09
Section 24 of the Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity support under Liquidity Adjustment Facility (LAF)
November 3, 2008
2032
RPCD.CO.RF.BC.No.56/07.02.01/2008-09
Notification on Maintenance of CRR
November 3, 2008
2033
RPCD.CO.RF.BC.No.57/07.02.01/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
November 3, 2008
2034
RPCD.CO.RRB.BC.No.58/03.05.28(B)/2008-09
Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR) – RRBs
November 3, 2008
2035
RPCD.CO.RRB.BC.No.59/03.05.28(B)/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – RRBs
November 3, 2008
2036
RPCD.CO.RRB.No.4881/03.05.28(B)/2008-09
Notification on Maintenance of Statutory Liquidity Ratio (SLR) – RRBs
November 3, 2008
2037
RPCD.CO.RRB.No.4882/03.05.28(B)/2008-09
Notification on Maintenance of Cash Reserve Ratio (CRR)- RRBs
November 3, 2008
2038
UBD.(PCB).No/7/12.03.000/2008-09
Notification on Maintenance of Cash Reserve Ratio
November 3, 2008
2039
DBOD.No.Leg.BC.75/09.07.005/2008-09
Master Circular on Customer Service
November 3, 2008
2040
DBOD.BP.BC.No.69/21.03.009/2008-09
Prudential Norms for Off-Balance Sheet Exposures of Banks
October 29, 2008
2041
DBOD.Dir.(Exp).BC.No.67/04.02.01/2008-09
Interest Rates on Advances
October 24, 2008
2042
DBOD.Dir.(Exp).BC.No.68/04.02.01/2008-09
Rupee Export Credit Interest Rates
October 24, 2008
2043
DBOD.No.Dir.BC.66/13.03.00/2008-2009
7% Savings Bonds 2002, 6.5% Savings Bonds 2003 (Non-Taxable) & 8% Savings (Taxable) Bonds 2003 – Collateral Facility
October 24, 2008
2044
DBOD.No.BP.BC.65/21.06.001/2008-09
Loans to Mutual Funds against and Buy-back of Certificates of Deposits (CDs)
October 20, 2008
2045
UBD.BPD.AD.Cir.No.23/13.01.000/2008-09
Interest Rate on FCNR (B) Deposits – UCBs (ADs)
October 16, 2008
2046
UBD(PCB) CO BPD Cir No:22/13.01.000/2008-09
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits – UCBs
October 16, 2008
2047
UBD.PCB.Cir.No.6/13.05.000/2008-09
7% Savings Bonds 2002, 6.5% Savings Bonds 2003 (Non-Taxable) & 8% Savings (Taxable) Bonds 2003 – Collateral Facility – UCBs
October 15, 2008
2048
DBOD.No.Ret.BC.60/12.01.001/2008-2009
Notification on Maintenance of CRR
October 15, 2008
2049
DBOD.No.Ret.BC.61/12.01.001/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
October 15, 2008
2050
DBOD.No.Ret.BC.62/12.02.001/2008-09
Section 24 of the Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
October 15, 2008
2051
RPCD.CO.RF.BC.No.47/07.02.01/2008-09
Notification on Maintenance of CRR
October 15, 2008
2052
RPCD.CO.RF.BC.No.48/07.02.01/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
October 15, 2008
2053
RPCD.CO.RRB.No.4381/03.05.28(B)/2008-09
Notification on Maintenance of Cash Reserve Ratio (CRR) – (RRBs)
October 15, 2008
2054
RPCD.CO.RRB.No.BC.46/03.05.28(B)/2008-09
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
October 15, 2008
2055
RPCD.CO.RF.BC.Dir.No.49/07.38.01/2008-09
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 15, 2008
2056
RPCD.CO.RF.BC.Dir.No.51/07.38.01/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
October 15, 2008
2057
RPCD.CO.RF.BC.No.50/07.38.01/2008-09
Interest Rate on FCNR(B) Deposits
October 15, 2008
2058
RPCD.CO.RF.BC.No.52/07.38.01/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
October 15, 2008
2059
RPCD.CO.RRB.Dir.No.53/03.05.33(C)/2008-09
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR(B) Deposits
October 15, 2008
2060
RPCD.No.RRB.BC.54/03.05.33(C)/2008-09
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR(B) Deposits
October 15, 2008
2061
UBD.No.Dir.4/13.01.000/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
October 15, 2008
2062
UBD.No.Dir.5/13.01.000/2008-09
Interest Rate on FCNR (B) Deposits
October 15, 2008
2063
DBOD.BP.BC.No.59/21.03.009
Loans to Mutual Funds Against and Buy Back of Certificates of Deposits (CDs)
October 14, 2008
2064
DBOD.No.BP.BC.57/21.04.157/2008-09
Prudential Norms for Off-balance Sheet Exposures of Banks
October 13, 2008
2065
DBOD.No.Ret.BC.54/12.01.001/2008-2009
Notification on Maintenance of CRR
October 10, 2008
2066
DBOD.No.Ret.BC.55/12.01.001/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
October 10, 2008
2067
RPCD.CO.RF.BC.No.43/07.02.01/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
October 10, 2008
2068
RPCD.CO.RRB.No.BC.44/03.05.28(B)/2008-09
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)- Regional Rural Banks (RRBs)
October 10, 2008
2069
RPCD.CO.RF.BC.No.42/07.02.01/2008-09
Notification on Maintenance of CRR
October 10, 2008
2070
RPCD.CO.RRB.No.4161/03.05.28(B)/2008-09
Notification on Maintenance of Cash Reserve Ratio (CRR) – (RRBs)
October 10, 2008
2071
DBOD.No.PSBD.BC.53/16.13.100/2008-09
Investments in the Equity of a Bank by other Banks or their Group Entities
October 8, 2008
2072
DPSS.CO.No.619/02.23.02/2008-09
Mobile Banking Transactions in India – Operative Guidelines for Banks@
October 8, 2008
2073
RPCD.CO.RF.BC.No.39/07.02.01/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
October 7, 2008
2074
RPCD.CO.RRB.No.BC.40/03.05.28(B)/2008-09
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
October 7, 2008
2075
RPCD.CO.RF.BC.No.38/07.02.01/2008-09
Notification on Maintenance of CRR
October 7, 2008
2076
RPCD.CO.RRB.No.3968/03.05.28(B)/2008-09
Notification on Maintenance of Cash Reserve Ratio (CRR) – (RRBs)
October 7, 2008
2077
DBOD.No.Ret.BC.51/12.01.001/2008-2009
Notification on Maintenance of CRR
October 6, 2008
2078
DBOD.No.Ret.BC.52/12.01.001/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
October 6, 2008
2079
UBD.(PCB).CO.BPD.Cir.No.21/13.01.000/2008-09
Payment of Interest on Accounts Frozen – UCBs
October 1, 2008
2080
UBD.CO.LS.Cir.No.19/07.01.000/2008-09
Acquisition of Accommodation on Lease / Rental Basis by Primary Cooperative Banks for their Use (i.e., for Office and Residence of Staff)
September 26, 2008
2081
DNBS.PD/CC.No.130/03.05.002/2008-09
Monitoring Framework for Non-deposit taking NBFCs
September 24, 2008
2082
DNBS (PD) CC No.129/03.02.82/2008-09
Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 2008′
September 23, 2008
2083
DBOD.No.BP.BC.48/21.04.048/2008-09
Prudential Norms on Utilisation of Floating Provisions – Agricultural Debt Waiver and Debt Relief Scheme, 2008
September 22, 2008
2084
UBD.BPD(PCB)CirNo:18/13.04.00/2008-09
Revival of the Interest – Tax Act 1974 – Collection from Borrowers
September 22, 2008
2085
UBD BPD.AD Cir No.17/13.01.000/2008-09
Interest Rate on FCNR (B) Deposits – UCBs (ADs)
September 19, 2008
2086
DBOD.No.BP.BC.46/08.12.001/2008-09
Lending under Consortium Arrangement / Multiple Banking Arrangements
September 19, 2008
2087
RPCD.CO.RRB.BC.Dir.No.34/03.05.33©/2008-09
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 18, 2008
2088
RPCD.CO.RRB.Dir.No.32/03.05.33©/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
September 18, 2008
2089
RPCD.No.RRB.BC.33/03.05.33©/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
September 18, 2008
2090
RPCD.No.RRB.BC.35/03.05.33©/2008-09
Interest Rate on FCNR(B) Deposits
September 18, 2008
2091
UBD.PCB.Cir.No.15/12.05.001/2008-09
Display of Information relating to Interest Rates and Service Charges – Rates at a Quick Glance
September 18, 2008
2092
RPCD.CO.RF.BC.Dir.No.28/07.38.01/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
September 17, 2008
2093
RPCD.CO.RF.BC.Dir.No.30/07.38.01/2008-09
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 17, 2008
2094
RPCD.CO.RF.BC.No.29/07.38.01/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
September 17, 2008
2095
RPCD.CO.RF.BC.No.31/07.38.01/2008-09
Interest Rate on FCNR (B) Deposits
September 17, 2008
2096
UBD.PCB.Cir.No.13/12.05.001/2008-09
Guidelines on Asset – Liability Management (ALM) System in Tier II UCBs (other than Scheduled UCBs)
September 17, 2008
2097
UBD.PCB.Cir.No.3/12.05.001/08-09
Guidelines on Asset-Liability Management (ALM) System – Amendments – Scheduled UCBs
September 17, 2008
2098
UBD.PCB.Cir.No.14/16.12.000/08-09
Introduction of Currency Futures – UCBs
September 17, 2008
2099
UBD.PCB.Cir.No.12/12.05.001/2008-09
Liquidity Risk Management System in Tier I UCBs – Guidelines
September 17, 2008
2100
DBOD.No.Ret.BC.43/12.02.001/2008-09
Section 24 of the Banking Regulation Act, 1949 – Shortfall in Maintenance of Statutory Liquidity Ratio (SLR) – Additional Liquidity Support under Liquidity Adjustment Facility (LAF)
September 16, 2008
2101
UBD.No.Dir.1/13.01.000/2008-09
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
September 16, 2008
2102
UBD.No.Dir.2/13.01.000/2008-09
Interest Rate on FCNR (B) Deposits
September 16, 2008
2103
Mail Box Clarification
Implementation of New Capital Adequacy Framework (NCAF) – Applicability of Higher Risk-weight in respect of Unrated Claims on Corporates
September 16, 2008
2104
RPCD.CO.RRB.BC.No.26/03.05.33/2008-09
Settlement of Claims in respect of Missing Persons
September 12, 2008
2105
RPCD.CO.RRB.No.BC.25/03.05.33/2008-09
Acquisition of Accommodation on Lease / Rental Basis by Regional Rural Banks for their Branches / Offices – Liberalisation of Guidelines
September 12, 2008
2106
DBOD.No.Leg.BC.42/09.07.005/2008-09
Display of Information Relating to Interest Rates and Service Charges – Rates at a Quick Glance
September 12, 2008
2107
DBOD.No.Dir.BC.41/13.03.00/2008-2009
Banks’ Exposure to Capital Market – Loans Extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
September 10, 2008
2108
UBD.PCB.Cir.No.11/13.05.000/2008-09
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008-UCBs
September 5, 2008
2109
UBD.PCB.Cir.No.9/13.05.000/2008-09
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – UCBs
September 5, 2008
2110
RPCD.RRB.No.2694/03.05.33/2008-09
Financial Inclusion by Extension of Banking Service – Use of Business Correspondent (BCs) – Section 25 Companies
September 5, 2008
2111
UBD.PCB.Cir.No.10/12.05.001/2008-09
Display of Information by Banks – Comprehensive Notice Board
September 1, 2008
2112
DBOD.No.Leg.BC.38/09.07.005/2008-09
Acceptance of Cash Over the Counter
August 28, 2008
2113
DBOD.No.BP.BC.No.37/21.04.132/2008-09
Prudential Guidelines on Restructuring of Advances by Banks
August 27, 2008
2114
DBOD.No.BL.BC.35/22.01.009/2008-2009
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs) – Section 25 Companies
August 27, 2008
2115
DBOD.No.BL.BC.36/22.01.009/2008-2009
Financial Inclusion by Extension of Banking Services – Use of Business Correspondents (BCs)
August 27, 2008
2116
DBOD.No.Leg.BC.33/09.07.005/2008-09
Display of Information by Banks – Comprehensive Notice Board
August 22, 2008
2117
DBOD.No.BL.BC.32/22.01.03/2008-09
Acquisition of Accommodation on Lease / Rental basis by Commercial Banks for their Branches / Offices – Liberalisation of Guidelines
August 21, 2008
2118
UBD.PCB.Cir.No.6/12.05.000/2008-09
RBI Cautions Public Against Fictitious Offers of Remitting Cheap Funds from Abroad
August 12, 2008
2119
DBOD.No.BP.BC.31/21.04.157/2008-09
Prudential Norms for Off-balance Sheet Exposures of Banks
August 8, 2008
2120
DBOD No.BP.BC.30/08.12.14/2008-09
Infrastructure – Criteria for Financing
August 6, 2008
2121
DNBS(PD).CC126/03.10.042/2008-09
Prevention of Money Laundering Act, 2002 – Obligation of NBFCs in terms of Rules notified there under
August 5, 2008
2122
UBD.PCB.Cir.No.5/13.05.000/08-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning, and Capital Adequacy-UCBs
August 1, 2008
2123
Notification No.DNBS.200/CGM(PK)-2008
Non-Banking Financial (Non- Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
August 1, 2008
2124
RPCD.CO.RRB.No.1301/03.05.28(B)/2008-09
Notification – Maintenance of Cash Reserve Ratio (CRR)-(RRBs)
July 31, 2008
2125
RPCD.CO.RRB.No.BC.16/03.05.28(B)/2008-09
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)-Regional Rural Banks (RRBs)
July 31, 2008
2126
DBOD.No.Ret.BC.24/12.01.001/2008-2009
Notification on Maintenance of CRR
July 30, 2008
2127
DBOD.No.Ret.BC.25/12.01.001/2008-09
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
July 30, 2008
2128
RPCD.CO.RF.BC.No.14/07.02.01/2008-09
Notification on Maintenance of CRR
July 30, 2008
2129
RPCD.CO.RF.BC.No.15/07.02.01/2008
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
July 30, 2008
2130
DBOD.No.BP.BC.26/21.04.048/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning, and Capital Adequacy
July 30, 2008
2131
RPCD.CO.RF.BC.No.17/07.38.03/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning, and Capital Adequacy
July 30, 2008
2132
RPCD.CO.RRB.No.BC.18/03.05.072/2008-09
Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification and Provisioning, and Capital Adequacy
July 30, 2008
2133
RPCD.CO.RRB.No.BC13/03.05.33/2008-09
Banking Facilities to the Visually Challenged
July 23, 2008
2134
Mail Box Clarification
Prudential Norms on Projects under Implementation
July 23, 2008
2135
Mail Box Clarification
Restrictions on Loans and Advances – Clarification with regard to Applicability of Section 20 of the Banking Regulation Act, 1949
July 22, 2008
2136
Mail Box Clarification
Opening of Bank Accounts for Disabled Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities by Legal Guardians on the basis of Legal Guardianship Certificate
July 22, 2008
2137
DBOD.DL.BC.No.22/20.16.040/2008-09
Investment in Credit Information Companies
July 22, 2008
2138
Mail Box Clarification
Bank Finance to NBFCs – Capital Market Exposure
July 14, 2008
2139
RPCD.CO.RF.No.BC.1/07.06.00/2008-09
Banking Facilities to the Visually Challenged
July 9, 2008
2140
UBD.PCB.Cir.No.2/13.05.000/2008-09
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme,2008
July 3, 2008
2141
RPCD.CO.RRB.No.BL.BC.07/03.05.90-A/2008-09
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 1, 2008
2142
DNBS (PD) CC No.116/03.02.001/2008-09
Master Circular – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2008
2143
DNBS (PD) CC No.123/04.18.001/2008-09
Master Circular – ‘Residuary Non-Banking Companies (Reserve Bank) Directions, 1987’
July 1, 2008
2144
DNBS(PD-MGC)C.C.No.2/03.11.01/2008-09
Master Circular – ‘Mortgage Guarantee Company (Reserve Bank) Guidelines, 2008’
July 1, 2008
2145
DNBS(PD)CC No.115/03.02.001/2008-09
Master Circular – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998’
July 1, 2008
2146
DNBS(PD)CC No.117/03.02.001/2008-09
Master Circular – ‘Non-Banking Financial (Non – Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2008
2147
DNBS(PD)CC No.119/03.02.01/2008-09
Master Circular – ‘Reserve Bank of India (Non-Banking Financial Companies) Returns Specifications 1997’
July 1, 2008
2148
DNBS(PD)CC No.122/03.02.001/2008-09
Master Circular – ‘Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977’
July 1, 2008
2149
DNBS(PD)CCNo.118/03.02.001/2008-09
Master Circular – ‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 1998’
July 1, 2008
2150
DNBS(PD)CC.No.10/SCRC/10.30.000/2008-2009
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003
July 1, 2008
2151
BPD(PCB)MC.No.7/09.09.001/2008-09
Master Circular on Priority Sector Lending – UCBs
July 1, 2008
2152
DBOD No.Dir.BC.17/13.03.00/2008-09
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2008
2153
DBOD No.Rajbhasha BC.13/06.11.04/2008-09
Master Circular – Use of Hindi in Banks
July 1, 2008
2154
DBOD.AML.BC.No.12/14.01.001/2008-09
Master Circular – Know Your Customer (KYC) Norms / Anti-Money Laundering (AML) Standards / Combating of Financing of Terrorism (CFT) / Obligation of banks under PMLA, 2002
July 1, 2008
2155
DBOD.AML.BC.No.8/14.08.001/2008-09
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of Banks in Regulating Receipt of Foreign Contributions by Associations / Organizations in India
July 1, 2008
2156
DBOD.BP.BC No.3/21.04.018/2008-09
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 1, 2008
2157
DBOD.BP.BC.No.4/08.12.01/2008-09
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2008
2158
DBOD.FSD.BC.6/24.01.011/2008-09
Master Circular on Credit Card Operations of Banks
July 1, 2008
2159
DBOD.No.BL.BC.21/22.01.001/2008-09
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2008
2160
DBOD.No.BP.BC.11/21.06.001/2008-09
Master Circular – Prudential Guidelines on Capital Adequacy and Market Discipline – Implementation of the New Capital Adequacy Framework (NCAF)
July 1, 2008
2161
DBOD.No.BP.BC.2/21.01.002/2008-09
Master Circular – Prudential Norms on Capital Adequacy – Basel I Framework
July 1, 2008
2162
DBOD.No.BP.BC.20/21.04.048/2008-09
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
July 1, 2008
2163
DBOD.No.BP.BC.5/21.04.141/2008-09
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2008
2164
DBOD.No.DIR.(Exp).BC.09/04.02.02/2008-09
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 1, 2008
2165
DBOD.No.DIR.(HSG).BC.10/08.12.01/2008-09
Master Circular – Housing Finance
July 1, 2008
2166
DBOD.No.Dir.BC.14/13.03.00/2008-09
Master Circular – Interest Rates on Advances
July 1, 2008
2167
DBOD.No.Dir.BC.15/13.03.00/2008-09
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2008
2168
DBOD.No.Dir.BC.16/13.03.00/2007-08
Master Circular of Instructions relating to Deposits held in FCNR (B) Accounts
July 1, 2008
2169
DBOD.No.Dir.BC.18/13.03.00/2008-09
Master Circular – Guarantees and Co-acceptances
July 1, 2008
2170
DBOD.No.Dir.BC.19/13.03.00/2008-09
Master Circular – Exposure Norms
July 1, 2008
2171
DBOD.No.DL.BC.1/20.16.003/2008-09
Master Circular on Wilful Defaulters
July 1, 2008
2172
DBOD.No.FID.FIC.1/01.02.00/2008-09
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2008
2173
DBOD.No.FID.FIC.2/01.02.00/2008-09
Master Circular – Disclosure Norms for Financial Institutions
July 1, 2008
2174
DBOD.No.FID.FIC.3/01.02.00/2008-09
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2008
2175
DBOD.No.FID.FIC.4/01.02.00/2008-09
Master Circular – Exposure Norms for Financial Institutions
July 1, 2008
2176
DBOD.No.FSD.BC.7/24.01.001/2008-09
Master Circular – Para-Banking Activities
July 1, 2008
2177
DNBS.(PD).CC.No.11/SCRC/10.30.000/2008-09
Master Circular on Directions / Instructions issued to the Securitisation Companies / Reconstruction Companies
July 1, 2008
2178
DNBS.PD.CC.No.120/03.02.004/2008-09
Master Circular- Exemptions from the Provisions of RBI Act, 1934
July 1, 2008
2179
DNBS(PD-MGC)C.C.No.3/03.11.01/2008-09
Master Circular – ‘Mortgage Guarantee Companies Prudential Norms (Reserve Bank) Directions, 2008’ and ‘Mortgage Guarantee Companies Investment (Reserve Bank) Directions, 2008’
July 1, 2008
2180
UBD.BPD.(PCB).MC.No.10/09.39.000/2008-09
Master Circular on Customer Service – UCBs
July 1, 2008
2181
UBD.BPD.(PCB).MC.No.12/16.20.000/2008-09
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 1, 2008
2182
UBD.BPD.(PCB).MC.No.5/13.05.000/2008-09
Master Circular on Management of Advances – UCBs
July 1, 2008
2183
UBD.BPD(PCB)MC.No:13/13.01.000/2008-09
Master Circular on Maintenance of Deposit Accounts – UCBs
July 1, 2008
2184
UBD.CO.BPD.(PCB).MC.No.9/12.05.001/2008-2009
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
July 1, 2008
2185
UBD.CO.BPD(PCB)MC.No.8/09.08.000/2008-09
Master Circular on Board of Directors – UCBs
July 1, 2008
2186
UBD.CO.Ret/MC.No/15/12.03.000/2008-09
Master Circular Maintenance of Statutory Reserves Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 1, 2008
2187
UBD.LS(PCB)MC.No.14/07.01.00/2008-09
Master Circular on Area of Operation, Branch Authorisation Policy, Opening / Upgradation of Extension Counters, ATMs and Shifting / Splitting / Closure of Offices
July 1, 2008
2188
UBD.No.BPD.MC.No.11/13.01.000/2008-09
Master Circular – Interest Rates on Rupee Deposits – UCBs
July 1, 2008
2189
UBD.PCB.MC.No.1/13.05.000/2008-09
Master Circular on Exposure Norms and Statutory / Other Restrictions – UCBs
July 1, 2008
2190
UBD.PCB.MC.No.3/09.14.000/2008-09
Master Circular on Income Recognition, Asset Classification, Provisioning & Other Related Matters – UCBs
July 1, 2008
2191
UBD.PCB.MC.No.4/09.27.000/2008-09
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 1, 2008
2192
UBD.PCB.MC.No.6/09.18.201/2008-09
Prudential Norms on Capital Adequacy – Master Circular – UCBs
July 1, 2008
2193
UBD.UCB.MC.No.2/09.22.010/2008-09
Master Circular on Finance for Housing Schemes – UCBs
July 1, 2008
2194
DBOD.No.Ret.BC.95/12.01.001/2007-2008
Notification on Maintenance of CRR
June 26, 2008
2195
DBOD.No.Ret.BC.96/12.01.001/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
June 26, 2008
2196
RPCD.CO.RF.BC.No.82/07.02.01/2007-08
Notification on Maintenance of CRR
June 26, 2008
2197
RPCD.CO.RF.BC.No.83/07.02.01/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
June 26, 2008
2198
RPCD.CO.RRB.No.13710/03.05.28(B)/2007-08
Notification on Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
June 26, 2008
2199
RPCD.CO.RRB.No.BC.84/03.05.28(B)/2007-08
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
June 26, 2008
2200
Mail Box Clarification
Claims on Banks – Exposures of the Indian Branches of Foreign Banks Guaranteed / Counter-guaranteed by Head Offices / Overseas Branches
June 25, 2008
2201
RPCD.CO.RF.BC.No.79/07.02.03/2007-08
Valuation of Non-SLR Securities Issued by the Government of India
June 23, 2008
2202
UBD.PCB.Cir.No.58/13.05.000/2007-08
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Clarification – UCBs
June 20, 2008
2203
Mail Box Clarification
Payment of Interest on Term Deposit Maturing on Sunday / Holiday / Non-business Working Day
June 19, 2008
2204
DNBS.(PD).C.C.No.114/03.02.059/2007-08
Section 45-IA, 45K and 45L of the RBI Act – Grant of CoR – Requirement of Minimum NOF of Rs. 200 Lakh for All Deposit taking NBFCs
June 17, 2008
2205
UBD.PCB.Cir.No.55/13.05.000/2007-08
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – UCBs
June 17, 2008
2206
UBD.CO.LS.Cir.No.52/07.01.000/2007-08
Annual Policy Statement for the year 2008-09 – Branch Licensing Norms for Primary (Urban) Cooperative Banks – Liberalisation
June 16, 2008
2207
UBD.PCB.Cir.No.53/13.05.000/07-08
Claims Secured by Residential Property – Change in Limits for Risk Weights – UCBs
June 16, 2008
2208
DBOD.No.Inf.BC.94/11.01.009/2007-08
Review of Circulars Issued to Public Sector Banks (PSBs)
June 13, 2008
2209
UBD.CO.BPD.(PCB).No.51/09.39.000/2007-08
Banking Facilities to the Visually Challenged – UCBs
June 12, 2008
2210
Mail Box Clarification
Prudential Norms on Reversal of Unrealised Income in Non Performing Advances
June 11, 2008
2211
Mail Box Clarification
Prudential Norms for Provisioning for Standard Assets
June 11, 2008
2212
DBOD.No.Dir.BC.92/13.03.00/2007-08
Banks’ Exposure to Capital Market – Loans Extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
June 9, 2008
2213
DBOD.No.PSBD.BC.93/16.13.100/2007-08
Calendar of Reviews – Matters to be Placed Before Board of Directors, Management Committee and Audit Committee
June 9, 2008
2214
DBOD.No.FID.FIC.5/01.02.00/2007-08
Valuation of Non-SLR Securities issued by the Government of India
June 4, 2008
2215
DBOD.No.Leg BC.91/09.07.005/2007-08
Banking Facilities to the Visually Challenged
June 4, 2008
2216
DBOD.No.BP.BC.89/21.04.012/2007-08
Relaxation to Trade and Industry in the State of Jammu and Kashmir
June 3, 2008
2217
UBD.PCB.Cir.No.49/13.05.000/2007-08
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – UCBs
June 2, 2008
2218
UBD.PCB.Cir.No.50/13.05.000/2007-08
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – UCBs
June 2, 2008
2219
DBOD.No.BP.BC 88/21.06.001./2007-08
Capital Adequacy Norms – Treatment of Banks’ Investments in Subsidiaries / Associates and of the Subsidiaries’ / Associates’ Investments in Parent Banks
May 30, 2008
2220
DBOD.No.Dir.BC.87/13.27.00/2007-08
Exposure Norms
May 29, 2008
2221
Mail Box Clarification
Signing of Bank Guarantee
May 27, 2008
2222
UBD.PCB.Cir.No.46/09.69.000/07-08
Annual Policy Statement for the Year 2008-09 Installation of Automatic Teller Machines (ATMs) – UCBs
May 26, 2008
2223
UBD.PCB.Cir.No.48/13.05.007/07-08
Mahila Urban Co-Operative Banks – Membership
May 26, 2008
2224
UBD.PCB.Cir.No.47/09.11.600/07-08
Provisioning Requirement for Standard Assets – UCBs
May 26, 2008
2225
UBD.PCB.Cir.No.43/13.05.000/07-08
Union Budget – 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – UCBs
May 23, 2008
2226
Mail Box Clarification
Engaging Common Service Centres as Business Facilitators
May 22, 2008
2227
Mail Box Clarification
Passbook Facility for S. B. A/cs opened through Business Facilitator / Business Correspondent Model
May 22, 2008
2228
Mail Box Clarification
Risk Weight and Provisioning Norms – Asset Finance Companies
May 21, 2008
2229
UBD.PCB.Cir.No.44/09.11.200/07-08
Annual Policy Statement for the Year 2008-09 – Undertaking Insurance Business-UCBs
May 15, 2008
2230
UBD.PCB.Cir.No.42/09.09.001/08-09
Revision of Individual Housing Loan Limits – Annual Policy Statement for the Year 2008-09-UCBs
May 15, 2008
2231
RPCD.CO.RF.BC.No.70/07.38.01/2007-08
Settlement of Claims in respect of Missing Persons
May 14, 2008
2232
DBOD.No.BP.BC.83/21.06.001/2007-08
Claims Secured by Residential Property – Change in Limits for Risk Weights
May 14, 2008
2233
UBD (PCB) BPD Cir No:45/13.01.000/2007-08
Settlement of Claims in respect of Missing Persons
May 12, 2008
2234
DBOD.No.Leg.BC.80/09.07.005/2007-08
Settlement of Claims in respect of Missing Persons
May 2, 2008
2235
RPCD.CO.RRB.No.11559/03.05.28(B)/2007-08
Notification on Maintenance of CRR
April 30, 2008
2236
RPCD.CO.RRB.No.BC.64/03.05.28(B)/2007-08
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
April 30, 2008
2237
Mail Box Clarification
Payment of Commission, Discount, Brokerage and Remuneration on Issue of Shares by Banks – Requests for Grant of Exemption from the Provisions of Section 13 of the Banking Regulation Act, 1949
April 30, 2008
2238
RPCD.CO.RF.No.BC.62/07.02.01/2007-2008
Notification on Maintenance of CRR
April 29, 2008
2239
RPCD.CO.RF.No.BC.63/07.02.01/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
April 29, 2008
2240
Mail Box Clarification
Bills Discounted under LC – Classification under IRAC Norms
April 29, 2008
2241
DBOD.Dir.(Exp).BC.No.73/04.02.01/2007-08
Rupee Export Credit Interest Rates
April 25, 2008
2242
DBOD.No.BL.BC.74/22.01.009/2007-2008
Financial Inclusion by Extension of Banking Services – Use of Business Facilitators (BFs) and Business Correspondents (BCs)
April 24, 2008
2243
DBOD.No.Leg.BC.75/09.07.005/2007-08
Mid-Term Review of the Annual Policy for the Year 2007-08 – Recovery Agents Engaged by Banks
April 24, 2008
2244
RPCD.CO.RRB.No.BC.61/03.05.28(B)/2007-08
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks(RRBs)
April 22, 2008
2245
DBOD.No.BP.BC.71/21.03.038/2007-08
Revised Calendar of Reviews
April 22, 2008
2246
DBOD.No.Ret.BC.69/12.01.001/2007-2008
Notification on Maintenance of CRR
April 21, 2008
2247
DBOD.No.Ret.BC.70/12.01.001/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
April 21, 2008
2248
RPCD.CO.RF.BC.No.58/07.02.01/2007-08
Notification on Maintenance of CRR
April 21, 2008
2249
RPCD.CO.RF.BC.No.59/07.02.01/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
April 21, 2008
2250
RPCD.CO.RRB.No.60/03.05.28(B)/2007-08
Notification on Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks(RRBs)
April 21, 2008
2251
UBD.PCB.Cir.No.41/09.103.01/2007-08
Professionalisation of Managements of Urban Co-operative Banks
April 21, 2008
2252
Mail Box Clarification
Prudential Guidelines on Capital Adequacy and Market Discipline – Implementation of New Capital Adequacy Framework (NCAF) – Amendments
April 17, 2008
2253
Mail Box Clarification
Management Agreement and Technical Services Agreement
April 17, 2008
2254
Mail Box Clarification
Business Facilitator / Business Correspondent
April 17, 2008
2255
Mail Box Clarification
Lending to Real Estate Developers – Method of Valuation of Land
April 17, 2008
2256
Mail Box Clarification
Public Issue of Shares and Debentures – Underwriting by Banks / Subsidiaries
April 17, 2008
2257
Mail Box Clarification
Inter-bank Transfers through ATMs
April 15, 2008
2258
Mail Box Clarification
ATM Facility to Kisan Credit Card (KCC) Holders
April 15, 2008
2259
UBD (PCB) BPD Cir No.40/09.39.000/2007-08
Committee on Procedures and Performance Audit on Public Services (CPPAPS) – Formulating policy for (i) Immediate Credit of Local / Outstation Cheques (ii) Time Frame for Collection of Local / Outstation Cheques and (iii) Interest Payment for Delayed Collection
April 15, 2008
2260
Mail Box Clarification
Foreign Banks – Inclusion of Head Office Charges Retained in India as Tier I Capital
April 8, 2008
2261
UBD.PCB.Cir No.38/09.14.000/2007-08
Income Recognition, Asset Classification and Provisioning Norms – UCBs
April 2, 2008
2262
DBOD.No.BP.BC.67/21.06.001/2007-08
Prudential Guidelines on Capital Adequacy and Market Discipline – Implementation of New Capital Adequacy Framework (NCAF) – Amendments
March 31, 2008
2263
DBOD.No.BP.BC.66/21.06.001/2007-08
Supervisory Review Process Under the New Capital Adequacy Framework – Guidelines for Pillar 2
March 26, 2008
2264
DBOD No.BP.BC.65/21.04.009/2007-08
Prudential Norms for Issuance of Letters of Comfort by Banks Regarding their Subsidiaries
March 4, 2008
2265
UBD.PCB.Cir.No.34/09.14.000/07-08
Guidelines for Relief Measures by Banks to Poultry Industry (2008)-UCBs
March 3, 2008
2266
DBOD.NO.BP.64/21.04.158/2007-08
Guidelines on Managing Risks and Code of Conduct in Outsourcing of Financial Services by Banks
March 3, 2008
2267
UBD.CO.BPD.(PCB).No.33/13.05.000/2007-08
Advances to Builders / Contractors
February 29, 2008
2268
Mail Box Clarification
Issues and Clarifications on Basel II
February 14, 2008
2269
Mail Box Clarification
Implementation of the New Capital Adequacy Framework – Claims on Corporates (for All Commercial Banks)
February 14, 2008
2270
RPCD.CO.RRB.No.8483/03.05.28(B)/2007-08
Notification on Maintenance of Statutory Liquidity Ratio (SLR) – RRBs
February 14, 2008
2271
RPCD.CO.RRB.No.BC.47/03.05.28(B)/2007-08
Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR) – RRBs
February 14, 2008
2272
DBOD No.Ret.BC.62/12.02.001/2007-08
Section 24 of the Banking Regulation Act, 1949 Maintenance of Statutory Liquidity Ratio (SLR)
February 13, 2008
2273
DBOD.No.Ret.BC.61/12.02.001/2007-08
Notification on Maintenance of Statutory Liquidity Ratio (SLR)
February 13, 2008
2274
DBOD.BP.BC.No.60/08.12.01/2007-08
Bank Finance to Factoring Companies
February 12, 2008
2275
UBD.PCB.Cir.No.31/09.11.600/07-08
Prudential Norms for Capital Adequacy – Risk Weight for Educational Loans-UCBs
January 29, 2008
2276
Mail Box Clarification
Method of Valuation of Land – Lending to Real Estate Developers
January 25, 2008
2277
DBOD.BP.BC.No.59/21.06.001/2007-08
Prudential Norms for Capital Adequacy – Risk Weight for Educational Loans
January 17, 2008
2278
Mail Box Clarification
Prudential Norms – Inter-bank Liabilities
January 16, 2008
2279
DNBS/PD(MGC)C.C.111/03.11.001/2007-08
Regulatory Framework for Mortgage Guarantee Company
January 15, 2008
2280
Notification No. DNBS(MGC)1/CGM(PK)-2008
Mortgage Guarantee Companies
January 15, 2008
2281
Notification No.DNBS(MGC)2/CGM(PK)-2008
Mortgage Guarantee Companies – Exemptions
January 15, 2008
2282
Mail Box Clarification
Coupon on Lower Tier II Bonds
January 9, 2008
2283
Mail Box Clarification
Claims on Domestic Sovereigns : Risk Weight
January 8, 2008
2284
DBOD.No.Dir.BC.58/13.27.00/2007-08
Corporate Social Responsibility, Sustainable Development and Non-Financial Reporting – Role of Banks
December 20, 2007
2285
Notification No. DNBS.198/CGM (PK)-2007
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
December 14, 2007
2286
DBOD.Dir.BC.57/13.03.00/2007-2008
Banks’ Exposure to Capital Market – Loans Extended by Banks to Mutual Funds and Issue of Irrevocable Payment Commitments (IPCs)
December 14, 2007
2287
Mail Box Clarification
Offering of Incentive Schemes by Banks to Promote Usage of Debit Cards
December 7, 2007
2288
RPCD.CO.RF.BC.40/07.38.03/2007-08
Mid-Term Review of Annual Policy Statement for the Year 2007-08 – Application of Capital Adequacy Norms to State and Central Co-operative Banks
December 4, 2007
2289
UBD.CO.BPD.No.27/12.05.001/2007-08
Legal Guardianship Certificate Issued under the National Trust Act, 1999 Empowering the Disabled Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities
December 4, 2007
2290
DBOD.No.BP.BC.52/21.04.048/2007-08
Financing of Infrastructure by the Banks and Financial Institutions – Definition of ‘Infrastructure Lending’
November 30, 2007
2291
UBD.PCB.Cir.No.26/09.09.001/2007-08
Priority Sector Lending – Revision of Target – UCBs
November 30, 2007
2292
RPCD.CO.RRB.No.BC.39/03.05.33/2007-08
Deposit Schemes with Lock-in Period
November 29, 2007
2293
DNBS (PD) CC. No.108/03.02.21/2007-08
Regulation of Mutual Benefit Financial Companies (MBFCs) and Mutual Benefit Companies (MBCs)
November 22, 2007
2294
Notification No. DNBS.197/CGM (PK)-2007
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
November 22, 2007
2295
RPCD.CO.RRB.No.BC 38/03.05.33/2007-08
Legal Guardianship Certificate Issued under the National Trust Act, 1999 Empowering the Disabled Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities
November 22, 2007
2296
RPCD.CO.RF.BC.No.37/07.40.06/2007-08
Legal Guardianship Certificate Issued Under the National Trust Act, 1999 Empowering the Disabled Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities
November 20, 2007
2297
DBOD.No.Leg.BC.51/09.07.005/2007-08
Legal Guardianship Certificate Issued under the National Trust Act, 1999 Empowering the Disabled Persons with Autism, Cerebral Palsy, Mental Retardation and Multiple Disabilities
November 19, 2007
2298
UBD (PCB) BPD.Cir.No.21/13.01.000/2007-08
Deposit Schemes with Lock-in Period
November 15, 2007
2299
DBOD Comp BC No.5853/07.03.29/2007-08
Internet Banking – Internet Based Platforms for Dealing in Rupee Vostro Accounts@
November 15, 2007
2300
Mail Box Clarification
Personal Loans
November 14, 2007
2301
DBOD.No.BC.No. 49/29.39.001/2007-08
‘Fit and Proper’ Criteria for Elected Directors on The Boards of Associate Banks of State Bank of India
November 14, 2007
2302
RPCD.CO.RF.BC.No.36/07.38.01/2007-08
Deposit Schemes with Lock-in-Period
November 14, 2007
2303
DBOD.BP.No.48/21.04.048/2007-08
Project Finance Portfolio of Banks
November 6, 2007
2304
Mail Box Clarification
Banks’ Exposure to NABARD
November 5, 2007
2305
Mail Box Clarification
Banks’ Exposure to Capital Market
November 5, 2007
2306
DBOD.No.BC.No.46/29.39.001/2007-08
‘Fit and Proper’ Criteria for Elected Directors on the Boards of Nationalised Banks
November 1, 2007
2307
RPCD.CO.RRB.No.4555/03.05.28(B)/2007-08
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)- Regional Rural Banks(RRBs)
October 31, 2007
2308
RPCD.CO.RRB.No.BC.35/03.05.28(B)/2007-08
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)- Regional Rural Banks(RRBs)
October 31, 2007
2309
DBOD.No.Ret.BC.44/12.01.001/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
October 30, 2007
2310
DBOD.No.Ret.BC.45/12.01.001/2007-08
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)
October 30, 2007
2311
RPCD.CO.RF.BC.No.33/07.02.01/2007-08
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)
October 30, 2007
2312
RPCD.CO.RF.BC.No.34/07.02.01/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
October 30, 2007
2313
DBOD.No.BP.BC.42/21.01.002/2007-2008
Guidelines for Issuing Preference Shares as part of Regulatory Capital
October 29, 2007
2314
DBOD.Dir.(Exp).BC.No.40/04.02.01/2007-08
Interest Rates on Advances
October 29, 2007
2315
DBOD.Dir.(Exp).BC.No.41/04.02.01/2007-08
Rupee Export Credit Interest Rates
October 29, 2007
2316
DBOD.No.BP.BC.38/21.04.098/2007-08
Guidelines on Asset-Liability Management (ALM) System – Amendments
October 24, 2007
2317
RPCD.CO.RRB.No.BC.29/03.05.33(C)/2007-08
Authorisation to Open / Maintain NRO / NRE Accounts in Rupees and Accept FCNR Deposits by RRBs
October 9, 2007
2318
RPCD.CO.RRB.No.BC.28/03.05.90-A/2007-08
Opening of Controlling Offices by Amalgamated RRBs
October 9, 2007
2319
Mail Box Clarification
Branch Authorization Policy – Upgradation of Satellite Offices into Full-fledged Branches
October 5, 2007
2320
Mail Box Clarification
Bank Accounts Opened in the Name of HUF
October 4, 2007
2321
RPCD.CO.RRB.No.BC.25/03.05.90-A/2007-08
Opening, Shifting, Merger and Conversion of Branches of RRBs – Dispensing with Service Area Obligations
September 21, 2007
2322
UBD.CO.BPD.(PCB).No.17/12.05.001/2007-08
Treatment of Deposits with DCCB / SCBs as SLR
September 20, 2007
2323
Mail Box Clarification
Capital Gains Accounts Scheme, 1988 – Higher / Differential Rate of Interest
September 19, 2007
2324
UBD.PCB.Cir.No.16/09.103.01/2007-08
Professionalisation of Managements of Urban Co-operative Banks
September 18, 2007
2325
DBOD.BP.BC.No.33/08.12.01/2007-08
Housing Loans – Orders of the Delhi High Court – Writ Petition by Kalyan Sanstha Welfare Organisation against Union of India and Others – Implementation of Directions
September 17, 2007
2326
RPCD.CO.RRB.No.BC.24/03.05.90-A/2007-08
Conversion of Satellite Offices into Full-Fledged Branch – RRBs
September 13, 2007
2327
UBD PCB.Cir.No.13/13.05.000/07-08
Monitoring of Advances – Safeguards to be Observed – UCBs
September 13, 2007
2328
DBOD.No.Inf.BC.32/11.01.009/2007-08
Review of Circulars Issued to Public Sector Banks (PSBs)
September 10, 2007
2329
UBD.BPD.(PCB)Cir.No.2/13.05.000/2007-08
Advances to Sugar Industry – Holding of Buffer Stock
September 7, 2007
2330
RPCD.CO.RRB.No.BC.22/03.05.90-A/2007-08
Opening of Extension Counters by RRBs
September 4, 2007
2331
DBOD.No.Leg.BC.30/09.07.005/2007-08
Branch Level Customer Service Committees
September 3, 2007
2332
DBOD.BP.BC.No.29/08.07.06/2007-08
Advances to Sugar Industry – Holding of Buffer Stock
August 31, 2007
2333
UBD.PCB.Cir.No.11/09.09.001/2007-08
Priority Sector Advances – List of Minority Concentrated Districts – UCBs
August 30, 2007
2334
UBD.PCB.Cir.No.11/09.09.01/2007-08
Revised Guidelines on Lending to Priority Sector for UCBs
August 30, 2007
2335
Mail Box Clarification
Branch Authorization Policy – Opening of Branches in Underbanked Districts
August 29, 2007
2336
Mail Box Clarification
Guidelines for Bank Finance to Assist Employees to Buy Shares of their Own Companies
August 29, 2007
2337
UBD.CO.LS.Cir.No.10/07.01.000/2007-08
Shifting of Offices
August 28, 2007
2338
DBOD.Dir.(Hsg.)BC.No.27/08.12.01/2007-08
Submission of Quarterly Statement on Housing Finance Disbursements – Discontinuance
August 22, 2007
2339
DBOD.No.Leg.BC.28/09.07.005/2007-08
Guidelines on Fair Practices Code for Lenders – Furnishing Copy of Loan Agreement
August 22, 2007
2340
UBD.BPD.(SCB)Cir.No.1/13.05.000/2007-08
Advances to Sugar Industry – Holding of Buffer Stock
August 14, 2007
2341
DBOD.BP.BC.NO.26/21.02.070/2007-08
Discounting / Rediscounting of Bills by Banks
August 3, 2007
2342
RPCD.CO.RF.BC.No.14/07.02.01/2007-08
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)
August 1, 2007
2343
RPCD.CO.RF.BC.No.15/07.02.01/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
August 1, 2007
2344
RPCD.CO.RRB.BC.17/03.05.28(B)/2007-08
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
August 1, 2007
2345
RPCD.CO.RRB.No.16/03.05.28(B)/2007-08
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) – Regional Rural Banks (RRBs)
August 1, 2007
2346
DBOD.No.Ret.BC.24/12.01.001/2007-08
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)
July 31, 2007
2347
DBOD.No.Ret.BC.25/12.01.001/2007-08
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
July 31, 2007
2348
DBOD.BP.BC.NO.23/21.04.141/2007-08
FIMMDA Reporting Platform for Corporate Bond Transactions
July 31, 2007
2349
RPCD.CO.RRB.No.945/03.05.33(F/2007-08
Task Force on Empowering RRB Bords for Operational Efficiency – Follow-up Action
July 30, 2007
2350
RPCD.CO.RRB.AML.No.549/03.05.33(E)/2007-08
Amendments to the Prevention of Money Laundering Rules, 2005
July 18, 2007
2351
UBD.PCB.Cir.No.5/09.16.901/2007-08
Amortization of Goodwill on Merger – UCBs
July 13, 2007
2352
UBD.PCB.Cir.No.7/13.05.000/07-08
Bank Finance against Shares and Debentures – UCBs
July 13, 2007
2353
DBOD.BP.BC.No.20/08.07.06/2007-08
Advances to Sugar Industry – Holding of Buffer Stock
July 11, 2007
2354
UBD.CO.LS.CIr.No.01/07.01.000/2007-08
Annual Policy Statement for the Year 2007-08 – Relaxation in Branch Licensing Policy for Urban Cooperative Banks
July 4, 2007
2355
BPD(PCB)MC.No.11/09.09.001/2007-08
Master Circular on Priority Sector Lending – UCBs
July 4, 2007
2356
UBD.BPD (PCB)MC.No.9/13.05.000/2007-08
Master Circular on Management of Advances – UCBs
July 4, 2007
2357
UBD.BPD.(PCB).MC.No.8/09.39.000/2007-08
Master Circular on Customer Service – UCBs
July 4, 2007
2358
UBD.BPD(PCB)MC.No.12/13.01.000/2007-08
Master Circular on Maintenance of Deposit Accounts – UCBs
July 4, 2007
2359
UBD.PCB.MC.No.10/09.14.000/2006-07
Master Circular on Income Recognition, Asset Classification, Provisioning & Other Related Matters – UCBs
July 4, 2007
2360
UBD.CO.BPD.(PCB).No.2/09.18.300/2007-08
Annual Policy Statement for the year 2007-08 – IT-Enabled Financial Inclusion
July 4, 2007
2361
UBD.PCB.MC.No.5/09.22.010/2007-08
Master Circular on Finance for Housing Schemes – UCBs
July 3, 2007
2362
DNBS(PD)CC.No.7/SCRC/10.30.000/2007-2008
The Securitisation Companies and Reconstruction Companies (Reserve Bank) Guidelines and Directions, 2003 – Updated as on 30-06-2007
July 2, 2007
2363
RPCD.CO.RRB.No.BL.BC.09/03.05.90-A/2007-08
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 2, 2007
2364
DBOD No.Rajbhasha BC.5/06.11.04/2007-08
Master Circular – Use of Hindi in Banks
July 2, 2007
2365
DBOD.AML.BC.No.3/14.08.001/2007-08
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of Banks in Regulating Receipt of Foreign Contributions by Associations / Organizations in India
July 2, 2007
2366
DBOD.BP.BC.No.13/08.12.01/2007-08
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 2, 2007
2367
DBOD.BP.BC.No.14/21.04.018/2007-08
Master Circular – Disclosure in Financial Statements – Notes to Accounts
July 2, 2007
2368
DBOD.FSD.BC.17/24.01.011/2007-08
Master Circular on Credit Card Operations of Banks
July 2, 2007
2369
DBOD.FSD.BC.18/24.01.001/2007-08
Master Circular – Para-Banking Activities
July 2, 2007
2370
DBOD.No.BL.BC.16/22.01.001/2007-08
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 2, 2007
2371
DBOD.No.BP.BC.12/21.04.048/2007-08
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advance
July 2, 2007
2372
DBOD.No.BP.BC.15/21.04.141/2006-07
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 2, 2007
2373
DBOD.No.BP.BC.4/21.01.002/2007-08
Master Circular – Prudential Norms on Capital Adequacy
July 2, 2007
2374
DBOD.No.DIR.(Exp).BC.01/04.02.02/2007-08
Master Circular on Rupee / Foreign Currency Export Credit & Customer Service to Exporters
July 2, 2007
2375
DBOD.No.DIR.(HSG).BC.02/08.12.01/2007-08
Master Circular – Housing Finance
July 2, 2007
2376
DBOD.No.Dir.BC.10/13.03.00/2007-08
Master Circular – Guarantees and Co-Acceptances
July 2, 2007
2377
DBOD.No.Dir.BC.11/13.03.00/2007-08
Master Circular – Exposure Norms
July 2, 2007
2378
DBOD.No.Dir.BC.6/13.03.00/2007-08
Master Circular – Interest Rates on Advances
July 2, 2007
2379
DBOD.No.Dir.BC.7/13.03.00/2006-07
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 2, 2007
2380
DBOD.No.Dir.BC.8/13.03.00/2007-08
Master Circular of Instructions Relating to Deposits held in FCNR(B) Accounts
July 2, 2007
2381
DBOD.No.Dir.BC.9/13.03.00/2007-08
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 2, 2007
2382
DBOD.No.DL.BC.12928/20.16.003/2007-08
Master Circular on Wilful Defaulters
July 2, 2007
2383
DBOD.No.FID.FIC.1/01.02.00/2007-08
Master Circular – Resource Raising Norms for Financial Institutions
July 2, 2007
2384
DBOD.No.FID.FIC.2/01.02.00/2007-08
Master Circular – Disclosure Norms for the Financial Institutions
July 2, 2007
2385
DBOD.No.FID.FIC.3/01.02.00/2007-08
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 2, 2007
2386
DBOD.No.FID.FIC.4/01.02.00/2007-08
Master Circular – Exposure Norms for Financial Institutions
July 2, 2007
2387
DNBS (PD) CC. No.8/SCRC/10.30.000/2007-2008
Master Circular on Directions / Instructions issued to the Securitisation Companies and Reconstruction Companies
July 2, 2007
2388
UBD.BPD.(PCB)MC.No.2/16.20.000/2007-08
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 2, 2007
2389
UBD.BPD(PCB).MC.No.4/09.27.000/2007-08
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 2, 2007
2390
UBD.CO.BPD.(PCB).MC.No.7/12.05.001/2007-2008
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
July 2, 2007
2391
UBD.CO.BPD(PCB) MC.No.6/09.08.000/2007-08
Master Circular on Board of Directors – UCBs
July 2, 2007
2392
UBD.No.BPD.MC.No.1/13.01.000/2007-08
Master Circular – Interest Rates on Rupee Deposits – UCBs
July 2, 2007
2393
UBD.PCB.MC.No.3/13.05.000/2007-08
Master Circular on Exposure Norms and Statutory / Other Restrictions – UCBs
July 2, 2007
2394
DNBS (PD) CC No.102/03.02.01/2007-08
Master Circular – Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
July 1, 2007
2395
DNBS (PD) CC No.98/03.02.001/2007-08
Master Circular – ‘Non-Banking Financial (Non-Deposit Accepting or Holding)Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2007
2396
DNBS (PD) CC No.99/03.02.01/2007-08
Master Circular – ‘Reserve Bank of India (Non-Banking Financial Companies) Returns Specifications 1997’
July 1, 2007
2397
DNBS (PD) CC.No.100/03.02.01/2007-08
Master Circular – ‘Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 1998’
July 1, 2007
2398
DNBS (PD) CC.No.96/03.02.01/2007-08
Master Circular – ‘Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
July 1, 2007
2399
DNBS (PD)CC.No.103/04.18.001/2007-08
Master Circular – ‘Residuary Non-Banking Companies (Reserve Bank) Directions, 1987’
July 1, 2007
2400
DNBS.(PD)CC No.97/03.02.001/2007-08
Master Circular – ‘Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007’
July 1, 2007
2401
DNBS.PD.CC.No.101/03.02.04/2007-08
Master Circular – Exemptions from the Provisions of RBI Act, 1934
July 1, 2007
2402
RPCD.CO.RRB.No.BC.106/03.05.33(C)/2006-07
Authorisation to Open / Maintain NRO / NRE Accounts in Rupees and to Accept FCNR Deposits
June 28, 2007
2403
DBOD.No.BP.BC.101/21.04.103/2006-07
Guidelines on Stress Testing
June 26, 2007
2404
RPCD.CO.RRB.No.BC.105/03.05.90-A/2006-07
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing – RRBs
June 22, 2007
2405
UBD.CO.BPD.No.47/12.05.001/2006-07
Extension of Safe Deposit Locker / Safe Custody Article Facility and Access to Safe Deposit Lockers / Return of Safe Custody Articles by Banks
June 21, 2007
2406
RPCD.CO.No.RRB.BC.104/03.05.34/2006-07
RRBs – Participation in Consortium Lending
June 19, 2007
2407
RPCD.CO.RRB.No.BC.102/03.05.90-A/2006-07
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
June 15, 2007
2408
UBD.PCB.Cir.No.46/16.12.000/06-07
Norms for Maintaining NRE / NRO Accounts – UCBs
June 4, 2007
2409
UBD.CO.BPD.SPCB.No.8/12.05.001/2006-07
Asset-Liability Management (ALM) System in Urban Co-operative Banks – Guidelines
June 1, 2007
2410
DBOD.No.BP.BC.100/21.04.012/2006-07
Relaxation to Trade and Industry in the State of Jammu and Kashmir
May 25, 2007
2411
DBOD.No.11690/29.39.001/2006-07
Report of the Consultative Group of Directors of Banks / Financial Institutions (Dr. Ganguly Group) – Implementation of recommendations – Corporate Governance
May 24, 2007
2412
DBOD.No.BL.BC.99/22.01.010/2006-2007
Section 23 of the Banking Regulation Act, 1949 – Doorstep Banking
May 24, 2007
2413
Mail Box Clarification
Part-shifting of Branches – Clarifications
May 21, 2007
2414
RPCD.CO.RF.BC No.95/07.38.01/2006-07
Extension of Safe Deposit Locker / Safe Custody Article Facility and Access to Safe Deposit Lockers / Return of Safe Custody Articles by Banks
May 18, 2007
2415
UBD.PCB.Cir.No.44/13.04.000/06-07
Complaints about Excessive Interest Charged by Banks – UCBs
May 18, 2007
2416
RPCD.CO.RF.BC.No.94/07.38.01/2006-07
Annual Policy Statement for the Year 2007-08 – IT-enabled Financial Inclusion
May 18, 2007
2417
Mail Box Clarification
Classification of Wholesale Deposits in Structural Liquidity Statement
May 16, 2007
2418
RPCD.CO.RF.BC.No.93/07.38.01/2006-07
Annual Policy Statement for the year 2007-08 – Complaints about Excessive Interest Charged by Banks
May 16, 2007
2419
RPCD.CO.RRB.BC.No.92/03.05.28-B/2006-07
Complaints about Excessive Interest Charged by Banks – Regional Rural Banks (RRBs)
May 15, 2007
2420
DBOD.IBD.BC.No.96/23.37.001/2006-07
Annual Policy Statement for the Year 2007-08 – Extension of Credit Facilities to Overseas Step-down Subsidiaries of Indian Corporates
May 10, 2007
2421
UBD.CO.LS.Cir.No./43/07.01.000/2006-07
Section 23 of Banking Regulation Act, 1949 (AACS) – Branch Banking Statistics – Submission of Quarterly Returns – Revision of Proformae I & II
May 9, 2007
2422
Mail Box Clarification
Investments by Banks’ Treasuries in Equity Shares of Banks / FIs
May 9, 2007
2423
RPCD.RRB.BC.No.87/03.05.34/2006-07
Valuation of Investment in SLR / Approved Securities by Regional Rural Banks (RRBs)
May 8, 2007
2424
DBOD.IBD.BC.95/23.67.002/2006-07
Authorisation for Import of Gold Coin – Tie-up Arrangements
May 8, 2007
2425
DNBS.PD/CC.94/03.10.042/2006-07
Guidelines on Corporate Governance
May 8, 2007
2426
DBOD.No.Leg.BC./94/09.07.005/2006-07
Annual Policy Statement for the Year 2007-08 – IT-enabled Financial Inclusion
May 7, 2007
2427
UBD.PCB.Cir.No.42/09.11.200/06-07
Annual Policy Statement for the Year 2007-08 – Undertaking Insurance Business – UCBs
May 7, 2007
2428
UBD.PCB.Cir No.40/13.05.000/2006-07
Annual Policy Statement for the Year 2007-08 Residential Housing Loans : Reduction of Risk Weight-UCBs
May 4, 2007
2429
RPCD.CO.RRB.BC.No.86/03.05.33(G)/2006-07
Entry of Regional Rural Banks (RRBs) into Insurance Agency Business
May 3, 2007
2430
DBOD.BP.BC.92/21.01.002/2006-07
Annual Policy Statement for the Year 2007-08 : Risk Weight on Residential Housing Loans
May 3, 2007
2431
UBD.PCB.Cir No.38/09.14.000/2006-07
Annual Policy Statement for the Year 2007-08 – Income Recognition, Asset Classification and Provisioning Norms – UCBs
April 30, 2007
2432
UBD(PCB).Cir.No.39/13.05.000/06-07
Annual Policy Statement for the Year 2007-08 – Loans Extended against Gold and Silver Ornaments – Reduction of Risk Weight – UCBs
April 30, 2007
2433
DBOD.No.BP.BC.90/20.06.001/2006-07
Prudential Guidelines on Capital Adequacy and Market Discipline – Implementation of the New Capital Adequacy Framework
April 27, 2007
2434
RPCD.CO.RF.BC.Dir.No.78/07.38.01/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 26, 2007
2435
RPCD.CO.RF.BC.No.79/07.38.01/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 26, 2007
2436
RPCD.CO.RF.BC.No.81/07.38.01/2006-07
Interest Rate on FCNR(B) Deposits
April 26, 2007
2437
RPCD.No.RRB.BC.82/03.05.33(C)/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 26, 2007
2438
RPCD.No.RRB.DIR.10053/03.05.33(C)/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 26, 2007
2439
UBD.No.Dir.2/13.01.000/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 26, 2007
2440
UBD(PCB)CO.BPD.Cir.No:37/13.01.000/2006-07
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits – UCBs
April 26, 2007
2441
RPCD.CO.RRB.No.9944/03.05.28(B)/2006-07
Notifcation on Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
April 24, 2007
2442
RPCD.CO.RRB.No.9945/03.05.28(B)/2006-07
Notification on Maintenance of Cash Reserve Ratio (CRR)
April 24, 2007
2443
RPCD.RRB.CO.BC.No.72/03.05.28(B)/2006-07
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
April 24, 2007
2444
RPCD.RRB.CO.BC.No.73/03.05.28(B)/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
April 24, 2007
2445
UBD (PCB).No/6/12.03.000/2006-07
Notification on Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
April 24, 2007
2446
Notification No.DNBS.195 CGM(PK)-2007
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
April 24, 2007
2447
Notification No.DNBS.196/CGM(PK)-2007
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
April 24, 2007
2448
DBOD.No.Ret.BC.83/12.01.001/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio
April 20, 2007
2449
DBOD.No.Ret.BC.84/12.01.001/2006-07
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
April 20, 2007
2450
DBOD.No.Ret.BC.85/12.01.001/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
April 20, 2007
2451
UBD.CO.BPD.Cir No.36/13.01.000/2006-07
Nomination Facility in Single Deposit Accounts – UCBs
April 19, 2007
2452
UBD.PCB.Cir.No.35/09.09.001/06-07
Credit Flow to Micro, Small and Medium Enterprises Sector – UCBs
April 18, 2007
2453
UBD.CO.BPD.No.34/12.05.001/2006-07
Rounding Off Cheques to the Nearest Rupee – UCBs
April 17, 2007
2454
DBOD.Dir.(Exp).BC.No.80/04.02.01/2006-07
Rupee Export Credit Interest Rates
April 17, 2007
2455
DBOD.No.Leg.BC.78/09.07.005/2006-07
Extension of Safe Deposit Locker / Safe Custody Article Facility and Access to Safe Deposit Lockers / Return of Safe Custody Articles by Banks
April 17, 2007
2456
RPCD.CO.RRB.BC.No.71/03.05.33/2006-07
Nomination Facility in Single Deposit Accounts
April 13, 2007
2457
RPCD.CO.RF.BC.No.70/07.38.01/2006-07
Nomination Facility in Single Deposit Accounts
April 12, 2007
2458
Mail Box Clarification
Accounting for Securities Received by Banks in Lieu of Economic Sacrifice
April 12, 2007
2459
RPCD.CO.No.RRB.BC.69/03.05.33/2006-07
Rounding off Amounts of Cheques to the Nearest Rupee
April 11, 2007
2460
RPCD.CO.RF.BC.No.67/07.02.01/2006-07
Rounding Off Transactions to the Nearest Rupee
April 9, 2007
2461
DBOD.No.Leg BC.75/09.07.005/2006-07
Nomination Facility in Single Deposit Accounts
April 5, 2007
2462
DBOD.No.Ret.BC.73/12.01.001/2006-2007
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)
April 4, 2007
2463
DBOD.No.Ret.BC.74/12.01.001/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
April 4, 2007
2464
RPCD.CO.RRB.No.9339/03.05.28(B)/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) – RRBs
April 4, 2007
2465
RPCD.RRB.CO.BC.No.66/03.05.28(B)/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – RRBs
April 4, 2007
2466
Notification No. DNBS.194/CGM(PK)-2007
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
April 4, 2007
2467
DBOD No.Dir.BC.72/13.03.00/2006-07
Guarantees for Export Advance
April 3, 2007
2468
DBOD.No.IBD.BC.71/23.67.001/2006-2007
Gold (Metal) Loan – Tenor of
April 3, 2007
2469
Mail Box Clarification
New Options for Raising Capital – Raising of Innovative Perpetual Debt Instruments & Upper Tier II Instruments
April 3, 2007
2470
Mail Box Clarification
Innovative Perpetual Debt Instruments and Upper Tier II Debt Instruments – Definition of Net Loss
April 3, 2007
2471
RPCD.CO.RRB.No.BC.61/03.05.33(E)/2006-2007
Grant of Loans for Acquisition of Kisan Vikas Patras (KVPs)
March 29, 2007
2472
RPCD.CO.RF.BC.No.57/07.40.06/2006-07
Grant of Loans for acquisition of Kisan Vikas Patras (KVPs)
March 23, 2007
2473
UBD.(PCB).BPD.Cir. No.33/13.05.000/2006-07
Grant of Loans for Acquisition of Kisan Vikas Patras (KVPs) – UCBs
March 16, 2007
2474
DBOD.No.Dir.BC.69/13.03.00/2006-2007
Grant of Loans for Acquisition of Kisan Vikas Patras (KVPs)
March 14, 2007
2475
DBOD.NO.BP.BC.68/21.04.048/2006-07
Prudential Norms on Creation and Utilisation of Floating Provisions
March 13, 2007
2476
UBD.PCB.Cir.No.32/13.05.000/06-07
Loans and Advances to Directors, Relatives and Firms / Concerns in which they are Interested – UCBs
March 12, 2007
2477
UBD.CO.BPD.(PCB).No.31/12.05.001/2006-07
Report of the Working Group to Formulate a Scheme for Ensuring Reasonableness of Bank Charges
March 9, 2007
2478
DBOD.No.BP.BC.66/21.01.002/2006-2007
Prudential Limits for Inter-Bank Liabilities (IBL)
March 6, 2007
2479
DBOD.No.Leg.BC.65/09.07.005/2006-07
Guidelines on Fair Practices Code for Lenders
March 6, 2007
2480
RPCD.CO.RRB.BC.No.52/03.05.28(B)/2006-07
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories – RRBs
March 2, 2007
2481
RPCD.CO.RRB.No 8164/03.05.28(B)/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) – RRBs
March 2, 2007
2482
RPCD.CO.RRB.No.8165/03.05.28(B)/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories – RRBs
March 2, 2007
2483
RPCD.RF.BC.55/07.02.01/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
March 2, 2007
2484
RPCD.RF.BC.56/07.02.01/2006-07
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
March 2, 2007
2485
RPCD.RRB.CO.BC.No.51/03.05.28(B)/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) – RRBs
March 2, 2007
2486
DBOD.No.Ret.BC.62/12.01.001/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
March 1, 2007
2487
DBOD.No.Ret.BC.63/12.01.001/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
March 1, 2007
2488
DBOD.No.Ret.BC.64/12.01.001/2006-07
Maintenance of Cash Reserve Ratio (CRR) on Exempted Categories
March 1, 2007
2489
DBOD.No.Ret.BC.61/12.01.001/2006-07
NOTIFICATION on Maintenance of Cash Reserve Ratio (CRR)
March 1, 2007
2490
Mail Box Clarification
Appointment of Retired Post Masters, School Teachers etc., as Business Facilitators
February 28, 2007
2491
DNBS (PD)CC.No.90/03.10.001/2006-07
Misuse of Bank Finance for Hoarding – Status and Action
February 23, 2007
2492
Notification No.DNBS.192/DG (VL)-2007
Non-Banking Financial (Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
February 22, 2007
2493
Notification No.DNBS.193.DG(VL)-2007
Non-Banking Financial (Non-Deposit Accepting or Holding) Companies Prudential Norms (Reserve Bank) Directions, 2007
February 22, 2007
2494
DBOD.No.BL.BC.59/22.01.010/2006-2007
Section 23 of Banking Regulation Act, 1949 – Doorstep Banking
February 21, 2007
2495
UBD(PCB).Cir.No.30/09.11.600/06-07
Third Quarter Review of the Annual Statement on Monetary Policy for the year 2006-07 – Provisioning Requirement for Standard Assets – UCBs
February 19, 2007
2496
DBOD.No.Ret.BC.57/12.01.001/2006-2007
Notification on CRR
February 14, 2007
2497
DBOD.No.Ret.BC.58/12.01.001/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
February 14, 2007
2498
RPCD.CO.RF.BC.49/07.02.01/2006-07
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
February 14, 2007
2499
RPCD.CO.RRB.BC.50/03.05.28(B/2006-07
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of CRR – Regional Rural Banks (RRBs)
February 14, 2007
2500
RPCD.CO.RRB.No.7523/03.05.28(B/2006-07
NOTIFICATION on CRR
February 14, 2007
2501
RPCD.RF.No.7458/07.02.01/2006-07
Notification on Cash Reserve Ratio (CRR)
February 14, 2007
2502
RPCD.No.RRB.BC.48/03.05.33(C)/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
February 9, 2007
2503
RPCD.No.RRB.DIR.7240/03.05.33(C)/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
February 9, 2007
2504
RPCD RF.Dir.45/07.38.01/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
February 6, 2007
2505
RPCD.CO.RF.BC.46/07.38.01/2006-07
Interest Rate on FCNR(B) Deposits
February 6, 2007
2506
RPCD.CO.RF.BC.No.44/07.38.01/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
February 6, 2007
2507
RPCD.RF.Dir.47/07.38.01/2006-07
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
February 6, 2007
2508
UBD.No.Dir.1/13.01.000/2006-07
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
February 5, 2007
2509
UBD(PCB)CO BPD Cir No:28/13.01.000/2006-07
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits – UCBs
February 5, 2007
2510
DBOD.No.Dir.BC.56/13.03.00/2006-2007
Report of the Working Group to Formulate a Scheme for Ensuring Reasonableness of Bank Charges
February 2, 2007
2511
DBOD.No.BP.BC.53/21.04.048/2006-2007
Third Quarter Review of the Annual Statement on Monetary Policy for the year 2006-07 – Provisioning Requirement for Standard Assets and Risk Weights for Capital Adequacy
January 31, 2007
2512
UBD.BPD (PCB)MC.No.13/13.05.000/2006-07
Master Circular – Management of Advances – UCBs
January 22, 2007
2513
UBD.BPD(PCB)MC.No.13/13.05.000/2006-07
Master Circular on Management of Advances – UCBs
January 22, 2007
2514
DBOD.Dir.BC.51/13.03.00/2006-07
Banks’ Exposure to Commodity Markets – Margin Requirements
January 9, 2007
2515
UBD.PCB.Cir.No.26/13.05.000/06-07
Valuation of Properties – Empanelment of Valuers – UCBs
January 9, 2007
2516
Notification No. DNBS.191/CGM(PK)-2007
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
January 4, 2007
2517
DBOD.BP.BC No.50/21.04.018/2006-07
Valuation of Properties – Empanelment of Valuers
January 4, 2007
2518
UBD.PCB.Cir.No.25/09.39.000/06-07
Cheque Drop Box Facility and the Facility for Acknowledgement of Cheques – UCBs
December 28, 2006
2519
UBD.PCB.Cir.No.24/13.05.000/2006-07
Package of Relief Measures for the Debt Stressed Farmers of 25 Districts in the States of Andhra Pradesh, Karnataka & Kerala – UCBs
December 26, 2006
2520
RPCD.CO.RF.BC.No.40/07.40.06/2006-07
Cheque Drop Box Facility and the Facility for Acknowledgement of Cheques
December 26, 2006
2521
RPCD.CO.RRB.BC.No.39/03.05.33(E)/2006-07
Cheque Drop Box Facility and the Facility for Acknowledgement of Cheques
December 26, 2006
2522
DBOD.No.Inf. BC.48/11.01.009/2006-07
Review of Circulars Issued to Public Sector Banks (PSBs)
December 18, 2006
2523
DBOD.No.Leg.BC.49/09.07.005/2006-07
Cheque Drop Box Facility and the Facility for Acknowledgement of Cheques
December 18, 2006
2524
DBOD.No.Dir.BC.47/13.07.05/2006-2007
Bank’s Exposure to Capital Markets – Rationalization of Norms
December 15, 2006
2525
UBD.CO.BPD.PCB.No.23/12.05.001/2006-07
Customer Service
December 13, 2006
2526
DBOD.No.FSD.BC.46/24.01.028/2006-07
Financial Regulation of Systemically Important NBFCs and Banks’ Relationship with them
December 12, 2006
2527
DBOD.No.BC.45/12.01.001/2006-07
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
December 11, 2006
2528
RPCD.CO.RF.BC.38/07.02.01/2006-07
Section 42 (1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
December 11, 2006
2529
DBOD.No.Ret.BC.44/12.01.001/2006-2007
Notification on CRR
December 11, 2006
2530
RPCD.RF.No.5541/07.02.01/2006-07
NOTIFICATION
December 11, 2006
2531
Notification No.DNBS.189/CGM(PK)-2006
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
December 6, 2006
2532
Notification No.DNBS.190/CGM(PK)-2006
Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998
December 6, 2006
2533
UBD.PCB.Cir.No.20/09.09.001/2006-07
Housing Loans – Orders of the Delhi High Court-Writ Petition by Kalyan Sanstha Welfare Organisation against Union of India and Others-Implementation of Directions – UCBs
November 22, 2006
2534
UBD(PCB).Cir.19/09.09.001/2006-07
Notification No.S.O.229(E) dated February 21, 2006 Regarding Change in the List of Items Reserved for Exclusive Manufacture in the Small Scale Industries Sector – UCBs
November 17, 2006
2535
DBOD.Dir.BC.No.43/08.12.01/2006-07
Housing Loans – Orders of the Delhi High Court – Writ Petition by Kalyan Sanstha Welfare Organisation against Union of India and Others – Implementation of Directions
November 17, 2006
2536
DBOD.Dir.(Exp.)No.38/04.02.01/2006-07
Interest Rates on Export Credit in Foreign Currency
November 14, 2006
2537
UBD.CO(PCB)Cir.No.18/07.01.000/2006-07
Mid-Term Review of Annual Policy Statement for the year 2006-07 – Conversion of Extension Counters into Full-Fledged Branches – Urban Co-operative Banks
November 13, 2006
2538
DBOD.No.FID.FIC.5/01.02.00/2006-07
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Government Guaranteed Exposures – for FIs
November 10, 2006
2539
DBOD.No.Leg.BC.42/09.07.005/2006-07
Customer Service – Issue of Duplicate Demand Draft
November 10, 2006
2540
DBOD.IBD.BC.No.41/23.37.001/2006-07
Mid-Term Review of Annual Policy Statement for the year 2006-07 – Extension of Funded and Non-funded Credit Facilities to Indian Joint Ventures (JVs) / Wholly Owned Subsidiaries (WOSs) Abroad – Enhancement
November 6, 2006
2541
DBOD.No.BP.40/21.04.158/2006-07
Guidelines on Managing Risks and Code of Conduct in Outsourcing of Financial Services by banks
November 3, 2006
2542
UBD CO Ret/MC No.4082/12.03.000/2006-07
Master Circular Maintenance of Statutory Reserves Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
November 1, 2006
2543
DBOD.No.Inf.39/11.03.005/2006-07
Review of Statements / Returns Submitted by Banks
October 26, 2006
2544
DBOD.Dir.(Exp).BC.No.37/04.02.01/2006-07
Rupee Export Credit Interest Rates
October 20, 2006
2545
UBD.(PCB).Cir.No.16/09.09.001/06-07
Priority Sector Lending – Housing Loan – Enhancement of Ceiling for UCBs
October 17, 2006
2546
UBD.CO.(PCB).Cir.No.15/09.39.000/2006-07
Customer Service – Non-Issuance of Passbooks to Savings Bank Account-Holders (Individuals) – UCBs
October 16, 2006
2547
RPCD.CO.RRB.BC No.29/03.05.28-A/2006-07
Customer Service – Non Issuance of Passbooks to Savings Bank Account – Holders (Individuals)
October 13, 2006
2548
RPCD.CO.RF.BC.28/07.40.06/2006-07
Customer Service – Non Issuance of Passbooks to Savings Bank Account-holders (Individuals)
October 11, 2006
2549
DBOD.No.Dir.BC.35/13.07.10/2006-2007
Guarantees and Co-acceptances
October 11, 2006
2550
DBOD.No.Ret.BC.34/12.01.001/2006-07
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
October 11, 2006
2551
DBOD.No.Dir.BC.33/13.03.00/2006-07
Master Circular – Exposure Norms
October 10, 2006
2552
Mail Box Clarification
Guidelines for Acknowledgement of Transfer / Allotment of Shares in Private Sector Banks – Clarification
October 6, 2006
2553
UBD.CO.BPD.Cir.No.12/09.39.000/2006-07
Address / Telephone Number of the Branch in Pass Books / Statement of Accounts – UCBs
October 6, 2006
2554
DBOD.No.Leg.BC.32/09.07.005/2006-07
Customer Service – Non-Issuance of Passbooks to Savings Bank Accountholders (Individuals)
October 4, 2006
2555
Mail Box Clarification
Introduction by an Existing Account Holder for Opening a Bank Account
September 28, 2006
2556
UBD.CO.BPD.PCB.No.11/12.05.001/2006-07
Issue of Master Circular on ‘Frauds – Classification Reporting’ for Primary (Urban) Co-operative Banks
September 26, 2006
2557
RPCD.RF.BC.26/07.40.06/2006-07
Address, Telephone Number of the Branch in Passbooks / Statements of Account
September 22, 2006
2558
Notification No. DNBS.188/CGM(PK)-2006
Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998
September 21, 2006
2559
DNBS.(PD).CC.No.78/03.05.002/2006-07
Amendments to Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998 – Treatment of Security Deposit for Computation of Risk Weight Adjusted Value of Assets
September 20, 2006
2560
Notification No.DNBS.187/CGM(PK)-2006
Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998
September 20, 2006
2561
DBOD.BP.BC.30/21.01.002/2006-2007
Banks’ Exposure to Entities for Setting up Special Economic Zones (SEZs) / Acquisition of Units in SEZs
September 20, 2006
2562
RPCD.CO.RRB.BC.No./25/03.05.28A/2006-07
Address / Telephone Number of the Branch in Pass Books / Statement of Accounts – Regional Rural Banks (RRBs)
September 15, 2006
2563
Mail Box Clarification
Higher / Differential Interest Rates on Deposit Schemes
September 7, 2006
2564
Mail Box Clarification
Master Circular on Prudential Norms for Classification, Valuation and Operation of Investment Portfolio of Banks
September 7, 2006
2565
UBD.PCB.Cir.No.10/13.05.000/2006-07
Guidelines on Relief Measures to be extended by Banks in Areas Affected by Natural Calamities-UCBs
September 4, 2006
2566
DBOD.No.Leg.BC.28/09.07.005/2006-07
Address / Telephone Number of the Branch in Pass Books / Statement of Accounts
September 1, 2006
2567
RPCD.RF.BC.19/07.02.03/2006-07
When Issued Transactions in Central Government Securities – Accounting and Related Aspects
August 25, 2006
2568
DNBS (CMD-I) CC No.77/21.05.04(INFO)/2006-07
Census of Non Deposit Accepting NBFCs – Putting Blank Form of Schedule on RBI Web-Site
August 24, 2006
2569
UBD.BPD(PCB)MC.No:11/13.01.000/2006-07
Master Circular on Maintenance of Deposit Accounts – UCBs
August 23, 2006
2570
DBOD.No.Comp.BC.1658/07.23.29/2006-07
Internet Banking – Internet based Platforms for Dealing in Foreign Exchange@
August 22, 2006
2571
UBD.PCB.Cir.No.8/13.05.000/06-07
Guidelines on Relief Measures to be Extended by Banks in Areas Affected by Natural Calamities – UCBs
August 21, 2006
2572
Mail Box Clarification
Filing of Tax Returns of Customers – Tie-ups with Third Party Vendors by Banks
August 17, 2006
2573
BPD(PCB)MC.No.10/09.09.001/2006-07
Master Circular on Priority Sector Lending – UCBs
August 8, 2006
2574
UBD.PCB.MC.No.9/09.14.000/2006-07
Master Circular on Income Recognition, Asset Classification, Provisioning & Other Related Matters – UCBs
August 8, 2006
2575
DBOD.No.BP.BC.24/21.04.141/2006-07
When Issued’ Transactions in Central Government Securities – Accounting and Related Aspects
August 1, 2006
2576
UBD.PCB.Cir.No.4/09.39.000/06-07
Annual Policy Statement for the year 2006-07 – Fair Practices Code – Display of Bank Charges – UCBs
July 24, 2006
2577
UBD(PCB)Cir.No.3/13.05.000/06-07
Package of Relief Measures to the Vidarbha Region in Maharashtra – UCBs
July 21, 2006
2578
DBOD.No.BP.BC.23/21.01.002/2006-2007
Enhancement of Banks’ Capital Raising Options for Capital Adequacy Purposes
July 21, 2006
2579
DNBS (PD) CC No.76/02.01/2006-07
Master Circular – Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
July 13, 2006
2580
DBOD.No.BP.BC.21/21.04.048/2006-2007
Annual Policy Statement for the year 2006-07 – Additional Provisioning Requirement for Standard Assets
July 12, 2006
2581
UBD.BPD.(PCB).MC.No.8/16.20.000/2006-07
Master Circular on Investments by Primary (Urban) Co-operative Banks
July 12, 2006
2582
RPCD.CO.RRB.No.BL.BC./11/03.05.90-A/2006-07
Section 23 of the Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 11, 2006
2583
UBD.PCB.BPD.1/09.09.001/2006-07
Priority Sector Lending – Investment in Special Bonds issued by NHB / HUDCO
July 11, 2006
2584
DBOD.No.AML.BC.No.20/14.01.055/2006-07
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of banks
July 11, 2006
2585
UBD.PCB.MC.No.7/13.05.000/2006-07
Master Circular on Exposure Norms and Statutory / Other Restrictions – UCBs
July 10, 2006
2586
UBD.PCB.MC.No.6/09.22.010/2006-07
Master Circular on Finance for Housing Schemes – UCBs
July 7, 2006
2587
UBD.BPD.(PCB).MC.No.5/09.39.00/2006-07
Master Circular on Customer Service – UCBs
July 6, 2006
2588
UBD.BPD.(PCB).MC.No.4/09.06.000/2005-06
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
July 3, 2006
2589
UBD.BPD(PCB).MC.No.1/09.27.000/2006-07
Master Circular – Guarantees, Co-Acceptances & Letters of Credit – UCBs
July 3, 2006
2590
UBD.BPD(PCB)MC.No.2/09.08.000/2006-07
Master Circular on Board of Directors – UCBs
July 3, 2006
2591
UBD.No.BPD.MC.No.3/13.01.00/2006-07
Master Circular on Interest Rates on Rupee Deposits – UCBs
July 3, 2006
2592
DNBS.(PD).CC.No.74/03.02.01/2006-07
Master Circular – Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
July 1, 2006
2593
DNBS(PD)CC.No.70/03.02.01/2006-07
Master Circular – ‘Reserve Bank of India (Non-Banking Financial Companies) Returns Specifications 1997’
July 1, 2006
2594
DNBS(PD)CC.No.71/03.02.01/2006-07
Master Circular – “Non-Banking Financial Companies Auditor’s Report (Reserve Bank) Directions, 1998”
July 1, 2006
2595
DNBS(PD)CC.No.75/03.02.01/2006-07
Master Circular – “Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998”
July 1, 2006
2596
DBOD No.DIR.(Exp).BC.02/04.02.02/2006-07
Master Circular on Export Credit in Foreign Currency
July 1, 2006
2597
DBOD No.Dir.BC.8/13.03.00/2006-07
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2006
2598
DBOD No.DL.BC.19/20.16.003/2006-07
Master Circular on Wilful Defaulters
July 1, 2006
2599
DBOD.BP.BC No.16/21.04.018/2006-07
Master Circular – Disclosure in Balance Sheets
July 1, 2006
2600
DBOD.BP.No.18/08.12.01/2006-2007
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 1, 2006
2601
DBOD.Dir.BC.17/13.03.00/2006
Master Circular – Guarantees and Co-acceptances
July 1, 2006
2602
DBOD.Dir.BC.5/13.03.00/2006-07
Master Circular – Interest Rates on Advances
July 1, 2006
2603
DBOD.Dir.BC.6/13.03.00/2006-07
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2006
2604
DBOD.Dir.BC.7/13.03.00/2006-07
Master Circular of Instructions relating to Deposits held in FCNR(B) Accounts
July 1, 2006
2605
DBOD.FSD.BC.10/24.01.011/2006-07
Master Circular on Credit Card Operations of Banks
July 1, 2006
2606
DBOD.FSD.BC.9/24.01.001/2006-07
Master Circular – Para-Banking Activities
July 1, 2006
2607
DBOD.No.BC. /06.11.04/2006-07
Master Circular – Use of Hindi in Banks
July 1, 2006
2608
DBOD.No.BL.BC.11/22.01.001/2006
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
July 1, 2006
2609
DBOD.No.BP.BC.13/21.01.002/2006-07
Master Circular – Prudential Norms on Capital Adequacy
July 1, 2006
2610
DBOD.No.BP.BC.14/21.04.141/2006-07
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 1, 2006
2611
DBOD.No.BP.BC.15/21.04.048/2006-07
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2006
2612
DBOD.No.DIR.(Exp).BC.01/04.02.02/2006-07
Master Circular on Rupee Export Credit
July 1, 2006
2613
DBOD.No.DIR.(Exp).BC.04/08.12.01/2006-07
Master Circular – Housing Finance
July 1, 2006
2614
DBOD.No.FID.FIC.1/01.02.00/2006-07
Master Circular – Resource Raising Norms for Financial Institutions
July 1, 2006
2615
DBOD.No.FID.FIC.2/01.02.00/2006-07
Master Circular – Disclosure Norms for the Financial Institutions
July 1, 2006
2616
DBOD.No.FID.FIC.3/01.02.00/2006-07
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
July 1, 2006
2617
DBOD.No.FID.FIC.4/01.02.00/2006-07
Master Circular – Exposure Norms for the Financial Institutions
July 1, 2006
2618
DNBS.PD.CC.No.73/03.02.04/2006-07
Master Circular – Exemptions from the Provisions of RBI Act, 1934
July 1, 2006
2619
DNBS(PD)CC.No.72/03.02.001/2006-07
Master Circular – ‘Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998’
July 1, 2006
2620
RPCD.RF.BC.95/07.40.06/2005-06
Adherence to National Building Code (NBC) – Specifications Necessary for Lending Institutions
June 26, 2006
2621
DBOD.No.Ret.BC.91/12.01.001/2005-2006
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
June 22, 2006
2622
RPCD.CO.No.RRB.BC.92/03.05.33/2005-06
Adherence to National Building Code (NBC) Specifications Necessary for Lending Institutions
June 22, 2006
2623
DBOD.NO.BP.BC.89/21.04.048/2005-06
Prudential Norms on Creation and Utilisation of Floating Provisions
June 22, 2006
2624
UBD.PCB.Cir.No.58/09.09.01/2005-06
Adherence to National Building Code (NBC) Specifications Necessary for Lending Institutions – UCBs
June 19, 2006
2625
DBOD.No.913/08.139.001/2005-06
Fit and Proper Criteria for Directors of Banks
June 19, 2006
2626
UBD(PCB).Cir.No.57/09.11.600/05-06
Annual Policy Statement for the year 2006-07 – Additional Provisioning Requirement for Standard Assets – UCBs
June 15, 2006
2627
DBOD.PSBD.BC.88/16.13.100/2005-06
Foreign Exchange Dealers – Appointment / posting of
June 14, 2006
2628
RPCD.CO.RRB.No.BL.BC.90/03.05.90-A/2005-06
Annual Policy Statement for the year 2006-07 -Liberalisation and Simplification of the Branch Licensing Policy for Regional Rural Banks (RRBs) and conduct of Foreign Exchange Business by them as Limited Authorised Dealers
June 13, 2006
2629
DBOD.BP.BC.1711/08.12.14/2005-06
Adherence to National Building Code (NBC) Specifications Necessary for Lending Institutions
June 12, 2006
2630
DBOD.BP.BC.87/21.01.002/2005-06
Innovative Tier I / Tier II Bonds – Hedging by Banks through Derivative Structures
June 8, 2006
2631
RPCD.CO.RF.BC.No 87/07.38.01/2005-06
Opening of Savings Bank Accounts in the Name of Certain Bodies / Organisations
June 6, 2006
2632
RPCD.RF.Dir.5516/07.38.01/2005-06
Opening of Savings Bank Accounts in the Name of Certain Bodies / Organisations
June 6, 2006
2633
UBD(PCB)CO.BPD.Cir.No.56/13.01.000/2005-06
Implementation of UN Security Council Resolution 1373
June 2, 2006
2634
UBD.PCB.Cir.No.55/09.11.600/05-06
Annual Policy Statement for the Year 2006-07 – Risk Weight on Exposures to Commercial Real Estate
June 1, 2006
2635
DBOD.No.BP.BC.85/21.04.048/2005-2006
Annual Policy Statement for the Year 2006-07 – Additional Provisioning Requirement for Standard Assets
May 29, 2006
2636
UBD.CO.(PCB)BPD.Cir.No:53/09.14.001/2005-06
Guidelines for Relief Measures by Banks to Poultry Industry – UCBs
May 26, 2006
2637
UBD.(PCB).Cir.No.54/09.39.000/05-06
Annual Policy Statement for the year 2006-07 – Fair Practices Code – Display of Bank Charges – UCBs
May 26, 2006
2638
DBOD.BP.BC.84/21.01.002/2005-06
Annual Policy Statement for the Year 2006-07 – Risk Weight on Exposures to Commercial Real Estate and Venture Capital Funds
May 25, 2006
2639
Mail Box Clarification
Queries from Banks regarding Master Circular on Branch Authorisation
May 22, 2006
2640
RPCD.No.RRB.BC.82/03.05.33/2005-06
Marketing of Mutual Fund Units – RRBs
May 17, 2006
2641
RPCD.BOS./81/13.33.01/2005-06
Annual Policy Statement for the year 2006-07 – Fair Practices Code – Display of Bank Charges
May 16, 2006
2642
UBD.CO.MISC.11532/0.00.000/2005-06
Levy of Service Tax on Urban Co-operative Banks and Credit Societies Ltd
May 10, 2006
2643
Mail Box Clarification
Definition of Consumer Credit
May 8, 2006
2644
Mail Box Clarification
Exposure Norms
May 8, 2006
2645
Mail Box Clarification
Regulating Receipt of Foreign Contributions by Associations / Organisations in India
May 2, 2006
2646
Mail Box Clarification
Annual Statement on Monetary Policy for the year 2006-07 – Capital Adequacy Requirements – New Option for Raising Capital
May 2, 2006
2647
UBD (PCB) BPD Cir No.50/09.69.000/2005-06
Installation of Automated Teller Machines (ATMs) – UCBs
April 28, 2006
2648
UBD.LS.(PCB).No.49/07.01.000/2005-06
Facilities at Extension Counters by Primary (Urban) Co-operative Banks
April 28, 2006
2649
DBOD Dir (Exp).BC.No.83/04.02.01/2005-06
Rupee Export Credit Interest Rates
April 28, 2006
2650
DBOD Dir.(Exp).BC.No.82/04.02.01/2005-06
Interest Rates on Advances
April 28, 2006
2651
RPCD.CO.RF.BC.No.78/07.38.03/2005-06
Collection of Third Party Account Payee Cheques – Prohibition on crediting proceeds to Third Party Accounts
April 27, 2006
2652
RPCD.CO.RF.BC.No.77/07.38.01/2005-06
Interest Rate on Export Credit in Foreign Currency
April 21, 2006
2653
RPCD.RF.DIR.77A/07.38.01/2005-06
Interest Rates on Export Credit in Foreign Currency
April 21, 2006
2654
UBD.(PCB).BPD.No.Cir.48/13.01.000/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits – UCBs
April 20, 2006
2655
UBD.No.Dir.2/13.01.000/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 20, 2006
2656
UBD.CO.(PCB)Cir.No.47/09.14.001/2005-06
Guidelines for Relief Measures by Banks to Poultry Industry – UCBs
April 20, 2006
2657
DBOD.No.Leg.BC.81/09.11.013/2005-06
Exemption from Applicability of Section 20 of the Banking Regulation Act, 1949 – Issue of Credit Cards to Directors of Banks
April 20, 2006
2658
RPCD.CO.RF.BC.No.75/07.38.01/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 19, 2006
2659
RPCD.No.RRB.BC.76/03.05.33(C)/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 19, 2006
2660
RPCD.No.RRB.DIR.742/03.05.33(C)/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 19, 2006
2661
RPCD.RF.Dir.75A/07.38.01/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
April 19, 2006
2662
UBD.(PCB).BPD.Cir.No.46/13.05.000/2005-06
Bills Discounted under LC – Risk Weight and Exposure Norms – UCBs
April 19, 2006
2663
DBOD.DIR (Exp).BC.No.77/04.02.01/2005-06
Interest Rates on Export Credit in Foreign Currency
April 18, 2006
2664
DBOD.DIR.(Exp).No.78/04.02.01/2005-06
Interest Rates on Export Credit in Foreign Currency
April 18, 2006
2665
UBD.BPD(PCB)Cir.No.44/09.18.100/2005-06
Distribution of Units of Mutual Funds – UCBs
April 13, 2006
2666
DNBS(PD).CC 68/03.10.042/2005-06
‘Prevention of Money Laundering Act, 2002 – Obligations of NBFCs in terms of Rules notified thereunder’
April 5, 2006
2667
UBD.(PCB)CO.BPD.Cir.No.42/13.01.000/2005-06
Interest Rates on Non-Resident Deposits – UCBs
April 5, 2006
2668
RPCD.RRB.BC.No.71/03.05.34/2005-06
Valuation of Investment in SLR / Approved Securities by Regional Rural Banks (RRBs)
March 31, 2006
2669
Notification No.DNBS.186/CGM (PK)-2006
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
March 31, 2006
2670
RPCD.CO.RF.BC.72/07.38.01/2005-06
Interest Rate on FCNR(B) Deposits
March 31, 2006
2671
RPCD.RF. Dir 3376/07.38.01/2005-06
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 31, 2006
2672
DBOD.No.Dir.BC.74/13.03.00/2005-06
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 29, 2006
2673
DBOD.BP.BC.73/21.03.054/2005-06
Bills Discounted under LC – Risk Weight and Exposure Norms
March 24, 2006
2674
DBOD.Ret.No.8232/12.01.001/2005-06
Investment in Certificate of Deposit (CDs)
March 23, 2006
2675
DBOD.No.BL.BC.72/22.01.009/2005-2006
Financial Inclusion by Extension of Banking Services – Use of Business Facilitators and Correspondents
March 22, 2006
2676
RPCD.CO.RF.BC.No.69/07.02.03/2005-06
Investment Portfolio of State and District Central Co-operative Banks (StCBs / DCCBs) – Irregularities observed by NABARD
March 21, 2006
2677
UBD.CO.BPD.CIR.37/09.16.100/2005-06
Reporting Requirements Under Prevention of Money Laundering Act, 2002 – Particulars of Principal Officer to be Communicated to FIU-IND
March 17, 2006
2678
DBOD.BP.BC.69/21.04.012/2005-06
Relaxation to Trade and Industry in the State of Jammu and Kashmir
March 16, 2006
2679
DBOD No.Dir.BC.68/13.01.01/2005-06
Contribution to Prime Minister’s National Relief Fund (PMNRF)
March 9, 2006
2680
UBD.BPD.Cir.No.36/09.09.001/05-06
Debt Restructuring Mechanism for Small and Medium Enterprises (SMEs) – Announcement made by the Union Finance Minister
March 9, 2006
2681
UBD.BPD.Cir.35/09.73.000/2005-06
Provision of Note Counting Machines on the Counters – UCBs
March 9, 2006
2682
DBOD.BP.BC.65/08.12.01/2005-06
Banks’ Exposure to Real Estate Sector
March 1, 2006
2683
UBD(PCB).Cir.No.31/16.26.00/2005-06
Banking Regulation Act 1949 (AACS) – Investments in Government and Other Approved Securities by UCBs – Exemption under Section 24A
February 17, 2006
2684
Mail Box Clarification
Investment in Mutual Fund Schemes, where the Entire Corpus is Invested in Debt Securities
February 10, 2006
2685
DBOD.Dir.(Exp)BC.No.61/04.02.02(WG)/2005-06
Recommendations of the Working Group to Review Export Credit
February 7, 2006
2686
UBD.PCB.Cir.No.29/13.05.000/2005-06
Maximum Limit on Advances – Limits on Credit exposure to Individuals / Group of borrowers – UCBs
January 30, 2006
2687
DBOD.BP.BC.No.59/21.04.018/2005-06
Master Circular – Disclosure in Balance Sheets
January 30, 2006
2688
UBD.BPD.Cir.No.30/4.01.062/2005-06
Collection account payee cheques – Prohibition on crediting proceeds to third party accounts
January 30, 2006
2689
UBD.BPD.PCB.Cir.No.28/12.05.001/2005-06
Amortization of Expenses Incurred on Software – UCBs
January 24, 2006
2690
Mail Box Clarification
Shifting of Branches in the same Ward or Locality – Amendment / Cancellation of Licence
January 23, 2006
2691
DBOD.No.BL.BC.55/22.01.001/2005-2006
Section 23 of the Banking Regulation Act, 1949 – Branch Authorisation Policy
January 23, 2006
2692
DBOD.No.Dir.BC.54/13.03.00/2005-06
Banking Cash Transaction Tax – Filing of Monthly Returns
January 20, 2006
2693
UBD.CO.BPD.CIR.27/09.16.100/2005-06
Reporting Requirements Under Prevention of Money Laundering Act, 2002 – Request for information on the Leader Group of Companies
January 18, 2006
2694
RPCD.CO.No.RRB.BC.61/03.05.33(F)/2005-06
Financial Inclusion – Trilingual Forms / Brochures / Pamphlets
December 30, 2005
2695
RPCD.RF.BC.60/07.38.01/2005-06
Financial Inclusion – Trilingual Forms / Brochures / Pamphlets
December 30, 2005
2696
UBD.BPD.(PCB).MC.No.13/16.20.00/2005-06
Master Circular on Investments by Primary (Urban) Co-operative Banks
December 29, 2005
2697
DBOD.No.BP.BC.53/21.04.157/2005-06
Rupee Interest Rate Derivatives (including Rupee-Foreign Currency Derivatives) – Setting of Limits for Non-Option Derivative Contracts
December 28, 2005
2698
DBOD.No.Leg.BC.52/09.07.005/2005-06
Financial Inclusion – Trilingual Forms / Brochures / Pamphlets
December 28, 2005
2699
Notification No.DNBS.185/CGM(PK)-2005
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
December 27, 2005
2700
RPCD.PLNFS.BC.No.56/06.02.31/2005-06
One-Time Settlement Scheme for Small Borrowal Accounts and Eligibilty for Fresh Loans
December 27, 2005
2701
DBOD.No.Dir.BC.51/13.07.05/2005-06
Guidelines for Bank Finance to Employees / Employee Trusts for Purchasing Banks’ Own Shares
December 27, 2005
2702
RPCD.CO.No.RRB.BC.57/03.05.33(F)/2005-06
Special Package for Regional Rural Banks (RRBs)
December 27, 2005
2703
RPCD.CO.No.RRB.BC.58/03.05.33 (F)/2005-06
Financial Inclusion – Zero Balance Accounts in RRBs
December 27, 2005
2704
UBD.PCB.6657/16.26.000/05-06
Notification
December 26, 2005
2705
DBOD.No.Dir.BC.50/13.01.01/2005-06
Donations by Banks
December 21, 2005
2706
RPCD.RF.BC.55/07.37.02/2005-06
Mid-Term Review of Annual Policy Statement for the year 2005-06 – Additional Provisioning Requirement for Standard Assets-SCBs / DCCBs
December 20, 2005
2707
RPCD.RF.BC.54/07.38.01/2005-06
Financial Inclusion
December 13, 2005
2708
Notification No.DNBS.182/CGM.(PK)-2005
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
December 9, 2005
2709
Notification No.DNBS.183/CGM.(PK)-2005
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
December 9, 2005
2710
Notification No.DNBS.184/CGM(PK)-2005
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
December 9, 2005
2711
Mail Box Clarification
Prudential Norms – Restructuring / Rescheduling of Loans
December 7, 2005
2712
DBOD.No.FID.FIC.6/01.02.00/2005-06
Mid-Term Review of Annual Policy Statement for the Year 2005-06 : Additional Provisioning Requirement for Standard Assets (for FIs)
December 6, 2005
2713
UBD.No.DIR.2/13.05.000/05-06
Maximum Limit on Advances – Limits on Unsecured Advances to Single Party / Connected Group
December 5, 2005
2714
UBD.PCB.Cir.No.22/13.05.000/05-06
Maximum Limit on Advances – Limits on Unsecured Advances to Single Party / Connected Group
December 5, 2005
2715
UBD.BPD.Cir.No.19/13.01.000//2005-06
Financial Inclusion – UCBs
November 24, 2005
2716
UBD.PCB.Cir.No.20/09.11.600/2005-06
Mid-Term Review of Annual Policy Statement for the year 2005-06 : Additional Provisioning Requirement for Standard Assets-UCBs
November 24, 2005
2717
RPCD.CO.RF.BC.No.48/07.38.01/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 22, 2005
2718
RPCD.No.RRB.BC.49/03.05.33(C)/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 22, 2005
2719
RPCD.No.RRB.DIR.391/03.05.33(C)/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 22, 2005
2720
RPCD.RF.Dir.591/07.38.01/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 22, 2005
2721
UBD.No.Dir.1/13.01.000/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 22, 2005
2722
UBD.PCB.No.Cir.17/13.01.000/2005-06
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 22, 2005
2723
DBOD.No.FID.FIC.5/01.02.00/2005-06
Guidelines on One Time Settlement Scheme for SME Accounts (for FIs)
November 22, 2005
2724
UBD.BPD.PCB.Cir.18/09.16.901/2005-06
Merger / Amalgamation of UCBs – Amortisation of Losses Mid-Term Review of Annual Policy Statement for the year 2005-06
November 22, 2005
2725
DBOD.No.Leg.BC.44/09.07.005/2005-06
Financial Inclusion
November 11, 2005
2726
DBOD.BP.BC.No.46/21.04.132/2005-06
Debt Restructuring Mechanism for Small and Medium Enterprises (SMEs)
November 10, 2005
2727
RPCD.CO.RRB.No.BC.46/03.05.34/2005-06
Mid-Term Review of Annual Policy Statement for the year 2005-06 : Additional Provisioning Requirement for Standard Assets
November 8, 2005
2728
UBD.BPD.(PCB).MC.No.12/09.06.000/2005-06
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
November 8, 2005
2729
DBOD.No.BP.BC.40/21.04.048/2005-06
Mid-Term Review of Annual Policy Statement for the year 2005-06 : Additional Provisioning Requirement for Standard Assets
November 4, 2005
2730
DBOD.BC.No.42/13.07.01/2005-06
Directive – Interest Rates on Advances
November 2, 2005
2731
DBOD.Dir.(Exp).BC.No.41/04.02.01/2005-06
Rupee Export Credit Interest Rates
November 2, 2005
2732
UBD(PCB)/BPD/Cir.15/09.72.000/2005-06
Donations / Contributions for Public / Charitable Purposes out of Profits of UCBs
October 20, 2005
2733
UBD.PCB.CIR.No.14/13.05.000/05-06
Loans and Advances to Directors, Relatives and Firms / Concerns in which they are Interested – UCBs
October 6, 2005
2734
Mail Box Clarification
Banks’ Exposure to Capital Market
October 5, 2005
2735
UBD(PCB).Cir 13/09.09.01/2005-06
Notification No.S.O.420(E) dated March 28, 2005 Regarding Changes in the List of Reserved Items for Exclusive Manufacture in the Small Scale Sector – UCBs
September 29, 2005
2736
RPCD.RRB.CO.No.BC.41/03.05.33/2005-06
Before the Supreme Court of India – I.A.Nos. 9, 20 & 28 – In Transfer Case No. 2 of 2004-P(C) No. 696 of 2002 and I.A.No. 1 in PC 68/2003 – The Securities and Exchange Board of India etc. Vs Golden Forest (I) Ltd. and Others – Appointment of Committee by the Supreme Court
September 28, 2005
2737
RPCD.CO.RF.BC.40/07.02.03/2005-06
Investment Portfolio of Banks – Non-SLR Investments
September 21, 2005
2738
DBOD.BP.BC.No.34/21.04.132/2005-06
Debt Restructuring Mechanism for Small and Medium Enterprises (SMEs) – Announcement made by the Union Finance Minister
September 8, 2005
2739
DBOD.No.BL.BC.35/22.01.001/2005-06
Section 23 of the Banking Regulation Act, 1949 – Liberalised Branch Authorisation Policy
September 8, 2005
2740
DBOD.No.BL.BC.36/22.01.001/2005
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Authorisation
September 8, 2005
2741
DBOD.No.IBD.BC.33/23.67.001/2005-06
Gold (Metal) Loan
September 5, 2005
2742
DBOD.No.Dir.BC.32/13.03.00/2005-06
Master Circular – Guarantees and Co-acceptances
September 5, 2005
2743
RPCD.PLNFS.BC.No.39/06.02.31/2005-06
Guidelines on One-Time Settlement Scheme for SME Accounts
September 3, 2005
2744
DBOD.No.PSBD.BC.29/16.13.204/2005-06
Submission of Periodical Returns and Statements
August 31, 2005
2745
DBOD.No.Leg.BC.30/09.11.013/2005-06
Section 20 of the Banking Regulation Act, 1949 – Line of Credit / Overdraft Facility to Clearing Corporation of India Ltd. (CCIL)
August 31, 2005
2746
DNBS.PD.CC.No.56/02.04/2005-06
Master Circular – Exemptions from the Provisions of RBI Act, 1934
August 24, 2005
2747
UBD.No.BPD.MC.No.11/13.01.00/2005-06
Master Circular – Interest Rates on Rupee Deposits
August 24, 2005
2748
RPCD.RF.AML.BC.NO.32/07.40.00/2005-06
Know Your Customer Guidelines – Anti-Money Laundering Standards
August 23, 2005
2749
UBD.BPD.(PCB).MC.No.10/09.39.00/2005-06
Master Circular on Customer Service
August 18, 2005
2750
DBOD.No.FI.FIC.4/0.02.00/2005-06
Master Circular – Exposure Norms for the Financial Institutions
August 13, 2005
2751
DBOD.No.FID.FIC.1/01.02.00/2005-06
Master Circular – Resource Raising Norms for the Financial Institutions
August 13, 2005
2752
DBOD.No.FID.FIC.2/01.02.00/2005-06
Master Circular – Disclosure Norms for the Financial Institutions
August 13, 2005
2753
DBOD.No.FID.FIC.3/01.02.00/2005-06
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
August 13, 2005
2754
DBOD.AML.BC.No.27/14.01.055/2005-06
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of Banks
August 11, 2005
2755
UBD.BPD (PCB).MC.No.3/13.05.00/2005-06
Master Circular Exposure Norms and Statutory / Other Restrictions
August 11, 2005
2756
UBD.BPD (PCB).MC.No.6/10.01.00/2005-06
Master Circular – Scheme for Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Small / Tiny Cottage Industrial Units
August 11, 2005
2757
UBD.BPD.(PCB) MC.No.5/13.05.00/2005-06
Master Circular – Management of Advances
August 11, 2005
2758
UBD.BPD.(PCB).MC.No.2/09.22.01/2005-06
Master Circular Finance for Housing Schemes
August 11, 2005
2759
UBD.BPD(PCB).MC.No.4/09.27.00/2005-06
Master Circular – Guarantees, Co-Acceptances & Letters of Credit
August 11, 2005
2760
UBD.BPD(PCB)MC.No.07/09.08.00/2005-06
Master Circular – Board of Directors
August 11, 2005
2761
UBD.BPD(PCB)MC.No.8/09.09.01/2004-05
Master Circular on Priority Sector Lending
August 11, 2005
2762
UBD.BPD(PCB)MC.No.8/09.09.01/2005-06
Master Circular on Priority Sector Lending
August 11, 2005
2763
UBD.BPD(PCB)MC.No.9/13.01.00/2005-06
Master Circular – Maintenance of Deposit Accounts
August 11, 2005
2764
UBD.PCB.Cir.No.8/09.116.00/05-06
Prudential Norms on Capital Adequacy – Risk Weight on Housing Finance Commercial Real Estate Exposures – UCBs
August 9, 2005
2765
UBD.PCB.Cir.No.9/13.05.00/05-06
Risk Weight for Capital Market Exposure – UCBs
August 9, 2005
2766
DBOD.No.BC.26/06.11.04/2005-06
Master Circular – Use of Hindi in Banks
August 9, 2005
2767
RPCD.CO.RF.BC.26/07.02.03/2005-06
Investment Portfolio of Banks – Non-SLR Investments
August 4, 2005
2768
DBOD.No.BL.BC.24/22.01.001/2005-06
Section 23 of the Banking Regulation Act, 1949 – Branch Expansion Strategy of Banks
August 3, 2005
2769
DBOD.No.Dir.BC.25/13.03.00/2005-06
Master Circular – Exposure Norms
August 3, 2005
2770
DBOD.No.AML.BC.23/14.01.064/2005-06
Facilitating Opening of Bank Accounts for Flood Affected Persons
August 2, 2005
2771
Mail Box Clarification
Calculation of Depreciation on Shifting of Securities
July 29, 2005
2772
DBOD.BP.BC.20/21.01.002/2005-06
Prudential Norms on Capital Adequacy – Risk Weight on Commercial Real Estate Exposures
July 26, 2005
2773
DBOD.No.BP.BC.21/21.01.002/2005-06
Risk Weight for Capital Market Exposure
July 26, 2005
2774
DBOD.No.PSBD.BC.19/16.13.100/2005-06
Calendar of Reviews – Matters to be Placed Before Board of Directors, Management Committee and Audit Committee
July 22, 2005
2775
DBOD.No.Comp.BC.14/07.03.29/2005-06
Internet Banking in India – Guidelines@
July 20, 2005
2776
RPCD.CO.RRB.BC.22/03.05.33/2005-06
Settlement of Claims in respect of Deceased Depositors – Simplification of Procedure
July 19, 2005
2777
DBOD.No.Ret.BC.18/12.01.001/2005-06
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
July 19, 2005
2778
RPCD.RRB.No.BL.BC.19/03.05.90-A/2005-06
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
July 15, 2005
2779
RPCD.RRB.BC.No.20/03.05.34/2005-06
Valuation of Investment in SLR / Approved Securities by Regional Rural Banks (RRBs)
July 15, 2005
2780
UBD.BPD.Cir.No.4/13.01.00/2005-06
Settlement of Claims in respect of Deceased Depositors – Simplification of Procedure – UCBs
July 14, 2005
2781
DBOD.BP.No.17/08.12.01/2005-2006
Master Circular – Bank Finance to Non-Banking Financial Companies (NBFCs)
July 14, 2005
2782
UBD.DS.Cir.No.3/13.05.00/2005-06
Maximum Limit on Advances – Limits on Credit Exposure to Individuals / Group of Borrowers – UCBs
July 13, 2005
2783
RPCD.CO.RF.BC.14/07.02.03/2005-06
Investment Portfolio of State and District Central Co-operative Banks (SCBs / DCCBs) – Classification and Valuation of Investments
July 13, 2005
2784
RPCD.CO.RF.BC.15/07.02.03/2005-06
Government Securities Transactions – T+1 Settlement
July 13, 2005
2785
RPCD.CO.RF.BC.16/07.02.03/2005-06
Sale of Securities Allotted in Primary Issues
July 13, 2005
2786
RPCD.CO.RF.BC.No.12/07.38.01/2005-06
Settlement of Claims in respect of Deceased Depositors – Simplification of Procedure
July 12, 2005
2787
DBOD.No.BP.BC.15/21.04.141/2005-06
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 12, 2005
2788
RPCD.CO.RF.No.BC.9/07.06.00/2005-06
Section 23 of Banking Regulation Act, 1949 – Branch Banking Statistics – Submission of Quarterly Returns – Revision of Proformae I and II
July 6, 2005
2789
RPCD.CO.RRB.BL.BC.10/03.05.90A/2005-06
Section 23 of Banking Regulation Act, 1949- Branch Banking Statistics-Submission of Quarterly Returns- Revision of Proformae-I & II
July 6, 2005
2790
Mail Box Clarification
Lending through Collateralised Borrowing and Lending Obligation (CBLO) of CCIL – Reporting in Form A Returns
July 5, 2005
2791
UBD.(PCB).Cir.No.1/09.140.00/05-06
Income Recognition and Asset Classification Norms – UCBs
July 4, 2005
2792
DBOD.No.BP.BC.13/21.01.002/2005-06
Master Circular – Prudential Norms on Capital Adequacy
July 4, 2005
2793
DBOD.DIR.(Exp).No.01/04.02.02/2005-06
Master Circular on Rupee Export Credit
July 1, 2005
2794
DBOD.DIR.(Exp).No.02/04.02.02/2005-06
Master Circular on Export Credit in Foreign Currency
July 1, 2005
2795
DBOD.Dir.(Hsg).No.04/08.12.01/2005-06
Master Circular – Housing Finance
July 1, 2005
2796
DBOD.Dir.5/13.07.00/2005-05
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 1, 2005
2797
DBOD.Dir.BC.7/13.03.00/2005-06
Master Circular – Interest Rates on Advances
July 1, 2005
2798
DBOD.FSD.No.10/24.01.001/2005-06
Master Circular – Para-Banking Activities
July 1, 2005
2799
DBOD.No.BP.BC.11/21.04.048/2005-06
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 1, 2005
2800
DBOD.No.Dir. BC.8/13.03.00/2005-06
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2005
2801
DBOD.No.Dir.6/13.03.00/2005-06
Master Circular of Instructions relating to Deposits held in FCNR(B) Accounts
July 1, 2005
2802
DBOD.No.Dir.BC.8/13.03.00/2005-06
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 1, 2005
2803
DBOD.No.Leg.BC.98/09.11.013/2004-05
Section 20 of the Banking Regulation Act, 1949 – Line of Credit / Overdraft Facility to National Securities Clearing Corporation Ltd. (NSCCL)
June 24, 2005
2804
RPCD.CO.RRB.No.BC.105/03.05.34/2004-05
Strengthening of Prudential Norms – State Government Guaranteed Exposures
June 17, 2005
2805
DBOD.No.BP.BC.96/21.03.038/2004-05
Revised Calendar of Reviews
June 10, 2005
2806
DBOD.No.BC.94/08.94.002/2004-05
Appointment of Whole-Time Officers or Employees as Directors or Part-Time Employees of Companies
June 9, 2005
2807
DBOD.No.Leg.BC.95/09.07.005/2004-05
Settlement of Claims in respect of Deceased Depositors – Simplification of Procedure
June 9, 2005
2808
DBOD.Dir.No.BC.93/13.07.05/2004-05
Financing of Acquisition of Equity in Overseas Companies
June 7, 2005
2809
DBOD.No.BP.BC.91/21.04.157/2004-05
Interest Rate Derivatives
May 20, 2005
2810
DBOD.No.BL.BC.92/22 06.001/2004-05
Section 23 of Banking Regulation Act, 1949 – Branch Banking Statistics – Submission of Quarterly Returns – Revision of Proformae-I & II
May 20, 2005
2811
Mail Box Clarification
Redesignation of Branches
May 19, 2005
2812
DBOD.Ret.BC.90/12.05.005/2004-2005
Submission of Form A Return – Online Returns Filing System (ORFS)
May 16, 2005
2813
RPCD.CO.RRB.BC.No.99/03.05.33(G)/2004-05
Entry of Regional Rural Banks into Insurance Business
May 12, 2005
2814
Mail Box Clarification
Prudential Guidelines on Unsecured Exposure
May 11, 2005
2815
DBOD.No.PSBS.BC.89/16.13.100/2004-05
Guidelines for Merger / Amalgamation of Private Sector Banks
May 11, 2005
2816
RPCD.CO.NB.BC.No.98/03.03.116/2004-05
Entry of State Cooperative Banks (SCBs) / District Central Cooperative Banks (DCCBs) into Insurance Business
May 6, 2005
2817
DBOD.No.BP.BC.88/21.02.067/2004-05
Declaration of Dividends by Banks
May 4, 2005
2818
DBOD.BP.BC.87/21.04.012/2004-05
Relaxation to Trade and Industry in the State of Jammu and Kashmir
May 2, 2005
2819
DBOD.No.BP.BC.85/21.04.141/2004-05
Capital Adequacy – Investment Fluctuation Reserve
April 30, 2005
2820
DBOD.No.BL.BC.86/22.01.001/2004-05
Section 23 of the Banking Regulation Act, 1949 – Door-step banking
April 30, 2005
2821
DBOD.Dir(Exp).No.83/04.02.01/2004-05
Rupee Export Credit Interest Rates
April 29, 2005
2822
DBOD.No.BL.BC.82/22.01.001/2004-05
Section 23 of Banking Regulation Act, 1949 – Shifting of Branches / Offices – Procedural Rationalisation
April 27, 2005
2823
DBOD.No.FID.FIC-1/01.02.00/2004-05
Disclosures on Risk Exposures in Derivatives – DBOD, FID, FIC-1
April 26, 2005
2824
Mail Box Clarification
Priority Sector Lending – Classification of Advances granted to National Agriculture Co-operative Marketing Federation (NAFED)
April 20, 2005
2825
UBD(PCB).CIR.No.45/13.05.00/04-05
Loans and Advances to Directors etc. – Directors as Surety / Guarantors – Clarification – UCBs
April 19, 2005
2826
DBOD.No.Leg.BC.78/09.07.005/2004-05
Committee on Procedures and Performance Audit of Public Services (CPPAPS) – Standing Committee on Customer Service
April 16, 2005
2827
UBD.No.DS.PCB.DIR.2/13.05.00/2004-05
Directive : Maximum Limit on Advances
April 15, 2005
2828
UBD.DS.Cir.No.44/13.05.00/2004-05
Maximum Limit on Advances – Limits on Credit Exposure to Individuals / Group of Borrowers – UCBs
April 15, 2005
2829
UBD(PCB)./BPD/Cir.43/09.72.00/2004-05
Donations / Contributions for Public / Charitable Purposes Out of Profits of UCBs
April 11, 2005
2830
Mail Box Clarification
Investments in Credit Information Companies
April 4, 2005
2831
Mail Box Clarification
Payment of Incentive to Staff Member for Loan Recovery
March 30, 2005
2832
UBD(PCB).Cir.42/09.140.00/2004-05
Prudential Norms in respect of Income Recognition, Assets Classification, Provisioning and Other Related Matters – Procedure for Accounting of Accrued Interest – UCBs
March 30, 2005
2833
Mail Box Clarification
Market Benchmarks for Floating Rate Loan Products
March 23, 2005
2834
Mail Box Clarification
Applicability of Amended Clause 49 of the Listing Agreement to Listed Scheduled Commercial Banks
March 16, 2005
2835
DBOD.AML.BC.No.74/14.01.055/2004-05
Master Circular – Foreign Contribution (Regulation) Act, 1976 – Obligations of Banks
March 5, 2005
2836
DBOD.Dir.(Exp).No.73/04.02.02/Gold Card/2004-05
Gold Card Scheme for Exporters
March 4, 2005
2837
RPCD.RF.BC.No.82/07.37.02/2004-05
Annual Policy Statement for the Year 2004-05 : Additional Provisioning Requirement for NPAs
March 1, 2005
2838
DBOD.No.BP.BC.71/21.01.01/2004-05
Roadmap for Presence of Foreign Banks in India and Ownership and Governance in Private Sector Banks
February 28, 2005
2839
UBD.BPD.(PCB).No.38/09.105.01/2004-05
Issue of Master Circulars on Important Topics
February 26, 2005
2840
Mail Box Clarification
Change in the Status of IDBI
February 24, 2005
2841
Mail Box Clarification
Prudential Norms – State Government Guaranteed Exposures
February 23, 2005
2842
UBD.BPD(PCB).MC.No.16/16.20.00/2004-05
Master Circular on Investments by Primary (Urban) Co-operative Banks
February 18, 2005
2843
RPCD.CO.NB.BC.No.78/03.03.116/2004-05
Entry of State Cooperative Banks (SCBs) / District Central Co-operative Banks into Insurance Business
February 17, 2005
2844
Mail Box Clarification
Payment of Commission to Staff Members and Officers for Recovery of Loans
February 10, 2005
2845
DBOD.No.Dir.BC.69/13.07.05/2004-05
Advances against Units of Debt-Oriented Mutual Funds
January 31, 2005
2846
UBD.No.BPD.PCB.Dir.35/09.112.00/2004-05
Entry of UCBs into Insurance Business
January 24, 2005
2847
RPCD.CO.RF.BC.74/07.37.02/2004-05
Income Recognition, Asset Classification, Provisioning and Other Related Matters – State Government Guaranteed Advances
January 20, 2005
2848
Mail Box Clarification
Cross Holdings – Equity held under provisions of a Statute
January 17, 2005
2849
UBD(PCB).Cir.34/16.51.00/2004-05
Names as Appearing in the Certificate of Registration and the Licence – Use of – Primary (Urban) Co-operative Banks (UCBs)
January 10, 2005
2850
RPCD.No.RF.BC.69/07.38.01/2004-05
Receipt of Foreign Contributions by Associations / Organizations in India under Foreign Contribution (Regulation) Act, 1976
January 7, 2005
2851
RPCD.No.RRB.BC.70/03.05.33(C)/2004-05
Receipt of Foreign Contributions by Associations / Organizations in India Under Foreign Contribution (Regulation) Act, 1976
January 7, 2005
2852
UBD.PCB.Cir.No.32/12.05.00/2004-05
Receipt of Foreign Contributions by Associations / Organizations in India under Foreign Contribution (Regulation) Act, 1976
January 5, 2005
2853
UBD.PCB.Cir.33/09.116.00/2004-05
Risk Weight on Housing Finance and Consumer Credit – UCBs
January 5, 2005
2854
DBOD.No.BP.BC.67/14.01.055/2004-05
Receipt of Foreign Contributions by Associations / Organizations in India Under Foreign Contribution (Regulation) Act, 1976
January 4, 2005
2855
DBOD.IECS.No.66/04.02.02/2004-05
Foreign Currency Loans to Exporters – Periodicity of Charging Interest
December 31, 2004
2856
DBOD.No.Dir.BC.65/13.01.01/2004-05
Contribution to Prime Minister’s National Relief Fund (PMNRF)
December 29, 2004
2857
DBOD.No.Dir.BC.64/13.07.05/2004-05
Bank Financing of Equities and Investments in Shares
December 27, 2004
2858
DBOD.No.Dir.BC.63/13.07.05/2004-05
Bank Finance to Assist Employees to Buy Shares of their Own Companies
December 24, 2004
2859
DBOD.BP.BC.61/21.01.002/2004-05
Mid-Term Review of the Annual Policy Statement for the year 2004-05 Risk Weight on Housing Loans and Consumer Credit
December 23, 2004
2860
Mail Box Clarification
Exposure assumed against the Security of Bank’s Own Term Deposits
December 23, 2004
2861
Mail Box Clarification
New Options for Raising Capital – Raising of Upper Tier 2 Instruments
December 18, 2004
2862
UBD.No.PCB.Cir.31/13.01.00/2004-05
Reporting of Call / Notice Money Market Transactions
December 17, 2004
2863
DBOD.No.BC.60/08.139.001/2004-2005
‘Fit and Proper’ Criteria for Directors of Banks
December 16, 2004
2864
UBD.BPD.(PCB).Cir.29/09.09.01/04-05
Priority Sector Lending – Housing Loan – Enhancement of Ceiling for UCBs
December 14, 2004
2865
Mail Box Clarification
Financing of Infrastructure Projects
December 7, 2004
2866
DBOD.No.Ret.BC.59/12.01.001/2004-05
Bank’s Lending to Primary Dealers – Netting Concept for Reserve Requirements
December 3, 2004
2867
UBD.BSD.IP.MC.No.15/12.05.05/2004-05
Master Circular – Prudential Norms on Income Recognition, Asset Classification, Provisioning & Other Related Matters
December 2, 2004
2868
DBOD.IECS.BC.No.57/08.12.01(N)/2004-05
Mid-Term Review of the Annual Policy Statement for the year 2004-05 – Bank Finance to NBFCs
November 19, 2004
2869
RPCD.CO.NB.BC.No.59/03.03.116/2004-05
Entry of State Co-operative Banks (SCBs) / District Central Co-operative Banks (DCCBs) into Insurance Business
November 18, 2004
2870
Mail Box Clarification
Investment in Unrated Mutual Fund Schemes
November 1, 2004
2871
RPCD.RRB.CO.No.BC.52/03.05.33/2004-05
Before the Supreme Court of India – I.A.Nos. 9, 20 & 28 – In Transfer Case No. 2 of 2004-P(C) No. 696 of 2002 and I.A.No. 1 in TC 68/2003 – The Securities and Exchange Board of India etc. Vs Golden Forest (I) Ltd. and Others – Appointment of Committee by the Supreme Court – Regarding
November 1, 2004
2872
DBOD.No.Dir.BC.50/13.03.00/2004-05
Foreign Currency Non-Resident (Banks) Accounts
November 1, 2004
2873
RPCD.CO.RF.BC.53/07.38.01/2004-05
Interest Rates on Non-Resident (External) Rupee (NRE) Deposits
November 1, 2004
2874
RPCD.No.RRB.BC.56/03.05.33(C)/2004-05
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 1, 2004
2875
RPCD.No.RRB.DIR.246/03.05.33(C)/2004-05
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 1, 2004
2876
RPCD.RF.DIR.277/07.38.01/2004-05
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 1, 2004
2877
RPCD.RF.DIR.278/07.38.01/2004-05
Foreign Currency Non-Resident (Banks) FCNR(B) Accounts
November 1, 2004
2878
UBD.PCB.Cir.27/13.01.00/2004-05
Interest Rate on Non-Resident (External) Rupee (NRE) Deposits
November 1, 2004
2879
DBS.FID.No.C-8/01.02.00/2004-05
Mid-Term Review of Annual Policy for the Year 2004-05 – Prudential Norms for Classification of Doubtful Assets for FIs
November 1, 2004
2880
DBOD.No.Leg.BC.55/09.07.005/2004-05
Committee on Procedures and Performance Audit on Public Services (CPPAPS) – Formulating Policy for (i) Immediate Credit of Local/Outstation Cheques (ii) Time Frame for Collection of Local/Outstation Cheques and (iii) Interest Payment for Delayed Collection
November 1, 2004
2881
UBD.PCB.Cir.26/09.140.00/2004-05
Prudential Norms-State Government Guaranteed Exposures
November 1, 2004
2882
RPCD.RF.BC.No.50/07.02.12/2004-05
Before the Supreme Court of India – I.A.Nos. 9, 20 & 28 – In Transfer Case No. 2 of 2004-P(C) No. 696 of 2002 and I.A.No. 1 in PC 68/2003 – The Securities and Exchange Board of India etc. Vs Golden Forest (I) Ltd. and Others – Appointment of Committee by the Supreme Court – Regarding
October 27, 2004
2883
RPCD.CO.RRB.BC.No.51/03.05.33(G)/2004-05
Entry of Regional Rural Banks into Insurance Business
October 27, 2004
2884
UBD.No.BPD.IP.24/12.05.01/2004-05
Systems and Procedures – Best Practices
October 20, 2004
2885
DBOD.No.Dir.BC.48/13.20.02/2004-05
Before the Supreme Court of India – I.A.Nos. 9, 20 & 28 – In Transfer Case No. 2 of 2004-P(C) No. 696 of 2002 and I.A.No. 1 in PC 68/2003 – The Securities and Exchange Board of India etc. Vs Golden Forest (I) Ltd. and Others – Appointment of Committee by the Supreme Court – Regarding
October 18, 2004
2886
Mail Box Clarification
Issues and Clarifications with regard to Applicability of Section 20 of Banking Regulation Act, 1949
October 18, 2004
2887
DBOD.No.BP.BC/46/21.03.038/2004-05
Agenda Papers relating to Board Meetings of Nationalised Banks
October 14, 2004
2888
Notification No.DNBS.179/CGM (OPA)- 2004
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
October 5, 2004
2889
Notification No.DNBS.180/CGM (OPA)-2004
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
October 5, 2004
2890
Notification No.DNBS.181/CGM (OPA)-2004
Notification
October 5, 2004
2891
DBOD.No.Ret.BC/45/12.05.007/2004-05
Section 42(2) of the Reserve Bank of India Act, 1934 – Collection of Data from Scheduled Commercial Banks in Annexure A to Form A Return
October 4, 2004
2892
Mail Box Clarification
Branch Licensing – Issue of License for Cheque Processing Centre (Section 23 of B. R. Act – 1949)
October 1, 2004
2893
DBS.FID No.C-7/01.02.00/2004-05
Master Circular – Resource Raising Norms for the Financial Institutions
September 30, 2004
2894
UBD.PCB.Cir.21/12.05.05/2004-05
Annual Policy Statement for the Year 2004-05 : Additional Provisioning Requirements for NPAs
September 27, 2004
2895
UBD.PCB.Cir.22/12.05.05/2004-05
Income Recognition, Asset Classification, Provisioning and Other Related Matters
September 27, 2004
2896
DBOD.No.IECS.BC.44/08.12.01/2004-2005
Opening of Current Accounts by Banks – Need for Discipline
September 23, 2004
2897
UBD.BPD.(PCB).MC.No.13/09.06.00/2004-05
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
September 23, 2004
2898
UBD.BPD(PCB).Cir.No.12/09.27.00/2004-05
Master Circular Guarantees, Co-Acceptances & Letters of Credit
September 21, 2004
2899
UBD.No.BPD.MC.No.11/13.01.00/2003-04
Master Circular – Interest Rates on Rupee Deposits
September 17, 2004
2900
UBD.No.BP/1/16.11.00/04-05
NOTIFICATION
September 13, 2004
2901
UBD.PCB.Cir.19/16.11.00/2004-05
Section 42(1) of Reserve Bank of India Act 1934 – Maintenance of Cash Reserve Ratio (CRR) by Scheduled Primary (Urban) Co-operative Banks
September 13, 2004
2902
DBOD.No.Ret.BC.40/12.01.001/2004-05
Notification on CRR
September 11, 2004
2903
DBOD.No.Ret.BC.41/12.01.001/2004-05
Section 42 (1) of the Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
September 11, 2004
2904
RPCD.No.172/07.02.05/2004-05
NOTIFICATION
September 11, 2004
2905
RPCD.RF.BC.No.32/07.02.05/2004-05
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio(CRR)
September 11, 2004
2906
DBOD.BL.BC.39/22.01.001/2004-05
Section 23 of the Banking Regulation Act, 1949 – Opening of Central Processing Centres/Back Offices etc.
September 10, 2004
2907
DBOD.No.BC.38/12.01.001/2004-2005
Maintenance of CRR/SLR – Computation of DTL/NDTL
September 9, 2004
2908
UBD.PCB.Cir 17/13.04.00/2004-05
Income Recognition, Asset Classification and Provisioning – Adoption of 90 – days Norm
September 4, 2004
2909
UBD.BPD(PCB).MC.No.10/10.01.00/2004-2005
Master Circular – Scheme for Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Small/Tiny Cottage Industrial Units
September 3, 2004
2910
UBD.No.BPD.15/12.05.01/2004-05
Frauds in the Area of Housing Finance
September 1, 2004
2911
DBOD.IECS No.35/04.02.02/2004-05
Master Circular on Export Credit in Foreign Currency
September 1, 2004
2912
UBD.BL (PCB) MC.No.9/07.01.00/2004-05
Master Circular on Area of Operation, Branch Licensing Policy, Opening/Upgradation of Extension Counters, ATMs and Shifting/Splitting/Closure of Offices
September 1, 2004
2913
DBS.FID.No.C-6/01.02.00/2004-05
Holding of Instruments in Dematerialised Form
August 30, 2004
2914
DBOD.BP.BC.34/21.04.048/2004-05
Repayment Schedule of Rural Housing Loans
August 26, 2004
2915
UBD.BR(PCB).MC.No.8/16.26.00/2003-04
Master Circular – Maintenance of Statutory Reserves Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
August 26, 2004
2916
UBD.PCB.Cir.No.14/09.11.01/2004-05
Opening of Current Accounts by Banks – Need for Discipline
August 24, 2004
2917
DBOD.No.Ret.BC.33/12.01.001/2004-05
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
August 24, 2004
2918
UBD No.SUB.CIR.1/16.26.00/2004-05
Capital Investment Subsidy Scheme for Construction/Renovation/Expansion of Rural Godowns
August 18, 2004
2919
UBD.PCB.Cir.13/09.107.00/04-05
Before the Supreme Court of India-Interlocutory Application Nos. 9,20 & 28 – In transfer case No.2 of 2004-P(C) No.696/2002 and I. A. No.1 in TC 68/2003 – The Securities and Exchange Board of India etc vs The Golden Forest (I) Ltd. etc.
August 18, 2004
2920
RPCD.RRB.CO.No.Dir.BC.16/03.05.33/2004-05
Before the Supreme Court of India – Interlocutory Application Nos. 9, 20 & 28 – In Transfer Case No.2 of 2004 – P (C)No.696/ 2002 and I.A.No.1 in T.C. 68/2003 – The Securities and Exchange Board of India etc. Vs. The Golden Forest (I) Ltd. etc.
August 17, 2004
2921
RPCD.RRB.CO.No.Dir.BC.17/07.02.12/2004-05
Before the Supreme Court of India – Interlocutory Application Nos. 9, 20 & 28 – In Transfer Case No.2 of 2004 – P (C)No.696/ 2002 and I.A.No.1 in T.C. 68/2003 – The Securities and Exchange Board of India etc. Vs. The Golden Forest (I) Ltd. etc.
August 17, 2004
2922
RPCD.CO.RF.BC.No.19/07.02.03/2004-05
Investment of Surplus Funds by State/Central Co-operative Banks – All India Financial Institutions
August 17, 2004
2923
D.O.DBOD.No.Leg.96/09.07.007/2004-05
Customer Service Committee of the Board
August 17, 2004
2924
DBOD.No.Dir.BC.31/13.20.02/2004-05
Before the Supreme Court of India – Interlocutory Application Nos. 9, 20 & 28 – In Transfer Case No. 2 of 2004-P(C) No. 696/2002 and I.A.No. 1 in T.C. 68/2003 – The Securities and Exchange Board of India etc. vs. The Golden Forest (I) Ltd. etc.
August 16, 2004
2925
UBD.BPD.(PCB).MC.No.7/09.22.01/2004-05
Master Circular – Finance For Housing Schemes
August 16, 2004
2926
D.O. Letter
Customer Service Committee of the Board
August 14, 2004
2927
DBOD.IECS.No.27/04.02.02/2004-05
Master Circular on Rupee Export Credit
August 12, 2004
2928
DBOD/IECS.No.26/08.12.01/2004-2005
Master Circular – Housing Finance
August 12, 2004
2929
DNBS (PD) C.C. No.43/05.02/2004-05
Prudential Norms Directions – Preparation of Balance Sheet as on March 31 of every year
August 10, 2004
2930
DBOD.IECS.No.24/04.02.02/2004-05
Master Circular on Customer Service, Simplification of Procedures for Delivery of Export Credit and Reporting Requirements
August 10, 2004
2931
DBOD.No.Rajbhasha.BC.25/06.11.04/2004-05
Master Circular – Use of Hindi in Banks
August 10, 2004
2932
UBD(CO)PCB.Cir.No.11/13.05.00/2004-05
Sanction of Temporary Overdraft Facilities (TODs) and Cheque Purchase Facilities
August 9, 2004
2933
DBS.FID.No.C-4/01.02.00/2004-05
Master Circular – Exposure Norms for the Financial Institutions
August 9, 2004
2934
DBS.FID.No.C-5/01.02.00/2004-05
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by FIs
August 9, 2004
2935
UBD.PCB.CIR.10/13.05.00/04-05
Loans and Advances to Directors etc. – Directors as Surety/Guarantors – Clarification
August 7, 2004
2936
RPCD.No.RRB.BC.15/03.05.34/2004-05
Annual Policy Statement for the year 2004-05 : Additional Provisioning Requirement for NPAs
August 6, 2004
2937
DBOD.No.Ret.BC.23/12.01.001/2004-05
Master Circular – Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
August 5, 2004
2938
DBOD.No.Leg.BC.22/09.07.005/2004-2005
Opening of Current Accounts by Banks – Need for Discipline
August 4, 2004
2939
UBD.PCB.Cir.9/13.04.00/2004-05
Income Recognition, Asset Classification and Provisioning – Adoption of 90 days Norm
August 4, 2004
2940
UBD.BPD.(PCB) MC.No.6/09.08.00/2004-05
Master Circular – Board of Directors
August 4, 2004
2941
UBD.BPD(PCB).MC.No.5/13.05.00/2003-04
Master Circular – Management of Advances
August 4, 2004
2942
DBS.FID.No.C-3/01.02.00/2004-2005
Annual Policy Statement for the year 2004-05 : Additional Provisioning Requirement for NPAs
August 3, 2004
2943
DBOD.No.LEG.BC/21/09.06.002/2004-05
Guidelines for Compromise Settlement of Dues of Banks & FIs through Lok Adalats – Enhancing the ceiling from Rs.5 lakh to Rs.20 lakh
August 3, 2004
2944
DBS.FID.No.C-2/01.02.00/2004-05
Master Circular – Disclosure Norms for the Financial Institutions
August 2, 2004
2945
UBD.BPD.(PCB).MC.No.4/09.39.00/2004-05
Master Circular on Customer Service
August 2, 2004
2946
DBOD.Dir.BC.20/13.03.00/2004-05
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 30, 2004
2947
DBOD.IECS.No.19/04.02.02 (Gold Card)/2004-05
Gold Card Scheme for Exporters
July 29, 2004
2948
UBD.PCB.Cir.No.7/09.11.01/2003-04
Opening of Current Accounts by Banks – Need for Discipline
July 29, 2004
2949
UBD.BPD(PCB)MC.No.3/13.01.00/2003-04
Master Circular – Maintenance of Deposit Accounts
July 27, 2004
2950
DNBS (PD)C.C.No.42/02.59/2004-05
Section 45-IA of the RBI Act – Grant of CoR – Requirement of Minimum NOF of Rs. 200 lakhs as an Additional Condition for Allowing NBFCs Registered in Non-Public Deposit taking Category to Accept Public Deposits
July 24, 2004
2951
DBOD.No.Dir.BC.18/13.03.00/2004-05
Master Circular – Guarantees and Co-acceptances
July 23, 2004
2952
DBOD.FSC.No.15/24.01.001/2004-05
Master Circular – Para-Banking Activities
July 22, 2004
2953
DBOD.No.Dir.BC.14/13.03.00/2004-05
Master Circular – Exposure Norms
July 21, 2004
2954
DBOD.IECS.No.13/04.02.02 (Gold Card)/2004-05
Gold Card Scheme for Exporters
July 20, 2004
2955
DBOD.No.BP.BC.12/21.01.002/2004-05
Master Circular – Prudential Norms on Capital Adequacy
July 19, 2004
2956
DBOD No.BP.BC.10/21.04.048/2004-05
Master Circular – Prudential norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 17, 2004
2957
DBOD.No.BP.BC.10/21.04.048/2004-05
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to Advances
July 17, 2004
2958
DBOD.No.BP.BC.11/21.04.141/2004-05
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 17, 2004
2959
DBOD.Dir.BC.9/13.03.00/2004-05
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 16, 2004
2960
UBD.BPD(PCB).MC.No.2/13.05.00/2003-04
Master Circular Credit Exposure Norms and Statutory/Other Restrictions on Loans & Advances
July 15, 2004
2961
DBOD.No.Dir.BC.8/13.03.00/2004-05
Master Circular of Instructions Relating to Deposits held in FCNR(B) Accounts
July 14, 2004
2962
UBD.No.BPD.3/16.05.00/2004-05
Second Schedule to RBI Act, 1934 – Norms for Inclusion
July 13, 2004
2963
RPCD.CO.RF.BC.No.3/07.37.02/2003-04
Prudential Norms on Income Recognition Asset Classification and Provisioning – Agricultural Advances
July 12, 2004
2964
DBOD.Dir.BC.6/13.03.00/2004-05
Master Circular – Interest Rates on Advances
July 8, 2004
2965
DBOD.No.BL.BC.5/22.01.001/2004
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing
July 8, 2004
2966
DBOD.BP.BC.No.3/21.01.002/2004-05
Prudential Norms on Capital Adequacy – Cross holding of Capital among Banks / Financial Institutions
July 6, 2004
2967
DBOD.(IECS) No.4/03.27.25/2004-05
Housing Finance
July 3, 2004
2968
UBD.BPD(PCB)MC.No.1/09.09.01/2004-05
Master Circular on Priority Sector Lending
July 2, 2004
2969
RPCD.RRB.No.BC.1/03.05.34/2004-05
Annual Policy Statement for the year 2004-05 – Prudential Norms for Agricultural Advances
July 1, 2004
2970
DBOD/IECS.No.7/08.12.01/2004-2005
Master Circular – Lending to Non-Banking Financial Companies (NBFCs)
July 1, 2004
2971
DBOD.No.FSC.BC.106/24.01.019/2003-04
Issue of Smart/Debit Cards
June 30, 2004
2972
UBD.PCB.Cir.54/13.04.00/2003-04
In the Supreme Court of India – Transfer Case( Civil) Nos. 92-95 of 2002 – Mardia Chemicals Ltd. vs Union of India & Others – Decision of the Supreme Court dated April 8, 2004 Regarding Validity of Provisions of Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002
June 30, 2004
2973
IECD.No.14/01.01.43/2003-04
Merger of Functions of Industrial and Export Credit Department of Reserve Bank of India with its other Departments
June 30, 2004
2974
UBD.BPD.PCB.Cir.53/13.05.00/2003-04
Annual Policy Statement for the year 2004-05 : Prudential Norms for Agricultural Advances
June 30, 2004
2975
UBD.BPD.PCB.Cir.55/12.05.05/2003-2004
Annual Policy Statement for the year 2004-05 : Additional Provisioning Requirement for NPAs
June 30, 2004
2976
DBOD.No.BC.104/08.139.001/2003-04
‘Fit and Proper’ Criteria for Directors of Banks
June 25, 2004
2977
DBOD.No.BC.105/08.139.001/2003-04
‘Fit and Proper’ Criteria for Directors of Banks
June 25, 2004
2978
DBOD.No.BP.BC.103/21.04.151/2003-04
Guidelines on Capital Charge for Market Risks
June 24, 2004
2979
DBOD.BP.BC.102/21.04.048/2003-04
Annual Policy Statement for the year 2004-05 – Prudential Norms for Agricultural Advances
June 24, 2004
2980
Notification No. DNBS.178/CGM (DSN)-2004
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
June 22, 2004
2981
DBOD.AML.BC.No.101/14.01.001/2003-04
Guidelines on KYC Norms – Existing Accounts
June 21, 2004
2982
DBOD.No.BP.BC.100/21.03.054/2003-04
Annual Policy Statement for the year 2004-05 – Prudential Credit Exposure Limits by Banks
June 21, 2004
2983
DBOD.No.BP.BC.99/21.04.048/2003-2004
Annual Policy Statement for the year 2004-05 : Additional Provisioning Requirement for NPAs
June 21, 2004
2984
DBOD.No.Leg.1276/09.07.007(CPPAPS)/2003-04
Annual Policy Statement – 2004-05 – Committee on Procedures and Performance Audit on Public Services (CPPAPS) – Banking Operations : Deposit Accounts and Other Facilities Relating to Individuals (Non-business)
June 17, 2004
2985
DBOB.No.Leg.BC.93/09.07.005/2003-04
Ad hoc Committees on Procedures and Performance Audit on Customer Services in Banks
June 17, 2004
2986
DBOD.BP.BC.96/21.04.103/2003-04
Annual Policy Statement for the year 2004-05 – Country Risk Management Guidelines
June 17, 2004
2987
DBOD.No.BP.BC.No.97/21.04.141/2003-04
Annual Policy Statement for the year 2004-05 – Prudential Guidelines on Unsecured Exposures
June 17, 2004
2988
DBOD.BP.BC.92/21.04.048/2003-2004
Annual Policy Statement for the year 2004-05 : Guidelines on Infrastructure Financing
June 16, 2004
2989
DBOD.No.BP.BC.No.91/21.01.002/2003-04
Annual Policy Statement for the year 2004-05 – Risk Weight for Exposure to Public Financial Institutions (PFIs)
June 15, 2004
2990
DNBS (PD)CC.No.39/02.01/2003-04
Amendment to Prudential Norms for NBFCs/RNBCs – Widening of the Definition of Infrastructure loan – Risk weight on Investments in Securities issued by Public Financial Institutions
June 15, 2004
2991
Notification No. DNBS.177/CGM(OPA)-2004
Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998
June 15, 2004
2992
UBD.No.BPD.PCB.Cir.52/09.116.00/2003-04
Risk Weight for Exposure to Public Financial Institutions (PFIs)
June 15, 2004
2993
UBD.CO.NBL.06/08.00.00/2003-04
Licencing of New Primary (Urban) Co-operative Banks
June 12, 2004
2994
DBOD No.BP.BC.90/21.01.002/2003-04
Annual Policy Statement for the year 2004-05 – Issue of Long-term Bonds by Banks
June 11, 2004
2995
DBOD.BP.BC.89/21.02.043/2003-04
Amalgamation/Merger of Non-Banking Finance Companies with Banks
June 9, 2004
2996
DBOD.No.Leg.1246/09.07.007 (CPPAPS)/2003-04
Committee on Procedures and Performances Audit on Public Services – Banking Operations : Deposit Accounts and Other Facilities Relating to Individuals (Non-business)
June 9, 2004
2997
RPCD.No.RRB.BC.89/03.05.33(C)/2003-04
Interest Rates on Deposits under Non-Resident External) Rupee Account (NRE Accounts)
June 8, 2004
2998
RPCD.No.RRB.Dir.90/03.05.33(C)/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
June 8, 2004
2999
UBD.No.PCB.49/12.05.03/2003.04
Income Recognition, Asset Classification and Provisioning Norms
June 1, 2004
3000
RPCD.RRB.No.BC.88/03.05.34/2003-04
Review of Non-Public Business Working Day (NPBWD) observed by Rural Branches of Regional Rural Banks (RRBs)
May 25, 2004
3001
UBD.No.BPD.47/12.05.10(WA)/2003-2004
Loan against House Property
May 24, 2004
3002
RPCD.RRB.No.BL.BC.84/03.05.90-A/2003-04
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing – Regional Rural Banks (RRBs)
May 21, 2004
3003
RPCD.RRB.BC.No.83/03.05.34/2003-04
Valuation of Investment in SLR/Approved Securities by RRBs
May 20, 2004
3004
DBOD.No.Dir.BC.86/13.07.05/2003-04
Bank Financing of Equities and Investments in Shares
May 18, 2004
3005
IECD.No.12/04.02.02/Gold Card/2003-04
Gold Card Scheme for Exporters
May 18, 2004
3006
DBOD.No.Leg.BC.84/09.07.005/2003-04
Opening of Current Accounts by Banks – Need for Discipline
May 15, 2004
3007
DBOD.AML.BC.No.83/14.01.001/2003-2004
Customer Information
May 12, 2004
3008
IECD.IRD.No.11/06.33.01/2003-04
Half-yearly Reporting System in respect of SSI Sick and Non-SSI Sick/Weak Industrial Units
April 27, 2004
3009
DBOD.No.BP.BC.80/21.02.067/2003-04
Declaration of Dividends by Banks
April 23, 2004
3010
DBOD.BP.BC.77/21.04.012/2003-04
Relaxation to Trade and Industry in the State of Jammu and Kashmir
April 21, 2004
3011
UBD.No.PCB.Dir.3/13.01.00/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
April 17, 2004
3012
UBD.BPD(PCB)MC.No.10/13.05.00/2003-04
Master Circular – Management of Advances
April 12, 2004
3013
DBOD.No.Leg.BC.74/09.07.005/2003-04
Committee on Procedures and Performance Audit on Public Services – Report No. 3 – Banking Operations : Deposit Accounts and Other Facilities Relating to Individuals (Non-business)
April 10, 2004
3014
UBD.BPD.PCB.CIR.43/13.01.00/2003-04
Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
April 8, 2004
3015
UBD.PCB.Dir.2/13.01.00/2003-04
Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
April 8, 2004
3016
UBD.No.BPD.PCB.Cir.37/13.05.00/2003-2004
Discounting / Rediscounting of Bills by Banks
March 16, 2004
3017
UBD.No.BPD.MC.No.9/13.01.00/2003-04
Master Circular – Interest Rates on Rupee Deposits
March 16, 2004
3018
UBD.CO.NBL.No.05/08.00.00/2003-04
Licensing Policy of New Urban Co-operative Banks
March 15, 2004
3019
IECD.No.9/08.12.01/2003-2004
Master Circular – Lending to Non-Banking Financial Companies (NBFCs)
March 11, 2004
3020
UBD.BPD.(PCB) MC.No.7/09.08.00/2003-04
Master Circular – Board of Directors
March 10, 2004
3021
UBD.BPD(PCB).MC.No.8/13.05.00/2003-04
Master Circular – Credit Exposure Norms and Statutory/Other Restrictions on Loans & Advances
March 10, 2004
3022
DBOD.No.Leg.890/09.07.007/2003-04
Ad-hoc Committee on Procedures and Performances Audit on Public Services
March 3, 2004
3023
UBD.BPD(PCB)MC.No.6/09.09.01/2003-04
Master Circular on – Priority Sector Lending
March 3, 2004
3024
UBD.BPD(PCB)MC.No.5/13.01.00/2003-04
Master Circular – Maintenance of Deposit Accounts
March 1, 2004
3025
UBD.No.BPD.RCS.Cir.4/13.05.00/2003-04
Placement of Deposits by Non-Scheduled UCBs with Strong Scheduled UCBs
February 27, 2004
3026
UBD.BPD.PCB.Cir.36/13.08.00/2003-04
Grant of Advances against the Security of Relief Bonds
February 27, 2004
3027
RPCD.CO.RF.BC.65/07.02.03/2003-04
Prudential Guidelines on Investment in Non-SLR Debt Securities
February 23, 2004
3028
RPCD.CO.RRB.BC.66/03.05.34/2003-04
Prudential Guidelines on Investment in Non-SLR Debt Securities
February 23, 2004
3029
DBOD.Leg.BC.70/09.07.005/2003-2004
Ad-hoc Committees on Procedures and Performance Audit on Customer Services in Banks
February 17, 2004
3030
DBS.FID.No.C-13/01.02.00/2003-04
Revised Guidelines for Compromise Settlement of Chronic Non-Performing Assets (NPAs) up to Rs.10 crore
February 17, 2004
3031
UBD.No.BPD.PCB.Cir.34/13.05.00/2003-04
Maximum Limit on Advances – Limits on Credit Exposure to Individual/Group of Borrowers – Computation of Capital Funds
February 11, 2004
3032
UBD.No.BPC.PCB.Cir.32/09.100.00/2003-04
Sale of Spurious Stamps / Stamp Paper’s to Banks
February 9, 2004
3033
DBOD.No.Dir.BC.67/13.07.05/2003-04
Guidelines for Bank Finance to Assist Employees to buy Shares of their own Companies
February 6, 2004
3034
DBS.FID.No.C-12/01.02.00/2003-04
Master Circular – Resource Raising Norms For The Financial Institutions
February 5, 2004
3035
Mail Box Clarification
Issue of ADRs / GDRs
February 3, 2004
3036
UBD.BPD.SUB.Cir.2/16.26.00/2003-04
Maintenance of CRR / SLR on Transaction in Collateralised Borrowing and Lending Obligation (CBLO)
January 30, 2004
3037
UBD.No.PCB.30/09.22.01/2003-04
Frauds by Deposit of Fake Title Deeds of Property / Fake Salary Certificates in Housing Loans
January 16, 2004
3038
DBOD.No.Ret.BC.63/12.01.001/2003-04
Maintenance of CRR/SLR on Transaction in Collateralised Borrowing and Lending Obligation (CBLO)
January 14, 2004
3039
UBD.No.DS.PCB.Cir.29/13.05.00/2003-04
Finance against Shares and Debentures by UCBs
January 5, 2004
3040
DBOD.No.Dir.BC.61/13.07.05/2003-04
Bank Financing of Equities and Investments in Shares
January 3, 2004
3041
IECD.No.(HF)4/03.27.25/2003-2004
Master Circular – Housing Finance
December 29, 2003
3042
DBOD.No.Leg.BC.60/09.07.005/2003-04
Ad hoc Committees on Procedures and Performance Audit on Customer Services in Banks
December 27, 2003
3043
UBD.BPD(PCB).MC.No.4/16.20.00/2003-04
Master Circular on Investments by Primary (Urban) Co-operative Banks
December 23, 2003
3044
DBOD.NO.AML.129/14.01.001/2003.04
Know Your Customer” (KYC) Guidelines – Clarification
December 16, 2003
3045
DBOD.FSC.No.56/24.01.001/2003-04
Master Circular – Para-Banking Activities
December 12, 2003
3046
UBD.BPD.(PCB).MC.No.3A/09.39.00/2003-04
Master Circular on Customer Service
December 9, 2003
3047
DBOD.BP.BC.49/21.04.141/2003-04
Investment Fluctuation Reserve
December 3, 2003
3048
DBOD.No.Leg.BC.50/09.07.005/2003-04
Ad hoc Committees on Procedures and Performance Audit on Customer Services in Banks
December 3, 2003
3049
UBD.No.BPD.PCB.Cir.No.3/09.22.01/2003-04
Master Circular on Finance for Housing Schemes
November 30, 2003
3050
DBOD.No.BP.BC. 64/21.04.103/2002-03
Risk Management Systems in Banks
November 29, 2003
3051
DBS.FID.No.C-10/01.02.00/2003-2004
Financing of Infrastructure Projects
November 25, 2003
3052
DBOD.No.AML.BC.47/14.01.001/2003-04
‘Know Your Customer’ Guidelines – Compliance
November 24, 2003
3053
DBOD.No.BL.BC.46/22.01.001/2003
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing
November 18, 2003
3054
DBOD.No.BC.45/21.04.141/2003-2004
Sanctioning of Loan to SPVs/Public Sector Units, EWS Housing etc. on the Strength of State Government Guarantees
November 17, 2003
3055
DBS.FID.No.C-9/01.02.00/2003-04
Asset Classification & Provisioning Norms for the FIs – Modifications
November 15, 2003
3056
IECD.NO.3/07.06.13/2003-04
Financing of Infrastructure Projects
November 10, 2003
3057
DBOD.No.IBS.BC.43/16.13.100/2003-04
Remittance of Profit by Foreign Banks Operating in India
November 6, 2003
3058
DBOD.No.FSC.BC.42/24.47.001/2003-04
Stockinvest Scheme
November 5, 2003
3059
DBOD.No.BC.41/13.07.01/2003-04
Directive : Interest Rates on Advances
October 31, 2003
3060
IECD.No.5/04.02.01/2003-04
Rupee Export Credit Interest Rates
October 31, 2003
3061
DBOD.Ret.BC.No.40/12.01.001/2003-04
Section 42(2) of Reserve Bank of India Act, 1934 – Form A Return – Resident Foreign Currency (Domestic) Account
October 27, 2003
3062
UBD.BPD.(PCB)Cir.No.2A/09.06.00/2003-04
Master Circular – Inspection & Audit Systems in Primary (Urban) Co-op. Banks
October 20, 2003
3063
RPCD.CO.RB.BC.No.36/03.05.33C/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 18, 2003
3064
RPCD.CO.RF.BC.No.34/07.38.01/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 18, 2003
3065
RPCD.RF.DIR.35/07.38.01/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Account (NRE Accounts)
October 18, 2003
3066
RPCD.RRB.DIR.37/03.05.33C/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Account (NRE Accounts)
October 18, 2003
3067
UBD.BPD.PCB.Cir.20/13.01.00/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 18, 2003
3068
UBD.No.BPD.PCB.Dir.1/13.01.00/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee (NRE) Accounts
October 18, 2003
3069
DBOD.BP.BC.34/21.04.137/2003-2004
Guidelines for Bank Finance for PSU Disinvestments
October 15, 2003
3070
UBD.BPD.PCB.CIR.19/09.157.00/2003-04
Accounting Treatment of Legal Expenses Incurred By Banks in Suit Filed Accounts
October 10, 2003
3071
UBD.BPD.RCS.Cir.No.2/10.01.00/2003-2004
Master Circular – Scheme for Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Small/Tiny Cottage Industrial Units
October 3, 2003
3072
UBD.BPD.Cir.No.18/13.05.00/2003
Loans and Advances to Directors, Relatives and Firms / Concerns in which they are Interested
October 1, 2003
3073
UBD.BL(PCB)Cir.No.1A/07.01.00/2003-04
Master Circular on Area of Operation, Branch Licensing Policy, Opening/Upgradation of Extension Counters, ATMs and Shifting/Splitting/Closure of Offices
October 1, 2003
3074
UBD.BPD(PCB).Cir.No.1/09.27.00/2003-04
Master Circular – Guarantees, Co-Acceptances & Letters of Credit
September 30, 2003
3075
RPCD.RRB.BC.30/03.05.80/2003-04
Report of the Estimates Committee – Comprehensive Study and Recommendations on Regional Rural Banks (RRBs)
September 29, 2003
3076
UBD.No.DS.PCB.Cir.17/13.01.00/2003-04
Terrorist Organisations Notified under Prevention of Terrorism Act, 2002
September 25, 2003
3077
Notification No. DNBS.176/CGM(OPA)-2003
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
September 19, 2003
3078
UBD.BSD.IP.PCB.16/12.05.03/2003-04
Declaration of Dividend by Primary (Urban) Co-operative Banks
September 19, 2003
3079
Notification DNBS.174/CGM(OPA)-2003
Non-Banking Financial Companies Acceptance of Public Deposit (Reserve Bank) Directions, 1998
September 17, 2003
3080
UBD.CO.BPD.14/13.01.00/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
September 17, 2003
3081
RPCD.CO.RF.BC.No.25/07.38.01/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Account (NRE Accounts)
September 15, 2003
3082
RPCD.CO.RRB.BC.No.27/03.05.33-C/2003-04
Interest Rate on Deposits under Non-Resident {External) Rupee Accounts (NRE Accounts)
September 15, 2003
3083
RPCD.RF.DIR.26/07.38.01/2003-04
Notification : Interest Rate on Deposits under Non-Resident (External) Rupee Account (NRE Accounts)
September 15, 2003
3084
RPCD.RRB.DIR.28/03.05.33-C/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Account (NRE Accounts)
September 15, 2003
3085
DBOD.BP.BC.24/21.04.018/2003-2004
Accounting Treatment of Legal Expenses Incurred by Banks in Suit Filed Accounts
September 13, 2003
3086
DBOD.No.BL.BC.23/22.01.001/2003
Section 23 of Banking Regulation Act, 1949 – Providing Depository Services at Extension Counters
September 11, 2003
3087
DBOD.No.BP.BC.20/21.01.002/2003-2004
Master Circular – Prudential Norms on Capital Adequacy
September 2, 2003
3088
DBOD.No.BP.BC.21/21.04.141/2003-04
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
September 2, 2003
3089
Notification No.DNBS.3/CGM (OPA)-2003
Exemption to Securitisation or Reconstruction Companies from RBI Act
August 28, 2003
3090
DBOD.No.BP.BC.15/21.04.048/2003-2004
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning Pertaining to Advances
August 22, 2003
3091
DBOD.No.Dir.BC.16/13.03.00/2003-2004
Master Circular on Guarantees and Co-acceptances
August 22, 2003
3092
DBOD.No.Dir.BC.17/13.03.00/2002-03
Master Circular – Exposure Norms
August 22, 2003
3093
DBOD.No.Dir.BC.18/13.03.00/2003-04
Master Circular – Loans and Advances – Statutory and Other Restrictions
August 22, 2003
3094
IECD.No.1/08.15.01/2003-04
Guidelines for Issue of Commercial Paper (CP) – Defaults in Commercial Paper Market
August 19, 2003
3095
UBD.No.BPD.PCB.Cir.9/09.112.00/2003-04
Entry of UCBs into Insurance Business
August 18, 2003
3096
RPCD.CO.No.RF.BC.No.18/07.02.05/2003-04
Statutory Liquidity Ratio (SLR) under Section 24 of the Banking Regulation Act, 1949
August 14, 2003
3097
DBOD.No.Leg.BC.9/09.05.001/2003-04
Review of Non-Public Business Working Day (NPBWD) observed by rural branches of commercial banks
August 14, 2003
3098
DBOD.Dir.BC.11/13.03.00/2003-04
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
August 14, 2003
3099
DBOD.No.Dir.BC.10/13.03.00/2003-04
Master Circular – Interest Rates on Advances
August 14, 2003
3100
DBOD.No.Dir.BC.12/13.03.00/2003-04
Master Circular of Instructions relating to Deposits held in FCNR(B) Accounts
August 14, 2003
3101
DBS.FID.No.C-7/01.02.00/2003-04
Master Circular – Exposure Norms for the Financial Institutions
August 7, 2003
3102
DBS.FID.No.C-6/01.02.00/2003-2004
Guidelines for Issuance of Commercial Paper (CP)
August 6, 2003
3103
DNBS.(PD).CC.No.29/02.01/2003-04
Amendments to NBFC Regulations – Exposure to Infrastructure Facility
August 1, 2003
3104
DBOD.No.BC.8/08.139.001/2003-04
Report of the Consultative Group of Directors of Banks/Financial Institutions (Dr.Ganguly Group) – Implementation of Recommendations
August 1, 2003
3105
Notification DNBS.173/CGM(OPA)-2003
NBFC Prudential Norms (Reserve Bank) Directions, 1998
August 1, 2003
3106
DNBS (PD)C.C.No.28/02.02/2002-03
Amendment to RBI Regulations for NBFCs Safe Custody of Liquid Asset Securities in an Exclusive Demat Account
July 31, 2003
3107
UBD.No.BPD.6/13.05.00/2003-04
Fortnightly Report on Loans and Advances Granted by UCBs to their Directors, etc. upto September 30, 2003
July 26, 2003
3108
DBOD.No.Ret.BC.6/12.01.001/2003-04
Bank’s Lending to Primary Dealers – Netting Concept for Reserve Requirements
July 23, 2003
3109
DBOD.No.BL.BC.5/22.01.001/2003
Section 23 of Banking Regulation Act, 1949 – Third Party Transfer of Funds through ATMs
July 23, 2003
3110
UBD.No.BL.NO.5/07.01.00/2003-04
Opening of Extension Counters by Primary (Urban) Co-operative Banks
July 22, 2003
3111
DBOD.No.BP.BC.4/21.04.018/2003-04
Guidelines on Netting off of Old and Small Value Entries – Clearing Differences
July 19, 2003
3112
RPCD.RRB.No.BC.11/03.05.33-C/2003-2004
Interest Rates on Deposits under Non-resident (External Rupee Account (NRE Accounts)
July 17, 2003
3113
UBD.No.BPD.PCB.Cir.4/13.01.00/2003-04
Interest Rate on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
July 17, 2003
3114
DBOD.BP.BC.3/21.04.141/2003-2004
Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 17, 2003
3115
DBS.FID.No.C-2/01.02.00/2003-04
Master Circular – Disclosure Norms for the Financial Institutions
July 10, 2003
3116
IECD.No.6/04.02.02/2003-04
Master Circular on Rupee Export Credit
July 1, 2003
3117
IECD.No.7/04.02.02/2003-04
Master Circular on Export Credit in Foreign Currency
July 1, 2003
3118
IECD.No.8/04.02.02/2003-04
Master Circular on Customer Service, Simplification of Procedures for Delivery of Export Credit and Reporting Requirements
July 1, 2003
3119
UBD.No.BPD.Cir.RCS.3/10.01.00/2002-03
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Tiny / Cottage Industrial Units
June 28, 2003
3120
UBS.BPD.Cir.55/13.05.00/2002-03
Fortnightly Report on Loans and Advances Granted by UCBs to their Directors, etc., up to September 30, 2003
June 26, 2003
3121
UBD.No.BPD.MSCB.12/09.140.00(OTS)/2002-03
Revised Guidelines for Compromise Settlement of Chronic Non-Performing Assets (NPAs) of Primary (Urban) Co-operative Banks
June 26, 2003
3122
DBOD.BC.Leg.No.113/09.12.001/2002-03
Dishonour of Cheques – Procedure thereof
June 26, 2003
3123
UBD.No.BPD.CIR.54/13.05.00/2002-03
Loans and Advances to Directors, Relatives and Firms/Concerns in which they are Interested
June 24, 2003
3124
UBD.No.BPD.Cir.4/09.140.00(OTS)/2002-03
Revised Guidelines for Compromise Settlement of Chronic Non-Performing Assets (NPAs) of Primary (Urban) Co-operative Banks
June 3, 2003
3125
RPCD.RRB.BC.No.101/03.05.34/2002-03
Regional Rural Banks – Investment of Surplus Non-SLR Funds – Violations of Exposure Norms – Corrective Measures
June 2, 2003
3126
DBS.FID.No.C-15/01.02.00/2002-03
Revised Guidelines for Compromise Settlement of Chronic Non Performing Assets (NPAs)
May 30, 2003
3127
BPD.CIR.48/13.04.00/2002-03
Income Recognition, Asset Classification, Provisioning – 90 Days Norm for Recognition of Loan Impairment – Exemptions
May 22, 2003
3128
DBOD.BP.1361/21.04.118/2002-03
New Basel Capital Accord
May 14, 2003
3129
UBD.BPD.45/09.09.01/2002-03
Monetary and Credit Policy for the year 2003-04 – Priority Sector Advances
May 14, 2003
3130
DBOD.BP.BC.105/21.01.002/2002-2003
Monetary and Credit Policy 2003-04 – Investment Fluctuation Reserve
May 7, 2003
3131
UBD.Ret.43/06.26.00/2002-03
Valuation of Securities for the purpose of SLR
May 5, 2003
3132
DBOD.Leg.No.BC.104/09.07.007/2002-03
Guidelines on Fair Practices Code for Lenders
May 5, 2003
3133
UBD.No.BPD.Cir.7/13.01.00/2002-03
Monetary & Credit Policy for the year 2003-04 – Reporting of Call / Notice Money Market Transactions on NDS Platform
May 3, 2003
3134
IECD.No.19/08.15.01/2002-03
Guidelines for issue of Commercial Paper (CP)
April 30, 2003
3135
IECD/1/08.15.01/2002-03
Notification
April 30, 2003
3136
UBD.No.BPD.CIR.1/13.02.00/2002-03
Export Credit Refinance Facility
April 29, 2003
3137
DBOD.No.Ret.BC.100/12.02.001/2002-03
Penal Rate of Interest on Shortfall in the Maintenance of CRR/SLR
April 29, 2003
3138
DBOD.No.Ret.BC.99/12.01.001/2002-03
Section 42(1) of the RBI Act, 1934 – Maintenance of CRR
April 29, 2003
3139
RPCD.RF.BC.No.91/07.02.05/2002-03
Section 42(1) of RBI Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
April 29, 2003
3140
RPCD.RP.BC.90/07.02.01/2002-03
Penal Rate of Interest on Shortfalls in the Maintenance of Cash Reserve Ratio (CRR)
April 29, 2003
3141
UBD.No.BP.CIR.11/16.11.00/2002-03
Change in Bank Rate
April 29, 2003
3142
RPCD.RRB.BC.No.92-A/03.05.33-C/2002-03
Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
April 29, 2003
3143
UBD.BPD.Dir.5/13.05.00/2002-03
Ban on Loans and Advances to Directors and their Relatives and Firms/Concerns in which they are Interested
April 29, 2003
3144
UBD.BPD.PCB.CIR.51/13.05.00/2002-03
Maximum Limit on Advances – Limits on Unsecured Advances to Single Borrower/Connected Group
April 29, 2003
3145
UBD.BPD.PCB.DIR.6/13.05.00/2002-03
Maximum Limit on Advances – Limits on Unsecured Advances to Single Borrower/Connected Group
April 29, 2003
3146
UBD.BPD.Cir.50/13.05.00/2002-03
Loans and Advances to Directors, Relatives and Firms/Concerns in which they are interested
April 29, 2003
3147
DBOD.No.Ret.BC.98/12.01.001/2002-03
Notification on CRR
April 29, 2003
3148
RPCD.No.973./07.02.05/2002-03
Notification
April 29, 2003
3149
DBOD.BP.BC.97/21.04.012/2002-2003
Relaxation to Trade and Industry in the State of Jammu & Kashmir
April 24, 2003
3150
IECD.No.17/08.12.01/2002-03
Guarantees and Co-acceptances
April 5, 2003
3151
IECD.No.16/04.02.02/2002-03
Export Credit
April 1, 2003
3152
Notification No.DNBS.169/CGM(OPA)-2003
Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
March 31, 2003
3153
UBD.BPD.DIR/PCB.CIR.42/13.01.00/2002-03
Interest Rates on Deposits
March 25, 2003
3154
UBD.No.BPD.PCB.DIR.4/13.01.00/2002-03
Interest Rates on Deposits
March 25, 2003
3155
DBOD.BP.BC.83/21.04.137/2002-2003
Guidelines for Bank Finance for PSU Disinvestments – Stipulation of Lock-in period for Shares
March 21, 2003
3156
IECD.No.14/08.12.01/2002-03
Advances to Sugar Industry – Holding of Buffer Stock
March 19, 2003
3157
DBOD.Dir.BC.81/13.03.00/2002-03
Notification – Interest Rates on Deposits – Capital Gains Accounts Scheme, 1988
March 19, 2003
3158
DBOD.Dir.BC.82/13.03.00/2002-03
Interest Rates on Deposits – Capital Gains Accounts Scheme, 1988
March 19, 2003
3159
UBD.No.BL.(PCB) No.41/07.01.00/2002-03
Closure of Branches by Primary (Urban) Co-operative Banks
March 19, 2003
3160
UBD.No.DS.PCBCir.40/13.01.00/2002-03
Permission to Participate in Call / Notice / Term Money Market and Bills Rediscounting Scheme – Primary Dealers
March 17, 2003
3161
DBOD.No.Ret.BC.78/12.01.001/2002/03
Section 42 (2) of the Reserve Bank of India Act, 1934 – Collection of Data from Scheduled Commercial Banks in Annexure A
March 7, 2003
3162
Notification No.DNBS.1/CGM(CSM)-2003
Securitisation and Reconstruction of Financial Assets and Enforcement of Security Interest Act, 2002
March 7, 2003
3163
UBD.No.BPD.Cir.37/09.06.00/2002-03
Mandatory Concurrent Audit in All Urban Cooperative Banks
March 6, 2003
3164
DNBS(PD)CC.No.24/02.01/2002-03
Amendments to NBFC Regulations – Ceiling on Rate of Interest
March 3, 2003
3165
Notification No.DNBS.165/CGM(CSM)-2003
Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
March 3, 2003
3166
Notification No.DNBS.166/CGM(CSM)-2003
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
March 3, 2003
3167
DBOD.BP.BC.71/21.04.103/2002-03
Risk Management Systems in Banks – Guidelines on Country Risk Management
February 19, 2003
3168
DBOD.No.BP.BC.69/21.04.048/2002-2003
Upgradation of Loan Accounts Classified as Non Performing Assets (NPAs)
February 10, 2003
3169
DBS.FID.No.C-13/01.02.00/2002-03
Revised Guidelines for Compromised Settlement of Chronic Non Performing Assets (NPAs)
February 4, 2003
3170
DBOD.No.BP.BC.67/21.04.048/2002-2003
Guidelines on Infrastructure Financing
February 4, 2003
3171
IECD.No.13/04.02.02/2002-03
Implementation of Kimberley Process Certification Scheme (KPCS) on Conflict Diamonds
February 3, 2003
3172
RPCD.RF.BC.No.69/07.37.02/2002-03
Income Recognition, Asset Classification and Provisioning – Charging of Interest at Monthly Rests
January 31, 2003
3173
DBOD.Dir.BC.63/13.07.05/2002-03
Bank Financing of Equities and Investments in Shares
January 29, 2003
3174
DBOD.Dir.BC.62/13.07.09/2002-03
Discounting/Rediscounting of Bills by banks
January 24, 2003
3175
RPCD.RRB.BC.66/03.05.34/2002-03
Valuation and Investment in Govt. Securities by RRBs – SLR Investment
January 23, 2003
3176
RPCD.RF.BC.No.64/07.02.01/2002-03
Section 42 of the RBI Act, 1934 – Payment of Interest on Eligible CRR Balances on Monthly basis
January 23, 2003
3177
RPCD.RF.BC.No.62/07.02.03/2002-03
Investment to Non-SLR Securities by State/District Control Co-operative Bank
January 20, 2003
3178
DBOD.No.Appt.BC.61/08.139.001/2002-03
Report of the Joint Parliamentary Committee on Stock Market Scam
January 17, 2003
3179
DBOD.No.FSC.BC.60/24.76.002/2002-03
Trading of Government Securities on Stock Exchanges
January 16, 2003
3180
DNBS.(PD)CC.No.23/01.18/2002-03
Exemption from Section 45-IA and 45 IC of the RBI Act, 1934 – Stock Broking Companies
January 8, 2003
3181
Notification No.164/CGM(CSM)-2003
Notification
January 8, 2003
3182
RPCD.CO.NFCD.STAT.BC.No.57/11.02.02/2002-2003
Statutory Returns under Provisions of RBI Act, 1934 and B.R. Act, 1949 – State Co-operative Banks, District Central Co-operative Banks and Regional Rural Banks
December 30, 2002
3183
DBOD.No.Ret.BC.55/12.05.009/2002-03
Section 31 of Banking Regulation Act, 1949 – Submission and Publishing of Balance-Sheet and Profit and Loss Account
December 30, 2002
3184
RPCD.No.RF.BC.39/07.37.02/2002-03
Income Recognition, Asset Classification and Provisioning – Adoption of 90 days Norm for Recognition of Loan Impairment by State / Central Co-operative Banks
December 30, 2002
3185
UBD.No.BPD.PCB.31/09.09.01/2002-03
Priority Sector Advances – Enhancement of Limits
December 30, 2002
3186
UBD.No.Ret.8/16.11.00/2002-03
Section 42 (I) of the RBI Act, 1934 – Relaxation in Daily Minimum Cash Reserve Maintenance – Requirement
December 27, 2002
3187
DBOD.No.Ret.BC.54/12.01.001/2002-03
Section 42(1) of the Reserve Bank of India Act, 1934 – Relaxation in Daily Minimum Cash Reserve Maintenance Requirement
December 27, 2002
3188
DBOD.Dir.BC.53/13.10.00/2002-03
Minimum Balance in Savings Bank Accounts
December 26, 2002
3189
UBD.BSD.No.IP.30/12.05.05/2002-03
Master Circular – Prudential Norms – Income Recognition, Asset Classification, Provisioning and Other Related Matters
December 26, 2002
3190
UBD.No.BSD.No.IP.30/12.05.05/2002-03
Master Circular – Prudential Norms – Income Recognition, Asset Classification, Provisioning and Other Related Matters
December 26, 2002
3191
DBS.FID.No.C-10/01.02.00/2002-03
Connected Lending by the select all-India Financial Institutions (FIs)
December 21, 2002
3192
DBOD.No.BP.BC.47/21.04.141/2002-03
Limit of Unsecured Guarantees and Advances
December 13, 2002
3193
DBOD.No.BP.BC.48/21.03.054/2002-2003
Measurement of Credit Exposure of Derivative Products
December 13, 2002
3194
DBOD.BC.No.46/12.01.001/2002-2003
Section 42 of the RBI Act, 1934 – Payment of Interest on Eligible CRR Balances on Monthly basis
December 9, 2002
3195
UBD.NO.DS.DIR.3/13.05.00/2002-2003
Maximum Limit on Advances
December 4, 2002
3196
UBD.DS.Cir.27/13.05.00/2002-03
Maximum Limit on Advances – Advances to Directors and their Relatives and to Concerns in which Directors or their Relatives are Interested
December 4, 2002
3197
DBOD.No.BP.BC.44/21.04.048/2002-2003
Prudential Norms on Income Recognition, Asset Classification and Provisioning – Agricultural Loans affected by Natural Calamities
November 30, 2002
3198
DNBS(PD)CC.No.22/02.59/2002-03
Exemption from Section 45-IA and 45-IC of the Reserve Bank of India Act, 1934 (2 of 1934) – Venture Capital Fund Companies
November 28, 2002
3199
Notification No.163/CGM(CSM)-2002
Notification
November 28, 2002
3200
RPCD.RRB.BC.48/03.05.34/2002-03
Valuation of Investment in SLR / Approved Securities by RRBs
November 25, 2002
3201
DBS.FID.No.C-9/01.02.00/2002-03
Mid-Term Review of Monetary and Credit Policy 2002-03 – Certificates of Deposit (CDs)
November 25, 2002
3202
lECD.No.2046/04.02.02B/2001-02
Export Credit to Processors/Exporters of Agricultural products/Agri-Export Oriented Units located outside Agri Export Zone
November 23, 2002
3203
UBD.No.DS.PCB.CIR.26/13.01.00/2002-03
Levy of Service Charges by Primary (Urban) Co-op. Banks
November 20, 2002
3204
DBOD.No.BP.BC.43/21.03.053/2002-03
Mid-Term Review of Monetary and Credit Policy 2002-03 – Certificates of Deposit
November 16, 2002
3205
RPCD.RRB.BC.45/03.05.34/2002-03
Prudential norms – RRBs – Agricultural Loans and Advances – Compounding of Interest
November 14, 2002
3206
IECD.11/08.15.01/2002-03
Guidelines for Issue of Commercial Paper
November 12, 2002
3207
UBD.No.DS.SUCB.CIR.3/13.02.00/2002-03
Rupee Export Credit Interest Rates
November 9, 2002
3208
UBD.No.DS.SUCB.CIR.4/13.02.00/2002-03
Special Financial Package for Large Value Exports – Rupee Credit Interest Rates
November 9, 2002
3209
UBD.No.DS.SUCB.DIR.1/13.02.00/2002-03
Interest Rates on Advances
November 9, 2002
3210
UBD.No.DS.SUCB.DIR.2/13.02.00/2002-03
Special Financial Package for Large Value Exports – Rupee Credit Interest Rates
November 9, 2002
3211
DBOD.No.BP.BC.39/21.04.141/2002-03
Exemption of Advances granted to Self Help Groups (SHGs) against Group Guarantee from the Limit of Unsecured Guarantees and Advances
November 6, 2002
3212
DBOD.No.BP.BC.40/21.05.004/2002-03
Special One-Time Settlement (OTS) Scheme for Small and Marginal Farmers
November 6, 2002
3213
UBD.No.BP.23/16.26.00/2002-2003
Valuation of Securities for the Purpose of SLR
November 2, 2002
3214
IECD.No.9/04.02.02/2002-03
Export Credit – Flexibility in Repayment of Pre-shipment Credit and Conversion of Drawals under Rupee Packing Credit into PCFC
October 31, 2002
3215
UBD.BL(PCB)22/07.01.00/2002-2003
Opening of Extension Counters by Primary (Urban) Co-operative Banks
October 31, 2002
3216
DBOD.No.BC.35/12.01.001/2002-03
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
October 29, 2002
3217
DBOD.No.BC.36/12.02.001/2002-03
Penal Rate of Interest on shortfall in the maintenance of CRR/SLR
October 29, 2002
3218
RPCD.No.417/07.02.05/2002-03
Notification
October 29, 2002
3219
RPCD.No.RF.BC.37/07.02.05/2002-03
Maintenance of Statutory Liquidity Ratio (SLR) under Section 24 of the Banking Regulation Act, 1949 – Regional Rural Banks
October 29, 2002
3220
RPCD.RF.BC.33/07.02.01/2002-03
Penal Rate of Interest on shortfalls in the maintenance of Cash Reserve Ratio (CRR)
October 29, 2002
3221
RPCD.RF.BC.No.34/07.02.05/2002-03
Section 42(1) of RBI Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
October 29, 2002
3222
UBD.BR.PCB.CIR.25/16.11.00/2002-2003
Change in Bank Rate
October 29, 2002
3223
UBD.No.BR.19/16.11.00.2002-03
Notification
October 29, 2002
3224
UBD.No.DS.PCB.CIR.21/13.01.00/2002-03
Mid-term Review of Macroeconomic and Monetary Developments in 2002-03 – Interest Rates on Deposits
October 29, 2002
3225
UBD.No.DS.PCB.Cir.24/13.04.00/2002-2003
Minimum and Maximum Lending Rates on Advances
October 29, 2002
3226
DBOD.No.BC.34/12.01.001/2002-03
Notification on CRR
October 29, 2002
3227
DBOD.No.IBS.817/23.67.001/2002-03
Sale of Gold/Silver/Platinum – Forward Contract
October 26, 2002
3228
DBOD.No.BP.BC.33/21.04.018/2002-03
Certification of Borrower’s Account by Chartered Accountants
October 21, 2002
3229
DBOD.IBS.BC.32/23.03.001/2002-03
Closure of Branches
October 17, 2002
3230
DBOD.No.BP.520/21.04.103/2002-03
Guidance Notes on Management of Credit Risk and Market Risk
October 12, 2002
3231
DBOD.IBS.669/23.67.001/2002-03
Sale of Gold/Silver/Platinum
October 7, 2002
3232
Notification DNBS.159/CGM(CSM)-2002
NBFC Acceptance of Public Deposits (Reserve Bank) Directions, 1998
October 1, 2002
3233
UBD.No.POT.PCB.CIR.18/09.22.01/2002-2003
Risk Weight on Housing Finance
September 30, 2002
3234
RPCD.No.RF.BC.22/07.02.03/2002-03
Certification of Holding of Securities in Bank’s Investment Portfolio
September 27, 2002
3235
DBOD.No.BC.26/13.07.01/2002
Interest Rates on Advances
September 23, 2002
3236
IECD.No.7/04.02.01/2002-03
Rupee Export Credit Interest Rates
September 23, 2002
3237
UBD.No.DS.PCB.Cir.17/13.01.00/2002-03
Guidelines on ‘Know Your Customer’ Norms and ‘Cash Transactions’
September 18, 2002
3238
RPCD.CO.RF.BC.19/07.02.03/2002-03
Investment Portfolio of Banks – Transactions in Securities
September 16, 2002
3239
UBD.POT/14/09.132.00/2002-03
Appointment of UCBs as Agents / Sub-Agents of Money Transfer Service Schemes
September 16, 2002
3240
DBS.FID.No.C-8/01.02.00/2002-03
Asset Classification of the Projects under Implementation – Time Overrun – Reversal of Provisions
September 14, 2002
3241
UBD.No.BSD.I.15/12.05.05/2002-03
Income Recognition, Asset Classification, Provisioning and Other Related Matters
September 11, 2002
3242
DBOD.No.BC.24/08.139.001/2002-03
Report of the Consultative Group of Directors of Banks/Financial Institutions (Dr. Ganguly Group) – Implementation of Recommendations
September 9, 2002
3243
RPCD.RF.BC.13/07.02.05/2002-03
Maintenance of Statutory Liquidity Ratio (SLR) under Section 24 of the Banking Regulation Act, 1949 – Investment in Government Securities
September 7, 2002
3244
DBOD.No.BP.BC.23/21.01.002/2002-03
Capital Adequacy and Provisioning Requirements for Export Credit covered by Insurance/Guarantee
August 29, 2002
3245
UBD.No.DS.PCB.CIR.12/13.04.00/2002-03
Charging of Interest at Monthly Rests : Consolidated Instructions
August 26, 2002
3246
DBOD.No.Dir.BC.20/13.03.00/2002-03
Master Circular – Exposure Norms
August 20, 2002
3247
UBD.CO.Plan.PCB.Cir.7/09.69.00/2002-03
Automated Teller Machines / Branch Teller Machines
August 17, 2002
3248
DBOD.BP.BC.17/21.04.137/2002-2003
Guidelines for Bank Finance for PSU Disinvestments of Government of India
August 16, 2002
3249
DBOD.No.Dir.BC.15/13.01.01/2002-03
Donation by Banks
August 6, 2002
3250
DBOD.Dir.BC.12/13.03.00/2002-03
Master Circular on Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO) and Non-Resident (External) (NRE) Accounts
July 31, 2002
3251
DBOD.Dir.BC.13/13.03.00/2002-03
Master Circular of instructions relating to deposits held in FCNR(B) Accounts
July 31, 2002
3252
DBOD.No.Dir.BC/11/13.03.00/2002-03
Master Circular – Interest Rates on Advances
July 30, 2002
3253
IECD.No.4/04.02.02/2002-03
Master Circular on Rupee Export Credit
July 30, 2002
3254
IECD.No.5/04.02.02/2002-03
Master Circular on Export Credit in Foreign Currency
July 30, 2002
3255
IECD.No.6/04.02.02/2002-03
Master Circular on Customer Service, Simplification of Procedures for Delivery of Export Credit and Reporting Requirements
July 30, 2002
3256
DBOD.No.Dir.BC.9/13.03.00/2002-03
Master Circular – Loans and Advances – Statutory and Other Restrictions
July 29, 2002
3257
DBOD.No.Dir.BC.07/13.03.00/2002-2003
Master Circular – Guarantees and Co acceptances
July 26, 2002
3258
DBS.FID.No.C-3/01.02.00/2002-03
Guidelines for Classification and Valuation of Investments – Clarifications
July 22, 2002
3259
DBOD.No.Dir.BC.6/13.07.05/2002-03
Investments in Equities/Bonds Issued by All-India Financial Institutions
July 22, 2002
3260
UBD.No.BSD.I/PCB.4/12.05.00/2002-03
Monitoring of Deposit Accounts
July 20, 2002
3261
UBD.No.PCB.POT.01/09.09.01/2002-03
Guidelines for Rehabilitation of Sick Small Scale Industrial Units
July 19, 2002
3262
UBD.CO.POT.PCB.Cir./02/09.11.00/2002-03
Updating Passbooks of Customers Maintaining Savings Bank / Current Accounts
July 18, 2002
3263
UBD.No.BL (RO) 3/07.01.00-2001/02
Section 23 of the Banking Regulations Act, 1949 (As Applicable to Co-operative Societies) – Issue of Post-Facto / Duplicate Licences
July 18, 2002
3264
DBOD.No.BL.BC.5/22.01.001/2002
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing
July 18, 2002
3265
RPCD.RRB.BC.115/03.05.34/2002-03
Strengthening of Prudential Norms – Provisioning and Asset Classification
July 15, 2002
3266
DBS.FID.No.C.1/01.10.00/2001-02
Capital Adequacy Norms – Half Yearly Statement of Capital to Risk-Weighted Asset Ratio (CRAR) – Discontinuance
July 13, 2002
3267
DBOD.BP.BC.4/21.04.012/2002-2003
Relaxation to Trade and Industry in the State of Jammu & Kashmir
July 12, 2002
3268
DBOD.No.BP.BC.3/21.04.141/2002-2003
Master Circular – Prudential Norms for Classification, Valuation and Operation of Investment Portfolio by Banks
July 11, 2002
3269
IECD.No.3/04.02.02/2002-03
Normal Transit Period (NTP) for Exports to Iraq under U.N. Guidelines
July 10, 2002
3270
DBOD.No.BP.BC.2/21.01.002/2002-2003
Master Circular – Prudential norms on Capital Adequacy
July 5, 2002
3271
DBOD.No.BP.BC.1/21.04.048/2002-2003
Master Circular – Prudential Norms on Income Recognition, Asset Classification and Provisioning pertaining to the Advances Portfolio
July 4, 2002
3272
IECD.No.(HF)1/03.27.25/2002-2003
Master Circular – Housing Finance
July 1, 2002
3273
IECD.No.2/08.12.01/2002-2003
Master Circular – Lending to Non-Banking Financial Companies (NBFCs)
July 1, 2002
3274
UBD.No.DS.PCB.CIR.52/13.01.00/2001-02
Reporting of Call Money Transactions
June 24, 2002
3275
DBOD.No.BC.116/08.139.001/2001-02
Report of the Consultative Group of Directors of Banks/Financial Institutions (Dr. Ganguly Group) – Implementation of recommendations
June 20, 2002
3276
DBS.FID.No.C.18/02.01.00/2001-02
Certificates of Deposit (CDs) – Minimum and Multiple Requirements
June 20, 2002
3277
UBD.BL.No.(RCS).7/07.01.00/2001-2002
Area of Operation of Primary (Urban) Co-operative Banks
June 15, 2002
3278
DBOD.No.BP.BC.115/21.03.053/2001-02
Certificates of Deposit (CDs)
June 15, 2002
3279
UBD.CO.POT.RCS/6/09.29.00/2001-02
Certification of Holding of Securities in Banks’ Investment Portfolio
June 11, 2002
3280
RPCD.No.RRB.BC.105/03.05.34/2001-02
Charging of interest at monthly rests
June 11, 2002
3281
IECD.No.25/08.12.01/2001-02
Entertainment Industry – Bank Finance for Film Industry
June 8, 2002
3282
DBOD.No.Dir.BC.114/13.03.00/2001-02
Charging of Interest at Monthly Rests
June 8, 2002
3283
DBS.FID.No.C.17/01.02.00/2001-02
Asset Classification of Projects Under Implementation – Time Overrun – Definition of Financial Closure
June 7, 2002
3284
DNBS(PD).CC.No.20/02.01/2001-02
RBI Regulations for NBFCs – Amendment to NBFC Directions on Prudential Norms
June 6, 2002
3285
Notification DNBS.158/CGM(CSM)-2002
NBFC Prudential Norms (Reserve Bank) Directions, 1998
June 6, 2002
3286
RPCD.LAB.BC.No.101/12.01.01/2001-02
Investments in Government Securities by Local Area Banks (LABs)
June 6, 2002
3287
UBD.DS.SUCB.Cir.15/13.04.00/2001-2002
Special Financial Package for Large Value Exports – Rupee Credit Interest Rates
May 31, 2002
3288
RPCD.RF.BC.98/07.37.02/2001-02
Investments in Government Securities
May 30, 2002
3289
RPCD.RRB.BC.97/03.05.34/2001-02
Investments in Government Securities
May 30, 2002
3290
UBD BSD.I/PCB/No.45/12.05.00/2001-02
Customer Service – Reversal of Erroneous Debits Arising on Fraudulent or Other Transactions
May 30, 2002
3291
DBOD.No.Dir.BC.107/13.03.00/2001-02
Charging of Interest at Monthly Rests
May 28, 2002
3292
RPCD.RR8.BC.96/03.05.34/2001-02
Prudential Norms – Application of Interest at Monthly Rests
May 27, 2002
3293
RPCD.LAB.BC.No.95/12.01.2001/02
Declaration of Dividends
May 24, 2002
3294
DBOD.No.BP.BC.106/21.01.002/2001-02
Risk Weight on Housing Finance and Mortgage Backed Securities
May 24, 2002
3295
DBOD.No.BC.105/09.07.007/2001-02
Updating Passbooks of Customers maintaining Savings Bank/Current Accounts
May 21, 2002
3296
UBD.No.BSD.I.PCB.No.44/12.05.05/2001-2002
Prudential Norms on Income Recognition, Asset Classification and Provisioning – Agricultural Advances
May 21, 2002
3297
RPCD.No.613A/07.02.05/2001-02
Notification
May 18, 2002
3298
RPCD.No.613B/07.02.05/2001-02
Notification
May 18, 2002
3299
RPCD.RF.BC.93A/07.02.05/2001-2002
Section 42(1) of RBI Act, 1934 – Maintenance of Cash Reserve Ratio
May 18, 2002
3300
RPCD.RF.BC.92/07.02.03/2001-02
Investment of Surplus Funds as Deposits with Urban Co-operative Banks
May 18, 2002
3301
DBS.FID.No.C-16/01.02.00/2001-02
Ready Forward Contracts – through CCI Ltd
May 14, 2002
3302
DBOD.No.BP.BC.100/21.01.002/2001-02
Prudential Norms on Asset Classification
May 9, 2002
3303
RPCD.C.O.RF.BC.93/07.37.02/2001-02
Investment Portfolio of Banks – Transactions in Securities
May 6, 2002
3304
IECD.No.22/03.27.25/2001-02
Housing Finance Allocation for the year 2002-2003
May 6, 2002
3305
DBOD.No.BP.BC.99/21.01.002/2001-02
Monetary and Credit Policy 2002-03 – Investment Fluctuation Reserve
May 3, 2002
3306
RPCD.RF.BC.88/07.38.02/2001-2002
Reliance on call/notice money market
April 30, 2002
3307
IECD.No.21/04.02.01/2001-02
Interest Rates on Export Credit in Foreign Currency
April 29, 2002
3308
RPCD.CO.No.RF.550/07.02.05/2001-2002
Notification
April 29, 2002
3309
RPCD.CO.No.RF.551/07.02.05/2001-2002
Notification
April 29, 2002
3310
RPCD.CO.No.RF.BC.86/07.02.05/2001-2002
Section 42(1) of reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) by Regional Rural Banks (RRBs) Scheduled State Co-operative Banks (Sch SCBs)
April 29, 2002
3311
RPCD.CO.No.RF.BC.No.87/07.02.05/2001-2002
Statutory Liquidity Ratio (SLR)
April 29, 2002
3312
RPCD.No.RF.DIR.593/07.38.02/2001-02
Interest rates on Advances
April 29, 2002
3313
UBD.No.DS.PCB.Cir.42/13.04.00/2001-2002
Monetary and Credit Policy for the year 2002-2003 – Interest Rates on Advances
April 29, 2002
3314
UBD.No.DS.PCB.Dir.6/13.04.00/2001-02
Interest Rates on Advances
April 29, 2002
3315
RPCD.Co.No.RF.BC.Cir.No.85/07.38.02/2001-2002
Abolition of Minimum Lending Rate for Co-operative Banks
April 29, 2002
3316
DBS.FID.C-15/02.01.00/2001-2002
Issue of Certificates of Deposit (CDs) in Dematerialised Form
April 29, 2002
3317
RPCD.No.BC.80/07.37.02/2002-02
Investment Transactions in Government Securities
April 27, 2002
3318
DNBS(PD).CC.No.19/02.01/2001-02
RBI Regulations for NBFCs
April 22, 2002
3319
Notification DNBS.157/CGM(CSM)-2002
NBFC Prudential Norms (Reserve Bank) Directions, 1998
April 22, 2002
3320
DBOD.No.FSC.BC.91/24.76.002/2001-02
Ready Forward Contracts
April 19, 2002
3321
IECD.No.20/04.02.02/2001-02
Export Credit – Whole Turnover Post-shipment Guarantee Scheme
April 19, 2002
3322
DBOD.No.BP.BC.90/21.04.141/2001-02
Exclusion of Credit Card Outstanding from the Norms relating to Unsecured Advances and Guarantees
April 18, 2002
3323
RPCD.RF.No.BC.78/07.37.02/2001-02
Investments in Government Securities
April 16, 2002
3324
UBD.No.POT.SUCB.CIR.9/09.120.00/2001
Asset-Liability Management Guidelines
April 15, 2002
3325
DBOD.No.FSC.BC.88/24.01.011A/2001-02
Issue of Smart Cards by banks
April 11, 2002
3326
IECD.No.18/08.12.01/2001-02
Financing for Construction Industry
April 9, 2002
3327
DBOD.LEG.BC.86/09.07.007/2001-02
Customer Service – Reversal of Erroneous Debits Arising on Fraudulent or Other Transactions
April 8, 2002
3328
RPCD.Co.No.RF.BC/72/07.37.02/2001-2002
Income Recognition, assets classification provisioning and other related matters
April 5, 2002
3329
RPCD.No.RF.BC/75/07.37.02/2001-2002
Income Recognition, Assets Classification, Provisioning and other related matters
April 5, 2002
3330
UBD.No.PCB.CIR.POT.39/09.103.01/2001-02
Professionalisation of Managements of Urban Co-operative Banks
April 5, 2002
3331
RPCD.No.RRB.BC.74/03-05-33/2001-2002
Insurance Linked Loan / Deposit Scheme of GIC
April 2, 2002
3332
UBD.No.DS.PCB.CIR.37/13.05.00/2001-02
Limit on Credit Exposure to Individual / Group of Borrowers
April 1, 2002
3333
UBD.No.DS.PCB.Cir.38/13.04.00/2001-02
Adoption of 90 days’ Norm for Recognition of Loan Impairment Application of Interest at Monthly Rests
March 30, 2002
3334
UBD.No.Dir.5/13.04.00/2001-2002
Interest Rates on Advances
March 30, 2002
3335
UBD.No.DS.PCB.Cir./34/13.05.00/2001-02
Loan System for Delivery of Bank Credit
March 28, 2002
3336
RPCD.CO.No.BC.No.70/07.37.02/2001-2002
Prudential norms on Income Recognition, Asset classification and Provisioning – Agricultural advances
March 27, 2002
3337
RPCD.RRB.BC71/03.05.34/2001-02
Strengthening of Prudential Norms – Provisioning Assets Classification and Exposure limits
March 27, 2002
3338
DBOD.No.BC.81/12.01.001/2001-02
NOTIFICATION
March 26, 2002
3339
DBOD.No.PSBS.BC.79/16.13.100/2001-2002
Issue and pricing of shares by private Sector banks
March 20, 2002
3340
UBD.BR.36/16.48.00/2001-2002
Release of Assets of Deceased Customers to Legal Survivors/Claimants
March 19, 2002
3341
IECD.No.17/04.02.01/2001-02
Rupee Export Credit Interest Rates
March 15, 2002
3342
UBD.No.DS.SUCB.CIR.8/13.02.00/2001-02
Rupee Export Credit Interest Rates
March 15, 2002
3343
UBD.No.DS.SUCB.DIR.4/13.02.00/2001-02
Interest Rates on Advances
March 15, 2002
3344
DBOD.No.BL.BC.74/22.01.001/2002
Conversion of General Banking Branches into Specialised SSI branches
March 11, 2002
3345
DBOD.No.Dir.BC.72/13.03.00/2001-02
Interest Rates on Advances
March 9, 2002
3346
DBOD.No.Dir.BC.73/13.03.00/2001-02
Adoption of 90 days’ norm for recognition of loan impairment – Application of interest at monthly rests
March 9, 2002
3347
UBD.CO.BSDI.PCB/35/12.05.00/2001-02
Discouraging the production of ration cards for the purpose of establishing identify
March 8, 2002
3348
IECD.No.16/08.12.01/2001-02
Financing of Infrastructure Projects
February 20, 2002
3349
DBOD.No.BP.BC.68/21.01.055/2001-02
Foreign Direct Investment (FDI) in the Banking Sector
February 16, 2002
3350
DBOD.No.BP.BC.67/21.01.023/2001-02
Receipt of foreign contributions by Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
February 14, 2002
3351
DBOD.No.IBS.BC.65/23.10.015/2001-02
Subordinated debt for inclusion in Tier II capital- Head Office borrowings in foreign currency by Foreign Banks operating in India
February 14, 2002
3352
DBS.FID No.C.14/01.02.00/2001-02
Additional Disclosures in the Published Annual Reports
February 8, 2002
3353
UBD.No.BL(PCB)No.29/07.01.00/2001-02
Branch Licensing Policy for Primary (Urban)Co-operative Banks – Improvement in customer Service
February 7, 2002
3354
DBOD.BC.No.63/09.07.007/2001-02
Release of Assets of Deceased Customers to Legal Survivors/Claimants
February 4, 2002
3355
DBS.FID No.C.10/01.02.00/2001-02
Treatment of Restructured Accounts – Clarifications
February 1, 2002
3356
DBS.FID.No.C.11/01.02.00/2001-02
Asset Classification of the Projects Under Implementation (PUI) – Time overrun
February 1, 2002
3357
Notification DNBS.155/CGM(LMF)-2002
NBFC Prudential Norms (Reserve Bank) Directions, 1998
January 31, 2002
3358
UBD.No.BSD.I.28/12.05-01/2001-02
Interest Rates on Deposits offered by Urban Co-operative Banks (UCBs)
January 31, 2002
3359
DBOD.No.BL.BC.62/22.01.001/2002
Section 23 of Banking Regulation Act, 1949 Third Party advertisement on ATM Network
January 28, 2002
3360
DBOD.No.BC.60/12.02-001/2001-02
Auction of Government Securities – Non-competitive Bidding Facility to Retail Investors – Consolidation of SGL Balances for SLR purpose
January 25, 2002
3361
DBOD.BP.BC.61/21.04.048/2001-02
Guidelines for Financing of Restructured Accounts by Banks/FIs
January 25, 2002
3362
DBOD.BP.BC.59/21.04.048/2001
Prudential norms on income recognition, asset classification and provisioning – agricultural advances
January 22, 2002
3363
UBD.No.BSD.I.RCS.2/12.05.05/2001-2002
Guidelines for recovery of dues relating to Non-Performing Assets (NPAs) of Primary (Urban) Co-operative Banks
January 21, 2002
3364
DBOD.No.BP.BC.58/21.01.023/2001-02
Receipt of foreign contributions by Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
January 17, 2002
3365
UBD.DS.PCB.Cir.27/13.01.00/2001-02
Prevention of Terrorism Ordinance, 2001-Implementation thereof
January 16, 2002
3366
UBD.No.DS.PCB.Cir/26/13.05.00/2001-02
Advances against the security of real estate
January 11, 2002
3367
IECD.No.15/04.02.02/2001-2002
Export Credit to Processors/Exporters – Agri-Export Zones
January 3, 2002
3368
DBOD.BC.No.55/09.07.007/2001-02
Release of Assets of Deceased Customers to Legal Survivors/Claimants
January 1, 2002
3369
RPCD.Cir./RF.BC.50/07.02.05/2001-02
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR) by Regional Rural Banks
December 31, 2001
3370
RPCD.No.RF.1521/07.02.05/2001-2002
Notification
December 31, 2001
3371
RPCD.No.RF.1522/07.02.05/2001-2002
Notification
December 31, 2001
3372
RPCD.RF.BC.48/07.38.05/2001-02
Prevention of Terrorism Ordinance 2001 – Implementation thereof
December 24, 2001
3373
RPCD.RRB.BC.47/03.05.28A/2001-02
Prevention of Terrorism Ordinance 2001 – Implementation thereof
December 24, 2001
3374
UBD.No.DS.SUCB.Cir.7/13.04.00/2001-2002
Special Financial Package for large value exports – Rupee Credit Interest Rates
December 12, 2001
3375
DBOD.No.FSC.BC.48/24.76.002/2001-02
Ready Forward Contracts
November 24, 2001
3376
IECD.No.13/08.12.01/2001-02
Financial Assistance to Wood and Panel based Industry in the North Eastern Region
November 22, 2001
3377
DBOD.BP.BC.47/21.03.54/2001-02
Limits on Credit Exposure to Individual/Group Borrowers
November 22, 2001
3378
IECD.No.14/04.02.02/2001-02
Master Circular on Rupee Export Credit
November 22, 2001
3379
IECD.No.11/04.02.02/2001-02
Master Circular on Customer Service, Simplification of Procedures for Delivery of Export Credit and Reporting Requirements
November 21, 2001
3380
DBOD.BC.46/09.08.001/01-02
Change of name of Bombay to Mumbai
November 19, 2001
3381
UBD.NBL.1/08.00.00/2001-02
Norms and procedure for registration of new urban co-operative banks
November 19, 2001
3382
IECD.No.10/04.02.02/2001-02
Master Circular on Export Credit in Foreign Currency
November 19, 2001
3383
DBOD.BP.BC.45/21.04.137/2001-02
Bank Financing for Margin Trading
November 15, 2001
3384
UBD.No.BSD.I/22/12-05-05/2001-2002
Income Recognition, Asset Classification and Provisioning
November 12, 2001
3385
DNBS(PD)CC.No.17/02.01/2001-02
Amendments to NBFC Regulations – Ceiling on Rate of Interest
October 31, 2001
3386
Notification DNBS.151/CGM(LMF)-2001
NBFC Acceptance of Public Deposits (Reserve Bank) Directions, 1998
October 31, 2001
3387
Notification DNBS.152/CGM(LMF)-2001
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
October 31, 2001
3388
UBD.No.BSD.I.CS.1/12.05.05/2001-2002
Guidelines for recovery of dues relating to Non-Performing Asset(NPAs) of Primary (Urban) Co-operative Banks
October 31, 2001
3389
DBOD.BP.858/21.04.141/2001-02
Monetary and Credit Policy Measures – Mid-Term Review for the year 2001-2002 – Banks’ Investment in Non SLR Securities
October 27, 2001
3390
DBOD.BP.BC.39/21.04.048/2001-2002
Monetary and Credit Policy Measures – Mid-Term Review for the year 2001-2002 – Settlement of Non-Performing Assets (NPAs)
October 27, 2001
3391
IECD.No.9/08.12.01/2001-2002
Loan System for Delivery of Bank Credit
October 25, 2001
3392
RPCD.RRB.BC.37/03.05.33/2001-02
Credit extended to Diamond Exporters – Embargo on import of conflict diamonds – Liberia
October 25, 2001
3393
DBOD.NO.BC.36/09.06.002/2001-02
Guidelines for Compromise Settlement of Dues of Banks through Lok Adalats
October 24, 2001
3394
DBOD.No.BC.33/12.01.001/2001-02
Notification
October 22, 2001
3395
DBOD.No.BC.34/12.01.001/2001-02
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
October 22, 2001
3396
DBOD.No.BC.35/12.02.001/2001-2002
Penal Rate of Interest on shortfall in the maintenance of CRR/SLR
October 22, 2001
3397
RPCD.CO.No.RF.BC.35/07.02.01/2001-2002
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio
October 22, 2001
3398
UBD.No.BR.14/16.11.00/2001-2002
Notification
October 22, 2001
3399
UBD.No.BR.PCB.CIR.20/16.11.00/2001-2002
Change in Bank Rate
October 22, 2001
3400
UBD.No.DS.PCB.CIR.16/13.05.00/2001-02
Bank finance against shares and debentures
October 22, 2001
3401
UBD.No.DS.PCB.Cir.15/13.05.00/2001-2002
Credit extended to Diamond Exporters Embargo on Import of Conflict Diamonds Liberia
October 15, 2001
3402
UBD.No.DS.SUCB.Cir.3/13.05.00/2001-2002
Delay in collection of outstation cheques
October 15, 2001
3403
IECD.No.(HF)7/03.27.25/2001-2002
Master Circular – Housing Finance
October 10, 2001
3404
IECD.No.6/08.12.01/2000-2001
Master Circular – Lending to Non – Banking Financial Companies (NBFCs)
October 10, 2001
3405
UBD.No.BSD.I.PCB.13/12.05.05/2001-2002
Income Recognition, Asset Classification and Provisioning Norms for Loans and Advances
October 6, 2001
3406
UBD.No.BSD.I.PCB.12/12.05.05/2001-2002
Income Recognition, Asset Classification and Provisioning -Asset Classification – Adoption of 90 days norm
October 5, 2001
3407
DBOD.No.FSC.BC.32/24.01.019/2001-02
Issue of Debit Cards by banks
September 29, 2001
3408
RPCD.RF.No.BC.29/07.02.03/2001-02
Investment of Surplus Funds by State/Central Co-op. Banks in Public Sector Undertakings/Companies
September 25, 2001
3409
IECD No.4/04.02.01/2001-02
Rupee Export Credit Interest Rates
September 24, 2001
3410
UBD.No.DS.SUCB.CIR.4/13.04.00/2001-02
Rupee Export Credit Interest Rates
September 24, 2001
3411
UBD.No.DS.SUCB.CIR/5/13.04.00/2001-02
Special Financial Package for large value exports – Rupee credit interest rates
September 24, 2001
3412
UBD.No.DS.SUCB.DIR.2/13.04.00/2001-02
Special Financial Package for large value exports -Rupee credit interest rates
September 24, 2001
3413
UBD.No.DS.SUCB.DIR/1/13.04.00/2001-02
Interest Rates on Advances
September 24, 2001
3414
DBOD.BP.BC.27/21.04.137-2001
Bank financing for margin trading
September 22, 2001
3415
DBOD.No.BC.FSC.24/24.76.002/2001-02
Ready Forward Contracts
September 11, 2001
3416
DBOD.No.BP.BC.25/21.04.048/2000-2001
Prudential norms on income recognition, asset classification and provisioning
September 11, 2001
3417
UBD.POT.Cir.11/09.09.01/2001-2002
Recognition of Water Mills (Gharat) as Small Scale Industry
September 10, 2001
3418
RPCD.RRB.BC.20/03.05.33/2001-02
Credit extended to Diamond Exporters – Embargo on import of conflict diamonds
September 8, 2001
3419
UBD.No.POT.PCB.Cir./9/09.49.01/2000-2001
Credit Card Business of Banks
September 7, 2001
3420
UBD.CO.BR.10/16.60.00/2001-02
Negotiable Instruments Act, 1881 – Dishonour of Cheques – Data on cases and other material
September 7, 2001
3421
DBOD No.BP.BC/23/21.04.141/2000-2001
Master Circular – Guidelines for Classification, Valuation and Operation of Investment Portfolio by Banks
September 6, 2001
3422
DBOD.No.BP.BC.22/21.01.023/2000-01
Receipt of foreign contributions by Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
September 1, 2001
3423
DBOD No.BP.BC/20/21.04.048/2001-2002
Master Circular – Prudential Norms on Income recognition, Asset Classification and Provisioning pertaining to the Advances Portfolio
September 1, 2001
3424
UBD.No.BSD.I.8/12.05.00/2001-2002
Issue of Bankers Cheques/Pay Orders/Demand Draft by Primary (Urban) Co-operative Banks
August 31, 2001
3425
DBOD.No.BP.BC.21/21.01.002/2001-02
Master Circular – Prudential Norms on Capital Adequacy
August 31, 2001
3426
IECD.No.3/04.02.02/2001-2002
Credit extended to Diamond Exporters – Embargo on import of conflict diamonds Liberia
August 30, 2001
3427
DBS.FlD.No.C.5/01.02.00/2001-02
Asset Liability Management (ALM) System – Amendments to ALM Guidelines
August 29, 2001
3428
DBS.FID.No.C-4/01.02.00/2001-02
Holding of Instruments in Dematerialised Form
August 28, 2001
3429
DBOD.No.BP.BC.16/21.04.018/2001-02
Reconcilation of Nostro Accounts – Old Outstanding Credit Entries
August 24, 2001
3430
DBOD.No.BL.BC.14/22.01.001/2001
Section 23 of Banking Regulation Act, 1949 – Master Circular on Branch Licensing
August 13, 2001
3431
DBOD.No.Dir.BC.11/13.03.00/2001-02
Master Circular – Loans and Advances – Statutory and Other Restrictions
August 13, 2001
3432
DBOD.No.Dir.BC.12/13.03.00/2001-02
Master Circular – Exposure Norms
August 13, 2001
3433
DBOD.No.Dir.BC.13/13.03.00/2001-2002
Master Circular – Guarantees and Co-acceptances
August 13, 2001
3434
DBOD.No.Dir.BC.08/13.03.00/2001-02
Interest Rates on Rupee Deposits
August 11, 2001
3435
DBOD No.Dir.BC.07/13.03.00/2001-02
Interest Rates on Rupee Deposits held in Domestic, Ordinary Non-Resident (NRO), Non-Resident Special Rupee (NRSR) and Non-Resident (External) (NRE) Accounts
August 11, 2001
3436
DBOD.No.Dir.BC.06/13.07.01/2001-02
Master Circular – Interest Rates on Advances
August 9, 2001
3437
UBD.No.BL.(SEB)5A/07.01.00-2001/02
Review of Branch Licensing Policy – Salary Earners’ Banks
August 8, 2001
3438
DBOD.No.BC.5/12.01.001/2001-02
Section 42(2) of the Reserve Bank of India Act, 1934 – Reporting of Inter-bank liabilities in Form A
August 7, 2001
3439
UBD.No.CIR.05/09.73.00/2001-02
Providing Ultra Violet Lamps for Detection of Forged Notes
August 2, 2001
3440
UBD No.POT.04/09.116.00/2001-02
Application of Capital Adequacy Norms to Urban Co-operative Banks
July 26, 2001
3441
DBOD.BC.No.02/09.07.007/2001-02
Discouraging the production of ration cards for the purpose of establishing identity
July 24, 2001
3442
IECD.2/08.15.01/2001-02
Guidelines for Issue of Commercial Paper
July 23, 2001
3443
IECD/3/08.15.01/2001-02
Notification
July 23, 2001
3444
IECD.No.1/03.27.25/2001-02
Housing Finance Allocation for the year 2001-2002
July 18, 2001
3445
RPCD.CO.NO.RF.BC.02/07.02.05/2001-2002
Regional Rural Banks – Exemption from Proviso to sub-section (1) and sub-section (1A) of Section 42 of RBI Act, 1934
July 14, 2001
3446
RPCD.CO.NO.RF.BC.05/07.02.05/2001-2002
Scheduled State Co-operative Banks – Exemption from Proviso to sub-section (1) and sub-section (1A) of Section 42 of RBI Act, 1934
July 14, 2001
3447
RPCD.No.RF.03/07.02.05/2001-2002
Notification
July 14, 2001
3448
RPCD.No.RF.04/07.02.05/2001-2002
Notification
July 14, 2001
3449
RPCD.No.RF.06/07.02.05/2001-2002
Notification
July 14, 2001
3450
RPCD.No.RF.07/07.02.05/2001-2002
Notification
July 14, 2001
3451
UBD No.POT.PCB.No.1/09-116.00/2001-02
Application of Capital Adequacy Norms to Urban (Primary) Cooperative Banks
July 7, 2001
3452
UBD.No.BR.01/16.04.00/2001-2002
Section42 (1) of RBI act, 1934 – Maintenance of Cash Reserve Ratio
July 5, 2001
3453
DNBS(PD).CC.No.15/02.01/2000-2001
Asset Liability Management (ALM) System for NBFCs – Guidelines
June 27, 2001
3454
IECD.No.(HF)18/03.27.25/2000-2001
Master Circular – Housing Finance
June 21, 2001
3455
DBOD.FSC.BC.133 /24.01.019/2000-01
Guidelines for the issue of Smart/Debit Cards by banks
June 18, 2001
3456
DBOD.BP.BC.132/21.04.048/2000-2001
Income recognition, asset classification and provisioning norms for advances
June 14, 2001
3457
DBOD.COMP.BC.No.130/07.03.23/2000-01
Internet Banking in India – Guidelines@
June 14, 2001
3458
DBS.FID.NO.C.25/01.10.00/2000-01
Income Recognition, Asset Classification, Provisioning and other Related Matters
June 13, 2001
3459
DBOD.No.BP.BC.129/21.01.023/2000-01
Receipt of foreign contributions by Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
June 12, 2001
3460
RPCD.RRB.BC.97/03.05.34/2000-01
Strengthening of Prudential Norms – Provisioning Asset Classification and Exposure Limit
June 11, 2001
3461
UBD.No.POT.SUB.9/09.69.00/2000-01
Installation of Automated Teller Machines
June 11, 2001
3462
DBOD.No.BP.BC.128/21.04.048/00-01
SSI Advances Guaranteed by Credit Guarantee Fund Trust for Small Industries (CGTSI) – Risk weights and Provisioning norms
June 7, 2001
3463
UBD.No.DS.PCB.CIR.52/13.05.00/2000-01
Bank finance against shares and debentures – Corrigendum to Circular No.DS.PCB.CIR. 41/13.05.00/2000-01 dated April 19, 2001
June 4, 2001
3464
DBOD.NO.BC.126/09.08.001/2000-01
Change of name of Calcutta to Kolkata
June 1, 2001
3465
UBD.NO.Ret.07/06.16.00/2000-01
Report on Trend and Progress of Banking in India 2000-2001
May 29, 2001
3466
UBD.No.AD/3/13.06.00/2000-2001
Interest Rates on Export Credit in Foreign Currency
May 29, 2001
3467
UBD.CO.BR.No.538/16.51.00/2000-2001
Name as appearing in the certificate or Registration and the License – use of – Primary (Urban) Co-operative Banks
May 21, 2001
3468
UBD.No.DS.PCB.CIR.49/13.01.00/.2000-2001
Payment of interest on the term deposit of a deceased depositor
May 19, 2001
3469
UBD.BSD-I/RCS.5/12.05.03/2000-2001
Classification of Urban Co-operative Banks as Weak
May 18, 2001
3470
UBD.No.BD.NO.PCB.DIR.8/13.01-00/2000-2001
Interest Rates on Deposit
May 18, 2001
3471
UBD.No.DS.AD.CIR.2/13.02.00/2000-2001
Foreign Currency (Non-Resident) Accounts (Banks) Scheme – Payment of interest on the term deposit of a deceased depositor
May 18, 2001
3472
UBD.No.DS.PCB.CIR.49/13.01.00/2000-2001
Payment of Interest on the Term Deposit of a Deceased Depositor
May 18, 2001
3473
IECD No.17/08.12.01/2000-2001
Entertainment Industry – Bank Finance for Film Industry
May 14, 2001
3474
DBOD.No.BC.123/12.01.001/2000-01
NOTIFICATION
May 14, 2001
3475
DBOD.No.BC.124/12.01.001/2000-01
Receipt of Foreign Contributions by Associations/Organisations towards Relief Measures in Gujarat – Opening of Foreign Currency Accounts in India
May 14, 2001
3476
DBOD.No.BC.121/12.01.001/2000-01
NOTIFICATION
May 12, 2001
3477
DBOD.No.BC.122/12.01.001/2000-01
Section 42(1) of the Reserve Bank of India Act, 1934 – Reduction in Cash Reserve Ratio
May 12, 2001
3478
DBOD.BP.BC.119/21.04.137/2000-2001
Bank Financing of Equities and Investments in Shares – Revised Guidelines
May 11, 2001
3479
DBOD.No.BP.BC.118/21.04.012/2000-2001
Relaxation to Trade and Industry in the State of Jammu & Kashmir
May 10, 2001
3480
IECD.No.16/08.12.01/2000-01
Report of credit sanctions – Annexure I made monthly Annexure II discontinued
May 5, 2001
3481
DBOD.No.LEG.BC.114/09.06.002/2000-01
Guidelines for Compromise Settlement of Dues of Banks and Financial Institutions through Lok Adalats
May 2, 2001
3482
DBOD.No.BP.BC.116/21.04.048/2000-2001
Monetary and Credit Policy Measures 2001-2002
May 2, 2001
3483
UBD.No.DS.PCB.DIR.6/13.04.00/2000-01
Interest Rates on Advances
May 1, 2001
3484
DBOD.BP.BC.113/21.04.048/2000-01
Treatment of Restructured Accounts – Amendment
April 30, 2001
3485
IECD.15/08.15.01/2001-02
Guidelines for Issue of Commercial Paper
April 30, 2001
3486
IECD/2/08.15.01/2000-01
Notification
April 30, 2001
3487
DBS.FID.No.C-24/01.02.00/2000-2001
Approach to Universal Banking
April 28, 2001
3488
DBS.FID.No.C.23/01.02.00/2000-01
Monetary and Credit Policy Measures – Asset Classification Norms for Financial Institutions
April 26, 2001
3489
UBD.No.BL.(PCB)46/07.01.00/2000-01
Recommendations of High Power Committee – Opening of Extension Counters by Urban Co-operative Banks – Revised Policy
April 26, 2001
3490
UBD.No.BL(PCB)/No.47/07.01.00/2000-01
Recommendations of the High Power Committee – Review of Branch Licensing Policy
April 26, 2001
3491
UBD.No.BL(PCB)48/07.01.00/2000-01
Recommendations of High Power Committee – Area of operation of primary (urban) Co-operative Banks – Revised Policy Approach
April 26, 2001
3492
UBD.No.POT.PCB.Cir.No.45/09.116.00/2000-01
Application of Capital Adequacy Norms to Urban (Primary) Co-operative Banks
April 25, 2001
3493
DBOD.No.BC/INF/111/11.17.005/2000-01
Suggestion for speedy transmission of Bank’s Circulars etc. to the banks branches
April 24, 2001
3494
DBOD.BP.BC.110/21.01.002/2000-01
Risk Weight on Deposits placed with SIDBI / NABARD in lieu of Shortfall in Lending to Priority Sector
April 20, 2001
3495
DBOD.No.BC.101/13.07.01/2001
Interest Rates on Advances
April 19, 2001
3496
UBD.No.DS.SUCB.CIR.05/13.04.00/2000-2001
Rupee Export Credit Interest Rates
April 19, 2001
3497
UBD.No.DS.SUCB.DIR.7/13.04-00/2000-01
Interest Rates on Advances
April 19, 2001
3498
DBOD.BC.103/12.01.001:2000-2001
Section 42(1) of the Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
April 19, 2001
3499
DBOD.No.BC.102/12.01.001/2000-2001
Notification
April 19, 2001
3500
DBOD.No.Dir.BC.108/13.03.00/2000-01
Notification – Interest Rates on Deposits – Capital Gains Accounts Scheme, 1988
April 19, 2001
3501
RPCD.No.RF.DIR.BC.78/07.38.04/2000-01
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 19, 2001
3502
RPCD.NO.RF.DIR.BC.79.07.38.04/2000-01
Monetary and Credit Policy for the year 2001-2002 – Interest Rates on FCNR(B) Deposits
April 19, 2001
3503
UBD.No.PCB.Dir.10/13.01.00/2000-2001
Interest Rates on Deposits
April 19, 2001
3504
UBD.No.DS.PCB.CIR.40/13.01.00/2000-01
Operations in Call/Notice Money Market
April 19, 2001
3505
UBD.No.DS.PCB.CIR. 41/13.05.00/2000-01
Bank Finance against Shares and Debentures
April 19, 2001
3506
DBS.FID.No.C.22/01.02.00/2000-01
Guidelines for Recovery of Dues Relating to Non-Performing Assets (NPAs)
April 18, 2001
3507
DBS.FID.No.C.21/01.02.00/2000-2001
Treatment of Restructured Accounts – Second Amendment
April 17, 2001
3508
DBOD.No.IBS.2013/23.67.001/2000-01
Sale of Gold/Silver/Platinum
April 4, 2001
3509
DBOD.BC.No.99/12.01.001/2000-01
Section 42 of Reserve Bank of India Act, 1934 – Cash Reserve Ratio (CRR) – Maintenance of Minimum Level of 65 per cent on a daily basis
March 31, 2001
3510
Notification DNBS.146/CGM(RS)-2000
NBFC Acceptance of Public Deposits (Reserve Bank) Directions, 1998
March 31, 2001
3511
Notification DNBS.147/CGM(RS)-2001
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
March 31, 2001
3512
DBS.FID.No.C-20/01.02.00/2000-01
Treatment of Restructured Accounts – Amendment
March 30, 2001
3513
DBOD.NO.BP.BC.98/21.048/2000-01
Treatment of restructured accounts
March 30, 2001
3514
DBOD.BP.BC.97/21.01.023/2000-01
Receipt of foreign contributions by Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
March 29, 2001
3515
DBS.FID.No.C-19/01.02.00/2000-01
Treatment of Restructured Accounts
March 28, 2001
3516
DBS.FID.No.C-18/01.02.00/2000-01
Disclosures in the Published Annual Reports
March 23, 2001
3517
DBOD.No.BP.BC.92/21.01.023/2000-1
Receipt of Foreign Contributions by Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
March 22, 2001
3518
UBD.Plan.PCB/36/09.09.01/2000-2001
Recognition of Tyre Retreading and Coffee Curing/Processing activities as SSI
March 13, 2001
3519
UBD.No.DS.PCB.CIR.35/13.05.00/1999-2000
Maximum Limit on Advances – Unsecured Advances by Salary Earners’ Banks – Revision of Limit
March 13, 2001
3520
RPCD.CO.NO.RF.BC.69/07.02.01/2000-2001
Penal rate of interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
March 8, 2001
3521
UBD.No.NBL.No.32 /08.00.00/2000-01
Implementation of High Power Committee Recommendations – Conversion of Co-operative Credit Societies into Primary Co-operative Banks – Revised policy approach
March 8, 2001
3522
UBD.No.NBL.No.4/08.00.00/2000-01
Implementation of High Power Committee Recommendations – Conversion of Co-operative Credit Societies into Primary Co-operative Banks – Revised policy approach
March 8, 2001
3523
UBD.No.PCB.DS.34/13.01.00/2000-01
Customer Service – Disposal of Deposits on Maturity – Intimation to Impending Due Date of the Deposit in Advance to Customers/Deposits
March 8, 2001
3524
IECD.No.12/04.02.02/2000-01
Normal Transit Period (NTP) for Exports to Iraq under U.N. Guidelines
March 7, 2001
3525
RPCD.CO.NO.RF.DIR.BC.64/07.38.01/2000-2001
Interest Rates on Deposit
March 5, 2001
3526
RPCD.NO.RF.DIR.BC.67/07.38.34/2000-2001
Foreign currency (Non-Resident) Account (Banks) Scheme – Payment of Interest on the term deposit of a deceased depositor
March 5, 2001
3527
DBOD.No.BC.86/12.02.001/2000-2001
Penal Rate of Interest on the shortfall in the maintenance of CRR/SLR
March 1, 2001
3528
UBD.No.BR.PCB.CIR.33A/16.11.00/2000-2001
Change in Bank Rate
March 1, 2001
3529
DBOD.No.BP.BC.83/21.01.002/2000/2001
Loans and Advances to Staff – Assignment of Risk Weight and Treatment in the Balance Sheet
February 28, 2001
3530
DBOD.No.IBS.BC.84/23.09.001/2000-01
Remittance of Surplus to Head Office – Submission of statement
February 28, 2001
3531
RPCD.CO.No.RF.BC.59/07.28.01/2000-2001
Payment of Balance in Account of the Deceased Customers to Legal Survivors / Claimants
February 27, 2001
3532
DBOD.No.BP.BC.82/21.04.048/00-01
Co-ordination between Banks and Financial Institutions
February 26, 2001
3533
UBD.No.Plan.Cir.RCS.3/10.01.00/2000-2001
Refinance facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Tiny/Cottage Industrial Units
February 26, 2001
3534
UBD.NO.POT.No.33/09.17.03/2000-2001
Relief measures for the persons/business affected by the earthquake in Gujarat
February 20, 2001
3535
DBOD.No.BC.77/12.01.001/2000-01
Notification
February 16, 2001
3536
DBOD.No.BC.78/12.01.001/2000-01
Section 42(1) of the Reserve Bank of India Act, 1934 – Reduction in Cash Reserve Ratio
February 16, 2001
3537
DBOD.No.BC.79/12.02.001/2000-2001
Penal Rate of Interest on the shortfall in the maintenance of CRR/SLR
February 16, 2001
3538
RPCD.CO.NO.RF.BC.57/07.02.01/2000-2001
Penal rate of interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
February 16, 2001
3539
UBD.No.BR.PCB.ClR.32A/16.11.00/2000-2001
Change in Bank Rate
February 16, 2001
3540
UBD.DS.32/13.04.00/2000-01
Reliefs/Concessions for Exporters Affected by the Earthquake
February 12, 2001
3541
DBS.FID.No.C.17/01.02.00/2000-01
Interest Rate on Export Credit
February 10, 2001
3542
UBD BSD.I.RO.30 /12.05.03/2000-2001
Classification of Primary Urban Co-operative Banks as ‘weak’ – Dispensing with viability norms
February 8, 2001
3543
DBS.FID.No.C.16/01.02.00/2000-01
Co-ordination between Banks and Financial Institutions
February 7, 2001
3544
IECD.No.11/04.02.02/2000-01
Reliefs/Concessions for Exporters Affected by the Earthquake
February 6, 2001
3545
RPCD.CO.No.RRB.BC.49/03.05.33/2000-01
Credit extended to Diamond Exporters – Embargo on import of conflict diamonds
February 1, 2001
3546
RPCD.CO.No.RF.BC/48/07.02.10/2000-2001
Bank’s lending to Primary Dealers – Netting concept for Reserve requirements
February 1, 2001
3547
DBOD.No.BP.BC.74/21.01.023/2000-01
Receipt of foreign contributions by Associations/organizations in India Under Foreign Contribution (Regulation) Act, 1976
February 1, 2001
3548
UBD.No.POT.CIR.30/09.20.00/2000-01
Branch Advisory Committees
February 1, 2001
3549
UBD.CO.BR.29/16.48.00/2000-01
Payment of balances in accounts of the deceased customers to legal survivors/claimants
January 29, 2001
3550
UBD.No.PCB.Cir.25/13.05.00/2000-2001
Maximum Limit on Advances – Limits on Credit Exposure to Individual/Group of Borrowers – Computation of Capital Funds
January 18, 2001
3551
DBOD.No.Dir.BC.71/13.03.00/2000-01
Safeguards for Opening of and Granting Loans against Non-Resident Deposits
January 17, 2001
3552
DBOD.No.DIR.BC.72/13.03.00/2000-2001
Master Circular – Guarantees and Co-acceptances
January 17, 2001
3553
DBOD.BC.NO.70/09.07.001/2000-01
Customer Service – Disposal of deposits on maturity Intimation of impending due date of the deposit in advance to customers/depositors
January 16, 2001
3554
UBD.No.DS.PCB.24/13.05.00/2000-2001
Credit Extended to Diamond Exporters – Embargo on Import of Conflict Diamonds
January 16, 2001
3555
DBS.FID.No.C.13/01.02.00/2000-01
Interest Rate Surcharge on Import Finance
January 13, 2001
3556
UBD.No.Cir.No.BL.26/07.01.00/2000-01
Section 23 of the B.R.Act 1949 (AACS) – Rationalisation of Returns
January 12, 2001
3557
DBOD.No.Dir.BC.66/13.03.00/2000
Safeguards for Opening of and Granting Loans against Non-resident Deposits
January 8, 2001
3558
IECD.No.10/08.12.01/2000-2001
Master Circular – Lending to NBFCs
January 8, 2001
3559
DBOD.No.BC.65/13.07.01/2001
Interest Rates on Advances
January 5, 2001
3560
IECD.No.8/08.14.01/2000-01
Interest Rate Surcharge on Import Finance
January 5, 2001
3561
UBD.No.DS.PCB.26/13.04.00/2000-01
Interest Rate on Export Credit
January 5, 2001
3562
UBD.No.DS.PCB.CIR.27/13.04.00/2000-01
Interest Rate Surcharge on Import Finance
January 5, 2001
3563
UBD.NO.BSD.I.25 /12.0 8.00/2000-2001
Revision of Licensing Policy of new urban co-operative banks
January 5, 2001
3564
UBD.No.DS.(PCB).Cir.19/13.01.00/2000-01
Engagement of Outside Agents for Collection of Deposits or Selling of Deposit linked Products on Remuneration/Fees/Commission basis
January 3, 2001
3565
DBOD.BC.No.60/12.01.001/2000-01
Section 42 of Reserve Bank of India Act, 1934 – Cash Reserve Ratio (CRR) – Maintenance of Minimum Level of 65 per cent on a Daily basis
December 27, 2000
3566
DBOD.No.BP(SC).BC.59/21.04.103/2000-01
Risk Management Systems in Banks
December 26, 2000
3567
UBD.No.BL.21/07.01.00/2000-01
Section 23 of Banking Regulation Act, 1949. (As Applicable to Co-operative Societies) – Annual Action Plan for opening branches – Change of allotted centres
December 16, 2000
3568
UBD.BSD.I/16/12.05.05/2000-2001
Income recognition, assets classification, provisioning and other related matters -‘Past Due’ concept
December 8, 2000
3569
DBOD.No.BC.56/09.07.007/2000-01
Payment of Balance in Account of the Deceased Customers to Legal Survivors / Claimants
December 6, 2000
3570
IECD.No.7/04.02.02/2000-2001
Credit extended to Diamond Exporters Embargo on Import of Conflict Diamonds
December 5, 2000
3571
DBS.FID.No.C12/09.01.02/2000-01
Raising of Resources by all-India FIs – Monthly Returns
December 5, 2000
3572
RPCD.RRB.NO.BC.37A.03.05.34/2000-01
Guidelines for classification and valuation of investment by RRBs
December 4, 2000
3573
DBS.FID.No.C.11/01.02.00/2000-2001
Interest Rate Surcharge on Import Finance
November 28, 2000
3574
DBOD.DIR.No.53/13.08.01/2000-2001
Selective Credit Controls on Advances against Sugar – Minimum Margins on Levy/Free Sale/Buffer Stock of Sugar
November 27, 2000
3575
DBOD.No.Dir.BC.52/13.08.01/00-01
Selective Credit Control – Granting of Fresh/Additional Limits to Borrowers Dealing in Sensitive Commodities – Delegation of Powers
November 23, 2000
3576
DBS.FID.No.C.10/01.08.00/2000-01
Investment Portfolio – Transactions in Securities – Role of Brokers
November 22, 2000
3577
UBD.No.BR.15/16.48.00/2000-2001
Payment of balances in accounts of the Deceased Customers to survivors/claimants
November 21, 2000
3578
UBD.No.DS.PCB.CIR.13/13.04.00/2000-01
Interest Rate Surcharge on Import Finance
November 20, 2000
3579
UBD.No.BSD.I.PCB/14/12.05.05./2000-01
Income recognition, Asset Classification and Provisioning
November 20, 2000
3580
UBD.No.Plan(PCB)12/09.08.00/2000-01
Calendar of reviews – Matters to be place Board of Directors operative Banks
November 15, 2000
3581
UBD.No.Plan.Cir.PCB.9/09.20.00/2000-01
Issue of bonus shares by Primary Co-operative Banks
November 10, 2000
3582
DBOD.BP.BC.51/21.04.137/2000-2001
Bank Financing of Equities and Investments in Shares
November 10, 2000
3583
UBD.BSD-I/8/12.05.00/2000-2001
Frauds – Preventive Measures
November 9, 2000
3584
DBOD.No.Dir.BC.48/13.03.00/2000-01
Interest Rates on Deposits held in FCNR(B) Accounts
November 4, 2000
3585
DBOD.No.Dir.BC.49/13.03.00/2000-01
Master Directive relating to Deposits held in FCNR(B) Accounts
November 4, 2000
3586
DBOD.No.DIR.BC.42/13.03.00/2000-01
Master Circular – Loans and Advances – Statutory and Other Restrictions
November 1, 2000
3587
DBOD.No.PSBS.BC.43/16.13.100/2000-2001
Calendar of Reviews – Matters to be placed before Board of Directors, Management Committee and Audit Committee
November 1, 2000
3588
DBOD.No.BP.BC.40/21.04.048/00-01
Income Recognition, Asset Classification and Provisioning – Write off of Advances at Head Office Level – Non-performing Assets – Reporting to RBI
October 30, 2000
3589
DBOD.No.Dir.BC.34/13.03.00/2000-01
Interest Rates on Deposits
October 17, 2000
3590
DBOD.No.Dir.BC.35/13.03.00/2000-01
Prohibition against Opening of Savings Bank Accounts in the Name of certain Bodies/Organisations
October 17, 2000
3591
RPCD.No.RF.Dir.BC.30/07.38.01/2000-01
Prohibition against opening of savings bank accounts In the name of certain bodies/organisations
October 17, 2000
3592
IECD.No.6 /08.14.01/2000-01
Interest Rate Surcharge on Import finance
October 16, 2000
3593
DBOD.No.BC.33/12.01.001/2000-2001
Banks Lending to Primary Dealers – Netting Concept for Reserve Requirements
October 16, 2000
3594
IECD.No.5/08.12.01/2000-01
Flow of Credit to SSI Sector – Decision of the Group of Ministers
October 16, 2000
3595
UBD.NBL.2/08.00.00/2000-2001
Revised Licensing Policy for New Urban Co-operative Banks
October 12, 2000
3596
DBS.FID.No.C.7/01.03.00/2000-2001
Monetary and Credit Policy Measures – Prudential Norms on Income Recognition, Asset Classification, Provisioning, etc.
October 11, 2000
3597
DBOD.No.Dir.BC.30/13.08.01/2000-01
Selective Credit Controls on Advances against Sugar – Minimum Margins on Levy/Free Sale/Buffer Stock of Sugar
October 10, 2000
3598
RPCD.No.DIR.BC.26/07.38.02/2000-2001
Selective Credit controls on advances against Sugar – Minimum margin on levy/Free sale/buffer stock of sugar
October 10, 2000
3599
RPCD.No.RF.BC.27/07.38-02/2000-2001
Selective Credit Controls on advances against sugar – Minimum margin on levy/free sale/buffer stock of sugar
October 10, 2000
3600
UBD.No.DS.PCB.1/13.04.00/2000-2001
Selective Credit Controls on Advances against Sugar – Minimum Margins on Levy/Free Sale/Buffer Stock of Sugar
October 10, 2000
3601
DBS.FID No.C-6/09.01.02/ 2000-01
Development in the Money Market – Rating of Term Deposits
October 10, 2000
3602
RPCD.No.RF.BC.28/07.37.02/2000-01
Asset Classification – Past due concept
October 10, 2000
3603
RPCD.RRB.BC.28A/03.05.34/2000-01
Asset Classification – Past due Concept
October 10, 2000
3604
IECD.3/08.15.01/2000-2001
Guidelines for Issue of Commercial Paper
October 10, 2000
3605
IECD.No.4/04.02.02/2000-2001
Export Credit – Suggestions from exporters for Improvement in procedures – Action Points
October 10, 2000
3606
UBD No.DS.PCB.7/13.04.00/2000-2001
Monetary and Credit Policy Measures – Mid-Term Review for the Year 2000-2001
October 10, 2000
3607
DBOD.No.Dir.BC.27/13.03.00/2000-01
Interest Rates on Deposits
October 6, 2000
3608
DBOD.No.Dir.BC.28/13.03.00/2000-01
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 6, 2000
3609
DBOD.No.Dir.BC.29/13.03.00/2000-01
Engagement of Outside Agents for Collection of Deposits or Selling of Deposit linked Products on Remuneration/Fees/Commission basis
October 6, 2000
3610
RPCD.No.Dir.BC.23B/07.38.01/2000-01
Engagement of outside agents for collection of deposits or selling of deposits linked products on remuneration / fees / commission basis
October 6, 2000
3611
RPCD.No.RF.Dir.BC.23D/07.38.04/2000-01
Engagement of outside agents for collection of deposits or selling depositslinked products on remuneration / fees/ commission basis
October 6, 2000
3612
UBD No.NBL.13/08.00.00/2000-01
Review of licensing policy for UCBs – Scrutiny of proposals
October 5, 2000
3613
DBOD.No.BC.25/08.95.004/2000
Directors on the Boards of Private Sector Banks
September 25, 2000
3614
UBD.BSD.I/6/12.05.00/2000-2001
Preventive Vigilance – Bringing out of Handbooks/Newsletters etc.
September 22, 2000
3615
RPCD.RRB.BC.19/03.05-67/2000-01
Single Exposure Limit – RRBs
September 21, 2000
3616
DBS.FID No.C.5/02.01.00/2000-2001
Advances against Shares and Debentures
September 19, 2000
3617
RPCD.RRB.BC.15/03.05.33/2000-01
Credit Facilities to Diamond Traders Exporters – Embargo on Trading in Conflict Diamonds under U.N. Resolution No. 1173 and 1176
September 14, 2000
3618
DBOD.No.BL.BC.23/22.01.001/2000-01
Section 23 of Banking Regulation Act, 1949 – Opening of Branches/Extension Counters/Shifting etc. – Obtention of Prior Licence
September 12, 2000
3619
DBS.FID No.C-4/01.02.00/2000-2001
Guidelines for Recovery of Dues Relating to Non Performing Assets (NPAs)
August 31, 2000
3620
DBOD.No.BP.BC.22/21.01.040/2000-01
Guidelines for Recovery of Dues relating to Non-Performing Assets of Public Sector Banks
August 30, 2000
3621
UBD.No.NBL.1/08.00.00/2000-2001
Revision of Licensing Policy of new urban co-operative banks
August 30, 2000
3622
DBOD.No.BP.BC.21/21.03.054/2000-01
Limits on Credit Exposures to Individual/Group Borrowers
August 29, 2000
3623
UBD.No.BR.Cir.3/16.48.00/2000-2001
Payment of balance in accounts of the Deceased customers to survivors/claimants
August 25, 2000
3624
UBD.No.DS.4/13.05.00/2000
Maximum Limit on Advances – Limits on Credit Exposure to Individuals/Group of Borrowers – Computation of Capital Funds
August 25, 2000
3625
UBD.No.DS.SUB.2/13.05.00/2000-2001
Rediscounting of Bills by Banks
August 25, 2000
3626
DBS.FID.No.C.3/.02.01.00/2000-2001
Financial Assistance to Industries Producing/ Consuming Ozone Depleting Substances (ODS)
August 24, 2000
3627
RPCD.CO.No.RF.BC.09/07.38.01/2000-2001
Payment of Balance in Accounts of the Deceased Customers to Survivors / Claimants
August 22, 2000
3628
DBOD.No.BC.18/12.02.001/2000-2001
Valuation of 6% Government of India Capital Indexed Bonds, 2002 by Banks – Change in Wholesale Price Index (WPI) Base Year
August 16, 2000
3629
DBOD.No.BP.BC.17/21.04.012/99
Relaxation to Trade and Industry in the State of Jammu & Kashmir
August 10, 2000
3630
DBOD.No.BP.BC.15/21.01.002/2000
Loans and Advances to Staff – Assignment of Risk-weight & Treatment in the Balance Sheet
August 7, 2000
3631
DBOD.No.BC.14/09.07.007/2000-2001
Opening of Deposit Accounts – Completion of Formalities
August 7, 2000
3632
IECD.No.(HF)2/03.27.25/2000-2001
Housing Finance Allocation for the year 2000-2001
August 7, 2000
3633
DBOD.No.BL.BC.13/22.01.03/2000
Acquisition of Accommodation on Lease/Rental basis by Commercial Banks for their Use i.e. for Office and Residence of Staff
August 4, 2000
3634
DBS.FID.No.C.2/01.02.00/2000-2001
Guidelines for recovery of dues relating to Non Performing Assets (NPAs)
July 28, 2000
3635
UBD.No.DS.PCB.1/13.05.00/2000-2001
Credit Extended to Diamond Exporters – Embargo on Import of Conflict Diamonds
July 28, 2000
3636
DBOD.No.BC.07/12.01.001/2000-01
Notification
July 21, 2000
3637
DBOD.No.BC.08/12.01.001/2000-01
Section 42(1) of the Reserve Bank of India Act, 1934 – Increase in Cash Reserve Ratio
July 21, 2000
3638
DBOD.No.BC.9/12.02.001/2000-2001
Penal Rate of Interest on the Shortfall in the Maintenance of CRR/SLR
July 21, 2000
3639
RPCD.CO.No.RF.BC.5/07.02.01/2000-2001
Penal rate of interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
July 21, 2000
3640
UBD.No.BR.PCB.CIR.2/16.11.00/2000-2001
Change in Bank Rate
July 21, 2000
3641
DBOD.No.DIR.BC.4/13.03.00/2000-2001
Master Circular – Exposure Norms
July 17, 2000
3642
DBOD.No.BP.BC.3/21.03.038/2000
Revised Calendar of Reviews
July 14, 2000
3643
IECD.No.1/04.02.02/2000-2001
Credit extended to Diamond Exporters Embargo on import of conflict diamonds
July 13, 2000
3644
DBOD.No.BP.SC.BC.002/21.04.103/2000-01
Risk Management Systems in Banks
July 7, 2000
3645
DBOD.No.Dir.BC.1/13.01.10/99-2000
Donations
July 6, 2000
3646
DNBS.(PD).CC.No.13/02.01/99-2000
Amendments to NBFC Regulations
June 30, 2000
3647
Notification DNBS.145/CGM(VSNM)-2000
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977
June 30, 2000
3648
DBOD.No.BP.BC.187/21.01.007/2000
Interest Tax Act, 1974 – Withdrawal of Interest-tax
June 29, 2000
3649
DBOD.BC.No.186/12.01.001/99-2000
Section 42 of RBI Act, 1934 – CRR – Maintenance of Minimum Level of 65% on a Daily basis
June 28, 2000
3650
UBD.No.DS.7/13.05.00/1999-2000
Customer Service – Immediate Credit of Outstation and Local Cheques – Enhancement of Ceiling
June 23, 2000
3651
DBS.FID.No.21/09.01.02/99-2000
Raising of Resources by All India FIs
June 21, 2000
3652
UBD.No.DS.PCB.CIR.38/13.01.00/1999-2000
Customer Service – Issue of Cheque Books
June 14, 2000
3653
DBOD.No.BP.BC.184/21.01.040/2000
Recovery of NPAs – Expeditious Realisation of Decreed Debts
June 12, 2000
3654
DBS.FID.No.C-20/01.02-00/99-2000
Income Recognition, Asset Classification, Provisioning and other Related Matters
May 30, 2000
3655
DBOD.No.BC.180/09-07-007/99-2000
Customer Service – Issue of Cheque Books
May 27, 2000
3656
DBS.FID.NO.C-19/02.01.00/99-2000
Export – Credit – Interest Rates
May 26, 2000
3657
RPCD.No.RRB.BC.96/03.05.34/99-2000
Investment in SLR/Approved Securities under Section 24 of B.R. Act, 1949 – RRB
May 26, 2000
3658
DBOD.No.Dir.BC.179/13.01.16/99-2000
Capital Gains Accounts Scheme, 1988 – Renewal of Overdue Term Deposit
May 26, 2000
3659
DBS.FID.No.C-18/01.02.00/99-2000
Interest Rate Surcharge on Import Finance
May 25, 2000
3660
IECD.No.16/08.14.01/99-2000
Interest Rate Surcharge on Import Finance
May 25, 2000
3661
UBD.No.DS.PCB.CIR.35/13.04.00/1999-2000
Interest Rate Surcharge on Import Finance
May 25, 2000
3662
UBD.No.DS.PCB.CIR.36/13.04.00/99-2000
Export Credit – Interest Rates
May 25, 2000
3663
UBD.No.DS.PCB.DIR.11/13.04.00/1999-2000
Interest Rates on Advances
May 25, 2000
3664
IECD.No.15/04.02.01/99-2000
Export Credit- Interest Rates
May 25, 2000
3665
UBD.CO.No.BSD-I.PCB(Cir.)34/12.05.05/99-2000
Income Recognition, Asset Classification, Provisioning and Valuation of Investments
May 24, 2000
3666
DBOD.BP.BC.175/21.01.040/2000
Remittance of Profits by Foreign Banks Operating in India
May 19, 2000
3667
IECD.No.14/04.02.02/1999-2000
Consignment Exports to Russian Federation against Repayment of State Credits – Interest Rates on Post-shipment Credit in Rupees
May 17, 2000
3668
DBOD.No.BP.BC.174/21.04.007/2000
Training Facilities
May 15, 2000
3669
DBOD.No.Dir.BC.173/13.07.05/99-2000
Rediscounting of Bills by Banks
May 12, 2000
3670
RPCD.No.RF.BC.91/07.37.02/99-2000
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Provision on Standard Assets
May 10, 2000
3671
DBOD.No.BP.BC.172/21.04.105/99-2000
Unpaid Dividend Transferred to Special Dividend Account
May 9, 2000
3672
DBS.FID.No.C-17/01.02.00/99-2000
Income recognition, Asset Classification and Provisioning – Provision for Standard Assets
May 5, 2000
3673
DBOD.No.BP.BC.169/21.01.002/2000
Monetary and Credit Policy Measures
May 3, 2000
3674
DBS.FID.No. /09.01.02/1999-2000
Raising of Resources by all India FIs
April 28, 2000
3675
RPCD.RRB.No.BC.89/03.05.33(C)/99-2000
Authorisation to RRBs to Open and Maintain Non-Resident Accounts in Rupees
April 28, 2000
3676
DBOD.No.Dir.BC.166/13.03.00/2000
Interest Rates on Deposits
April 27, 2000
3677
DBOD.No.Dir.BC.167/13.03.00/2000
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 27, 2000
3678
RPCD.CO.No.RF.DIR.BC.88D/07.08.01/99-2000
Interest Rates on Deposits
April 27, 2000
3679
RPCD.No.RF.DIR.BC.88C/07.38.04/99-2000
Monetary and Credit Policy for the Year 2000-2001 – Interest Rate Policy
April 27, 2000
3680
RPCD.RF.DIR.BC.88E/07.38.01/99-2000
Monetary and Credit Policy for the Year 2000-2001 – Interest Rate Policy
April 27, 2000
3681
UBD.No.DS.(AD).Cir.3/13.02.00/1999
Monetary and Credit Policy for the Year 2000-2001 – Interest Rate Policy Interest Rates on Deposits held under FCNR(B) Scheme
April 27, 2000
3682
UBD.No.DS.PCB.Cir.32/13.01.00/1999-2000
Interest Rates on Deposits held under Non-Resident (External) Accounts
April 27, 2000
3683
UBD.No.DS.PCB.DIR.10/13.01.00/1999-2000
Interest Rates on Deposits
April 27, 2000
3684
DBOD.No.IBS.BC.165/23.67.001/99-2000
Gold Deposit Scheme – Allowing Banks to Lend Gold to Other Authorised Banks
April 27, 2000
3685
DBOD.No.BP.BC.164/21.04.048/2000
Prudential Norms on Capital Adequacy, Income Recognition, Asset Classification and Provisioning etc.
April 24, 2000
3686
DBS.FID.No.C-15/01.02.00/99-2000
Ready Forward Contracts
April 8, 2000
3687
UBD.No.DS.PCB.CIR.30/13.04.00/99-2000
Export Credit – Interest Rates – Clarifications
April 7, 2000
3688
DBOD.No.BP.BC.163/21.04.048/2000
Income Recognition, Asset Classification, Provisioning and other related matters – Valuation of Investments
April 7, 2000
3689
RPCD.No.RF.BC.83/07.02.08/99-2000
Ready Forward Contracts
April 6, 2000
3690
RPCD.No.NB.BC.78/03.03.02/99-2000
Advances to State Co-operative Banks under Section 17(4)(a) of the RBI Act, 1934 for General Banking Business – Rate of Interest
April 1, 2000
3691
DBOD.No.BC.154/12.02.001/99-2000
Penal Rate of Interest on the Shortfall in the Maintenance of CRR/SLR
April 1, 2000
3692
DBOD.No.BC.155/12.01.001/99-2000
Notification
April 1, 2000
3693
DBOD.No.BC.156/12.01.001/99-2000
Section 42(1) of the RBI Act, 1934 – Reduction in CRR
April 1, 2000
3694
RPCD.No.RF.BC.77/07.02.01/99-2000
Penal Rate of Interest on the Shortfalls in the Maintenance of CRR
April 1, 2000
3695
UBD.No.BR.PCB.CIR.28/16.11.00/1999-2000
Change in Bank Rate
April 1, 2000
3696
DBOD.Dir.BC.158/13.03.00/2000
Interest Rates on Deposits
April 1, 2000
3697
DBOD.No.Dir.BC.157/13.03.00/2000
Interest Rates on Deposits
April 1, 2000
3698
DBOD.No.Dir.BC.159/13.03.00/2000
Notification – Interest Rates on Deposits – Capital Gains Account Scheme, 1988
April 1, 2000
3699
RPCD.Dir.BC.No.79/07.38.01/99-2000
Interest Rates on Deposits
April 1, 2000
3700
RPCD.No.Dir.BC.80/07.38.01/99-2000
Interest Rates on Deposits
April 1, 2000
3701
RPCD.No.Dir.BC.81/07.38.01/99-2000
Interest Rates on Deposits
April 1, 2000
3702
RPCD.No.Dir.BC.82/07.38.01/99-2000
Interest Rates on Deposits
April 1, 2000
3703
UBD.DS.PCB-DIR.7/13.01-00/1999-2000
Interest Rate on Deposits
April 1, 2000
3704
UBD.No.DS.PCB.CIR.29/13.01-00/1999-2000
Interest Rates on Deposits
April 1, 2000
3705
UBD.No.DS.CIR.31/13.05.00/1999-2000
Maximum Limit on Advances – Limits on Credit Exposure
April 1, 2000
3706
DBOD.No.FSC.BC.149/24.76.002/2000
Ready Forward Transactions
March 23, 2000
3707
DBOD.No.FSC.BC.150/24.76.002/99-2000
Ready Forward Contracts
March 23, 2000
3708
DBOD.No.Dir.BC.151/13.03.00/99-2000
Interest Rates on Deposits
March 23, 2000
3709
RPCD.RRB.BC.71/03.05.67/99-2000
RRBs (i) Reduction in Single Exposure Limit and (ii) Computation of Owned Funds
March 23, 2000
3710
UBD.No.Plan.Cir.RCS.2/10.01.00/1999-2000
Refinance facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Tiny/Cottage Industrial Units
March 16, 2000
3711
IECD.No.12/04.02.01/1999-2000
Export Credit Interest Rate – Clarifications
March 15, 2000
3712
DBOD.No.BC.148/09.07.007/99-2000
Payment of Balance in Accounts of the Deceased Customers to Survivors / Claimants
March 14, 2000
3713
DBOD.No.BC.147/09.07.007/99-2000
Customer Service
March 9, 2000
3714
DBOD.No.FSC.BC.145/24.01.013-2000
Guidelines relating to MMMFs
March 7, 2000
3715
IECD.No.11/08.12.01/99-2000
Financing of Infrastructue Projects – Coverage
March 2, 2000
3716
DBOD.No.BP.BC.144/21.04.048-2000
Income Recognition, Asset Classification, Provisioning and other related matters and Capital Adequacy Standards – Takeout Finance
February 29, 2000
3717
RPCD.No.NB.BC.63/03.03.01/99-2000
Interim Accommodation to State Governments
February 28, 2000
3718
UBD No.BSD.PCB./25/12.05.05/99-2000
Income Recognition, Asset Classification, Provisioning and other related matters
February 28, 2000
3719
UBD.NO.PCB.Plan/24/10.01.00/99-2000
Credit to Small scale Industries Sector
February 23, 2000
3720
DBOD.No.Dir.BC.140/13.03.00/99-2000
Interest Rates on Deposits
February 12, 2000
3721
DBOD.No.Dir.BC.141/13.03.00/99-2000
Interest Rates on Deposits
February 12, 2000
3722
UBD.BSD.I/23/12.02.Misc/99-2000
Loss of National Savings Certificates (NSC)/ Indira Vikas Patras(IVP)/Kisan Vikas Patra (KVP) etc,
February 10, 2000
3723
UBD No.BSD.I/22/12.05.00/99-2000
Prudential Norms on Income Recognition, Asset Classification and Provisional – Agricultural loans affected by natural calamities
February 8, 2000
3724
DBOD.No.BP.BC.138/21.04.048/2000
Income Recognition, Asset Classification and Provisioning – Export Project Finance
February 7, 2000
3725
DBOD.No.JPC.BC.137/27.01.031/99-2000
Bankers Books Evidence Act, 1891
February 4, 2000
3726
RPCD.No.RF.BC.56/07.38.01/99-2000
Transactions in relation to which PAN or GIR No. to be quoted in all Documents – Notification
January 28, 2000
3727
DBOD.No.BC.136/09.08.001/99-2000
Code of Conduct for Opening and Operating Current Accounts
January 25, 2000
3728
DBS.FID.No.C-13/01.02.00/1999
Special Reserves Created under Section 36(1) (viii) of the Income-Tax Act, 1961
January 18, 2000
3729
UBD.No.PCB.CIR.21/13.05.00/1999-2000
Customer Service – Collection of Outstation Cheques
January 17, 2000
3730
RPCD.RRB.No.BC.54/03.05.34/99-2000
Strengthening of Prudential Norms – Provisioning and Asset Classification
January 14, 2000
3731
Notification DNBS.139/CGM(VSNM)-2000
Maintenance of Liquid Assets by NBFCs
January 13, 2000
3732
Notification No.DFC.121/ED(G)-98
Maintenance of Liquid Assets by NBFCs
January 13, 2000
3733
DNBS.(PD).CC.No.12/02.01/99-2000
Amendments to NBFC Regulations
January 13, 2000
3734
Notification DNBS.138/CGM(VSNM)-2000
Notification
January 13, 2000
3735
DBOD.No.Dir.BC.134/13.03.00/99-2000
Interest Rates on Deposits
January 13, 2000
3736
DBOD.No.Dir.BC.135/13.03.00/99-2000
Interest Rates on Deposits
January 13, 2000
3737
UBD.DS.19/13.04.00/1999-2000
Reliefs/Concessions for Exporters Affected by Cyclone in Orissa
January 4, 2000
3738
DBS.FID.No.C-11/01.02.00/99-2000
Asset-Liability Management (ALM) System
December 31, 1999
3739
DBOD.No.IBS.BC/130/23.31.006/99-2000
Opening of Credit Card Centres
December 24, 1999
3740
IECD.No.10/04.02.01/1999-2000
Reconstitution of State Level Export Promotion Committee
December 24, 1999
3741
IECD.No.9/04.02.01/99-2000
Reliefs/Concessions for Exporters Affected by Cyclone in Orissa
December 21, 1999
3742
RPCD.No.RF.Dir.BC.46/07.38.04/99-2000
FCNR(B) Scheme – Minimum Period of Maturity for Deposits
December 16, 1999
3743
RPCD.No.RF.Dir.BC.47/07.38.04/99-2000
FCNR(B) Scheme – Minimum Period of Maturity for Deposits
December 16, 1999
3744
UBD.NO.BR.16/16.02.00/99-2000
Reserve Banks of India Offices will remain open on 31st December 1999
December 13, 1999
3745
DBS.FID.No.C-10/01.02.00/99-2000
Income recognition, Asset Classification and Provisioning – Provision for Standard Assets
December 11, 1999
3746
RPCD.No.RF.BC.40/07.02.08/99-2000
Ready Forward Transactions
December 10, 1999
3747
RPCD.No.RF.DIR.BC.39/07.02.08/99-2000
Ready Forward Transactions
December 10, 1999
3748
RPCD.RF.No.BC.42/07.37.02/99-2000
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Classification of Investments under ‘Permanent’ & ‘Current’ Categories
December 3, 1999
3749
IECD.2828/08.12.01/1999-2000
Guidelines for sanction of working capital finance to Information Technology (IT) and Software Industry
December 2, 1999
3750
RPCD.No.RF.BC.41/07.37.02/99-2000
Income Recognition, Asset Classification, Provisioning and Other Related Matters
December 2, 1999
3751
DBS.FID.No.C-09/01.02.00/99-2000
Prudential Norms relating to Asset Classification and Provisioning – Export Project Finance
December 1, 1999
3752
DBOD.BC.No.127/12.05.005/99-2000
Rationalisation of Returns submitted by Banks to RBI
November 30, 1999
3753
UBD.DS.PCB.CIR.15/13.05.00/99-2000
Bill Finance for Settlement of Dues of SSI Suppliers
November 26, 1999
3754
DBOD.No.FSC.BC.125/24.76.002/99
Ready Forward Transactions
November 24, 1999
3755
DBOD.No.FSC.BC.126/24.76.002/99
Ready Forward Transactions
November 24, 1999
3756
DBOD.No.Dir.BC.124/13.10.00/99-2000
Levy of Service Charges by Commercial Banks for Remittances of Contribution for Relief of Cyclone Affected People of Orissa State
November 18, 1999
3757
IECD.No.8/03:27:35/1999-2000
Transfer of Housing Loan Accounts vis-a-vis Housing Finance Allocation – Clarification
November 16, 1999
3758
Notification DNBS.133/CGM(OPA)-99
NBFC Acceptance of Public Deposits (Reserve Bank) Directions, 1998
November 15, 1999
3759
DBOD.No.FSC.BC.123/24.01.019/99-2000
Guidelines for the Issue of Smart/Debit Cards by Banks
November 12, 1999
3760
DBOD.No.BP.BC.121/21.04.124/99
Monetary & Credit Policy Measures
November 3, 1999
3761
IECD.No.7/08.12.01/99-2000
Bill Finance for Settlement of Dues
November 2, 1999
3762
DBS.FID.No.C-5/01.02.00/99-2000
Overseeing the Audit Functions in Financial Institutions – Setting up of Audit Committee of Board (ACB)
November 2, 1999
3763
DBOD.No.BP.BC.118/21.01.023/99
Receipt of Foreign Contributions by Associations/Organisation in India under FCRA, 1976
November 2, 1999
3764
DBOD.IBS.BC.No.109/23.06.001/99-2000
Indianisation of Staff
October 30, 1999
3765
DBOD.No.BC/105/13.07.01/99
Interest Rates on Advances
October 29, 1999
3766
DBOD.No.Dir.BC.107A/13.01.04/99
Advances against Domestic Term Deposits
October 29, 1999
3767
IECD.No.4/08.14.01/99-2000
Interest Rate Surcharge on Import Finance
October 29, 1999
3768
UBD.No.DS.99/13.04.00/1999-2000
Interest Rate Surcharge on Import Finance
October 29, 1999
3769
UBD.No.DS.PCB.13/13.04.00/99-2000
Export Credit – Interest Rates
October 29, 1999
3770
UBD.No.DS.PCB.Dir.4/13.04.00/1999-2000
Interest Rates on Advances
October 29, 1999
3771
DBOD.No.BC.110/12.01.001/98-99
Notification
October 29, 1999
3772
DBOD.No.BC.111/12.01.001/98-99
Notification
October 29, 1999
3773
DBOD.No.BC.112/12/.01.001/99-2000
Notification
October 29, 1999
3774
DBOD.No.BC.113/12.01.001/99-2000
Section 42(1) of the RBI Act, 1934 – Reduction in CRR
October 29, 1999
3775
UBD No.3/16.11.000/99-2000
Notification
October 29, 1999
3776
UBD.No.BR.4/16.11.00/99-2000
Notification
October 29, 1999
3777
DBOD.No.Dir.BC.107/13.01.04/99
Interest Rates on Deposits
October 29, 1999
3778
DBOD.No.Dir.BC.108/13.01.09/99
FCNR(B) Scheme
October 29, 1999
3779
IECD.No.6/04.02.01/99-2000
Export Credit – Interest Rates
October 29, 1999
3780
IECD.No.(HF)5/03:27:25/99-2000
Housing Finance – Modification in Loan Size
October 29, 1999
3781
UBD No BSD.I/ 12/12.05.00/99-2000
Receipt of foreign contributions by various Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
October 28, 1999
3782
UBD.Cir.PCB.2/13.02.00/99-2000
Mid-Term Review of Monetary and Credit Policy for 1999-2000 – Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 27, 1999
3783
RPCD.No.RRB.BC.33/03.05.34/99-2000
Investment in SLR/Approved Securities under Section 24 of BR Act, 1949
October 26, 1999
3784
DBOD.No.BP.BC.103/21.04.048/99
Income Recognition, Asset Classification and Provisioning – Agricultural Finance by Commercial Banks through PACS/FSS
October 21, 1999
3785
DBOD.No.BP.BC.101/21.04.048/99
Income Recognition, Asset Classification & Provisioning – Valuation of Investment by Banks in Subsidiaries
October 18, 1999
3786
RPCD.No.RRB.BC.30/03.05.34/99-2000
Investment in Unsecured Redeemable Bonds Issued by Banks/Financial Institutions for Augmenting Tier – II Capital
October 12, 1999
3787
DBOD.BC.101/12.04.002/99-2000
T.T Discounting Facility – Renewal
October 12, 1999
3788
UBD No.BSD.I/11 /12.05.00/1999-2000
Clarification on classification of -gold loans into Non-performing Assets
October 12, 1999
3789
UBD No.BSD.I/10/12.05.00/1999-2000
Before the Hon’ble High Court at Mumbai W.P.1893 of 1997-D.S.Thange v/s State of Maharashtra & Others
October 7, 1999
3790
DBOD.No.BP.(SC).BC.98/21.04.103/99
Risk Management Systems in Banks
October 7, 1999
3791
DBOD.No.IBS.BC.95/23.67.001/99-2000
Notification
October 5, 1999
3792
DBOD.No.IBS.BC.96/23.67.001.99-2000
Gold Deposit Scheme – Exemption from Reserve Requirements
October 5, 1999
3793
IBS.912/23.67.001/99-2000
Gold Deposit Scheme
October 5, 1999
3794
DBS.FID.No.C-4/01.02.00/99-2000
Equipment Leasing Activity – Accounting/Provisioning Norms
September 30, 1999
3795
UBD.No.NBL/3/08.00.00/99-2000
Organisation of new Urban Cooperative Banks
September 27, 1999
3796
DBOD.No.BP.BC.93/21.02.036/99
Grant of Advances aginst the Security of Relief Bonds
September 23, 1999
3797
DBOD.No.FSC.BC.92/24.91.001/99
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
September 23, 1999
3798
RPCD.No.RRB.BC.25/03/05/34/99-2000
Interest Rates on SLR Deposits of RRBs
September 22, 1999
3799
UBD.No.DS.PCB.CIR.8/13.04.00/1999-2000
Interest Rate Surcharge on Import Finance
September 21, 1999
3800
UBD.DS.2/13.01.00/1999-2000
Interest Rates on Deposit
September 21, 1999
3801
UBD.No.DS.PCB.CIR.9/13.01.00/1999-2000
Interest Rates on Deposits
September 21, 1999
3802
UBD.No.DS.SUB.3/13.05.00/1999-2000
Rediscounting of Bills by Banks
September 21, 1999
3803
UBD.No.Plan.PCB.CIR.07/09.27.00/99-2000
Bank Guarantees
September 21, 1999
3804
DBOD.No.BP.BC.87/21.01.002/99
Capital Adequacy Ratio – Risk Weight on Banks’ Investments in Bonds/Securities Issued by FIs
September 8, 1999
3805
UBD.No.Plan.PCB.6/10.01.00/99-2000
Small Scale Industrial Sector -a) Promulgation of Ordinance b) Recommendations of the SSI Board
September 7, 1999
3806
IECD.No.3/04.02.01/1999-2000
Simplification of Procedure for Delivery of Export Credit – Implementation of Guidelines
September 7, 1999
3807
DBOD.No.Dir.BC.86/13.10.00/99-2000
Levy of Service Charges by Commercial Banks
September 7, 1999
3808
DBOD.No.BC.85/09.08.001/99-2000
Bombay High Court – Writ Petition No. 434 of 1998
September 6, 1999
3809
DBOD.No.FSC.BC.83/24.76.002/99
Ready Forward Transactions
August 23, 1999
3810
DBOD.No.FSC.BC.84/24.76.002/99
Ready Forward Transactions
August 23, 1999
3811
RPCD.No.RF.BC.21/07.02.08/99-2000
Ready Forward Transactions
August 20, 1999
3812
RPCD.No.RF.Dir.BC.17/07.38.01/99-2000
Interest Rates on Deposits
August 19, 1999
3813
RPCD.No.RF.Dir.BC.18/07.38.01/99-2000
Interest Rates on Deposits
August 19, 1999
3814
DBOD.No.BP.BC.82 /21.03.038/99
Monetary and Credit Policy Measures
August 18, 1999
3815
IECD.No.2/04.02.01/1999-2000
Interest Rates on Export Credit in Foreign Currency
August 16, 1999
3816
IECD.No.845/04.02.01/1999-2000
Simplification of Procedures of Delivery of Credit to Exporters – Application Form
August 16, 1999
3817
DBOD.No.Dir.CS.BC.2/13:07:05/99-2000
Restriction on Credit to Companies for Buy back of its Securities
August 16, 1999
3818
DBS.FID.No.03/01.02.00/99-2000
Permission to Undertake Ready Forward Transactions
August 10, 1999
3819
RPCD.No.RF.BC.12/07.02.08/99-2000
Ready Forward Transactions
August 9, 1999
3820
RPCD.No.RF.Dir.BC.11A/07.02.08/99-2000
Ready Forward Transactions
August 9, 1999
3821
DBOD.No.BP.BC.78/21.04.009/99
Bank Guarantees
August 4, 1999
3822
DBOD.No.BC.75/24.01.001/98-99
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
July 29, 1999
3823
DBOD.No.FSC.BC.76/24.76.002/99
Ready Forward Transactions
July 29, 1999
3824
DBOD.No.FSC.BC.77/24.76.002/99
Ready Forward Transactions
July 29, 1999
3825
DBOD.BP.CS.BC.1/21.01.023/99
Receipt of Foreign Contributions by various Associations/Organisation in India under FCRA, 1976
July 28, 1999
3826
UBD.No.BSD.I/2/12.05.05/1999-2000
Income Recognition, Asset Classification and Provisioning -Concept of Commencement of Commercial Production
July 28, 1999
3827
DBOD.No.FSC.BC.74/24.76.002/99
Ready Forward Transactions
July 27, 1999
3828
RPCD.No.RF.BC.08/07.38.01/99-2000
Deduction of Tax at Source from Interest on Time Deposits with Banks
July 23, 1999
3829
DBOD.No.IBS.BC.72/23.67.001/99-2000
Notification
July 21, 1999
3830
DBOD.No.IBS.BC.73/23.67.001/99-2000
Maintenance of CRR & SLR on Liabilities under Gold Borrowed from Abroad and Lent to Jewellery Exporters in India for the Purpose of Exports
July 21, 1999
3831
IECD.No.1/08.14.01/99-2000
Interest Rate Surcharge on Import Finance
July 19, 1999
3832
DBOD.No.FSC.BC.70/24.01.001/99
Equipment Leasing Activity – Accounting/Provisioning Norms
July 17, 1999
3833
DBS.FID.No.01/01.02.00/99-2000
Filing of Suits by FIs to Recover Dues
July 12, 1999
3834
DBOD.BP.BC.69 /21.03.038/99
Filing of Suits by Banks to Recover Dues
July 12, 1999
3835
UBD.No.BR.1/16.26.00/99-2000
Default in submission of various Returns by Primary (Urban Co-operative Banks (PCBS) under the Banking Regulation Act, 1949 (AACS) and Statement–/Returns/Compliance prescribed by Reserve Bank of India – Penal
July 2, 1999
3836
DBOD.No.BP.BC.67/21.04.048/99
Reconciliation of Nostro Accounts
July 1, 1999
3837
DBOD.No.FSC.BC.64/24.91.001/99
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
July 1, 1999
3838
DBOD.No.FSC.BC.65/24.01.001-99
Participation in the Share Capital of Financial Services Companies
July 1, 1999
3839
UBD.No.BR.32/16.04.00/98-99
Nomination Facility In Deposit Accounts
June 28, 1999
3840
DBOD No………IBS.3161/23.67.001.98-99
Gold Loan against Bank Guarantee / Letter of Credit Issued by Other Banks
June 25, 1999
3841
DBOD.No.BP.BC.62/21.01.001/98-99
Delegation of Powers to Regional Offices of RBI
June 18, 1999
3842
DBOD.No.BP.BC.61/21.02.052/99
Deduction of Tax at Source from Interest on Time Deposits with Banks
June 12, 1999
3843
UBD.No.Plan.Cir.RCS.3/10.01.00/98-99
Refinance facilities to Primary (Urban) co-operative Banks under Section 17 of the RBI
June 10, 1999
3844
DBS.FID.NO.43/01.02.00/98-99
Financial Assistance for Payments under Voluntary Retirement Scheme (VRS)
June 7, 1999
3845
RPCD.No.RF.BC.102/07.37.02/98-99
Income Recognition, Assets Classification, Provisioning and other related matters
June 1, 1999
3846
UBD.DC(AD).320/13.02.00/98-99
Interest Rates on Deposits in Japanese Yen under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 29, 1999
3847
UBD.No.DIR.(AD).6/13.02.00/98-99
Interest Rates on Deposits accepted in Japanese Yen under Foreign Currency Non-Resident Accounts (Banks) Scheme
May 29, 1999
3848
DBOD.BC.No.59/09.07.007/98-99
Nomination Facility in Deposit Accounts
May 28, 1999
3849
DBOD.No.FSC.BC.58/24.91.001/99
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
May 28, 1999
3850
DBOD.No.FSC.BC.56/24.92.001/99
Permission to Participate in Call/Notice/Term Money Market and Bills Rediscounting Scheme – Primary Dealers
May 27, 1999
3851
IECD.No.29/08.12.01/98-99
Lending to NBFCs
May 25, 1999
3852
DBOD.No.BP(SC).BC.55/21.04.098/99
Asset-Liability Management (ALM) System
May 24, 1999
3853
DBOD.Dir.BC.No.50/13.03.00/99
Interest Rates on Deposits
May 22, 1999
3854
DBOD.Dir.BC.No.52/13.03.00/99
Interest Rates on Deposits
May 22, 1999
3855
DBOD.No.Dir.BC.51/13.03.00/99
Interest Rates on Deposits Held Under Foreign Currency Non-Resident (Banks) Scheme
May 22, 1999
3856
DBS.FID.No.42/01.02.00/98-99
Income Recognition, Asset Classification and Provisioning – Concept of Commencement of Commercial Production
May 18, 1999
3857
UBD.No.DS.PCB.CIR.31/13.05.00/98-99
Flow of Credit to SSI Sector
May 15, 1999
3858
IECD.No.27/04.02.01/98-99
Reconstitution of State Level Export Promotion Committee
May 11, 1999
3859
IECD.No.28/04.02.01/98-99
Reconstitution of State Level Export Promotion Committee
May 11, 1999
3860
DBOD.No.BP.BC.47/21.04.012/99
Relaxation to Trade and Industry in the State of Jammu & Kashmir
May 11, 1999
3861
RPCD.No.RRB.BC.98/03.05.85/98-99
Regional Rural Banks – Transfer of Operational responsibility to sponsor banks
May 11, 1999
3862
DBOD.BP.BC.45/21.04.048/99
Income Recognition, Asset Classification and Provisioning – Concept of Commencement of Commercial Production
May 10, 1999
3863
UBD.No.DS.PCB.(Cir)30/13.05.00/98-99
Acquisition of Accommodation on Lease/Rental basis by Primary Co-operative Banks for their Use (i.e. for Office and Residence of Staff)
May 8, 1999
3864
RPCD.No.RF.BC.96/07.02.08/98-99
Ready Forward Transactions
May 5, 1999
3865
RPCD.No.RF.BC.97/07.02.08/98-99
Ready Forward Transactions
May 5, 1999
3866
DBOD.No.BP.BC.35/21.01.002/99
Monetary and Credit Policy Measures
April 24, 1999
3867
DBOD.No.Dir.BC.36/13.01.04/99
Interest Rates on Deposits
April 23, 1999
3868
DBOD.No.FSC.BC.38/24.76.002/99
Ready Forward Transactions
April 23, 1999
3869
DBOD.No.FSC.BC.39/24.76.002/99
Ready Forward Transactions
April 23, 1999
3870
IECD.No.26/08.12.01/98-99
Financing of Infrastructure Projects
April 23, 1999
3871
UBD No.BSD-I.29/12.05.05/98-99
Income recognition asset classification and other related matters
April 23, 1999
3872
DBOD.No.FSC.BC.32/24.76.002/99
Ready Forward Transactions
April 21, 1999
3873
DBOD.No.FSC.BC.33/24.76.002/99
Ready Forward Transactions
April 21, 1999
3874
DBOD.No.BC.30/12.01.001/98-99
Notification
April 20, 1999
3875
DBOD.No.BC.31/12.01.001/98-99
Section 42(1) of the RBI Act, 1934 – Reduction in CRR
April 20, 1999
3876
DNBS.(PD)No.CC.10/02.59/98-99
Minimum Net Owned Fund (NOF) for Commencement of Business of Non-Banking Financial Institution (NBFI)
April 20, 1999
3877
Notification DNBS.132/CGM(VSNM)-99
Notification
April 20, 1999
3878
DBS.FID.No.38/01.02.00/98-99
Asset Liability Management (ALM) System
April 20, 1999
3879
DBOD.No.BP.BC.29/21.01.023/99
Revising/Updating of Operational Manual
April 16, 1999
3880
IECD.No.24/03.27.25/98-99
Housing Finance Allocation for the Year 1999-2000 and Submission of Data
April 15, 1999
3881
DBOD.No.BP.BC.28/21.04.048/98-99
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Valuation of Investments
April 15, 1999
3882
IECD.No.23/04.02.01/98-99
Change of Tenor of Bill – Applicability of Concessional Rate of Interest
April 12, 1999
3883
RPCD.No.RF.BC.89/07.37.02/98-99
Income Recognition, Assets Classification, Provisioning and other related matters
April 9, 1999
3884
UBD.No.DS.PCB.CIR.27/13.03.00/98-99
Advances to Sugar Industry – Continuance of Credit Facilities by Banks against Stocks of Freesale Sugar sold to Government for Public Distribution System (PDS)
April 8, 1999
3885
DBOD.No.FSC.BC.27/24.91.001/99
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
April 7, 1999
3886
RPCD.No.RF.BC.88/07.38.02/98-99
Advances to sugar industry – Continuance of credit facilities by banks against stocks of freesale sugar sold to Government for Public Distribution System (PDS)
April 5, 1999
3887
UBD.No.150/06.16.02/98-99
Working Group on Money Supply Analytics and Methodology of Compilation
April 5, 1999
3888
DBOD.No.BC.26/08.95.005/99
Section 20 of the B.R. Act, 1949 – General Order
April 1, 1999
3889
DBOD.No.BP.BC.25/21.03.038/99
Filing of Suits by Banks to Recover Dues
March 30, 1999
3890
DBOD.No.FSC.BC.23/24.91.001/99
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
March 27, 1999
3891
UBD.No.Plan.Cir.RCS.2/09.22.01/98-99
Finance for Housing Schemes Primary (Urban) Co-operative Banks
March 15, 1999
3892
DBOD.No.FSC.BC.20/24.92.001/99
Permission to Participate in Call/Notice/Term Money Market and Bills Rediscounting Scheme – Primary Dealers
March 10, 1999
3893
IECD.No.22/08.12.01/98-99
Financial Assistance for Payment under VRS
March 9, 1999
3894
RPCD.No.RF.BC.80/07.37.02/98-99
Prudential Norms on Income Recognition, Asset Classification and Provisioning – Agricultural loans affected by natural calamities
March 9, 1999
3895
IECD.No.21/04.02.02/98-99
Exports to Iraq
March 8, 1999
3896
IECD.No.(HF)/20/03.27.25/98-99
Housing Finance Allocation for the Year 1999-2000
March 6, 1999
3897
RPCD.No.RF.BC.76/07.02.01/98-99
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
March 4, 1999
3898
IECD.No.18/04.09.01/98-99
Export Credit in Foreign Currency – Monitoring Group
March 3, 1999
3899
IECD.No.19/04.02.01/98-99
Export Credit – Interest Rates
March 3, 1999
3900
UBD.No.DS.PCB.CIR.22/13.04.00/98-99
Interest Rates on Export Credit
March 3, 1999
3901
UBD.No.DS.PCB.DIR.5/13.04.00/98-99
Interest Rates on Advances
March 3, 1999
3902
DBOD.No.BC.16/12.01.001/98-99
Notification
March 1, 1999
3903
DBOD.No.BC.17/12.01.001/98-99
Section 42(1) of the RBI Act, 1934 – Reduction in CRR
March 1, 1999
3904
DBOD.No.BC.18/12.02.001/98-99
Penal Rate of Interest on the Shortfall in the Maintenance of CRR/SLR
March 1, 1999
3905
IECD.No.17/04.02.01/98-99
Export Credit Foreign Currency at Internationally Competitive Rates – Simplification of Procedures
February 28, 1999
3906
RPCD.No.RRB.BC.70/03.05.67/98-99
RRBs Additional equity support – Computation of owned funds for single exposure norms
February 25, 1999
3907
IECD.No.16/04.02.01/98-99
Advance against Duty Drawback Claims
February 25, 1999
3908
RPCD.No.RF.BC.71/07.38.01/98-99
Operation of bank accounts by old/sick/incapacitated customers
February 25, 1999
3909
DBOD.No.Dir.BC.15/13.20.02/99
In the Hon’ble High Court of Bombay, O.O.C.J. – Writ Petition No. 2568 of 1998
February 25, 1999
3910
UBD.NO.BSD-I/2144/12.05.00/98-99
In The Hon’ble High Court of Bombay – Writ Petition No. 1893 of 1998 D.S. Thange And Others – Petitioners VS. State of Maharashtra And Others – High
February 24, 1999
3911
IECD.No.14/04.02.01/98-99
Reconstitution of State Level Export Promotion Committee
February 23, 1999
3912
IECD.No.15/03.27.004/98-99
Advances to Sugar Industry – Continuance of Credit Facilities by Banks against Stocks of Freesale Sugar Sold to Govt. for PDS
February 23, 1999
3913
DBOD.No.Dir.BC.13/13:07:05-99
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
February 23, 1999
3914
UBD No.BSD.I/RCS-I/12.05.03/98-99
Acquisition and Shifting of Office
February 19, 1999
3915
DBOD.No.BC.11/08.95.005/98-99
Section 20 of the BR Act, 1949 – Special Order/General Order
February 15, 1999
3916
DBOD.No.BC.10/12.01.001/98-99
Section 42(2) of RBI Act, 1934 – Return in Form A
February 15, 1999
3917
DBOD.No.BP.BC.8/21.04.098/99
Asset-Liability Management (ALM) System
February 10, 1999
3918
UBD.No.14/06.12.06/98-99
Banking Regulation Act, 1949 (As Applicable to Cooperative societies) Submission of Returns
February 10, 1999
3919
DBOD.No.FSC.BC.6/24.76.002/99
Ready Forward Transactions
February 10, 1999
3920
DBOD.No.FSC.BC.7/24.76.002/99
Ready Forward Transactions
February 10, 1999
3921
RPCD.No.RF.BC.64/07.02.08/98-99
Ready Forward Transactions
February 8, 1999
3922
RPCD.No.RF.DIR.BC.63/07.02.08/98-99
Ready Forward Transactions
February 8, 1999
3923
DBOD No.BC.938/08.95.005/99
General Order
February 8, 1999
3924
UBD No.BSD.I/PCBs.18/12.05.01/98-99
Recent of Foreign Contributions by various Associations /Organisations in India under Foreign Contribution (Regulation ) Act.1976
January 30, 1999
3925
DBOD.No.DIR.BC.2/13:07:05-99
Bridge Loans
January 29, 1999
3926
IECD.No.(HF)12/03.27.25/98-99
Terms and Conditions governing Direct Finance for Purchase of Old House
January 15, 1999
3927
IECD.No.11/04.02.01/98-99
Export Credit – Floriculture, Grapes and Other Agro Prodcuts
January 13, 1999
3928
UBD.No.DS.PCB.Cir.16/13.05.00/98-99
Dematerialisation of Securities held as Collaterals
January 6, 1999
3929
RPCD.No.RRB.BC.55/03.05.33/98-99
Rate of Interest on Refinance to Regional Rural Banks
December 31, 1998
3930
DBOD.No.IBS.1519/23.67.001/98-99
Gold Loan
December 31, 1998
3931
DBOD.No.BP.BC.120/21.04.048/98
Prudential Norms on Income Recognition, Asset Classification and Provisioning – Agricultural Loans Affected by Natural Calamities
December 29, 1998
3932
DBOD.No.BP.BC.119/21.01.002/98
Monetary & Credit Policy Measures – Capital Adequacy Ratio – Risk Weight on Bank’s Investments Bonds/Securities Issued by Financial Institutions
December 28, 1998
3933
UBD No.BSD-I/PCBs/13/12.05.01/98-99
Transactions in relation to which Permanent Account NO. (PAN) or General Index Register (GIR) Number to be quoted in all documents – Notification dated 9 October 1998 issued in the Gazette of India, extra Ordinary part II section 3 by central Board of Direct taxes
December 21, 1998
3934
UBD.No.DS.PCB.Cir.12/13.01.00/98-99
Operation of Banks Accounts by Old/Sick/Incapacitated Customers
December 21, 1998
3935
DNBS.No.CC.07/02.01/98-99
Non-Banking Financial Companies – Amendments to Directions
December 18, 1998
3936
Notification DNBS.129/CGM(VSNM)-98
Notification
December 18, 1998
3937
DBOD.No.FSC.BC.116/24.76.002/98
Ready Forward Transactions
December 15, 1998
3938
DBOD.No.FSC.BC.117/24.76.002/98
Ready Forward Transactions
December 15, 1998
3939
UBD.BR/11/16.51.00/98-99
Name as appearing in the certificate of Registration and the License – Use of – Primary (Urban) Co-operative Banks
December 11, 1998
3940
RPCD.No.RF.BC.49/07.02.08/98-99
Ready Forward Transactions
December 9, 1998
3941
RPCD.No.RF.DIR.BC.48/07.02.08/98-99
Ready Forward Transactions
December 9, 1998
3942
DBOD.No.Dir.BC.115/13.07.05/98-99
Dematerialisation of Securities held as Collaterals
December 9, 1998
3943
RPCD.No.RRB.BC.46/03.05.34/98-99
Transactions in relation to which Permanent Account No. (PAN) or General Index Register (GIR) Number to be quoted in all documents – Notification dated 9th October, 1998 Issued in the Gazette of India, extraordinary Part II, Section 3 by Central Board of Direct Taxes
December 5, 1998
3944
RPCD.No.RF.40/07.02.05/98-99
Notification
December 4, 1998
3945
RPCD.No.RF.41/07.02.05/98-99
Notification
December 4, 1998
3946
RPCD.No.RF.43/07.02.05/98-99
Notification
December 4, 1998
3947
RPCD.No.RF.44/07.02.05/98-99
Notification
December 4, 1998
3948
RPCD.No.RF.BC.42/07.02.05/98-99
Scheduled State Co-operative Banks – Exemption from provisions of proviso to sub-section (1) and sub-section (1A) of section 42 of RBI Act, 1934
December 4, 1998
3949
RPCD.No.RF.BC.45/07.02.05/98-99
Regional Rural Banks – Exemption from provisions of proviso to sub-section (1) and sub-section (1A) of section 42 of RBI Act, 1934
December 4, 1998
3950
DBOD.No.FSC.BC.112/24.76.002/98
Ready Forward Transactions
December 4, 1998
3951
DBOD.No.FSC.BC.113/24.76.002/98
Ready Forward Transactions
December 4, 1998
3952
UBD.No.BL(RO)491/07.01.00/98-99
Section 23 of the Banking Regulation Act, 1949 (As Applicable to, co-operative Societies )- Area of operation – delegation of authority
December 3, 1998
3953
UBD.No.DS.PCB.Cir.10/13.05.00/98-99
Bank Finance against Shares and Debentures
November 27, 1998
3954
UBD.No.DS.AD.Cir.1/13.02.00/98-99
Export Credit – Timely and Adequate Release of Funds
November 19, 1998
3955
DBOD.No.BC.DL.109/20.16.002/98-99
Disclosure of Information regarding Defaulting Borrowers – Publication of List of Suit-filed Accounts of Rs. 1 crore and above
November 18, 1998
3956
DBOD.No.BP.BC.108/21.01.023/98
Acceptance of Foreign Contributions under FCRA, 1976
November 17, 1998
3957
DBS.FID.No.33/09.01.02/98-99
Raising of Resources by FIs – Issue of Bonds through Private Placement
November 14, 1998
3958
DBOD.No.IBS.BC.104/23.37.001/98-99
Extension of Credit/Non-Credit Facilities to Indian Joint Ventures/Wholly-owned Subsidiaries Abroad and Extension of Buyer’s Credit and Acceptance Finance to Overseas Parties by Banks in India
November 12, 1998
3959
DBOD.No.BL.BC.105/22.01.03/98
Acquisition of Accommodation on Lease/Rental basis by Commercial Banks for their use (i.e. for Office and Residence of Staff)
November 11, 1998
3960
DBOD.No.Dir.BC.107/13.07.05/98-99
Rediscount of Bills by Banks
November 11, 1998
3961
UBD.No.DS.DIR.17/13.04.00/97-98
Interest Rates on Advances
November 6, 1998
3962
DBOD.No.BP.BC.103/21.01.002/99
Monetary and Credit Policy Measures
October 31, 1998
3963
DBS.FID.No.306/02.01.00/98-99
Working Group to Review the Functioning of Debts Recovery Tribunals (DRTs) – Recommendations
October 30, 1998
3964
DBOD.No.FSC.BC.102/24.76.002.98-99
Ready Forward Transactions (Repos) in Govt. and Other Approved Securities
October 30, 1998
3965
DBOD.No.BC.101/12.04.002/98-99
T.T. Discounting Facility – Renewal
October 15, 1998
3966
DBOD.No.BC.100/09.07.007/98-99
Operation of Bank Accounts by Old/Sick/Incapacitated Customers
October 12, 1998
3967
DBOD.No.IBS.BC.99/23.09.001/98-99
Remittance of Profits by Foreign Banks Operating in India
October 9, 1998
3968
DBOD.No.FSC.BC.97/24.76.002/98
Ready Forward Transactions
October 7, 1998
3969
DBOD.No.FSC.BC.98/24.76.002/98
Ready Forward Transactions
October 7, 1998
3970
UBD.No.DS.SUB.Cir.4/13.05.00/98-99
Guidelines for Sanction of Working Capital Finance to Information Technology (IT) and Software Industry
October 5, 1998
3971
UBD.No.DS.PCB.8/13.04.00/98-99
Reliefs/Concessions for Exporters Affected by Cyclone in Gujarat
September 30, 1998
3972
RPCD.No.RF.BC.28/07.02.08/98-99
Reverse Ready Forward Transactions
September 29, 1998
3973
RPCD.No.RF.DIR.BC.27/07.02.08/98-99
Reverse Ready Forward Transactions
September 29, 1998
3974
DBOD.No.415/08.95.005/98
General Order
September 29, 1998
3975
DBOD.No.BP.BC.174/09.06.001/98-99
Working Group to Review the Functioning of Debts Recovery Tribunal – Recommendations
September 24, 1998
3976
UBD.No.BR.8 /16.02.00/98-99
Urban Co-operative Bank branches to undertake banking transactions for two hours on the Half-Yearly Closing Day.
September 21, 1998
3977
DBOD.No.FSC.BC.95/24.76.002/98
Ready Forward Transactions
September 21, 1998
3978
DBOD.No.FSC.BC.96/24.76.002/98
Ready Forward Transactions
September 21, 1998
3979
RPCD.No.RRB.BC.25/03.05.34/98-99
Financial Assistance to NBFCs – Surplus non-SLR funds by NBFCs
September 15, 1998
3980
DBOD.No.BP.BC.94/21.04.098/98
Enclosure 2 : Asset-Liability Management (ALM) System
September 10, 1998
3981
DBOD.No.FSC.BC.91/24.76.002/98
Ready Forward Transactions
September 7, 1998
3982
DBOD.No.FSC.BC.92/24.76.002/98
Ready Forward Transactions
September 7, 1998
3983
DBOD.No.Dir.BC.90/13.07.05/98-99
Bank Finance against Shares and Debentures – Master Circular
August 28, 1998
3984
DBOD.No.BC.89/12.01.001/98-99
Section 42(2) of RBI Act, 1934 – Return in Form A
August 24, 1998
3985
DBOD.No.FSC.BC.87/24.76.002/98
Ready Forward Transactions
August 24, 1998
3986
DBOD.No.FSC.BC.88/24.76.002/98
Ready Forward Transactions
August 24, 1998
3987
DBOD.No.BC.86/12.01.001/98-99
Section 42(1) of the RBI Act, 1934 – Increase in Cash Reserve Ratio
August 20, 1998
3988
IECD.No.8/04.02.01/98-99
Reliefs/Concessions for Exporters Affected by Cyclone in Gujarat
August 20, 1998
3989
DBOD.No.Dir.BC.85/12.01.001/98-99
Notification
August 20, 1998
3990
IECD.No.7/06.33.01/98-99
Annual Reporting System in respect of Non-SSI Sick/Weak and SSI Sick Industrial Units
August 19, 1998
3991
DBOD.No.Dir.BC.83/21.04.012/98-99
Relaxations to Trade and Industry in the State of Jammu & Kashmir
August 18, 1998
3992
DBOD.No.FSC.BC.81/24.76.002/98
Ready Forward Transactions
August 13, 1998
3993
DBOD.No.FSC.BC.82/24.76.002/98
Ready Forward Transactions
August 13, 1998
3994
DBOD.No.FSC.BC.79/24.76.002/98
Ready Forward Transactions
August 10, 1998
3995
DBOD.No.FSC.BC.80/24.76.002/98
Ready Forward Transactions
August 10, 1998
3996
DBOD.No.Dir.BC.78/13.07.05/98-99
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
August 8, 1998
3997
IECD.No.6/08.12.01/98-99
Guidelines for Sanction of Working Capital Finance to Information Technology (IT) and Software Industry
August 8, 1998
3998
IECD.No.5/04.02.01/98-99
Export Credit – Interest Rates
August 6, 1998
3999
UBD.No.DS.PCB.Cir.5/13.04.00/98-99
Export Credit – Interest Rates
August 6, 1998
4000
UBD.No.DS.PCB.DIR.1/13.04.00/98-99
Interest Rates on Advances
August 6, 1998
4001
UBD.No.Plan.RO.7/09.68.00/98-99
Viability norms of primary(urban) co-operative banks – Achievement of
August 1, 1998
4002
DBOD.No.BL.BC.74/22.01.001/98
Section 23 of the BR Act, 1949 – Shifting of Rural Branches Outside the Block/Service Area and Closure of Rural Branches
July 29, 1998
4003
DBS.FID.No.31/02.01.00/98-99
Furnishing of Data for Money Stock Measures
July 28, 1998
4004
UBD.No.CIR.(RO)5/07.01.00/98-99
Monthly statement showing progress made by primary co-operative banks regarding opening branches
July 27, 1998
4005
UBD.No.DS.PCB.CIR.4/13 .05 .00/98-99
Flow of Credit to SSI Sector
July 24, 1998
4006
UBD.No.BL/CIR(RO)/3/07.01.00/98-99
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – opening of Service branch
July 22, 1998
4007
RPCD.No.RF.DIR.BC.7/07.02.08/98-99
Ready Forward Transactions
July 20, 1998
4008
RPCD.No.RF.DIR.BC.8/07.02.08/98-99
Ready Forward Transactions
July 20, 1998
4009
DBOD.No.MC.02/19.06.02/97-98
Action Plan for Private Sector Banks for the Period April 1998 – March 2000
July 20, 1998
4010
IECD.No.4/04.02.01/98-99
Special Scheme for Financing ‘Incremental’ Exports at 6.5% Rate of Interest
July 18, 1998
4011
UBD.No.DS.PCB.Cir.3/13.04.00/98-99
Special Scheme for Financing ‘Incremental Exports’ at 6.5 per cent Rate of Interest
July 18, 1998
4012
UBD No.BSD-I.2/12.05.01/98-99
Prudential norms for Income Recognition, Asset classification and provisioning – Agricultural Advances
July 17, 1998
4013
UBD.NO.BR.2/16.74.00/98-99
Disclosure of Information Regarding defaulting Borrowers of banks and Financial Institutions
July 16, 1998
4014
DBS.FID.No.30/01.02.00/98-99
Standing Committee on Issue of Bonds by AIFIs Constitution of
July 9, 1998
4015
RPCD.No.RRB.BC.4/03.05.57/98-99
Bombay High Court/O.O.C.J. – Writ Petition (Lodging) No. 1047 of 1998 – The Securities and Exchange Board of India V/s Libra Plantation Ltd. and Others
July 8, 1998
4016
IECD.No.3/08.12.01/97-98
Payment of Dues of Units of SSI Sector
July 8, 1998
4017
DBOD.No.FSC.BC.70/24.76.002/98
Ready Forward Transactions
July 8, 1998
4018
DBOD.No.FSC.BC.71/24.76.002/98
Ready Forward Transactions
July 8, 1998
4019
DBOD.No.Dir.BC.69/13.01.10/98
Donations
July 3, 1998
4020
DBOD.No.FSC.BC.67/24.76.002/97-98
Reverse Ready Forward Transactions
July 3, 1998
4021
DBOD.No.FSC.BC.68/24.76.002/97-98
Reverse Ready Forward Transactions
July 3, 1998
4022
RPCD.No.RF.BC.1/07.37.02/98-99
Income Recognition, Asset Classification, Provisioning and other related matters
July 2, 1998
4023
DBOD.No.FSC.BC.64/24.76.002/98
Ready Forward Transactions
June 29, 1998
4024
DBOD.No.FSC.BC.65/24.76.002/97-98
Ready Forward Transactions
June 29, 1998
4025
IECD.21/08.15.01/97-98
Notification
June 17, 1998
4026
IECD.No.48/08.15.01/97-98
Issue of Commercial Paper by Satellite Dealers
June 17, 1998
4027
UBD.No.Plan/.RO.49/09.22.01/97-98
Finance for Housing Scheme – Primary (Urban) Co-operative Banks
June 17, 1998
4028
DBOD.No.Dir.BC.60/13.03.00/98
Monetary and Credit Policy Measures
June 15, 1998
4029
DBOD.No.BC.58/24.91.001/98
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
June 12, 1998
4030
DBOD.No.FSC.BC.56/24.76.002/98
Ready Forward Transactions
June 12, 1998
4031
DBOD.No.FSC.BC.57/24.76.002/97-98
Ready Forward Transactions
June 12, 1998
4032
IECD.No.(HF)46/03.27.25/97-98
Housing Finance Allocation for the Year- 1998-99
June 11, 1998
4033
IECD.No.47/3840/04.02.01/97-98
Export Credit
June 11, 1998
4034
UBD.No.DS.AD.Cir.7/13.02.00/97-98
Interest Rates on Export Credit
June 11, 1998
4035
UBD.No.DS.PCB.Cir.63/13.04.00/97-98
Interest Rates on Export Credit
June 11, 1998
4036
DBOD.No.BC.54/08.95.004/98
Section 35B of the BR Act, 1949 – Sitting Fees Payable to the Directors/Travelling and Halting Allowance Payable ot Chairman and CEO/MDs/Directors
June 10, 1998
4037
IECD.No.45/06.33-01/97-98
Rehabilitation of sick/weak industrial units – Provision of working capital facilities after Compromise/One Time Settlement/write of rehabilitation package
June 10, 1998
4038
DBOD.No.BL.BC.53/22.01.003/98
Public Premises (Eviction of Unauthorised Occupants) Act, 1971
June 9, 1998
4039
UBD.No.62/06.16.02/97-98
Working Group on Money Supply Analytics and Methodology of Compilation
June 8, 1998
4040
IECD.No.44/07.05.02 /97-96
Reporting of credit sanctions on fortnightly basis instead of weekly
June 3, 1998
4041
DBOD.No.Dir.BC.47/13.01.09/98
Loans against FCNR(B) Deposits and Loans out of FCNR(B)/NRNR Pools
May 28, 1998
4042
IECD.20/08.15.08/97-98
Notification
May 26, 1998
4043
UBD.No.DS.PCB.CIR.59/13.01.00/97-98
Interest Rate on Deposits
May 26, 1998
4044
IECD.19/08.15.01/97-98
Notification
May 25, 1998
4045
IECD.No.43/08.15.01/97-98
Commercial Paper
May 25, 1998
4046
DBOD.No.FSC.BC.45/24.76.002/98
Ready Forward Transactions
May 25, 1998
4047
DBOD.No.FSC.BC.46/24.76.002/97-98
Ready Forward Transactions
May 25, 1998
4048
UBD.No.Plan/PCB.58/09.50.00/97-98
Sexual harasment in work places – Guidelines by Supreme Court to prevent such harassment – Implementation thereof
May 21, 1998
4049
DBOD.No.BC.43/12.01.001/97-98
Notification
May 20, 1998
4050
DBOD.No.BC.44/12.01.001/97-98
Release of Balances Impounded between 3 May 1991 and April 1992 under 10% Incremental CRR
May 20, 1998
4051
UBD.No.P & O. CIR.RCS.7/10.01.00/97-98
Refinance facilities to primary (urban) co-operative banks under Section 17 of the RBI Act, 1934 — Tiny/Cottage Industrial Units
May 19, 1998
4052
DBOD.No.FSC.BC.40/24.76.002/98
Ready Forward Transactions
May 18, 1998
4053
DBOD.No.FSC.BC.41/24.76.002/97-98
Ready Forward Transactions
May 18, 1998
4054
UBD.No.Plan.57/09.50.00/97-98
Furnishing of data – Violation of secrecy obligations
May 16, 1998
4055
DNBS.PD.No.CC.06/02.01/97-98
Non-Banking Financial Companies Prudential Norms
May 12, 1998
4056
RPCD.No.BC.118/07.02.01/97-98
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
May 8, 1998
4057
DBOD.No.FSC.BC.39/24.76.002/98
Ready Forward Transactions
May 6, 1998
4058
RPCD.No.RF.BC.114/07.02.08/97-98
Ready Forward transactions
May 5, 1998
4059
RPCD.No.RF.DIR.BC.113/07.02.08/97-98
Ready Forward Transactions
May 5, 1998
4060
IECD.No.41/04.02.01/97-98
Export Credit – Interest Rates
April 29, 1998
4061
UBD.No.DS.DIR.16/13.04.00/97-98
Interest Rates on Advances
April 29, 1998
4062
UBD.No.DS.PCB.Cir.54/13.04.00/97-98
Export Credit – Interest Rates
April 29, 1998
4063
RPCD.No.DIR.BC.111B/07.38.01/97-98
Monetary and Credit Policy Measures for the First Half of 1998-99
April 29, 1998
4064
IECD.No.42/07.04.02/97-98
Issue of Commercial Paper (CP) – Submission of Returns etc.
April 29, 1998
4065
RPCD.No.BC.111D/07.38.04/97-98
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme – FCNR(B) Scheme
April 29, 1998
4066
RPCD.No.DIR.BC.111A/07.38.01/97-98
Interest Rates on Deposits
April 29, 1998
4067
UBD.No.DS.Dir.PCB.14/13.01.00/97-98
Interest Rates on Deposits
April 29, 1998
4068
UBD.No.DS(AD).596/13.02.00/97-98
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 29, 1998
4069
DBOD.No.Dir.BC.36/13.03.00/98
Monetary and Credit Policy Measures
April 29, 1998
4070
DBOD.No.BP.BC.32/21.04.018/98
Capital Adequacy – Disclosures in Balance Sheets
April 29, 1998
4071
DBOD.No.Dir.BC.34/13.03.00/98
Interest Rates on Deposits
April 29, 1998
4072
DBOD.No.Dir.BC.35/13.03.00/98
Interest on Deposits held under FCNR(B) Scheme
April 29, 1998
4073
DBOD.No.FSC.BC.30/24.76.002/97-98
Ready Forward Transactions
April 29, 1998
4074
DBOD.No.FSC.BC.31/24.76.002/97-98
Ready Forward Transactions
April 29, 1998
4075
UBD.No.DS.PCB.CIR.55/13-05.00/97-98
Advances against Shares and Debentures
April 29, 1998
4076
UBD.No.Ret.(Ro).47/06.04.00/97-98
Branch Banking Statistics Modification of proforma and related issues in connection with maintenance of master Office File
April 17, 1998
4077
UBD.No.RCS/NBL/Cir.6/08.00.00/97.98
Revision of Entry Point Norms for newly organsied urban Cooperative bank12:26 8/7/01
April 17, 1998
4078
IECD.No.(HF)40/03.27-25/97-98
Terms and Conditions governing direct housing loans-Review of parameters
April 16, 1998
4079
UBD.No.NBL.46/08.00.00/97-98
Request for Extension of time Submission of Applications for issue of licence
April 15, 1998
4080
DBOD.No.BP.BC.29/21.04.048/98
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Valuation of Investments
April 11, 1998
4081
DBOD.No.Dir.BC.28/13.01.09/98
Premature Withdrawal of FCNR(B) Deposit – Recovery of Swap Cost
April 4, 1998
4082
RPCD.No.RF.BC.108/07.02.07/97-98
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
April 3, 1998
4083
DBOD.Dir.BC.No.25/13.01.08/98
Opening of Savings Bank Accounts in the Name of Farmers’ Clubs – Vikas Volunteer Vahini (VVV)
April 2, 1998
4084
DBOD.No.BC.26/12.02.001/97-98
Penal Rate of Interest on the Shortfall in the Maintenance of CRR/SLR
April 2, 1998
4085
UBD.No.Plan/Ro.44/09.68.00/97-98
Norms of viability of urban co-operative banks
March 31, 1998
4086
DBOD.No.BP.BC.24/21.01.023/98
Frauds in Banks/Grant of ‘At Par’ Facility for Dividend/Interest Warrants and Refund Orders
March 30, 1998
4087
UBD No.Plan/RO/43/09.61.00/97-98
Computerisation in the primary (Urban) Co-operative banks – Marathe Committee
March 27, 1998
4088
DBS.No.FID.28/01.02.00/97-98
Raising of Resources by FIS – Issue of Bonds
March 26, 1998
4089
RPCD.No.BC.104/07.02.01/97-98
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
March 26, 1998
4090
UBD.No.P & O.PCB.Cir.46/10.01.00/97-98
Rehabilitation of Sick Small Scale Industrial Units
March 26, 1998
4091
RPCD.No.RRB.BC.106/03.05.72/97-98
Prudential norms of Income Recognition, Asset Classification and Provisioning – Agricultural Advances
March 26, 1998
4092
RPCD.No.RF.BC.103/07.37.02/97-98
Income recognition, assets classification, provisioning and other related matters
March 26, 1998
4093
DBOD.No.BC.22/12.01.001/97-98
Section 42(1) of the RBI Act, 1934 – Reduction in CRR
March 23, 1998
4094
DBOD.No.BC.21/12.01.001/97-98
Notification
March 23, 1998
4095
UBD.NO.RCS NBL.4/08.00.00/97-98
Revision of Entry Point Norms for organisation of new primary (urban) Co-operative Banks
March 21, 1998
4096
DBOD.No.Dir.BC.20/12.02.001/97-98
Penal Rate of Interest on the Shortfall in the Maintenance of CRR/SLR
March 18, 1998
4097
UBD.No.BL.CIR-(RO)41/07-01-00/97-98
Section 23 – Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Validity period of licence – opening of branches under AAP
March 12, 1998
4098
DBOD.No.BP.BC.19/21.01.023/98
Receipt of foreign contributions by various Associations/Organisations in India under Foreign Contribution (Regulation) Act, 1976
March 10, 1998
4099
UBD.No.DS.PCB.Cir.43/13.01.00/97-98
Permission to participate in Call/Notice Money Market – Private Sector Mutual Funds
March 7, 1998
4100
IECD.No.39/08.12.01/97-98
Reporting of credit sanctions In lieu of CMA
March 6, 1998
4101
DBOD.No.BP.BC.17/21.04.048/98
Prudential Norms on Income Recognition, Asset Classification and Provisioning – Agricultural Advances
March 4, 1998
4102
IECD.No.38/04:02:02/97-98
Post-shipment Finance in respect of Exports through the Warehouse-cum-Display Centre at Dubai
March 2, 1998
4103
IECD.No.HF.37/03.27.25/97-98
Submission of half-yearly housing finance statements – Discontinuance
February 27, 1998
4104
DBOD.No.BC.15/12.05.005/97-98
Review, Rationalisation and Redisgning of Returns relating to Core Commercial Banking Areas
February 24, 1998
4105
UBD.NO.BSD-I.RCS.2/12.05.03/97-98
Rehabilitation of weak Urban Co-operative banks – Reconstitution of the State Level Rehabilitation Review Committee
February 21, 1998
4106
UBD.NO.BSD-I.RCS.3/12.05.03/97-98
Rehabilitation of weak Primary (Urban) Co-operative Banks- Reconstitution of Bank Level Rehabilitation Review Committee
February 21, 1998
4107
UBD.No.Plan.SUB.20/09.81.00/ 97-98
Retailing of Government Securities
February 19, 1998
4108
RPCD.No.RF.BC.88/07.38.01/97-98
Deposit Mobilisation Schemes
February 18, 1998
4109
UBD.No.Plan/RO/39/09.61.00/97-98
Computerisation in the Primary (urban) Co-operative banks – Marathe Committee
February 16, 1998
4110
DBOD.No.FSC.BC.14/24.91.001/98
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
February 16, 1998
4111
UBD.No.Plan/RCS.1/09.68.00/97-98
Norms of Viability of Urban Banks
February 13, 1998
4112
DBOD.No.BP.BC.13/21.01.023/98
Custody of Security of NBFCs with Designated Banks towards Maintenance of Liquid Assets
February 12, 1998
4113
UBD.No.DS.PCB.CIR.41/13.05.00/97-98
Advances granted to Directors and their relatives
February 12, 1998
4114
UBD.No.DS.SUB.19/13.05.00/97-98
Reporting of Credit Sanctions
February 12, 1998
4115
DBS.No.FID.26/02.01.00/97-98
Post Disbursal Supervision over Assisted Companies – Role of Financial Institutions and their Nominee Directors
February 11, 1998
4116
RPCD.No.RRB.BC.83/03.05.85/97-98
Regional Rural Banks – Transfer of Operational Responsibility to Sponsor Banks
February 11, 1998
4117
UBD.No.DS.PCB.Cir.40/13.05.00/97-98
Customer Service – Collection of outstation instruments
February 11, 1998
4118
DBOD.No.Dir.BC.11/13.01.08/98
Opening of Savings Bank Accounts in the Name of SHGs
February 10, 1998
4119
UBD.No.RO.38/09.65.00/97-98
Training of staff of Urban Co-operative Banks
February 7, 1998
4120
DBOD.No.BC.10/09.08.001/97-98
Sexual Harassment in Work Places – Guidelines by Supreme Court to Prevent such Harassment – Implementation thereof
February 3, 1998
4121
Notification DFC.123/ED(G)-98
Non-Application of RBI Act Provisions
February 3, 1998
4122
UBD.No.DS.PCB.Cir.38/13.04.00/97-98
Export Credit – Interest Rates on Post-shipment Rupee Credit – Clarification
January 31, 1998
4123
Notification DFC.120/ED(G)-98
Maintenance of Liquid Assets by RNBCs
January 31, 1998
4124
Notification DFC.121/ED(G)-98
Amended upto 13-01-2000 – Maintenance of Liquid Assets by NBFCs
January 31, 1998
4125
Notification No.DFC.120/ED(G)-98
Amended upto 01.07.2005 – Regulation Relating to Maintenance of Liquid Assets by RNBCs
January 31, 1998
4126
DNBS PD No.CC 05/02.01/97-98
Non-Banking Financial Companies – Prudential Norms, Income Recognition, Accounting Standards, Asset Classification Provisioning for Bad and Doubtful Debts, Credit / Investment Concentration Norms and other related matters (vide notification No. 119 of 31-1-1998)
January 31, 1998
4127
Notification DFC.118/DG(SPT)-98
Amended upto 01.10.2002 – NBFC Acceptance of Public Deposits (Reserve Bank) Directions, 1998
January 31, 1998
4128
Notification DFC.119/DG(SPT)-98
Amended upto 29.03.2003 – NBFC Prudential Norms (Reserve Bank) Directions, 1998
January 31, 1998
4129
Notification No. DFC. 119/DG(SPT)-98
Amended upto 03-08-2004 – Non-Banking Financial Companies Prudential Norms (Reserve Bank) Directions, 1998
January 31, 1998
4130
Notification No. DFC.118/DG(SPT)-98
Amended upto 30.06.2005 – Schedules : Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
January 31, 1998
4131
Notification No. DFC.119/DG(SPT)-98
Amended upto 30.06.2005 – Schedule : Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
January 31, 1998
4132
Notification No.DFC.118/DG(SPT)-98
Amended upto 03-08-2004 – Non-Banking Financial Companies Acceptance of Public Deposits (Reserve Bank) Directions, 1998
January 31, 1998
4133
IECD.No.36/03.33.001/97-98
Rationalisation of Statistical data reporting group accounts
January 29, 1998
4134
UBD.No.BR.37/16.73.00/97-98
Default in submission of various returns under the Banking Regulation Act, 1949 (As Applicable to co-operative Societies) – Penalties under section 47A of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
January 29, 1998
4135
DBS.No.FID.24/02.01.00/97-98
Lending to Financial Institutions – Bridge Loan/Interim Finance
January 23, 1998
4136
IECD.No.35/07.03.22/97-98
Submission of the Form A’ return on quarterly basis
January 23, 1998
4137
DBOD.No.BC.8/12.02.001/97-98
Valuation of 6% Capital Indexed Bonds, 2002 Issued by GOI
January 22, 1998
4138
DBS.No.FID.23/01.08.00/97-98
Investment Portfolio – Transactions in Securities – Role of Brokers
January 20, 1998
4139
RPCD.No.RF.BC.77/07.02.01/97-98
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
January 20, 1998
4140
IECD.No.34/08.14.01/97-98
Interest Rate Surcharge on Import finance
January 16, 1998
4141
UBD.No.DS.PCB.Cir.35/13.04.00/97-98
Interest Rate Surcharge on Import Finance
January 16, 1998
4142
DBOD.No.BC.5/12.01.001/97-98
Section 42(1) of the RBI Act, 1934 – Increase in CRR
January 16, 1998
4143
DBOD.No.BC.4/12.01.001/97-98
Notification
January 16, 1998
4144
DBOD.No.BC.6/12.02.001/97-98
Penal Rate of Interest on the Shortfall in the Maintenance of CRR/SLR
January 16, 1998
4145
DBS.No.FID.22/01.02.00/97-98
Settlement of Institutional Transactions in the Depository
January 15, 1998
4146
RPCD.No.RF.BC.72/07.02.08/97-98
Ready Forward Transactions
January 15, 1998
4147
RPCD.No.RF.DIR.BC.71/07.02.08/97-98
Ready Forward Transactions
January 15, 1998
4148
DBOD.No.BC.3/12.03.001/97-98
Section 26 of BR Act, 1949 – Submission of Return in Forrm IX – Unclaimed Deposits
January 10, 1998
4149
RPCD.No.RF.BC.70/07.38.01/97-98
Interest Tax Act, 1974 – Reduction of interest tax from 3% to 2%
January 8, 1998
4150
DBOD.No.FSC.BC.1/24.76.002/97-98
Ready Forward Transactions
January 5, 1998
4151
DBOD.No.FSC.BC.2/24.76.002/97-98
Ready Forward Transactions
January 5, 1998
4152
DNBS (COBW) No.CC 03/02.01/97-98
Non-Banking Financial Companies – Prudential Norms – Income Recognition, Accounting Standards, Asset Classification, Provisioning for Bad and Doubtful Debts, Credit / Investment concentration norms and other related matters (vide Notification No. 115 of 2-1-1998)
January 2, 1998
4153
Notification DFC.115/DG(SPT)-98
NBFC Prudential Norms (Reserve Bank) Directions, 1998
January 2, 1998
4154
Notification DFC.116/DG(SPT)-98
Maintenance of Liquid Assets by NBFCs
January 2, 1998
4155
DBOD.No.IBS.1410/23.67.001/97-98
Import of Gold/Silver
January 1, 1998
4156
IECD.No.31/04.02.01/97-98
Export Credit – Interest Rates on Post-shipment Rupee Credit
December 31, 1997
4157
IECD.No.32/04.02-01/97-98
Export Credit – Rate of Interest on overdue export bills
December 31, 1997
4158
IECD.No.EFD.30/04:02:02/97-98
Statistics relating to Export Credit
December 31, 1997
4159
UBD.No.DS.DIR.11/13.04.00/97-98
Interest Rates on Advances
December 31, 1997
4160
UBD.No.DS.Dir.12/13.04.00/97-98
Interest Rates on Advances
December 31, 1997
4161
UBD.No.DS.PCB.Cir 31/13.04.00/97-98
Export Credit – Interest Rates on Post-shipment Rupee Credit
December 31, 1997
4162
UBD.No.DS.PCB.Cir.32/13.04.00/97-98
Export Credit – Rate of Interest on overdue export bills
December 31, 1997
4163
IECD.No.29 /04.02.01/97-98
Export Credit – Interest Notes on Post-shipment Rupee Credit – Clarification
December 29, 1997
4164
DBOD.No.Dir.BC.158/13.07.05/97
Settlement of Institutional Transactions in the Depository
December 23, 1997
4165
DBOD.No.BP.BC.157/21.04.048/97
Investment Portfolio of Banks – Classification of Investments under ‘Permanent’ and ‘Current’ Category
December 23, 1997
4166
IECD.No.27/03:27:25/97-98
Scheme of Annual Housing Finance allocation to banks-direct housing finance modifications
December 22, 1997
4167
IECD.No.25/08.14.01/97-98
Interest Rate Surcharge on Import Finance
December 17, 1997
4168
IECD.No.26/04.02.01/97-98
Export Credit – Interest Rates on Post-shipment Rupee Credit
December 17, 1997
4169
UBD.No.DS.DIR.10/13.04.00/97-98
Interest Rates on Advances
December 17, 1997
4170
UBD.No.DS.PCB.Cir.29/13.04.00/97-98
Interest Rate Surcharge on Import Finance
December 17, 1997
4171
UBD.No.DS.PCB.Cir.30/13.04.00/97-98
Export Credit-Interest Rates on Overdue Post-shipment-Rupee Export Credit
December 17, 1997
4172
UBD.No.DS.PCB.Cir.28/13.05.00/97-98
Guidelines for lending by banks-Assessment of working capital
December 16, 1997
4173
UBD.No.DS.AD.Cir.5/13.02.00/97-98
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme FCNR (B) Scheme
December 12, 1997
4174
RPCD.No.RF.BC.62/07.02.08/97-98
Reverse Ready Forward Transactions
December 11, 1997
4175
RPCD.No.RF.DIR.BC.61/07.02.08/97-98
Reverse Ready Forward Transactions
December 11, 1997
4176
UBD.No.DS.Dir.3/13.04.00/97-98
Interest Rates on Advances
December 9, 1997
4177
DBOD.No.Dir.BC.153/13.01.05/97
Settlement of Institutional Transactions in the Depository
December 9, 1997
4178
IECD.No.24 /06-33.01/97-98
Rehabilitation of sick/weak industrial units – Compromise/one Time Settlement/write-off under rehabilitation packages – Relaxation for the state of – Jammu & Kashmir
December 9, 1997
4179
DBOD.No.FSC.BC.150/24.76.002/97-98
Reverse Ready Forward Transactions
December 9, 1997
4180
DBOD.No.FSC.BC.151/24.76.002/97-98
Reverse Ready Forward Transactions
December 9, 1997
4181
IECD.No.23/08.12.01/97-98
Reporting of credit sanctions in lieu of CMA
December 8, 1997
4182
IECD.No.HF.22/03.27.25/97-98
Housing Finance-Modification in loan size
December 6, 1997
4183
IECD.No.21/08.12.01/97-98
Grant of bridge loan facility by banks
December 4, 1997
4184
DBS.FID.No.21/01.10.00/97-98
Income Recognition, Asset Classification, Provisioning and other Related Matters
December 4, 1997
4185
UBD.No.DS.PCB.Cir.25/13.05.00/97.98
Bill finance for settlement of dues of SSI suppliers
December 4, 1997
4186
IECD.No.20/08.12.01/97-98
Transfer of borrowal accounts from one bank to another
December 2, 1997
4187
DBOD.No.BC.149/12.01.001/97-98
Section 42(1) & 42(1A) of RBI Act, 1934 – Increase in CRR and Exemptions from Incremental CRR on Liabilities under NRE & NRNR Deposit Accounts Schemes
December 2, 1997
4188
DBOD.No.BC.147/12.01.001/97-98
Notification
December 2, 1997
4189
DBOD.No.BC.148/12.01.01/97-98
Notification
December 2, 1997
4190
IECD.No.19/04.02.01/97-98
Export Credit Interest Rates on Post-shipment Rupee Credit
November 29, 1997
4191
RPCD.RRB.No.BC.57/03.05.85/97-98
Regional Rural Banks – Transfer of operational responsibility to sponsor banks
November 29, 1997
4192
UBD.No.Plan.PCB.Cir.23/09.50.00/97-98
Issue of cheque books
November 28, 1997
4193
IECD.No.18/04.02.01/97-98
Export Credit – Interest Rates on Post-shipment Rupee Credit
November 26, 1997
4194
UBD.No.DS.DIR.9/13.04.00/97-98
Interest Rates on Advances
November 26, 1997
4195
UBD.No.DS.PCB.Cir.27/13.04.00/97-98
Export Credit-Interest Rates on Post-shipment Rupee Credit
November 26, 1997
4196
DBOD.No.BC.142/09.16.001/97-98
Division of Savings Bank Deposits into Demand and Time Liabilities – Amendment to the Regulation 7 of the RBI Scheduled Banks’ Regulations, 1951
November 19, 1997
4197
IECD.No.17/08.12.01/97-98
Financing of Trade and Services
November 15, 1997
4198
UBD.No.DS.AD.CIR.3/13.02.00/97-98
Extension of Concessive Credit for deemed Exports
November 10, 1997
4199
UBD.No.DS.PCB.Cir.20/13.04.00/97-98
Compounding of interest by primary Co-operative banks on agricultural advances
November 10, 1997
4200
UBD.No.DS.PCB.CIR.18/13.04.00/97-98
Interest Tax Act, 1974-Reduction of interest tax from 3% to 2%
November 8, 1997
4201
DBOD.No.Dir.BC.141/13.07.05/97
Loans and Advances against Shares and Debentures
November 8, 1997
4202
IECD.No.15/08.12.01/97-98
Guidelines for lending by banks Assessment of working capital
November 4, 1997
4203
IECD.No.16/08-12-01/97-98
Bill finance for settlement of dues of SSI suppliers
November 4, 1997
4204
RPCD.No.PLNFS.BC.51/06.11.02/97-98
Co-operative Bank Finance for Housing Schemes
October 31, 1997
4205
UBD.No.DS.PCB.16/13.05.00/97-98
Advances against shares and Debentures/Bonds
October 31, 1997
4206
RPCD.No.BC.48/07.38.02/97-98
Selective Credit Controls – Advances to sugar industry – Continuance of credit facilities by banks against stocks of free sale sugar loaned to Government for Public Distribution System (PDS)
October 27, 1997
4207
IECD.18/08.15.01/97-98
Notification
October 27, 1997
4208
IECD.No.14/08.15.01/97-98
Commercial Paper
October 27, 1997
4209
IECD.No.13 /08.12.01/97-98
Grant of bridge loan facility by banks
October 27, 1997
4210
RPCD.No.RF.BC.45/07.02.08/97-98
Ready Forward Transaction
October 23, 1997
4211
RPCD.No.RF.DIR.BC.44/07.02.08/97-98
Ready Forward Transactions
October 23, 1997
4212
DBOD.No.Dir.BC.131/13.07.05/97
Advances against Shares and Debentures/Bonds
October 21, 1997
4213
IECD.No.11/04.02.01/97-98
Export Credit – Interest Rates
October 21, 1997
4214
RPCD.No.DIR.BC.40/07.38.02/97-98
Selective Credit Controls on advances against sugar – Minimum Margin
October 21, 1997
4215
RPCD.No.RF.BC.41/07.38.02/97-98
Selective Credit Controls on advances against Sugar – Minimum Margin
October 21, 1997
4216
RPCD.No.RF.BC.41A/07.38.02/97-98
Advances against Shares and Debentures/Bonds
October 21, 1997
4217
UBD.No DS.DIR.7A/13.02.00/97-98
Loans against Foreign Currency (Non-Resident) Accounts (Banks) Scheme/Pooled resources
October 21, 1997
4218
UBD.No.DS.AD.CIR.2A/13.02.00/97-98
Loans against Foreign Currency (Non-Resident) Accounts (Banks) Scheme [FCNR(B)]/Pooled resources
October 21, 1997
4219
UBD.No.DS.Dir.7/13.04.00/97-98
Interest Rates on advances
October 21, 1997
4220
UBD.No.DS.PCB.Cir.13/13.03.00/97-98
Selective credit Controls – Reintroduction of Controls on Advances against sugar
October 21, 1997
4221
UBD.No.DS.PCB.CIR.14/13.04.00/97-98
Export Credit – Interest Rates
October 21, 1997
4222
UBD.No.DS.PCB.DIR.6/13.03.00/97-98
Selective Credit Controls – Advances Against Sensitive Commodities
October 21, 1997
4223
UBD.No.P & O/OCB/Cir.11/10.01.00/97-98
Financial assistance to industries producing/ consuming Ozone Depleting Substances (ODS)
October 21, 1997
4224
RPCD.No.RF.BC.39A/07/38.04/97-98
Loans against Foreign Currency (Non-Resident) Account (Banks) Scheme [FCNR(B)] – Pooled resources
October 21, 1997
4225
RPCD.No.DIR.BC.38A/07.38.04/97-98
Loans against Foreign Currency (Non-Resident) Accounts (Banks) Scheme/pooled resources
October 21, 1997
4226
DBOD.No.BC.118/12.01.001/97-98
Section 42(1) of RBI Act, 1934 – Reduction in CRR and Section 42(1B) of RBI Act, 1934 – Payment of Interest on Eligible Cash Balances
October 21, 1997
4227
DBOD.No.BC.137/12.02.001/97-98
Section 24 of the BR Act, 1949 – Rationalisation of SLR
October 21, 1997
4228
RPCD.No.BC.42/07.02.01/97-98
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
October 21, 1997
4229
RPCD.No.DIR.BC.38/07.38.04/97-98
Interest rates on deposits held under Foreign Currency Non-Resident Accounts (Banks) Scheme
October 21, 1997
4230
RPCD.No.RF.BC.39/07.38.04/97-98
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme – FCNR (B) Scheme
October 21, 1997
4231
UBD.No.(AD)FCNR.4/13.02.00/97-98
Interest Rates on Deposits Held Under Foreign Currency Non-Resident Accounts (Banks) Scheme
October 21, 1997
4232
UBD.No.DC(AD)2/13.02.00/97-98
Interest Rates on Deposits Held Under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 21, 1997
4233
UBD.No.DS.PCB.DIR.5/13.01.00/97-98
interest Rates on Deposits
October 21, 1997
4234
DBOD.No.BC.126/13.08.01/97
Selective Credit Controls on Advances against Sugar – Minimum Margin
October 21, 1997
4235
DBOD.No.BL.BC.115/22.06.001/97
Section 23 of Banking Regulation Act, 1949 – Branch Banking Statistics – Submission of Monthly Returns – Revision of Proformae II & III
October 21, 1997
4236
DBOD.No.Dir.BC.125/13.08.01/97
Selective Credit Controls on Advances against Sugar – Minimum Margin
October 21, 1997
4237
DBOD.No.Dir.BC.138/13.07.05/97-98
Bridge Loans
October 21, 1997
4238
DBOD.No.BC.116/12.01.001/97-98
Notification
October 21, 1997
4239
DBOD.No.BC.117/12.02.001/97-98
Notification
October 21, 1997
4240
DBOD.No.BC.136/12.02.001/97-98
Penal Rate of Interest on the Shortfalls in the Maintenance of CRR/SLR
October 21, 1997
4241
DBOD.No.Dir.BC.119/13.01.01/97
Interest Rates on Deposits
October 21, 1997
4242
DBOD.No.Dir.BC.120/13.01.01/97
Interest Rates on Deposits
October 21, 1997
4243
DBOD.No.Dir.BC.132/13.01.09/97
Loans against FCNR(B) Accounts/Pooled Resources
October 21, 1997
4244
DBOD.No.Dir.BC.139/13.01.09/97
Interest Rates on Deposits held under FCNR(B) Scheme
October 21, 1997
4245
DBOD.No.Dir.BC.140/13.01.09/97
Interest Rates on Deposits held under FCNR(B) Scheme
October 21, 1997
4246
DBOD.No.Dir.BC.No.133/13.01.09/97
Loans agianst FCNR(B) Accounts/Pooled Resources
October 21, 1997
4247
IECD.No.12/08.12.01/97-98
Loan system for delivery of bank credit
October 21, 1997
4248
UBD.No.DS.PCB.Cir15/13.05.00/97-98
Loan system for delivery of bank credit
October 21, 1997
4249
DBOD.No.FSC.BC.113/24.76.002/97
Ready Forward Transactions
October 20, 1997
4250
DBOD.No.FSC.BC.114/24.76.002/97
Ready Forward Transactions
October 20, 1997
4251
UBD.No.SUB.Cir.15/09.78.00/97-98
Equipment leasing and hire purchase financing activities
October 16, 1997
4252
UBD.No.DS.PCB.Cir.10/13.03.00/97-98
Advances to Sugar industry-Continuance of Credit facilities by banks against stocks of free sale sugar loaned to Govt. for Public Distribution System (PDS)
October 15, 1997
4253
RPCD.BC.No.RF.35/07.02.08/97-98
Investment Portfolio of Banks – Transactions in Securities
October 15, 1997
4254
DBOD.No.BP.BC.109/21.01.023/97
Frauds in Banks – Grant of ‘At Par’ Facility for Dividend/Interest Warrants and Refund Orders
September 30, 1997
4255
DBOD.No.BC.108/09.07.007/97-98
Issue of Cheque Books
September 25, 1997
4256
UBD.No.BSD.I/PCB/09/12.05.00/97-98
Opening of fictitious/benami deposit accounts and collection of stolen/forged instruments etc.
September 18, 1997
4257
IECD.No.10/03.27.004/97-98
Advances to sugar Industry-Continuance of credit facilities by banks against stocks of free sale sugar loaned to Govt. for Public Distribution System (PDS)
September 16, 1997
4258
IECD.No.9/04.02.01/97-98
Export Credit – Interest Rates on Post-Shipment Rupee Credit
September 12, 1997
4259
UBD.No.DS.PCB.CIR.7/13.04.00/97-98
Export Credit-Interest Rates on Post – shipment Rupee Credit
September 12, 1997
4260
RPCD.No.DIR.BC.28/07.38.01/97-98
Interest Rates on term deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
September 12, 1997
4261
RPCD.No.RF.BC.29/07.38.01/97-98
Interest Rates on Deposits under Non-Resident (External) Rupee (NRE) Accounts Scheme
September 12, 1997
4262
UBD.No.DS.PCB.DIR.2/13.01.00/97-98
Interest Rates on Deposits under Non-Resident (External) Rupee (NRE) Accounts Scheme
September 12, 1997
4263
DBOD.No.Dir.BC.105/13.01.09/97
Interest Rates on Term Deposits under NRE Accounts
September 12, 1997
4264
DBOD.No.Dir.BC.106/13.01.09/97
Interest Rates on Deposit under NRE Accounts Scheme
September 12, 1997
4265
UBD.No.DS.SUB.Cir.14/13.05.00/97-98
Credit requirements of sugar industry
September 10, 1997
4266
DBOD.No.BP.BC.103/12.01.023/97
Custody of Secutities of NBFCs with Designated Banks towards Maintenance of Liquid Assets – Non Banking Financial Companies (Reserve Bank Directions), 1977
September 9, 1997
4267
IECD.No.7/06 33 01/97-98
Rehabilitation of Sick/Weak Industrial Units Compromise/ One Time Settlement/Write-off under rehabilitation packages
September 8, 1997
4268
IECD.No.8/06.33.01/97-98
Rehabilitation of viable SSI Sick and Non-SSI Sick/Weak Industrial Units
September 8, 1997
4269
DBOD.No.BP.BC.102/21.01.001/97
Financial Assistance to Industries Producing/Consuming ODS
September 5, 1997
4270
DBOD.No.FSC.BC.100/24.76.002/97
Ready Forward Transactions
September 5, 1997
4271
DBOD.No.FSC.BC.101/24.76.002/97
Ready Forward Transactions
September 5, 1997
4272
IECD.No.6/08.12.01/97-98
Sanction of term loans for projects
September 2, 1997
4273
DBOD.No.BP.BC.99/21.03.054/97
Limit on Credit Exposure to Individual / Group Borrowers
September 2, 1997
4274
RPCD.No.RF.BC.24/07.02.08/97-98
Ready Forward Transaction
September 1, 1997
4275
RPCD.No.RF.DIR.BC.23/07.02.08/97-98
Ready Forward Transactions
September 1, 1997
4276
IECD.No.5/03.27.25/97-98
Quantum of bank finance to Housing Finance Companies entitled to draw refinance from National Housing Bank(NHB)
August 30, 1997
4277
RPCD.No.RF.BC.22/07.38.01/97-98
Interest Tax Act, 1974 – Reduction of interest tax from 3% to 2%
August 29, 1997
4278
RPCD.No.BC.21/05.02.27/97-98
Compounding of interest by commercial banks on agricultural advances
August 28, 1997
4279
DBOD.No.BC.97/12.02.001/97-98
Reserve Requirements on ACU Dollar Balances
August 28, 1997
4280
DBOD.No.BC.96/12.02.001/97-98
Section 24 of the BR Act, 1949 – SLR Requirements on ACU Dollar Balances in Vosto A/cs.
August 28, 1997
4281
DBOD.No.BC.98/12.02.001/97-98
Notification
August 28, 1997
4282
DBOD.No.BC.95/12.02.001/97-98
Loans out of FCNR(B) Scheme and Inter-Bank Foreign Currency Deposits Scheme
August 26, 1997
4283
DBOD.No.Dir.BC.94/13.01.11/97
Deposit Mobilisation Schemes
August 26, 1997
4284
DBOD.No.FSC.BC.91/24.76.002/97
Ready Forward Transactions
August 16, 1997
4285
DBOD.No.FSC.BC.92/24.76.002/97
Ready Forward Transactions
August 16, 1997
4286
IECD.NO.3/03.27.004/97-98
Credit requirements of sugar industry
August 14, 1997
4287
UBD.No.DS.PCB.CIR.5/13.04.00/97-98
Interest Tax Act 1974 – Reduction of interest tax from 3% to 2%
August 11, 1997
4288
DBOD.No.BC.88/09.07.007/97-98
Committee on Customer Service in Banks – Implementatin of Recommendations of the Goiporia Committee
August 5, 1997
4289
DBOD.No.FSC.BC.86/24.76.002/97
Ready Forward Transactions
August 4, 1997
4290
DBOD.No.FSC.BC.87/24.76.002/97
Ready Forward Transactions
August 4, 1997
4291
RPCD.No.RF.BC.15/07.02.08/97-98
Ready Forward Transactions
August 1, 1997
4292
RPCD.No.RF.DIR.BC.14/07.02.08/97-98
Ready Forward Transactions
August 1, 1997
4293
DBOD.No.FSC.BC.81/24.76.002/97
Ready Forward Transactions
July 24, 1997
4294
DBOD.No.FSC.BC.82/24.76.002/97
Ready Forward Transactions
July 24, 1997
4295
UBD.No.RET.(PCB)1/06.01.00/97-98
Default/delay in submission of various returns under the Banking Regulation Act 1949 (As Applicable to Co-operative Societies)
July 16, 1997
4296
RPCD.No.RF.BC.7/07.38.01/97-98
Deposit of the amount of compensation awarded by the Claims Tribunal and its withdrawal by the claimants – Guidelines laid down by the Supreme Court
July 15, 1997
4297
UBD.No.UBD.DS.AD.CIR.1/13.02.00/97-98
Statement of deposits under FCNR(B) Scheme
July 8, 1997
4298
IECD.No.1/04.02.02/97-98
Extension of Concessive Credit for deemed Exports
July 5, 1997
4299
RPCD.No.PLNFS.BC.4\06.11.02\97-98
Co-operative Bank Finance for Housing Schemes
July 5, 1997
4300
DBOD.No.BP.BC.80/21.01.023/97
Frauds in Banks – Grant of ‘At Par’ Facility for Dividend Warrants/Interest Warrants and Refund Orders
July 2, 1997
4301
RPCD.No.RF.BC.2/07.02.08/97-98
Ready Forward Transactions
July 1, 1997
4302
RPCD.No.RF.DIR.BC.1/07.02.08/97-98
Ready Forward Transactions
July 1, 1997
4303
RPCD.No.DIR.BC.155/07.02.08/96-97
Ready Forward Transactions
June 30, 1997
4304
RPCD.No.DIR.BC.156/07.02.08/96-97
Ready Forward Transactions
June 30, 1997
4305
DBOD.No.Dir.BC.79/13.01.04/97
Deposits of the Amount of Compensation Awarded by the Claims Tribunal and is Withdrawal by the Claimants – Guidelines Laid Down by the Supreme Court
June 30, 1997
4306
DOS.FID.No.17/01.02.00/96-97
Limits on Credit Exposures of Term-Lending Institutions to Individual / Group Borrowers
June 28, 1997
4307
IECD.No.33/07-03.22/96-97
Submission of credit date In Form ‘A’ on a quarterly basis under Credit Monitoring Arrangement
June 28, 1997
4308
DBOD.No.FSC.BC.76/24.76.002/97
Ready Forward Transactions
June 26, 1997
4309
DBOD.No.FSC.BC.77/24.76.002/97
Ready Forward Transactions
June 26, 1997
4310
IECD.No.32/04.02.01/96-97
Export Credit – Interest Rates
June 25, 1997
4311
UBD.No.DS:PCB:CIR 59/13.04.00/96-97
Post – shipment Rupee Export Credit
June 25, 1997
4312
UBD.No.DS.PCB.Dir.28/13.04.00/96-97
Interest Rates on Advances
June 25, 1997
4313
RPCD.No.BC.151/07.02.08/96-97
Investment Portfolio of banks – Transactions in Securities
June 25, 1997
4314
RPCD.No.BC.154/07.02.01/96-97
Penal Rate of Interest on the shortfalls in the maintenance of Cash Reserve Ratio (CRR)
June 25, 1997
4315
RPCD.No.BC.153/07.38.01/96-97
Interest rates on deposits under Non-Resident (External) Rupees (NRE) Accounts Scheme
June 25, 1997
4316
RPCD.No.DIR.BC.152/07.38.01/96-97
Interest rates on term deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
June 25, 1997
4317
UBD.No.DS.PCB.Cir.57/13.01.00/96-97
Interest Rates on Deposits
June 25, 1997
4318
UBD.No.DS.PCB.DIR.26/13.01.00/96-97
Interest Rates on Deposits
June 25, 1997
4319
UBD.No.DSP.CB.DIR.27/13.01.00/96-97
Interest Rates on Deposits under Non-Resident (Exernal) Rupee (NRE) Accounts Scheme
June 25, 1997
4320
DBOD.No.BC.78/12.01.001/96-97
Penal Rate of Interest on the Shotfalls in the Maintenance of CRR/SLR
June 25, 1997
4321
DBOD.No.Dir.BC.69/13.01.01/97
Interest Rates on Deposits
June 25, 1997
4322
DBOD.No.Dir.BC.70/13.01.01/97
Interest Rates on Deposits
June 25, 1997
4323
DBOD.No.Dir.BC.73/13.01.09/97
Interest Rates on Term Deposits under NRE Accounts
June 25, 1997
4324
DBOD.No.Dir.BC.74/13.01.09/97
Interest Rates on Deposit under NRE Accounts Scheme
June 25, 1997
4325
Notification DFC.(COC)No.112/ED(SG)-97
Non-Application of RBI Act Provisions
June 18, 1997
4326
FIC.No.15/01.10.00/96-97
Income Recognition, Asset Classification, Provisioning and other Related Matters
June 18, 1997
4327
FIC.No.14/01.10.00/96-97
Income Recognition, Asset Classification, Provisioning and other Related Matters
June 17, 1997
4328
DBOD.No.BP.BC.67/21.04.048/97
Write Back of Excess Provision towards Depreciation on Investments
June 12, 1997
4329
DBOD.No.BL.BC.64/22.01.903/97
Opening of Offices of Commercial Banks in the NCT of Delhi – NOC from DDA
June 5, 1997
4330
DBOD.No.FSC.BC.65/24.76.002/97
Ready Forward Transactions
June 5, 1997
4331
DBOD.No.FSC.BC.66/24.76.002/97
Ready Forward Transactions
June 5, 1997
4332
UBD.I & L(PCBs)No.55/12.05.00/96-97
Handling of complaints/fraud cases etc.
June 4, 1997
4333
IECD.No.31/08.12.01/96-97
Lending to non-banking financial companies
June 4, 1997
4334
RPCD.No.BC.147/07.02.08/96-97
Ready Forward Transactions
June 3, 1997
4335
RPCD.No.DIR.BC.146/07.02.08/96-97
Ready Forward Transactions
June 3, 1997
4336
IECD.No.30/03.27.25/96-97
Housing Finance Allocation for the year 1997-98
June 2, 1997
4337
RPCD.No.RRB.BC.144/03.05.34/96-97
Avenues of investment – Surplus Non-SLR Funds – Credit Route
May 29, 1997
4338
DBOD.No.Dir.BC.60/13.07.05/97
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
May 28, 1997
4339
DBOD.No.BC.DL.61/20.16.002/96-97
Disclosure of Information regarding Defaulting Borrowers of Bank and Financial Institutions – Half-year Ended March 1996
May 28, 1997
4340
UBD.No.DS.SUB.CIR/13/13.01.00/96-97
Permission to participate in CaIl/Notice Money-Private Sector Mutual Funds
May 27, 1997
4341
UBD.No.DS.PCB.Cir 54/13.05.00/96-97
Customer Service – Collection of local cheques
May 26, 1997
4342
FIC.No.13/02.01.01/96-97
Lending
May 21, 1997
4343
DBOD.No.BC.58/l2.01.001/96-97
Reserve Requirements – Submission of Form A and Form VIII
May 20, 1997
4344
DBOD.No.FSC.BC.56/24.76.002/96-97
Ready Forward Transactions
May 20, 1997
4345
DBOD.No.FSC.BC.57/24.76.002/96-97
Ready Forward Transactions
May 20, 1997
4346
UBD.No.DS.SUB.CIR.11/13.01.00/96-97
Permission to participate in Call/Notice Money-Private Sector Mutual Funds
May 15, 1997
4347
UBD.No.DS.AD.Cir.20/13.02.00/96-97
Extension of facility of Pre-shipment Credit in Foreign Currency (PCFC) for deemed exports
May 14, 1997
4348
UBD.No.DS.PCB.Cir 52/13.05.00/96-97
Flow of credit to SSI sector
May 13, 1997
4349
UBD.No.DS.AD.Cir.19/13.04.00/96-97
Post shipment finance in respect of exports through the Warehouse-Cum-Display Centre at Dubai
May 10, 1997
4350
DBOD.No.Dir.BC.55/13.01.10/97
Annual Review of Donations
May 5, 1997
4351
Notification DFC (COC) No.108.ED(JRP)/97
Amended upto 01.07.2005 – Regulations relating to Maintenance of Liquid Assets by NBFCs / RNBCs
April 30, 1997
4352
DBOD.No.FSC.BC.53/24.76.002/96-97
Ready Forward Transactions
April 29, 1997
4353
DBOD.No.FSC.BC.54/24.76.002/97
Ready Forward Transactions
April 29, 1997
4354
RPCD.NO.BC.131/07.02.08/96-97
Ready Forward Transactions
April 26, 1997
4355
RPCD.No.DIR.BC.130/07.02.08/96-97
Ready Forward Transactions
April 26, 1997
4356
UBD.No.Plan.(PCB)49/09.27.00/96-97
Payment under bank guarantee-Immediate settlement of cases
April 26, 1997
4357
DBOD.No.BC.51/12.02.001/96-97
Section 24 of the BR Act, 1949 – SLR on Liabilities to the Banking System
April 25, 1997
4358
UBD.No.DS.PCB.CIR.46/13.05.00/96-97
Lending under consortium arrangement
April 23, 1997
4359
UBD.No.DS.PCB.Cir.47/13.05.00/96-97
Guidelines for lending by banks Assessment of working capital-Concept of maximum permissible bank Finance – Review of policy.
April 23, 1997
4360
UBD.No.DS.PCB.CIR.48/13.05.00/96-97
Loan system for delivery of bank credit
April 23, 1997
4361
DBOD.No.BP.BC.49/21.03.053/97
Certificate of Deposits (CDs)
April 22, 1997
4362
RPCD.No.BC.126/07.38.01/96-97
Interest rates on Deposits
April 21, 1997
4363
RPCD.No.DIR.BC.125/07.38.01/96-97
Interest rates on Deposits
April 21, 1997
4364
UBD.No.DS.PCB.CIR.45/13.01.00/96-97
Interest Rates on Deposits-Premature withdrawal of term deposit.
April 19, 1997
4365
IECD.No.29/04.02-02/96-97
Post shipment finance In respect of exports through the Warehouse-Cum-Display Centre at Dubai
April 17, 1997
4366
IECD.No.28/04.02.15/96-97
Extension of facility of Pre-shipment Credit In Foreign Currency (PCFC) for deemed exposes
April 17, 1997
4367
IECD.No.27/04-02-01/96-97
Export Credit-interest Rates
April 15, 1997
4368
UBD.No.DS.PCB.CIR 50/13.04.00/96-97
Export credit-Interest Rates
April 15, 1997
4369
UBD.No.DS.PCB.DIR.24/13.04.00/96-97
Interest Rates on Advances
April 15, 1997
4370
IECD.16/08.15.01/96-97
Notification
April 15, 1997
4371
IECD.17/08.15.08/96-97
Notification
April 15, 1997
4372
IECD.No.25/08.15.01/96-97
Commercial Paper
April 15, 1997
4373
RPCD.No.BC.120/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 15, 1997
4374
RPCD.No.BC.122/07.38.01/96-97
Interest rates on deposits under Non-Resident (External) Rupee (NRE) Accounts Scheme
April 15, 1997
4375
RPCD.No.DIR.BC.119/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 15, 1997
4376
RPCD.No.DIR.BC.121/07.38.01/96-97
Interest rates on term deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
April 15, 1997
4377
UBD.No.(AD)FCNR/22/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 15, 1997
4378
UBD.No.DS.AD.Cir.17/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Bank) Scheme
April 15, 1997
4379
UBD.No.DS.CIR.PCB.44/13.01.00/96-97
Interest Rates on Deposits
April 15, 1997
4380
UBD.No.DS.PCB.DIR.20/13.01.00/96-97
Interest Rates on Deposits
April 15, 1997
4381
UBD.No.DS(AD)16/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-resident) Accounts (Banks) Scheme
April 15, 1997
4382
UBD.No.DS(PCB)Dir.21/13.01.00/96-97
Interest Rates on Deposits
April 15, 1997
4383
IECD.No.23/08-12-01/96-97
Guidelines for lending by banks – Assessment of working capital – Concept of maximum permissible bank finance – Review of policy
April 15, 1997
4384
IECD.No.24/08.13.08/96-97
Lending under consortium arrangement
April 15, 1997
4385
DBOD.No.Dir.BC.42/13.07.05/97
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
April 15, 1997
4386
DBOD.Dir.No.BC.46/12.01.001/96-97
Section 42(1A) of RBI Act, 1934 – CRR on Non-Resident Deposits
April 15, 1997
4387
DBOD.No.BC.44/12.01.001/96-97
Notification
April 15, 1997
4388
DBOD.No.BC.45/12.01.001/96-97
Notification
April 15, 1997
4389
DBOD.No.BC.47/12.01.001/96-97
Penal Rate of Interest on the Shortfalls in the Maintenance of CRR/SLR
April 15, 1997
4390
DBOD.No.BC.50/12.01.001/96-97
Section 42(1) of the RBI Act, 1934 – Change of CRR on Liabilities to the Banking System
April 15, 1997
4391
DBOD.No.Dir.BC.33/13.01.01/97
Interest Rates on Deposits
April 15, 1997
4392
DBOD.No.Dir.BC.34/13.01.01/97
Interest Rates on Deposits
April 15, 1997
4393
DBOD.No.Dir.BC.37/13.01.09/97
Interest Rates on Deposits held under NRE Accounts Scheme
April 15, 1997
4394
DBOD.No.Dir.BC.38/13.01.09/97
Interest Rates on Deposits under NRE Accounts Scheme
April 15, 1997
4395
DBOD.No.Dir.BC.40/13.01.09/97
Interest Rates on Deposits held under FCNR(B) Scheme
April 15, 1997
4396
DBOD.No.Dir.BC.41/13.01.09/97
Interest Rates on Deposits held under FCNR(B) Scheme
April 15, 1997
4397
IECD.No.22/08.12.01/96-97
Loan System for Delivery of Bank Credit
April 15, 1997
4398
IECD.No.26/08.12.01/96-97
Lending to non-banking – financial companies
April 15, 1997
4399
DBOD.No.Dir.BC.43/13.07.05/97
Advances against Shares
April 15, 1997
4400
DBOD.No.BP.BC.31/21.04.048/97
Investment Portfolio of Banks – Classification of Investments under ‘Permanent’ and ‘Current’ Category
April 10, 1997
4401
DBOD.No.BP.BC.29/21.04.048/97
Income Recognition, Asset Classification & Provisioning – Agricultural Advances
April 9, 1997
4402
DBOD.No.BP.BC.30/21.04.048/97
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Valuation of Investments
April 9, 1997
4403
DBOD.No.FSC.BC.28/24.91.001/97
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
April 9, 1997
4404
RPCD.No.BC.117/07.38.02/96-97
Selective Credit Controls – Reintroduction of Controls on Advances against Wheat
April 7, 1997
4405
RPCD.No.DIR.BC.116/07.38.02/96-97
Selective Credit Controls – Reintroduction of Controls on Advances against Wheat
April 7, 1997
4406
UBD.No.DS.PCB.CIR.42A/13.03.00/96-97
Selective Credit Controls – Reintroduction of Controls on Advances against Wheat
April 7, 1997
4407
UBD.No.DS.PCB.Dir19A/13.03.00/96-97
Selective Credit Controls-Reintroduction of Controls on Advances against Wheat
April 7, 1997
4408
DBOD.No.Dir.BC.26/13.08.01/97
Selective Credit Controls – Reintroduction of Controls on Advances against Wheat
April 7, 1997
4409
DBOD.No.Dir.BC.27/13.08.01/97
Selective Credit Controls – Reintroduction of Controls on Advances agianst Wheat
April 7, 1997
4410
FIC.No.11/02.01.01/96-97
Lending by Financial Institutions-Bridge Loan/Interim Finance
April 4, 1997
4411
RPCD.No.RF.BC.114/07.38.01/96-97
Interest Rates on Deposits – Premature withdrawal of term deposit
March 31, 1997
4412
RPCD.No.RF.DIR.BC.113/07.38.01/96-97
Interest rates on deposits
March 31, 1997
4413
RPCD.RRB.No.BC.111/03.05.65/96-97
Section 23 of the Banking Regulation Act, 1949 – Opening of branches by Regional Rural Banks
March 22, 1997
4414
UBD.No.I & L(PCBs)42/12.05.00/96-97
Prudential norms – Income Recognition, Assets Classification, Provisioning and other related matters
March 20, 1997
4415
DBOD.No.Dir.BC.21/13.01.05/97
Interest Rates on Deposits
March 15, 1997
4416
DBOD.No.Dir.BC.22/13.01.05/97
Interest Rates on Deposits – Premature Withdrawal of Term Deposits
March 15, 1997
4417
DBOD.No.BP.BC.20/21.04.012/97
Relaxations to Trade and Industry in the State of Jammu & Kashmir
March 14, 1997
4418
DFC.(COC)No.99/ED(JRP)-97
Non-Application of RBI Act Provisions
March 6, 1997
4419
DBOD.No.FSC.BC.17/24.91.001/97
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
March 3, 1997
4420
DBOD.No.FSC.BC.18/24.76.002/95-96
Ready Forward Transactions
March 3, 1997
4421
DBOD.No.FSC.BC.19/24.76.002/97
Ready Forward Transactions
March 3, 1997
4422
DBOD.No.BC.15/09.08.004/96-97
Banking Laws (Amendment) Act, 1983 and Banking Companies (Nomination) Rules, 1985
February 28, 1997
4423
DBOD.No.BP.BC.16/21.04.009/97
Payment under Bank Guarantees – Immediate Settlement of Cases
February 28, 1997
4424
RPCD.No.BC.107/07.02.08/96-97
Ready Forward Transactions
February 27, 1997
4425
RPCD.No.DIR.BC.106/07.02.08/96-97
Ready Forward Transactions
February 27, 1997
4426
UBD.No.BR/9/16.74.00/96-97
Disclosure of information regarding defaulting borrowers of banks and financial institutions.
February 27, 1997
4427
FIC.No.08/01.10.00/96-97
Income Recognition, Asset Classification, Provisioning and other Related Matters
February 27, 1997
4428
UBD.No.I&L/(PCBs)41/12.05.00/96-97
Banking Regulation Act, 1949 (As applicable to Co-operative Societies) – Section 29 – Submission of Annual Balance Sheet and Profit and Loss Account – Payment of Fees and Allowances to Directors
February 27, 1997
4429
IECD.No.21/08.12.01/96-97
Bill Discounting/Rediscounting Schemes Operated by Power Finance Corporation Ltd. (PFC)
February 21, 1997
4430
FIC.No.07/01.08.00/96-97
Investment Portfolio – Transactions in Securities
February 19, 1997
4431
DBOD.No.BP.BC.14/21.04.048/97
Income Recognition, Asset Classification and Provisioning – Agricultural Advances
February 19, 1997
4432
DBOD.No.BC.13/12.05.007/96-97
Section 42(2) of RBI Act, 1934 and Section 27, 26 of RBI Act, 1949 – Returns
February 19, 1997
4433
UBD.No.DS.(SUB)Cir8/13.02.00/96-97
Loans/overdrafts to residents against the security of Fixed Deposits in FCNR/NRE Accounts
February 17, 1997
4434
DBOD.No.733/09.11.013/97
Special Order
February 14, 1997
4435
DBOD.No.Dir.BC.12/13.01.01/97
Interest Rates on Deposits
February 14, 1997
4436
IECD.No.20/03.27-25/96-97
Housing Finance through housing finance intermediaries
February 13, 1997
4437
UBD.No.DS.PCB.Cir.40/13.05.00/96-97
Lending for working capital purposes Sanction of ad-hoc limits
February 13, 1997
4438
UBD.No.I&L.(PCBs)39/12.05.00/96-97
Banking Regulation Act, 1949 (AACS)-Section 29 – Submission of Annual Balance Sheet and Profit & Loss Account – Payment of Fees and Allowances to Directors
February 7, 1997
4439
FIC.No.06/02.01.00/96-97
Export Credit
February 6, 1997
4440
UBD.NO.DS/PCBICIR.38/13.05.00/96-97
Limits on Credit Exposure to Individual/ Group of borrowers – Advances against security of term deposits
February 4, 1997
4441
UBD.No.Cir.(AD)13/13.02.00/96-97
Conversion of FCNR/NRE accounts of the Returning Indians to RFC accounts : Payment of interest
January 31, 1997
4442
UBD.No.DS.AD.14/13.02.00/96-97
Renewal of Matured FCNR(A) Deposits under FCNR(B) Scheme/Payment of Overdue Interest on Overdue FCNR(A) Deposits
January 31, 1997
4443
DBOD.No.BP.BC.9/21.04.048/97
Prudential Norms – Capital Adequacy, Income Recognition, Asset Classification and Provisioning
January 29, 1997
4444
DBOD.No.Dir.BC.8/13.01.09/97
Loans to Residents Against FCNR/ NRE Deposits
January 28, 1997
4445
UBD.No.RBL.(PCB)37/07.01.00/96-97
Primary Co-operative Banks having common names
January 14, 1997
4446
RPCD.No.BC.95/07.02.08/96-97
Ready Forward Transactions
January 13, 1997
4447
RPCD.No.DIR.BC.94/07.02.08/96-97
Ready Forward Transactions
January 13, 1997
4448
DBOD.No.BC.6/09.08.001/96-97
Change of Name of Madras to Chennai
January 11, 1997
4449
DBOD.No.FSC.BC.4/24.76.002/95-96
Ready Forward Transactions
January 10, 1997
4450
DBOD.No.FSC.BC.5/24.76.002//95-96
Ready Forward Transactions
January 10, 1997
4451
RPCD.No.BC.92/07.02.08/96-97
Investment portfolio of banks – Transactions in securities
January 8, 1997
4452
RPCD.No.BC.93/07.38.04/96-97
Renewal of matured FCNR(A) deposits under FCNR(B) Scheme/payment of overdue interest on overdue FCNR(A) deposits
January 8, 1997
4453
UBD.No.DS.SUB.CIR.7/13.07.00/96-97
Investment of Surplus Funds by primary co-operative Banks in Bills Rediscounting Scheme
January 7, 1997
4454
UBD.No.RBL.(PCB).35/07.01.00/96-97
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Opening of branches/up-gradation of extension counters into full-fledged branches
January 6, 1997
4455
DBOD.No.PSB.BC.1/16.13.100/96-97
Calendar of Reviews – Matters to be Placed Before Board of Directors and Management Committee
January 1, 1997
4456
RPCD.No.BC.89/07.02.08/96-97
Ready Forward Transactions
December 30, 1996
4457
RPCD.No.DIR.BC.88/07.02.08/96-97
Ready Forward Transactions
December 30, 1996
4458
UBD.No.NBL.RCS 6/08.00.00/96-97
Organisation of New urban Co-operative banks
December 27, 1996
4459
DBOD.No.BP.BC.163/21.04.048/96
Classification of Advances with Balances less than Rs. 25,000/-
December 24, 1996
4460
IECD.No.CMD.19/03.27.18/96-97
Financial Assistance for Payments under Voluntary Retirement Scheme (VRS) and Gratuity
December 19, 1996
4461
DBOD.No.BP.BC.161/21.03.054/96
Limits on Credit Exposure to Individual/Group of Borrowers – Advances against Security of Term Deposits
December 19, 1996
4462
RPCD.No.BC.78/07.02.05/96-97
Notification
December 16, 1996
4463
RPCD.No.BC.79/07.02.05/96-97
Notification
December 16, 1996
4464
RPCD.No.BC.80/07.02.05/96-97
Scheduled State Co-operative Banks – Exemption from provision of proviso to sub-section (1) and sub-section (1A) of section 42 of RBI Act, 1934
December 16, 1996
4465
RPCD.No.BC.81/07.02.05/96-97
Notification
December 16, 1996
4466
RPCD.No.BC.82/07.02.05/96-97
Notification
December 16, 1996
4467
RPCD.No.BC.83/07.02.05/96-97
Regional Rural Banks – Exemption from provisions of proviso to Sub-Section (1) and Sub-Section (1A) of Section 42 of RBI Act, 1934
December 16, 1996
4468
DBOD.No.FSC.BC.158/24.76.001/95-96
Ready Forward Transactions
December 16, 1996
4469
DBOD.No.FSC.BC.159/24.76.002/95-96
Ready Forward Transactions
December 16, 1996
4470
RPCD.No.RRB.BC.76/03.05.34/96-97
Avenues of investment – Surplus Non-SLR Funds – Regional Rural Banks (RRBs)
December 13, 1996
4471
IECD.No.18/06.33.01/96-97
Rehabilitation of sick/weak Industrial units-Single Window Concept for Lending
December 13, 1996
4472
UBD.No.Plan.PCB.33/09.09.01/96-97
Financing agricultural activities by primary Co-operative banks
December 13, 1996
4473
DBOD.No.Dir.BC.157/13.01.09/96
Renewal of Matured FCNR(A) Deposits under FCNR(B) Scheme/Payment of Overdue Interest on Overdue FCNR(A) Deposits
December 11, 1996
4474
IECD.No.17/03.27.026/96-97
Bank finance for purchase/lease of existing assets
December 6, 1996
4475
DBOD.No.BC.155/09.08.001/96
Opening of Special Counters to Receive Donations
December 5, 1996
4476
UBD.No.Plan.RCS.No.4/09.20.00/96-97
Mahila Urban Co-operative Banks – Membership
December 4, 1996
4477
DBOD.No.Dir.BC.154/13.07.05/96
Loans and Advances against Shares/Debentures
November 30, 1996
4478
FIC.No.03/01.02.00/96-97
Financial Assistance by FIs for Payments under Voluntary Retirement Scheme and Gratuity
November 29, 1996
4479
UBD.No.DS.PCB.CIR.31/13.05.00/96-97
Loan system for Delivery of Bank Credit
November 29, 1996
4480
DBOD.No.BP.BC.152/24.01.002/96
Capital Adequacy Measures
November 27, 1996
4481
DBOD.No.BP.BC.151/21.01.023/96
Sanction of Advances in excess of Discretionary Powers
November 26, 1996
4482
IECD.No.16/04.02.02/96-97
Extension of Concessive Credit for deemed exports – List of multilateral / bilateral agencies / funds
November 22, 1996
4483
DBOD.No.Dir.BC.150/13.07.05/96
Recommendation of the Estimates Committee of the Lok Sabha reg. Off-loand of the Promoters Quota of Shares
November 21, 1996
4484
IECD.No.EFD.15/04.02.02/96-97
Export Credit – Export Credit and Guarantee Corporation – Whole Turnover Post-shipment Guarantee Scheme
November 19, 1996
4485
UBD.No.DC(AD)12/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-resident) Accounts (Banks) Scheme
November 18, 1996
4486
FIC.No.02/01.10.00/96-97
Income Recognition, Asset Classification, Provisioning and other Related Matters
November 18, 1996
4487
DBOD.No.Dir.BC.148/13.07.05/96
Investments in Bonds Issued by PSUs
November 18, 1996
4488
RPCD.No.BC.63/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1996
4489
RPCD.No.DIR.BC.62/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1996
4490
UBD.No.(AD)FCNR/17/13.02.00/96-97
Interest rates on deposits held under foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1996
4491
DBOD.No.Dir.BC.146/13.01.09/96
Interest Rates on Deposits held under FCNR(B) Scheme
November 16, 1996
4492
DBOD.No.Dir.BC.147/13.01.09/96
Interest Rates on Deposits held under FCNR(B) Scheme
November 16, 1996
4493
UBD.No.DS.PCB.CIR.28/13.05.00/96-97
Lending under consortium arrangements
November 11, 1996
4494
UBD.No.DS.PCB.CIR.27/13.05.00/96-97
Maximum Limit on Advances – Limits on Unsecured Advances to single party/connected Group
November 11, 1996
4495
UBD.No.DS.PCB.DIR.16/13.05.00/96-97
Maximum Limit on Advances
November 11, 1996
4496
IECD.No.14/08.15.01/96 97
Commercial Paper
November 5, 1996
4497
IECD.No.13/08.12.01/96-97
Loan System for Delivery of Bank Credit
November 4, 1996
4498
IECD.15/08.15.01/96-97
Notification
November 4, 1996
4499
UBD.No.DS.PCB.CIR.26/13.05.00/96-97
Grant of Financial Assistance against Shares/ Debentures of Joint Stock Companies
November 1, 1996
4500
UBD.No.DS.PCB.DIR.15/13.05.00/96-97
Grant of Financial Assistance against Shares/Debentures of Joint Stock Companies
November 1, 1996
4501
RPCD.No.DIR.BC.55/07.02.08/96-97
Ready Forward Transactions
November 1, 1996
4502
UBD.No.DS.PCB.CIR.25/13.05.00/96-97
Advances granted to directors and their relatives by Primary (urban) Co-operative Banks
October 30, 1996
4503
IECD.No.12/08.13-08/96-97
Lending under consortium arrangements
October 29, 1996
4504
RPCD.No.BC.56/07.02.08/96-97
Ready Forward Transactions
October 28, 1996
4505
UBD.NBL.RCS.3/08.00.00/96-97
Registration, Licensing and Area of operation of New Urban Co-operative Banks
October 26, 1996
4506
DBOD.No.Dir.BC.145/13.07.05/96
Investment in Shares and Debentures of Corporate Bodies
October 25, 1996
4507
UBD.No.DS.DIR.14/13.03.00/96-97
Selective Credit Control – Advances Against sensitive commodities
October 22, 1996
4508
UBD.No.DS.PCB.CIR.23/13.03.00/96-97
Selective Credit Controls – Advances against sensitive commodities
October 22, 1996
4509
UBD.No.DS.PCB.CIR/22/13.04.00/96-97
Interest Rates for post-shipment Export Credit
October 22, 1996
4510
UBD.No.DS.PCB.DIR.13/13.04.00/96-97
Interest Rates on Advances
October 22, 1996
4511
UBD.No.BR.2/16.01.00/96-97
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Primary Credit Societies – Inclusion in the list of Primary Co-operative Banks (PCBS)
October 22, 1996
4512
DBOD.No.Dir.BC.143/13.01.09/96
Calculation of Interest on FCNR (B) Deposits
October 22, 1996
4513
DBOD.No.Dir.BC.144/13.01.09/96
Calculation of Interest on FCNR(B) Deposits
October 22, 1996
4514
IECD.No.11/03.27-04/96-97
Bank credit to sugar Industry – valuation of stocks
October 22, 1996
4515
RPCD.No.BC.53/07.38.02/96-97
Selective Credit Controls – Exemptions in respect of Advances against Sensitive Commodities
October 19, 1996
4516
RPCD.No.DIR.BC.52/07.38.02/96-97
Selective Credit Controls – Exemptions in respect of Advances against sensitive commodities
October 19, 1996
4517
UBD.No.DS.PCB.Cir 21/13.01.00-96/97
Interest Rates on Deposits
October 19, 1996
4518
UBD.No.DS.PCB.DIR.12/13.01.00/96-97
Interest Rates on Deposits
October 19, 1996
4519
DBOD.No.Dir.BC.137/13.08.01/96-97
Selective Credit Control – Exemptions in respect of Advances against Sensitive Commodities
October 19, 1996
4520
DBOD.No.Dir.BC.138/13.08.01/96-97
Selective Credit Control – Exemptions in respect of Advances against Sensitive Commodities
October 19, 1996
4521
DBOD.No.BC.140/12.01.001/96-97
Notification
October 19, 1996
4522
DBOD.No.Dir.BC.133/13.01.09/96
Interest Rates on Deposits
October 19, 1996
4523
DBOD.No.Dir.BC.134/13.01.01/96
Interest Rates on Deposits
October 19, 1996
4524
UBD.No.DC.(AD)11/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-resident) Accounts (Banks) Scheme
October 18, 1996
4525
RPCD.No.BC.51/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 17, 1996
4526
RPCD.No.DIR.BC.50/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-resident) Accounts (Banks) Scheme
October 17, 1996
4527
UBD.No.(AD)FCNR/11/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-resident) Accounts (Banks) Scheme
October 17, 1996
4528
DBOD.No.Dir.BC.131/13.01.09/96
Interest Rates on Deposits held under FCNR(B) Scheme
October 17, 1996
4529
DBOD.No.Dir.BC.132/13.01.09/96
Interest Rates on Deposits held under FCNR(B) Scheme
October 17, 1996
4530
UBD.No.Plan.PCB.20/09.63.00/96-97
Policy and practice regarding Nominal Membership
October 16, 1996
4531
RPCD.No.BC.47/07.02.08/96-97
Ready Forward Transactions
October 14, 1996
4532
RPCD.No.DIR.BC.46/07.02.08/96-97
Ready Forward Transaction
October 14, 1996
4533
DBOD.No.BC.130/12.04.002/96-97
T.T Discounting Facility – Renewal
October 14, 1996
4534
DBOD.No.BC.DL.129/20.16.002/96-97
Disclosure of Information regarding Defaulting Borrowers of Banks and Financial Institutions – Half Year ended September 1995
October 14, 1996
4535
IECD.No.9/03.27.04/96-97
Credit Requirements of Sugar Industry
October 12, 1996
4536
DBOD.No.FSC.BC.127/24.76.002/95-96
Ready Forward Transactions
October 10, 1996
4537
DBOD.No.FSC.BC.128/24.76.002/95-96
Ready Forward Transactions
October 10, 1996
4538
DBOD.No.FSC.BC.125/24.76.002/95-96
Ready Forward Transactions
October 3, 1996
4539
DBOD.No.FSC.BC.126/24.76.002/95-96
Ready Forward Transactions
October 3, 1996
4540
DBOD.No.FSC.BC.124/24.91.001/95-96
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
September 30, 1996
4541
DBOD.No.Dir.BC.121/21.03.038/96
Calendar of Reviews – Matters to be Placed Before the Board of Directors and the Managing Committee
September 23, 1996
4542
FIC.No.01/02.01.00/96-97
Interest Rate Surcharge on Import Finance
September 18, 1996
4543
UBD.No.NBL.RCS1/08.00.00/96-97
Conversion of Co-operative credit societies into primary co-operative banks
September 11, 1996
4544
UBD. No. Plan PCB. 19/09.29.00/96-97
Investment portfolio of banks – System for custody and control of unused B.R. Forms
September 11, 1996
4545
RPCD.No.BC.36/07.38.01/96-97
Operation of Safe Deposits Lockers by Customers
September 10, 1996
4546
DBOD.No.FSC.BC.119/24.76.001/95-96
Ready Forward Transactions
September 10, 1996
4547
DBOD.No.FSC.BC.120/24.76.002/95-96
Ready Forward Transactions
September 10, 1996
4548
RPCD.No.BC.35/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 7, 1996
4549
RPCD.No.DIR.BC.34/07.38.04/96-97
Interest rates on deposits held under Foreign Currency (Non-resident) Accounts (Banks) Scheme
September 7, 1996
4550
UBD.No.(AD)FCNR/10/13.02.00/96-97
Interest rates on deposits held under Foreign Currency (Non-resident Accounts (Banks) Scheme
September 7, 1996
4551
DBOD.No.Dir.BC.117/13.01.09/96
Interest Rates on Deposits Held under FCNR(B) Scheme
September 7, 1996
4552
DBOD.No.Dir.BC.118/13.01.09/96
Interest Rates on Deposits Held under FCNR(B) Scheme
September 7, 1996
4553
IECD.14/06.15.01/96-97
Notification
September 6, 1996
4554
IECD.No.8/08.15.01/96-97
Issue of Commercial Paper by Primary Dealers
September 6, 1996
4555
DBOD.No.Dir.BC.116/13.07.05/96
Loans and Advances against Shares/Debentures
September 6, 1996
4556
DBOD.NO.MC.15/19.06.01/96-97
Action Plan for Private Sector Banks for the Period April 1996 – March 1998
September 4, 1996
4557
FIC.No.198/01.08.00-96/97
Investment Portfolio – Transactions in Securities
September 2, 1996
4558
UBD.No.DS.DIR.9/13.01.00/96-97
Interest Rates on Deposits
August 30, 1996
4559
UBD.No.DS.PCB.CIR.18/13.01.00/96-97
Interest Rates on Deposits
August 30, 1996
4560
RPCD.No.BC.27/07.02.08/96-97
Ready Forward Transactions
August 26, 1996
4561
RPCD.No.DIR.BC.26/07.02.08/96-97
Ready Forward Transactions
August 26, 1996
4562
DBOD.No.Dir.BC.114/13.07.01/96
Lending Rates for RRBs
August 24, 1996
4563
UBD.No.DS.PCB.CIR.17/13.04.00/96-97
Interest Rate Surcharge on Import Finance
August 21, 1996
4564
RPCD.No.DIR.BC.23/07.38.01/96-97
Interest Rates on Deposits
August 19, 1996
4565
RPCD.No.BC.24/07.38.01/96-97
Participation in Call/Notice Money Market and Term Money Market
August 19, 1996
4566
DBOD.No.BC.112/12.01.001/96-97
Section 42(1) of the RBI Act, 1934 – Relaxation of CRR on Non-Resident (External) Rupee (NRE) Accounts Scheme
August 17, 1996
4567
DBOD.No.FSC.BC.110/24.92.001/96
Bank Finance for Primary Dealers
August 10, 1996
4568
RPCD.No.BC.22/07.02.08/96-97
Ready Forward Transactions
August 10, 1996
4569
RPCD.No.DIR.BC.21/07.02.08/96-97
Ready Forward Transactions
August 10, 1996
4570
DBOD.No.BP.BC.109/21.03.053/96
Certificate of Deposits (CDs) Scheme
August 9, 1996
4571
DBOD.No.FSC.BC.108/24.91.001/95-96
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
August 8, 1996
4572
IECD.No.7/03.27.25/96-97
Housing Finance Allocation for the year 1997
August 2, 1996
4573
UBD.No.DS.PCB.CIR.14/13.05.00/96-97
Bank Credit to Sugar Industry loan system/ valuation of Stocks modifications
August 2, 1996
4574
DBOD.No.FSC.BC.104/24.92.001/96
Interest Rates on Deposits
August 2, 1996
4575
DBOD.No.FSC.BC.105/24.92.001/96
Participation in Call/Notice Money Market and Term Money Market
August 2, 1996
4576
DBOD.No.FSC.BC.106/24.76.002/95-96
Ready Forward Transactions
August 2, 1996
4577
DBOD.No.FSC.BC.107/24.76.002/95-96
Ready Forward Transactions
August 2, 1996
4578
UBD.NO.DS.PCB.CIR.13/13.04.00/96-97
Interest Rates for Post shipment Export Credit on Medium and Long Term Basis (Deferred Credit for the period beyond 180 days)
July 31, 1996
4579
UBD.No.DS.PCB.DIR.7/13.04.00/96-97
Interest Rates on Advances
July 31, 1996
4580
UBD.NO.DS.PCB.CIR.11/13.05.00/96-97
Compliance with lending discipline- (a) Commitment charge and (b) Bills Discipline
July 31, 1996
4581
UBD.No.DS.PCB.Cir12/13.01.00/96-97
Deposit Mobilisation Schemes- Offering of gifts, etc.
July 31, 1996
4582
DBOD.No.103/12.03.001/96
Section 26 of Banking Regulation Act, 1949 – Submission of Returns in Form IX – Unclaimed Deposits
July 31, 1996
4583
RPCD.No.BC.16/07.02.08/96-97
Ready Forward Transactions
July 30, 1996
4584
RPCD.No.DIR.BC.15/07.02.08/96-97
Ready Forward Transactions
July 30, 1996
4585
RPCD.No.DIR.BC.159/07.38.04/95-96
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 29, 1996
4586
UBD.No.PCB.CIR.10/13.04.00/96-97
Interest Rates Surcharge On Import Finance
July 26, 1996
4587
IECD.No.6/07.03.21/96-97
Monthly Statement of fund-based facilities of large borrowers
July 26, 1996
4588
IECD.No.3/08.15.01/96-97
Commercial Paper (CP) – Amendment to Directions
July 25, 1996
4589
IECD.No.4/08.14.01/96-97
Interest Rate Surcharge on Import Finance
July 23, 1996
4590
IECD.13/06.15-01/96-97
Notification
July 23, 1996
4591
DBOD.No.FSC.BC.100/24.76.002/95-96
Ready Forward Transactions
July 23, 1996
4592
DBOD.No.FSC.BC.99/24.76.002/95-96
Ready Forward Transactions
July 23, 1996
4593
IECD.No.5/07.03.22/96-97
Credit Monitoring Arrangement – Submission of Quarterly data
July 22, 1996
4594
UBD.No.DS.PCB.CIR 8/13.05.00/96-97
Treatment of Margin Money on Account of Letters of Credit/Bank Guarantees
July 22, 1996
4595
UBD.No.DS(PCB)CIR.6/13.03.00/96-97
Selective Credit Control – Advances against Sensitive Commodities
July 16, 1996
4596
UBD.No.DS.(PCB)DIR.4/13.03.00/96-97
Selective Credit Control – Advances against Sensitive Commodities
July 16, 1996
4597
UBD.No.Plan.PCB.5/09.08.00/96-97
Management of Advances Portfolio and Control over Advances
July 16, 1996
4598
DBOD.No.MC.2/19.06.01/96-97
Action Plan for Private Sector Banks for the Period April 1996 – March 1998
July 15, 1996
4599
RPCD.No.BC.10/07.38.02/96-97
Advances against sugar – Valuation of stocks
July 10, 1996
4600
RPCD.No.BC.9/07.02.09/96-97
Banks Lending to Primary Dealers – Netting Concept for Reserve Requirements
July 8, 1996
4601
DBOD.No.Dir.BC.98/13.01.04/96
Rate of Interest on Advances against Term Deposits
July 4, 1996
4602
IECD.No.EFD.2/04.02.01/96-97
Interest Rates for Post-shipment Export Credit on Medium and Long Term Basis (Deferred credit for the period beyond 180 days)
July 3, 1996
4603
DBOD.No.Dir.BC.96/12.01.001/96-97
Banks Lending to Primary Dealers – Netting Concept for Reserve Requirements
July 3, 1996
4604
RPCD.BC.7/07.02.08/96-97
Ready Forward Transactions
July 2, 1996
4605
IECD.No.1/08.12-01/96-97
Bank Credit to Sugar Industry – Loan System/ Valuation of Stocks – Modifications
July 1, 1996
4606
RPCD.No.DIR.BC.3/07.38.02/96-97
Selective Credit Control – Advances against Sensitive Commodities
July 1, 1996
4607
RPCD.No.RF.BC.4/07.38.02/96-97
Selective Credit Controls – Advances against sensitive commodities – Changes in margin/level of credit
July 1, 1996
4608
UBD.No.DS.PCB.CIR.3/13.03.00/96-97
Selective Credit Controls – Advances against Sensitive Commodities – Changes in Margin/Level of Credit
July 1, 1996
4609
UBD.No.DS.PCB.Dir.3/13.03.00/96-97
Selective Credit Control – Advances against Sensitive Commodities
July 1, 1996
4610
RPCD.No.DIR.BC.1/07.38.01/96-97
Interest Rates on Deposits
July 1, 1996
4611
RPCD.No.RF.BC.2/07.38.01/96-97
Interest Rates on Deposits
July 1, 1996
4612
UBD.No.DS.PCB.Cir 2/13.01.00/96-97
Interest Rates on Deposits
July 1, 1996
4613
UBD.No.DS.PCB.Dir 2/13.01.00/96-97
Interest Rates on Deposits
July 1, 1996
4614
DBOD.No.Dir.BC.93/13.08.01/96
Selective Credit Controls – Advances against Sensitive Commodities
July 1, 1996
4615
DBOD.No.Dir.BC.94/13.08.01/96
Selective Credit Controls – Advances against Sensitive Commodities – Changes in Margin/Level of Credit
July 1, 1996
4616
DBOD.No.BC.87/12.01.001/96-97
Notification
July 1, 1996
4617
DBOD.No.Dir.BC.89/13.01.01/96
Interest Rates on Deposits
July 1, 1996
4618
DBOD.No.Dir.BC.90/13.01.01/96
Interest Rates on Deposits
July 1, 1996
4619
RPCD.No.BC.160/07.38.04/95-96
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 29, 1996
4620
DBOD.No.Dir.BC.85/13.01.09/96
Interest Rates on Deposits held under FCNR(B) Scheme
June 29, 1996
4621
DBOD.No.Dir.BC.86/13.01.09/96
Interest Rates on Deposits held under FCNR(B) Scheme
June 29, 1996
4622
RPCD.No.BC.156/07.02.08/95-96
Investment Portfolio of Banks – Transactions in Securities
June 27, 1996
4623
RPCD.No.BC.158/07.02.08/95-96
Ready Forward Transactions
June 27, 1996
4624
RPCD.No.DIR.BC.157/07.02.08/95-96
Ready Forward Transactions
June 27, 1996
4625
DBOD.No.Dir.BC.84/13.07.05/96
Sanction of Credit Facilities to Group Concerns
June 26, 1996
4626
FIC.No.851/01.02.00/95-96
Sanction of Working Capital Credit Facility by Financial Institutions
June 26, 1996
4627
IECD.No.32/08.03.09/95-96
Compliance with lending discipline-Half-yearly Progress Report
June 26, 1996
4628
DBOD.No.FSC.BC.82/24.76.002/95-96
Ready Forward Transactions
June 25, 1996
4629
DBOD.No.FSC.BC.83/24.76.002/95-96
Ready Forward Transactions
June 25, 1996
4630
IECD.No.29/08.12.01/95-96
Treatment of Margin Money on account of Letters of Credit/Bank Guarantees
June 24, 1996
4631
IECD.No.30/08.12.01/95-96
Compliance with lending discipline- (a) Commitment Charge and (b) Bill Discipline
June 24, 1996
4632
IECD.No.31/08.12.01/95-96
Norms for bank lending for working capital purposes – Writing Instruments Manufacturing Industry
June 24, 1996
4633
FIC No.848/01.10.00/95-96
Income Recognition, Asset Classification, Provisioning and other Related Matters
June 24, 1996
4634
RPCD.No.BC.155/07.37.02/95-96
Income recognition, Assets classification, Provisioning and other related matters
June 22, 1996
4635
DBOD.No.BC.79/09.07.001/96
Meeting of Standing Committee on Customer Service – Settlement Procedure in respect of Paymet of Fraudulent Instruments
June 22, 1996
4636
DBOD.No.FSC.BC.80/24.76.002/96
Ready Forward Transactions
June 22, 1996
4637
UBD. No. Plan /PCB/69/09.29.00/95-96
Investment Portfolio of banks – Transactions in Securities
June 21, 1996
4638
IECD.No.28/08.15.01/95-96
Commercial Paper
June 20, 1996
4639
IECD/12/08.15.01/95-96
Notification
June 20, 1996
4640
DBOD.No.BC.77/12.01.001/95-96
Section 42 of the RBI Act, 1934 – Consequential Changes in the Interest Claim Formats on Revision in the CRR Prescription
June 18, 1996
4641
DBOD.No.BL.BC.76/22.01.001/96
Proposals under Section 23 of BR Act, 1949 – Delegation of Administrative Powers to ROs of DBOD
June 17, 1996
4642
RPCD.No.BC.153/07.02.08/95-96
Ready Forward Transactions
June 14, 1996
4643
RPCD.No.DIR.BC.152/07.02.08/95-96
Ready Forward Transactions
June 14, 1996
4644
DBOD.No.PSBS.BC.75/16.13.100/96
Private Sector Banks – Role of Direct and Part-time Chairman
June 14, 1996
4645
DBOD.No.FSC.BC.72/24.76.002/95-96
Ready Forward Transactions
June 12, 1996
4646
DBOD.No.FSC.BC.73/24.76.002/95-96
Ready Forward Transactions
June 12, 1996
4647
UBD.No.I&L(PCBs)68/12.05.00/95-96
Income Recognition, Assets Classification, Provisioning and other related matters – Clarifications
June 10, 1996
4648
RPCD.No.BC.148/07.02.08/95-96
Ready Forward Transactions
June 6, 1996
4649
RPCD.No.DIR.BC.147/07.02.08/95-96
Ready Forward Transactions
June 6, 1996
4650
DBOD.No.FSC.BC.69/24.92.001/96
Permission to Participate in Call/Notice Money Market and Bills rediscounting Market – Primary Dealers
June 6, 1996
4651
IECD.NO.EFD.27/04.02.02/95-96
Statistics relating to Export Credit-submission of Returns/statements by Banks
June 5, 1996
4652
DBOD.No.FSC.BC.66/24.76.002/95-96
Ready Forward Transactions
June 5, 1996
4653
DBOD.No.FSC.BC.67/24.76.002/95-96
Ready Forward Transactions
June 5, 1996
4654
DBOD.No.BP.BC.65/21.04.048/96
Income Recognition, Asset Classification and Provisioning
June 4, 1996
4655
UBD.No.DS.PCB.Cir.64/13.05.00/95/96
Loan System for Delivery of Bank credit
May 31, 1996
4656
FIC.No.817/01-02.00/95-96
Short-Term Borrowings by Fls
May 27, 1996
4657
DBOD.No.IBS.BC.64/23.61.001/96
Capital Adequacy Measures
May 24, 1996
4658
UBD.No.DS.PCB.Cir.63/13.05.00/95-96
Lending to Non-Banking Financial Companies
May 24, 1996
4659
DBOD.No.FSC.BC.62/24.91.001/95-96
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
May 23, 1996
4660
DBOD.No.BP.BC.61/21.01.023/96
Sanction of Advances in excess of Discretionary Powers
May 21, 1996
4661
RPCD.RRB.BC.136/03.05.72/95-96
Income recognition, assets classification and provisioning norms – clarification
May 17, 1996
4662
DBOD.No.BP.BC.60/21.03.051/96
Automated Teller Machines (ATMs)
May 16, 1996
4663
IECD.No.EFD.26/04.02.20/95-96
Export packing credit to sub-suppliers of raw materials etc. Exemption from Interest Tax and extension of 80 HHC benefits
May 15, 1996
4664
DBOD.No.BP.BC.58/21.02.053/96
Exemption available to Public Sector Banks from the purview of Section 193 (IIIA) of the IT Act, 1961
May 13, 1996
4665
UBD.No.DS.AD.Cir.9/13.02.00/95-96
Non-Resident (Non-Repatriable) NRNR Rupee Deposit Scheme
May 10, 1996
4666
UBD.No.BR.62/16.73.00/95-96
Default in Submission of various Returns under the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies ) – Penalties
April 30, 1996
4667
RPCD.No.BC.129/07.02.08/95-96
Ready Forward Transactions
April 23, 1996
4668
RPCD.No.DIR.BC.128/07.02.08/95-96
Ready Forward Transactions
April 23, 1996
4669
IECD.No.25/08.12.01/95-96
Loan System for Delivery of Bank Credit
April 18, 1996
4670
DBOD.No.IBS.BC.54/23.61.001/96
Limits on Credit Exposures to Individual/Group of Borrowers
April 18, 1996
4671
DBOD.No.FSC.BC.55/24.76.002/95-96
Ready Forward Transactions
April 18, 1996
4672
DBOD.No.FSC.BC.56/24.76.002/95-96
Ready Forward Transactions
April 18, 1996
4673
UBD.No.P&O.CIR.RCS/16/10.01.00/95-96
Refinance facilities to primary (urban) co-operative banks under Section 17 of the RBI Act, 1934 – Tiny/Cottage Industrial Units
April 16, 1996
4674
DBOD.No.Dir.BC.53/13.01.04/96
Advances against FDRs issued by Other Banks
April 15, 1996
4675
UBD.No.NBL.RCS.15/08.00.00/95-96
Registration, Licensing and Area of Operation of New Urban Co-operative Banks-Eligibility of Promoters who are defaulters to commercial banks/ other co-operative banks
April 12, 1996
4676
DBOD.No.BP.BC.48/21.04.012/96
Relaxations to Trade and Industry in the State of Jammu & Kashmir
April 10, 1996
4677
DBOD.No.BP.BC.49/21.04.012/96
Relaxations to Trade and Industry in the State of Punjab and Union Territory of Chandigarh
April 10, 1996
4678
DBOD.No.FSC.BC.50/24.76.002/95-96
Ready Forward Transactions
April 10, 1996
4679
DBOD.No.FSC.BC.51/24.76.002/95-96
Ready Forward Transactions
April 10, 1996
4680
DBOD.No.Dir.BC.45/13.01.04/96
Deposit Linked Advances
April 8, 1996
4681
UBD.No.Plan.PCB.60/09.78.00/95-96
Equipment Leasing and Hire Purchase Financing Activities
April 8, 1996
4682
DBOD.No.BP.BC.43/21.04.048/96
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Valuation of Investments
April 6, 1996
4683
DBOD.No.BP.BC.42/21.01.001/96
Monitoring Cash Deposits and Withdrawals of Rs. 10 lakh and above in Deposits/Other Accounts
April 6, 1996
4684
DBOD.No.BP.BC.44/21.04.048/96
Investment Portfolio of Banks – Classification of Investments under ‘Permanent’ and ‘Current’ Category
April 6, 1996
4685
RPCD.No.DIR.BC.123/07.38.02/95-96
Selective Credit Controls – Advances against Sensitive Commodities
April 3, 1996
4686
RPCD.No.DIR.BC.124/07.38.02/95-96
Selective Credit Controls – Advances against Sensitive Commodities
April 3, 1996
4687
UBD.No.DS.(PCB)Cir.58/13.03.00/95/96
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1996
4688
UBD.No.DS.(PCB)DIR.26/13.03.00-95/96
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1996
4689
DBOD.No.BC.41/12.01.001/95-96
Section 42(1) of the RBI Act, 1934 – Reduction in CRR – Section 24 of the BR Act, 1949 – Relaxation in the SLR
April 3, 1996
4690
RPCD.No.DIR.BC.121/07.38.01/95-96
Interest Rates on term deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
April 3, 1996
4691
RPCD.No.DIR.BC.122/07.38.01/95-96
Interest rates on Deposits under Non-Resident (External) Rupee (NRE) Accounts Scheme
April 3, 1996
4692
UBD No.(PCB.)Dir.25/13.01.00/95-96
Interest Rates on Depsosits
April 3, 1996
4693
UBD No.DS.CIR.PCB.59/13.01.00/95-96
Interest Rates on Deposits
April 3, 1996
4694
DBOD.No.Dir.BC.36/13.08.01/96
Selective Credit Controls – Advances agianst Sensitive Commodities
April 3, 1996
4695
DBOD.No.Dir.BC.37/13.08.01/95-96
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1996
4696
DBOD.No.BC.38/12.01.001/95-96
Notification
April 3, 1996
4697
DBOD.No.BC.39/12.01.001/95-96
Notification
April 3, 1996
4698
DBOD.No.BC.40/12.02.001/95-96
Notification
April 3, 1996
4699
DBOD.No.Dir.BC.34/13.01.09/96
Interest Rates on Term Deposits under NRE Accounts
April 3, 1996
4700
DBOD.No.Dir.BC.35/13.01.09/96
Interest Rates on Term Deposits under NRE Accounts
April 3, 1996
4701
RPCD.No.BC.119/07.02.08/95-96
Ready Forward Transactions
April 2, 1996
4702
RPCD.No.DIR.BC.118/07.02.08/95-96
Ready Forward Transactions
April 2, 1996
4703
DBOD.No.BC.28/12.01.001/96
Section 42 of the RBI Act, 1934 – Prescription of CRR on Deposits under NRE, NRNR Accounts and Deposits under FCNR(B) Scheme
March 25, 1996
4704
UBD.DS.PCB.CIR.54/13.05.00-95/96
Realistic Assessment of Credit Requirement – Measures to Prevent Diversion of Funds
March 23, 1996
4705
DBOD.No.IBS.1164/23.10.011/95-96
Cross Border Processing of Banking Data by Foreign Banks having Branch Operations in India
March 22, 1996
4706
DBOD.No.IBS.30/23.10.011/95-96
Cross Border Processing of Banking Data by Foreign Banks having Branch Operations in India
March 22, 1996
4707
RPCD.No.RRB.BC.112/03.05.34/95-96
Income recognition, Assets classification and Provisioning norms – guidelines
March 22, 1996
4708
UBD.No.DS.PCB.CIR.53/13.05.00/95-96
Maximum Limit on Advances – Limits on Credit Exposure to Individuals/Group of Borrowers
March 22, 1996
4709
DBOD.No.BP.BC.25/21.04.048/96
Income Recognition, Asset Classification and Provisioning
March 19, 1996
4710
DBOD.No.BP.BC.26/21.04.048/96
Non-Performing Advances – Reporting to RBI
March 19, 1996
4711
DBOD.No.Dir.BC.24/13.01.06/96
NRNR Rupee Deposit Scheme
March 14, 1996
4712
IECD.No.24/03.27.04/95-96
Credit Monitoring Arrangement(CMA) Advances to Sugar Industry
March 12, 1996
4713
FIC.No.642/02.01.00/95-96
Interest Rate Surcharge on Import Finance
March 7, 1996
4714
FIC.No.640/01.10.00/95-96
Income Recognition, Asset Classification, Provisioning and Other Related Matters
March 7, 1996
4715
RPCD.No.BC.101/07.02.08/95-96
Ready Forward Transactions
March 1, 1996
4716
RPCD.No.DIR.BC.100/07.02.08/95-96
Ready Forward Transactions
March 1, 1996
4717
DBOD.No.BP.BC.23/21.01.001/96
Grant of Loans and Advances and Award of Contracts to Directors of Other Banks
March 1, 1996
4718
DBOD.No.FSC.BC.21/24.76.002/95-96
Ready Forward Transactions
March 1, 1996
4719
DBOD.No.FSC.BC.22/24.76.002/95-96
Ready Forward Transactions
March 1, 1996
4720
IECD.No.23/08.14.01/95-96
Interest Rate Surcharge on Import Finance
February 29, 1996
4721
UBD.No.DS.PCB.CIR.47A/13.04.00/95/96
Interest Rate Surcharge on Import Finance
February 29, 1996
4722
DBOD.No.BC.20/09.08.001/96
Change of Name of ‘Bombay to Mumbai’
February 29, 1996
4723
RPCD.No.RRB.BC.98/03.05.34/95-96
Limits on Credit Exposures to Individual of Borrowers
February 29, 1996
4724
IECD.No.EFD.22/04.02.01/95-96
Export Credit
February 29, 1996
4725
DBOD.No.BC.19/09.07.007/96
Committee on Customer Service in Banks – Implementaion of Recommendations of the Goiporia Committee
February 29, 1996
4726
UBD.No.DS.PCB.CIR.46/13.01.00/95-96
Permission to Participate in Call/Notice Money Market – Private Sector Mutual Funds
February 24, 1996
4727
DBOD.No.Dir.BC.17/13.01.01/96
Interest Rates on Deposits
February 24, 1996
4728
DBOD.No.Dir.BC.18/13.01.09/96
SUME & SUWE – Opening of SB Accounts in the name of Urban Local Bodies under NRY
February 24, 1996
4729
UBD.No.RBL(PCB)45/07.01.00/95-96
Section 23 of the Banking Regulation Act, 1949 (AACS) – Opening of Branches/Upgradation of Extension Counters into Full fledged Branches
February 23, 1996
4730
UBD.No.I&L.PCB.44/12.05.00/95-96
Monitoring of Deposit Accounts
February 22, 1996
4731
DBOD.No.BP.BC.16/21.01.023/96
Receipt of Foreign Contributions by various Associations/Organisations in India under FCRA, 1976
February 16, 1996
4732
FIC.No.597/02.01.00/95-96
Interest Rate Surcharge on Import Finance
February 15, 1996
4733
DBOD.No.BC.14/09.07.007/96
Committee to Enquire into Various Aspects relating to Frauds and Malpractices in Banks – Obtaining Photographs of the Depositors Account Holders
February 14, 1996
4734
IECD.No.21/08.12.01/95-96
Realistic assessment of credit requirements- Measures to prevent diversion of funds
February 12, 1996
4735
RPCD.No.BC.87/07.02.08/95-96
Ready Forward Transactions
February 9, 1996
4736
RPCD.No.DIR.BC.86/07.02.08/95-96
Ready Forward Transactions
February 9, 1996
4737
IECD.No.18/08.14.01/95-96
Interest Rate Surcharge on Impose Finance:
February 8, 1996
4738
DBOD.No.BP.BC.13/21.01.002/96
Capital Adequacy Measures
February 8, 1996
4739
IECD.No.EFD.20/04.02.01/95-96
Interest rates on advances- Post-shipment Export Rupee Credit
February 7, 1996
4740
UBD.No.DS.AD.DIR.21/13.04.00-95/96
Rate of Interest on Advances
February 7, 1996
4741
DBOD.No.FSC.BC.10/24.76.002/95-96
Ready Forward Transactions
February 7, 1996
4742
DBOD.No.FSC.BC.11/24.76.002/95-96
Ready Forward Transactions
February 7, 1996
4743
UBD.No.DS.AD.CIR.8/13.04.00/95-96
Post-Shipment Credit denominated in Foreign Currency (PSCFC)
February 5, 1996
4744
DBOD.No.FSC.BC.8/24.91.001/95-96
Permission to Participate in Call/Money and Bills Rediscounting Scheme – Private Sector Mutual Funds
February 2, 1996
4745
UBD.No.DS.CIR.(AD)7/13.02.00/96
Exports to Asian Clearing Union Countries – Granting of Export Credit in Foreign Currency under Pre-shipment Credit in Foreign Currency (PCFC), Export Bills Rediscounting (EBR) and Post-shipment Credit denominated in Foreign Currency (PSCFC) Schemes
January 31, 1996
4746
FIC.No.551/01.08.00-95/96
Investment Portfolio – Transactions in Securities – Role of Brokers
January 24, 1996
4747
UBD No.RBL(RCS)14/07.01.00/95-96
Prior permission of Registrar of Co-operative Societies for recruitment of staff by Urban Co-operative Banks
January 19, 1996
4748
UBD.No.DS.PCB.CIR.40/13.05.00/95-96
Unauthorised Issue of Duplicate Share Certificates
January 19, 1996
4749
UBD.Plan.RCS.13/09.72.00/95-96
Donations/contributions for public/ charitable purpose out of profits of urban co-operative banks
January 19, 1996
4750
UBD.No.DS.PCB.CIR.39/13.05.00/95-96
Maximum Limit on Advances – Limits on Credit Exposure to Individuals / Group of Borrowers
January 16, 1996
4751
UBD.NO.DS.PCB.DIR.18/13.05.00/95-96
Maximum Limit on Advances
January 16, 1996
4752
IECD.No.EFD.17/04.02.06/95-96
Post-shipment Credit denominated in Foreign Currency (PSCFC)
January 15, 1996
4753
UBD.No.DS.AD.CIR/AD.6/13.04.00/95-96
Interest Rates of Advances – Post-shipment Credit denominated in Foreign Currency (PSCFC)
January 15, 1996
4754
DBOD.No.Dir.BC.6/13.01.11/96
Deposit Mobilisation Schemes – Offering of Incentives
January 15, 1996
4755
FIC.No.520/01.10.01/95-96
Income Recognition, Asset Classification, Provisioning and other Related Matters and Capital Adequacy Standards
January 11, 1996
4756
UBD No.RBL.38/07.01.00/95-96
Section 23 of the Banking Regulation Act, 1949 (AACS)-Opening of branches/ Upgradation of extension counters into fullfledged branches
January 8, 1996
4757
UBD No.RBL(PCB) 37/07.01.00/95-96
Extension of area of operation beyond the State of registration under the Multi-State Co-operative Societies Act, 1984
January 8, 1996
4758
RPCD.No.BC.74A/07.02.01/95-96
Notification
January 6, 1996
4759
RPCD.No.BC.74B/07.02.01/95-96
Notification
January 6, 1996
4760
RPCD.No.BC.74C/07.02.01/95-96
Relaxation in the Cash Reserve Ratio (CRR) on Non-Resident Deposits Schemes
January 6, 1996
4761
DBOD.No.BC.1/12.01.001/95-96
Notification
January 6, 1996
4762
DBOD.No.BC.2/12.01.001/95-96
Notification
January 6, 1996
4763
DBOD.No.BC.3/12.01.001/95-96
Notification
January 6, 1996
4764
DBOD.No.BC.4/12.01.001/95-96
Relaxation in the CRR on Non-Resident Deposit Schemes
January 6, 1996
4765
UBD.No.BR.12/16.20.00/95-96
Investment of funds by urban co-operative banks in bonds of public sector undertakings
January 6, 1996
4766
UBD.No.DS.PCB.DIR.17/13.05.00/95-96
Grant of Financial Assistance against Shares/Debentures of joint stock Companies
January 5, 1996
4767
UBD.NO.DS.PCB.CIR.35/13.05.00/95-96
Grant of financial Assistance against share/ Debenture of joint stock companies
January 5, 1996
4768
RPCD.No.BC.72/07.02.08/95-96
Ready Forward Transactions
January 3, 1996
4769
RPCD.No.DIR.BC.71/07.02.08/95-96
Ready Forward Transactions
January 3, 1996
4770
DBOD.No.FSC.BC.151/24.76.002/95-96
Ready Forward Transactions
December 30, 1995
4771
DBOD.No.FSC.BC.152/24.76.002/95-96
Ready Forward Transactions
December 30, 1995
4772
FIC.No.488/02.01.00/95-96
Unauthorised Issue of Duplicate Share Certificates
December 29, 1995
4773
IECD.No.16/08.12.01/95-96
Financing of projects involving creation/expansion/modernisation of infrastructural facilities – Power Generation
December 22, 1995
4774
IECD.No.EFD.15/04.02.15/95-96
Exports to Asian Clearing Union Countries- Granting of export credit in foreign currency under Pre-shipment Credit in Foreign Currency (PCFC), Export Bills Rediscounting(EBR) and Post-shipment Credit denomination in Foreign Currency (PSCFC) Scheme.
December 22, 1995
4775
FIC.No.470/02.01.00/95-96
Interest Rate Surcharge on Import Finance
December 20, 1995
4776
RPCD.No.BC.66/07.38.01/95-96
Rate of Interest on Advances against term deposits
December 20, 1995
4777
RPCD.No.DIR.BC.65/07.38.01/95-96
Rate of Interest on Advances against term deposits
December 20, 1995
4778
DBOD.No.BC.149/12.01.001/95-96
Section 42 of the Reserve Bank of India Act, 1934 – Prescription of Cash Reserve Ratio (CRR) on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts), Non-Resident (Non-Repatriable) Rupee Deposit (NRNR) Accounts
December 16, 1995
4779
DBOD.No.Dir.BC.148/13.07.05/95
Unauthorised Issue of Duplicate Share Certificates
December 15, 1995
4780
RPCD.No.BC.64/07.02.08/95-96
Ready Forward Transactions
December 12, 1995
4781
RPCD.No.DIR.BC.63/07.02.08/95-96
Ready Forward Transactions
December 12, 1995
4782
DBOD.No.BC.146/12.01.001/95-96
Section 42(1) of the Reserve Bank of India Act, 1934 – Reduction in Cash Reserve Ratio (CRR)
December 9, 1995
4783
DBOD.No.BC.145/12.01.001/95-96
Notification
December 9, 1995
4784
RPCD.No.BC.62/07.02.08/95-96
Ready Forward Transactions
December 6, 1995
4785
RPCD.No.DIR.BC.61/07.02.08/95-96
Ready Forward Transactions
December 6, 1995
4786
RPCD.No.BC.62A/07.02.01/95-96
Notification
December 6, 1995
4787
RPCD.No.BC.62B/07.02.01/95-96
Cash Reserve Ratio (CRR) on Foreign Currency (Non-Resident) Accounts (Banks) (FCNR) (B) Scheme
December 6, 1995
4788
DBOD.No.BC.143/12.01.001/95-96
Notification
December 6, 1995
4789
DBOD.No.BC.144/12.01.001/95-96
Cash Reserve Ratio on Liabilities under Foreign Currency Non-Resident Accounts (Banks) [FCNR(B)] Scheme
December 6, 1995
4790
DBOD.No.FSC.BC.141/24.76.002/95-96
Ready Forward Transactions
December 6, 1995
4791
DBOD.No.FSC.BC.142/24.76.002/95-96
Ready Forward Transactions
December 6, 1995
4792
FIC.No.432/02.01.01/95-96
Lending by Financial Institutions – Bridge Loan/Interim Finance – Subsidiaries of Fls
December 2, 1995
4793
IECD.No.14/08.14.01/95-96
Interest Rate Surcharge On Import Finance
December 1, 1995
4794
RPCD.No.60B/07.02.01/95-96
Cash Reserve Ratio on Foreign Currency Non-Resident Accounts (Banks) – FCNR(B) Scheme
November 29, 1995
4795
RPCD.No.BC.60A/07.02.01/95-96
Notification
November 29, 1995
4796
DBOD. No.BC.138/12.01.001/95-96
NOTIFICATION
November 29, 1995
4797
DBOD.No.BC.139/12.01.001/95-96
Cash Reserve Ratio on Deposits under Foreign Currency Non-Resident Accounts (Banks) [FCNR(B)] Scheme
November 29, 1995
4798
DBOD.No.FSC.BC.136/24.76.002/95-96
Ready Forward Transactions
November 27, 1995
4799
DBOD.No.FSC.BC.137/24.76.002/95-96
Ready Forward Transactions
November 27, 1995
4800
FIC.No.386/02.01.00/95-96
Interest Rate Surcharge on Import Finance
November 23, 1995
4801
UBD No.DS.PCB.CIR.30/13.01.00/95-96
Permission to participate in Call/Notice Money Market-Private Sector Mutual Funds
November 23, 1995
4802
DBOD.No.BP.BC.134/21.04.048/95
Exim Bank’s New Lending Programme – Extension of Guarantee-cum-Refinance to Commercial Banks in respect of Post-shipment
November 20, 1995
4803
IECD.No.13/08.14.01/95-96
Interest Rate Surcharge on Import Finance- Clarifications.
November 17, 1995
4804
DBOD.No.BC.133/12.01.001/95-96
Section 42(1) of the RBI Act, 1934 – Reduction in CRR
November 11, 1995
4805
RPCD.No.58B/07.02.01/95-96
Cash Reserve Ratio on Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 11, 1995
4806
RPCD.No.BC.58A/07.02.01/95-96
Notification
November 11, 1995
4807
DBOD.No.BC.131/12.01.001/95-96
NOTIFICATION
November 11, 1995
4808
DBOD.No.BC.132/12.01.001/95-96
NOTIFICATION
November 11, 1995
4809
UBD.No.I&L.PCB.28/12.05.00/95-96
Monitoring of deposit accounts
November 10, 1995
4810
FIC.No.337/02.01-00/95-96
Lending by Financial Institutions – Bridge Loan/Interim Finance
November 3, 1995
4811
FIC.No.338/01.08.00-95/96
Investment Portfolio – Classification of Investments under Permanent and Current Category
November 3, 1995
4812
UBD.No.I&L/27/12.38.00/95-96
Special Court (Trial of offences relating to Transactions in Securities) Act, 1992 – Non-declaration of attached assets by holder thereof
November 3, 1995
4813
DBOD.No.FSC.BC.130/24.91.001/95
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
October 31, 1995
4814
IECD.No.12/08.14.01/95-96
Interest Rate Surcharge on Import Finance
October 30, 1995
4815
IECD.No.EFD.11/04.02.06/95-96
Post-shipment Credit denominated in Foreign Currency (PSCFC)
October 30, 1995
4816
UBD.No.DS.(PCB) DIR.13/13.04.00/95-96
Interest rates on advances
October 30, 1995
4817
UBD.No.DS.PCB.25/13.04.00/95-96
Interest Rate Surcharge on Import Finance
October 30, 1995
4818
UBD.No.DS.PCB.CIR.26/13.04.00/95-96
Interest Rates on Advances Post-Shipment Credit Denominated in Foreign Currency (PSCFC)
October 30, 1995
4819
RPCD.No.BC.55/07.02.03/95-96
Notification
October 30, 1995
4820
RPCD.No.BC.56/07.02.03/95-96
Cash Reserve Ratio (CRR) on Non-Resident (Non-Repatriable) Rupee Deposits (NRNR) Accounts
October 30, 1995
4821
RPCD.No.DIR.BC.53/07.38.01/95-96
Interest Rates on Deposits Non-Resident (External ) Rupee Accounts (NRE Accounts) Scheme
October 30, 1995
4822
RPCD.No.DIR.BC.54/07.38.01/95-96
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme (NRE Accounts)
October 30, 1995
4823
UBD No.DS.(PCB.)12/13.01.00/95-96
Interest Rates on Deposits
October 30, 1995
4824
UBD No.DS.Cir.PCB.24/13.01.00/95-96
Interest Rates on Deposits
October 30, 1995
4825
RPCD.No.RRB.BC.50/03.05.34/95-96
Income Recognition, Assets Classification and Provisioning norms
October 30, 1995
4826
RPCD.No.RRB.BC.51/03.05.34/95-96
Limits on Credit Exposures to Individual/Group of Borrowers
October 30, 1995
4827
DBOD.No.BC.127/12.01.001/95-96
Notification
October 30, 1995
4828
DBOD.No.BC.128/12.01.001/95-96
Notification
October 30, 1995
4829
DBOD.No.BC.129/12.01.001/95-96
CRR on Deposits unders NRE and NRNR Accounts
October 30, 1995
4830
DBOD.No.Dir.BC.125/13.01.09/95
Interest Rates on Term Deposits under NRE Accounts
October 30, 1995
4831
DBOD.No.Dir.BC.126/13.01.09/95
Interest Rates on Term Deposits under NRE Accounts
October 30, 1995
4832
RPCD.No.BC.49/07.02.08/95-96
Ready Forward Transactions
October 20, 1995
4833
RPCD.No.DIR.BC.48/07.02.08/95-96
Ready Forward Transactions
October 20, 1995
4834
UBD.No.DC.23/13.05.00/95-96
Credit Monitoring System-Introducing of Health Code for borrowal accounts in banks
October 19, 1995
4835
IECD.No.10/08.12.01/95-96
Sanction of Bridge Loan / Interim Finance against commitment of Financial Institutions and / or other Banks
October 16, 1995
4836
DBOD.No.BP.BC.123/21.03.051/95
Automated Teller Machines (ATMs)
October 16, 1995
4837
DBOD.No.FSC.BC.121/24.76.002/95-96
Ready Forward Transactions
October 14, 1995
4838
DBOD.No.FSC.BC.122/24.76.002/95-96
Ready Forward Transactions
October 14, 1995
4839
UBD No.DS PCB.CIR.22/13.05.00/95-96
Loan System for Delivery of Bank Credit
October 13, 1995
4840
RPCD.No.BC.45/07.02.08/95-96
Notification
October 12, 1995
4841
RPCD.No.BC.46/07.02.08/95-96
Valuation of Securities for Statutory Liquidity Ratio (SLR)
October 12, 1995
4842
UBD.BR.129/16.26.00/95-96
Notification
October 12, 1995
4843
UBD.No.BR(CIR)21/16.26.00/95-96
Valuation of Securities for Statutory Liquidity Ratio (SLR)
October 12, 1995
4844
UBD.No.RBL.(PCB)19/07.01.00-95/96
Area of operation of urban co-operative banks
October 10, 1995
4845
UBD.No.RBL(RCS).10/07.01.00/95-96
Area of operation of urban co-operative banks
October 10, 1995
4846
UBD.No.P&O.CIR.RCS/11/10.01.00/95-96
Refinance facilities to primary (urban) co-operative banks under section 17 of the Reserve Bank of India Act, 1934 – Tiny/cottage industrial units
October 10, 1995
4847
RPCD.No.BC.44/07.02.08/95-96
Ready Forward Transactions
October 9, 1995
4848
RPCD.No.DIR.BC.43/07.02.08/95-96
Ready Forward Transactions
October 9, 1995
4849
DBOD.No.BC.118/12.02.001/95-96
Notification
October 9, 1995
4850
DBOD.No.BC.119/12.02.001/95-96
Valuation of Securities for SLR
October 9, 1995
4851
IECD.No.9/08.12.01/95-96
Loan System for Delivery of Bank credit
October 5, 1995
4852
RPCD.No.BC.42/07.02.08/95-96
Ready Forward Transactions (Repos) in Government and Other Approved Securities
September 29, 1995
4853
RPCD.No.DIR.BC.39/07.38.01/95-96
Interset Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) Scheme
September 29, 1995
4854
RPCD.No.DIR.BC.40/07.38.01/95-96
Interest Rates on deposits under Non-resident (External) Rupee Accounts Scheme (NRE Accounts)
September 29, 1995
4855
UBD No.DS.Cir.PCB.15/13.01.00/95-96
Interest Rates on Deposits
September 29, 1995
4856
UBD.No.DS.(PCB.) 8/13.01.00/95-96
Interest Rates on Deposits
September 29, 1995
4857
DBOD.No.BC.115/12.01.001/95-96
Section 42 of the RBI Act, 1934 – CRR – Maintenances of Min. Level of 85% on a Daily Basis
September 29, 1995
4858
DBOD.No.Dir.BC.104/13.01.01/95
Interest Rates on Deposits
September 29, 1995
4859
DBOD.No.Dir.BC.105/13.01.01/95
Interest Rates on Deposits
September 29, 1995
4860
DBOD.No.Dir.BC.106/13.01.09/95
Interest Rates on Term Deposits under NRE Accounts
September 29, 1995
4861
DBOD.No.Dir.BC.107/13.01.09/95
Interest Rates on Term Deposits under NRE Accounts
September 29, 1995
4862
DBOD.No.FSC.BC.112/24.76.002/95-96
Ready Forward Transactions
September 29, 1995
4863
DBOD.No.FSC.BC.113/24.76.002/95-96
Ready Forward Transactions
September 29, 1995
4864
DBOD.No.FSC.BC.116/24.76.002/95-96
Ready Forward Transactions (Repos) in Govt. and Other Approved Securities
September 29, 1995
4865
DS.PCB.CIR.14/13.05.00/95-96
Introduction of a loan system for delivery of bank credits
September 28, 1995
4866
IECD.No.CMD.8/03:27:25/95-96
Sanction of term loans for housing projects involving budgetary support from Government-Non-permissibility of
September 27, 1995
4867
DBOD.No.BP.BC.102/21.01.001/95
Monitoring of Deposit Accounts
September 20, 1995
4868
RPCD.No.NB.BC.30/03.05.34/95-96
Opening and Maintenance of and Payment of Interest on Current Accounts of Regional Rural Banks
September 15, 1995
4869
RPCD.No.BC.29/07.38.02/95-96
Special Court (Trial of Offences to Transactions in Securities) Act, 1992 – Non-declaration of Attached Assets by Holder thereof
September 15, 1995
4870
RPCD.No.BC.27/07.02.08/95-96
Ready Forward Transactions
September 14, 1995
4871
RPCD.No.BC.28/07.02.08/95-96
Ready Forward Transactions
September 14, 1995
4872
FIC.No.235/01.02.00/95-96
Commitments in Respect of Underwriting Etc., Obligations
September 13, 1995
4873
RPCD.No.BC.25/07.02.08/95-96
Ready Forward Transactions
September 11, 1995
4874
RPCD.No.DIR.BC.24/07.02.08/95-96
Ready Forward Transactions
September 11, 1995
4875
DBOD.No.FSC.BC.95/24.76.002/95-96
Ready Forward Transactions
September 11, 1995
4876
DBOD.No.FSC.BC.96/24.76.002/95-96
Ready Forward Transactions
September 11, 1995
4877
IECD.No.6/06.31.03/95-96
Half-yearly reporting system in respect of SSI sick and non-SSI sick/weak industrial units – Parts I & II – Revision of Periodicity
September 8, 1995
4878
DBOD.No.FSC.BC.93/24.76.002/95-96
Ready Forward Transactions
September 4, 1995
4879
DBOD.No.FSC.BC.94/24.76.002/95-96
Ready Forward Transactions
September 4, 1995
4880
UBD.No.Plan./CIR(RCS).9/09.22.01/95-96
Finance for Housing Schemes – Primary (Urban) Co-operative Banks
September 1, 1995
4881
UBD.No.I&L/PCB/9/12.05.00/95-96
Payment under Bank Guarantees – Immediate Settlement of Cases
September 1, 1995
4882
RPCD.No.BC.20/07.02.08/95-96
Ready Forward Transactions
August 25, 1995
4883
RPCD.No.DIR.BC.19/07.02.08/95-96
Ready Forward Transactions
August 25, 1995
4884
DBOD.Spl.Cell.BC.No.90/27.08.003/95-96
Special Court (Trial of Offences relating to Transactions in Securities) Act, 1992 – Non-declaration of Attached Assets by Holder thereof
August 25, 1995
4885
DBOD.No.BC.89/13.07.01/95
Deregulation of Lending Rates – Levy of Interest Tax
August 21, 1995
4886
DBOD.No.FSC.BC.87/24.76.002/95-96
Ready Forward Transactions
August 21, 1995
4887
DBOD.No.FSC.BC.88/24.76.002/95-96
Ready Forward Transactions
August 21, 1995
4888
FIC.No.182/02.01.01/95-96
Lending to Non-Banking Financial Companies (NBFCs)
August 18, 1995
4889
RPCD.No.BC.16/03.05.34/95-96
Regional Rural Banks (RRBs) – Maintenance of Statutory Liquidity Ratio (SLR) under Section 24 of the Banking Regulation Act, 1949 – Investment in Government securities
August 18, 1995
4890
DBOD.No.BC.84/12.01.001/95-96
Section 42 of RBI Act, 1934 & Section 24 of BR Act, 1949 – Reserve Requirements on Euro Issue Proceeds
August 16, 1995
4891
UBD No.DC.7/13.05.00/95-96
Grant of Financial Assistance against Shares/Debentures of Joint Stock Companies
August 9, 1995
4892
RPCD.No.BC.11/07.02.08/95-96
Ready Forward Transactions
August 8, 1995
4893
RPCD.No.BC.12/07.02.08/95-96
Ready Forward Transactions
August 8, 1995
4894
UBD.No.DS.Cir.PCB 5/13.05.00/95-96
Assessment of Working Capital Credit Limits – Treatment of Bills Negotiated under Usance Letters of Credit as Receivable
August 7, 1995
4895
DBOD.No.BP.BC.81/21.01.040/95
Compromise or Negotiated Settlements of NPAs
July 28, 1995
4896
IECD.No.5/08.15.01/95-96
Commercial Paper – Repayment
July 27, 1995
4897
DBOD.No.BL.BC.80/22-05-012/95
Section 23 of B.R. Act, 1949 – Branch Banking Statistics – Office Opened/Closed
July 27, 1995
4898
DBOD.No.FSC.BC.78/24.76.002/95-96
Ready Forward Transactions
July 27, 1995
4899
DBOD.No.FSC.BC.79/24.76.002/95-96
Ready Forward Transactions
July 27, 1995
4900
IECD.No.4/08.12.01/95-96
Loan System for Delivery of Bank Credit-Clarifications
July 25, 1995
4901
IECD.No.2/08.10.01/95-96
Assessment of working capital credit limits-Construction Companies
July 25, 1995
4902
IECD.No.3/08.13.08/95-96
Guidelines on Lending under Consortium Arrangement
July 25, 1995
4903
RPCD.No.RF.DIR.BC.8/07.38.01/95-96
Interest Rates on Deposits
July 21, 1995
4904
RPCD.No.DIR.BC.9/07.38.01/95-96
Participation in the Call Money market
July 21, 1995
4905
RPCD.No.BC.5/07.02.08/95-96
Ready Forward Transactions
July 18, 1995
4906
RPCD.No.BC.6/07.02.08/95-96
Ready Forward Transactions
July 18, 1995
4907
DBOD.No.Dir.BC.75/13.07.05/95
Advances against Shares/Debentures
July 17, 1995
4908
RPCD.No.BC.4/07.38.04/95-96
Interset Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 15, 1995
4909
RPCD.No.DIR.BC.3/07.38.04/95-96
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 15, 1995
4910
DBOD.No.Dir.BC.76/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
July 15, 1995
4911
DBOD.No.Dir.BC.77/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
July 15, 1995
4912
IECD.No.1/03:27:25/95-96
General Permission to Authorised Dealers in Foreign Exchange to grant housing finance to Non-Resident Indians (NRls)
July 11, 1995
4913
RPCD.No.BC.2/07.38.04/95-96
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 8, 1995
4914
RPCD.No.DIR.BC.1/07.38.04/95-96
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 8, 1995
4915
DBOD.No.Dir.BC.70/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
July 8, 1995
4916
DBOD.No.Dir.BC.71/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
July 8, 1995
4917
DBOD.No.BC.CIS.2/20.16.002/95.96
Disclosure of Information regarding Defaulting Borrowers of Banks and Financial Institutions
July 6, 1995
4918
UBD No.DS.(PCB)CIR 66/13.05.00/94-95
Customer Service – Collection of Outstation/Local Cheques
June 30, 1995
4919
UBD.No.I&L/PCB.65/12.05.00/94-95
Frauds in Banks – Monitoring of Deposit Accounts
June 28, 1995
4920
DBOD.No.Dir.BC.69/13.07.05/95
Investment in and Underwriting of Shares and Debentures of Corporate Bodies
June 28, 1995
4921
DBOD.No.FSC.BC.68/24.91.001/95
Permission to Participate in Call/Notice Money Market and Bills Rediscounting Scheme – Private Sector Mutual Funds
June 27, 1995
4922
FIC.No.815/01.02.00/94-95
Lending under Consortium Arrangement – Classification of Assets
June 23, 1995
4923
DBOD.No.BC.67/12.01.001/94-95
Section 42 of the RBI Act, 1934 – Revised Proforma of the Quarterly Statement showing the Amount of Interest Payable on Cash Balances Maintained with RBI
June 20, 1995
4924
DBOD.No.BP.BC.66/21.04.048/95
Investment Portfolio of Banks – Classification of Investments under ‘Permanent’ and ‘Current’ Category
June 20, 1995
4925
UBD.No.I&L/BOS/2426/12.05.00/94-95
Banking Ombudsman Scheme 1995 – Introduction of
June 15, 1995
4926
UBD.No.I&L/BOS/SCB.8/12.05.00/94-95
Opening and Maintenance of and Payment of Interest on Current Accounts of Regional Rural Banks
June 15, 1995
4927
RPCD.No.1070/BOS-94/95
Notification
June 14, 1995
4928
UBD No.DS.CIR.PCB.62/13.05.00/94-95
Assessment of Working Capital Limits of less than Rs. 1 crore – Clarifications
June 12, 1995
4929
UBD.No.I&L(PCB)61/12.05.00/94-95
Income Recognition, Asset Classification, Provisioning and other related matters – Valuation of Investment and others
June 6, 1995
4930
IECD.No.51/08.12.01/94-95
Submission of various Returns/Statements by Banks
June 5, 1995
4931
DBOD.No.BC.64/22.01.001/95
Relocation of Loss-making Branches and Rationalisation of Branch Network of RRBs
June 5, 1995
4932
UBD No.DS.PCB.CIR.59/13.06.00/94-95
Norms for Bank Lending for Working Capital Purposes – Revised Guidelines
May 31, 1995
4933
IECD.No.50/08.12.01/94-95
Lending under Consortium Arrangement-Guidelines to banks on classification of assets – Clarification
May 30, 1995
4934
UBD.No.DS.PCB.CIR.60/13.05.00/94-95
Lending to Non-Banking Financial Companies
May 30, 1995
4935
IECD.No.49/06.33.01/94-95
Advances to Sugar Industry – Parameters for Provision of Reliefs/Concessions by Banks under Rehabilitation Packages
May 29, 1995
4936
RPCD.No.BC.158/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 27, 1995
4937
RPCD.No.DIR.BC.157/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 27, 1995
4938
DBOD.No.Dir.BC.62/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
May 27, 1995
4939
DBOD.No.Dir.BC.63/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
May 27, 1995
4940
RPCD.No.BC.154/07.02.08/94-95
Investment Portolio of Banks – Transaction in Securities
May 23, 1995
4941
IECD.No.47/03.27.25/94-95
Housing Finance Allocation for the year 1995-96
May 22, 1995
4942
IECD.No.EFD.48/04.02.02/94-95
Statistics relating to Export Credit
May 22, 1995
4943
IECD.No.46/08.15.01/94-95
Commercial Paper
May 22, 1995
4944
UBD.No.DS.(PCB)CIR.58/13.05.00/94-95
Bridge Loans/Interim Finance
May 17, 1995
4945
IECD.10/08.15.01/94-95
Notification
May 13, 1995
4946
DBOD.No.BC.58/12.02.001/94-95
Computation of Demand and Time Liabilities – Margin Money on Bills Discounted/Purchased
May 13, 1995
4947
UBD.DS.PCB.CIR.57/13.05.00/94-95
Introduction of a Loan System for Delivery of Bank Credits
May 10, 1995
4948
UBD NO.DS.PCB.DIR.17/13.01.00/94-95
Interest Rates on Deposits
May 6, 1995
4949
UBD.No.Plan.PCB.55/09.17.03/94-95
Central Interest Subsidy Scheme (Revised) for November 1984 Riot Affected Borrowers
May 6, 1995
4950
UBD.No.DS.CIR.PCB.56/13.01.00/94-95
Participation in Call/Notice Money Market and Term Money Market
May 6, 1995
4951
DBOD.No.BP.BC.57/21.01.001/95
Frauds in Banks – Monitoring of Deposit Accounts
May 4, 1995
4952
UBD No.DS(PCB) Dir.16/13.05.00/94-95
Maximum limit on advances
April 29, 1995
4953
UBD.No.DS(PCB) Cir.54/13.05.00/94-95
Maximum Limit on Advances
April 29, 1995
4954
IECD.No.45/08.12.01/94-95
Introduction of a Loan System for Delivery of Bank Credit
April 27, 1995
4955
DBOD.No.BP.BC.54/21.01.001/95
BIlls Rediscounting Scheme – Rediscounting of Bills with Banks and FIs
April 27, 1995
4956
DBOD.No.Dir.BC.55/13.01.01/95
Interest Rates on Deposits
April 27, 1995
4957
DBOD.No.Dir.BC.56/13.01.01/95
Participation in the Call Money Market
April 27, 1995
4958
DBOD.No.BP.BC.53/21.01.001/95
Bills Rediscounting Scheme – Rediscounting of Commercial Bills by Banks
April 25, 1995
4959
FIC.No.684/01.02.00/94-95
Lending by Financial Institutions – Bridge Loan/Interim Finance
April 21, 1995
4960
FIC.No.685/01.02.00/94-95
Lending to Non-Banking Financial Companies
April 21, 1995
4961
IECD.No.43/08.12.01/94-95
Introduction of a Loan System for Delivery of Bank Credit
April 21, 1995
4962
IECD.No.42/08.12.01/94-95
Lending to non-banking financial companies
April 21, 1995
4963
IECD.No.41/08.12.01/94-95
Bridge Loans/Interim Finance
April 20, 1995
4964
DBOD.No.BC.52/09.07.007/95
40th Report of the Committee on Govt. Assurances, Rajya Sabha – Implementation of the Recommendations of the Goiporia Committee on Customer Service
April 20, 1995
4965
DBOD.No.BC.43/11.15.001/94-95
Advances to Undertakings Registered under the MRTP Act, 1969 – Submission of Statements by Scheduled Commercial Banks
April 19, 1995
4966
IECD.No.EFD.40/04.02.15/94-95
Pre-Shipment Credit in Foreign Currency (PCFC)Forward Exchange Cover
April 18, 1995
4967
RPCD.No.DIR.BC.145/07.38.02/94-95
Selective Credit Control – Advances aganist Sensitive Commodities
April 17, 1995
4968
RPCD.No.DIR.BC.146/07.38.02/94-95
Selective Credit Control – Advances against sensitive commodities
April 17, 1995
4969
UBD No.(PCB)DIR.14/13.03.00/94-95
Selective Credit Control-Advances against sensitive commodities
April 17, 1995
4970
UBD No.DS(PCB)DIR.15/13.04.00/94-95
Interest Rates on Advances
April 17, 1995
4971
UBD.No.(PCB)Cir.51/13.03.00/94-95
Selective Credit Control – Advances against Sensitive Commodities
April 17, 1995
4972
UBD.No.DS.PCB.CIR.52/13.04.00/94-95
Interest Rates on Advances – Post-Shipment Credit denominated in Foreign Currency (PSCFC)
April 17, 1995
4973
UBD.No.DS.SCB.CIR.41/13.07.00/94-95
Bill Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions – Rate of Rediscount
April 17, 1995
4974
UBD.No.DS.(PCB)DIR.13(13.01.00)94/95
Interest Rates on Deposits
April 17, 1995
4975
UBD.No.DS.CIR.PCB.50(13.01.00)/94-95
Interest Rates on Deposits
April 17, 1995
4976
DBOD.No.Dir.BC.49/13.08.01/95
Selective Credit Controls – Advances against Sensitive Commodities
April 17, 1995
4977
DBOD.No.Dir.BC.50/13.08.01/95
Selective Credit Controls – Advances against Sensitive Commodities
April 17, 1995
4978
DBOD.No.Dir.BC.45/13.01.01/95
Interest Rates on Deposits
April 17, 1995
4979
DBOD.No.Dir.BC.46/13.01.01/95
Interest Rates on Deposits
April 17, 1995
4980
DBOD.No.BP.BC.44/21.04.048/95
Income Recognition, Asset Classification, Provisioning and Other Related Matters – Valuation of Investments
April 15, 1995
4981
RPCD.No.BC.142/07.38.04/94-95
Interest Rates on Deposits held Under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 6, 1995
4982
RPCD.No.DIR.BC.141/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 6, 1995
4983
DBOD.No.Dir.BC.40/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
April 6, 1995
4984
DBOD.No.Dir.BC.41/13.01.09/95
Interest Rates on Deposits held under FCNR(B) Scheme
April 6, 1995
4985
DBOD.No.BC.39/12.01.001/95
Section 42 of the RBI Act, 1934 – Maintenance of CRR on FCNR(B) Scheme
April 5, 1995
4986
RPCD.No.BC.139/07.38.04/94-95
Payment of Brokerage/Offering of Incentives on Deposits Mobilised under Foreign Currency Non-Resident Accounts (Banks) Scheme and Non-Resident (Non-Repatriable) Rupee Deposit Scheme
April 4, 1995
4987
RPCD.No.BC.140/07.38.04/94-95
Payment of Brokerage/Offering of Incentives on Deposits Mobilised under Non-Resident (External) Rupee Accounts Scheme
April 4, 1995
4988
DBOD.No.Dir.BC.38/13.07.05/95
Investment in and Underwriting of Shares and Debentures of Corporate Bodies
April 4, 1995
4989
RPCD.No.137/07.02.08/94-95
Ready Forward Transactions
April 3, 1995
4990
RPCD.No.138/07.02.08/94-95
Ready Forward Transactions
April 3, 1995
4991
RPCD.No.RF.DIR.BC.135/07.38.01/94-95
Interest Rates on Deposits
April 3, 1995
4992
RPCD.No.DIR.BC.136/07.38.01/94-95
Participation in the Call Money Market
April 3, 1995
4993
DBOD.No.BP.BC.36/21.04.048/95
Income Recognition, Asset Classification and Provisioning
April 3, 1995
4994
IECD.No.38/03.33.001/94-95
Group Accounts- Annual Return as on March 31 – Revised format
March 31, 1995
4995
UBD.No.I&L(PCB)49/12.05.00/94-95
Prudential Norms in respect of Income Recognition, Assets Classification, Provisioning and other related matters – Procedure for Accounting Accrued Interest
March 31, 1995
4996
DBOD.No.BP.BC.35/21.04.012/95
Relaxations to Trade and Industry in the State of Punjab and Union Territory of Chandigarh
March 30, 1995
4997
DBOD.No.BP.BC.34/21.04.012/95
Relaxtions to Trade and Industry in the State of Jammu & Kashmir
March 30, 1995
4998
UBD.No.Plan.SUB.6/09.69.00/94-95
Automated Machines (ATMs) / Branch Teller Machines (BTMs)
March 29, 1995
4999
DBOD.No.BC.33/12.01.001/94-95
Cash Balances Required to be Maintained by Scheduled Commercial Banks
March 27, 1995
5000
DBOD.No.Dir.BC.32/13.08.01/95
Selective Credit Control – Granting of Fresh/Additional Limits to Borrowers Dealing in Sensitive Commodities – Delegation of Powers
March 24, 1995
5001
DBOD.No.FSC.BC.30/24.76.002/94-95
Ready Forward Transactions
March 21, 1995
5002
DBOD.No.FSC.BC.31/24.76.002/94-95
Ready Forward Transactions
March 21, 1995
5003
DBOD.No.IBS.BC.29/23.06.001/95
Deployment of Foreign Funds in Indian Business
March 20, 1995
5004
DBOD.No.28/13.07.05/95
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
March 10, 1995
5005
DBOD.No.BP.BC.24/21.01.001/95
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
March 6, 1995
5006
DBOD.No.Dir.BC.25/13.01.01/95
Interest Rates on Deposits
March 6, 1995
5007
DBOD.No.Dir.BC.26/13.01.01/95
Participation in the Call Money Market
March 6, 1995
5008
DBOD.No.FSC.BC.23/24.76.002/95
Ready Forward Transactions
February 28, 1995
5009
RPCD.No.PLNFS.BC.122/06.11.02/94-95
Co-operative Bank Finance for Housing Schemes
February 24, 1995
5010
IECD.No.37/08.12.01/94-95
Issue of Bank Guarantees in favour of financial institutions
February 23, 1995
5011
RPCD.No.BC.121/07.02.08/94-95
Ready Forward Transactions
February 22, 1995
5012
RPCD.No.BC.120/07.02.08/94-95
Zero Coupon Bonds Issued by Government of India
February 22, 1995
5013
DBOD.No.Dir.BC.21/13.01.09/95
Payment of Brokerage/Offering of Incentives on Deposits Mobilised under FCNR(B) Scheme, NRNR Scheme and NRE Accounts Scheme
February 22, 1995
5014
DBOD.No.BC.19/12.01.001/95
Section 42 of the RBI Act, 1934 – Maintenance of CRR on Foreign Currency (Non-Resident) Accounts (Banks) FCNR(B) Scheme
February 15, 1995
5015
UBD No.NBL.380/08.00.00/94-95
Registration of Co-operative Banks Improper use of Name-Emblems and names (Prevention of improper use) Act 1950-Amendments
February 13, 1995
5016
UBD.No.DS.CIR.PCB.43/13.05.00/94-95
Guidelines on Lending under Consortium Arrangements
February 10, 1995
5017
UBD No.DS.(PCB.)DIR.10(13.01.00)94-95
Interest Rates on Deposits
February 9, 1995
5018
UBD.No.DS.CIR.PCB.42(13.01.00)/94-95
Interest Rates on Deposits
February 9, 1995
5019
DBOD.No.Dir.BC.13/13.01.01/95
Interest Rates on Deposits
February 9, 1995
5020
DBOD.No.Dir.BC.14/13.01.01/95
Interest Rates on Deposits
February 9, 1995
5021
IECD.No.36/06.33.01/94-95
Parameters for Provision of Reliefs/Concessions by Banks under rehabilitation Packages evolved for Non-SSI Sick/Weak Industrial Units
February 7, 1995
5022
IECD.No.35/08.12.01/94-95
Assessment of working capital limits of less than Rs.1 crore – Clarifications
February 6, 1995
5023
UBD.No.DS.CIR.PCB.40/13.01.00/94-95
Interest Rates on Deposits
February 4, 1995
5024
UBD No.DS.PCB.CIR.41/13.05.00/94-95
Compliance with Lending Discipline – (a) Charging of Uniform Rates of Interest for Lending under Consortium Arrangement and (b) Penal Interest for Non-compliance with the Discipline
February 4, 1995
5025
DBOD.BC.9/12.01.001/94-95
Section 42 of RBI Act, 1934 – Prescription of CRR on NRNR Scheme
February 2, 1995
5026
RPCD.No.BC.114/07.06.00-94/95
Automated Teller Machines (ATMs)
February 1, 1995
5027
DBOD.No.FSC.BC.8/24.76.002/94-95
Ready Forward Transactions
February 1, 1995
5028
RPCD.No.NB.BC.111/03.05.34/94-95
Avenues of Investment – Surplus Non-SLR Funds – Credit Route
January 25, 1995
5029
DBOD.No.Dir.BC.7/13.01.01/95
Interest Rates on Deposits
January 19, 1995
5030
UBD No.DS.CIR.PCB 39/13.05.00/94-95
Levy of commitment charge on unutilised portion of credit limit
January 14, 1995
5031
RPCD.No.BC.106/07.02.03/94-95
Cash Reserve Ratio on Non-Resident Deposits Schemes
January 11, 1995
5032
RPCD.No.BC.107/07.02.03/94-95
Notification
January 11, 1995
5033
RPCD.No.BC.108/07.02.03/94-95
Notification
January 11, 1995
5034
DBOD.No.BC.4/12.02.001/94-95
Notification
January 11, 1995
5035
DBOD.No.BC.5/12.01.001/94-95
Notification
January 11, 1995
5036
DBOD.No.BC.6/12.01.001/94-95
CRR on Non-Resident Deposit Schemes
January 11, 1995
5037
UBD.No.Plan.CIR(RCS)8/09.22.01/94-95
Finance for Housing Schemes – Primary (Urban) Co-operative Banks
January 11, 1995
5038
UBD.I&L(PCB)37/12.05.00/94-95
Income recognition, assets classification, provisioning and other related matters
January 9, 1995
5039
RPCD.BC.105/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
January 7, 1995
5040
RPCD.No.DIR.BC.104/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
January 7, 1995
5041
DBOD.No.Dir.BC.2/13.01.09/94
Interest Rates on Deposits held under FCNR(B) Scheme
January 7, 1995
5042
DBOD.No.Dir.BC.3/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
January 7, 1995
5043
UBD.No.(P&O)/CIR.RCS/7/10.01.00/94-95
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Tiny/Cottage Industrial Units
January 7, 1995
5044
DBOD.No.Dir.BC.1/13.117.05/95
Guidelines for Bank Finance to Assist Employees to Buy Shares of their Own Companies
January 6, 1995
5045
RPCD.No.NB.BC.98/03.05.34/94-95
Avenues of Investment – Surplus non-SLR Funds
January 2, 1995
5046
DBOD.NO.BP.BC.152/21.03.051/94
Automated Teller Machines (ATMS)
December 29, 1994
5047
IECD.No.34/08.12.01/94-95
Norms for bank lending for working capital purposes – Revised guidelines
December 28, 1994
5048
RPCD.No.DIR.BC.94/07.38.01/94-95
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) Scheme
December 28, 1994
5049
RPCD.No.DIR.BC.95/07.38.01/94-95
Interest Rates on deposits under Non-Resident (External) Rupee Accounts Scheme (NRE Accounts)
December 28, 1994
5050
RPCD.No.DIR.BC.96/07.38.04/94-95
Foreign Currency (Non-Resident) Accounts Scheme and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 28, 1994
5051
RPCD.No.DIR.BC.97/07.38.04/94-95
Foreign currency (Non-Resident) Accounts Scheme and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 28, 1994
5052
RPCD.No.BC.93/07.02.09/94-95
Banks Lendings to Securities Trading Corporation of India Limited – Netting Concept for Reserve Requirements
December 28, 1994
5053
DBOD.No.Dir.BC.151/13.07.05/94
Investments in Equities / Bonds Issued by all India Financial Institutions
December 28, 1994
5054
RPCD.No.DIR.BC.91/07.38.02/94-95
Selective Credit Controls – Advances against Sensitive Commodities
December 26, 1994
5055
RPCD.No.DIR.BC.92/07.38.02/94-95
Selective Credit Controls – Advances against Sensitive Commodities
December 26, 1994
5056
UBD.No.DS.(PCB.)CIR.34/13.03.00/94-95
Selective Credit Controls on Cotton and Kapas
December 26, 1994
5057
UBD.No.DS.(PCB)DIR.8/13.03.00/94-95
Selective Credit Control – Advances against Sensitive Commodities
December 26, 1994
5058
DBOD.No.Dir.BC.149/13:08:01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
December 26, 1994
5059
DBOD.No.Dir.BC.150/13:08:01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
December 26, 1994
5060
IECD.No.CMD.BC.33/03.27.25/94-95
Housing Finance Allocation for the year 1994-95
December 23, 1994
5061
IECD.No.32/08.10.01/94-95
Assessment of working capital credit limits – Treatment of bills negotiated under usance letters of credit as receivables
December 23, 1994
5062
DBOD.No.BC.148/12.01.001/94-95
Bank’s Lendings to Securities Trading Corporation of India Limited (STCI) – Netting Concept for Reserve Requirements
December 23, 1994
5063
DBOD.No.BC.147/12.01.001/94-95
Section 42 of the Reserve Bank of India Act, 1934 Cash Reserve Ratio (CRR)
December 23, 1994
5064
RPCD.No.BC.89/07.38.01/94-95
Payment of Balance in the Account of Deceased Customers to Survivors/Claimants
December 21, 1994
5065
UBD.No.DS.CIR.RCS 6/13.05.00/94-95
Lending to Non-Banking Financial Companies
December 20, 1994
5066
IECD.No.31/08.13.09/94-95
Compliance with leading discipline – Half yearly Progress Report
December 19, 1994
5067
RPCD.No.BC.87/07.02.03/94-95
Notification
December 15, 1994
5068
IECD.No.30/04.02.02/94-95
Relaxations in the area of Export Packing Credit
December 14, 1994
5069
DBOD.No.BC.146/09.08.001/94
Declaration of Holiday under the Negotiable Instruments Act, 1881
December 14, 1994
5070
RPCD.No.86/07.02.08/94-95
Ready Forward Transactions
December 13, 1994
5071
DBOD.NO.BC.145/09.07/007/94
40th Report of the Committee on Government Assurances, Rajya Sabha – Recommendation No. 3.52 of the Goiporia committee – Identity Badges Implementation Thereof
December 13, 1994
5072
RPCD.No.82/07.02.05/94-95
Notification
December 12, 1994
5073
RPCD.No.84/07.02.05/94-95
Notification
December 12, 1994
5074
RPCD.No.85/07.02.05/94-95
Notification
December 12, 1994
5075
RPCD.No.BC.80/07.02.05/94-95
Scheduled State Co-operative – Exemption from Provisions of Proviso to Sub-Section (1) and Sub-Section (1A) of section 42 of RBI Act, 1934
December 12, 1994
5076
RPCD.No.BC.81/07.02.05/94-95
Notification
December 12, 1994
5077
RPCD.No.BC.83/07.02.05/94-95
Regional Rural Banks – Exemption from Provisions of Proviso to Sub-Section (1) and Sub -Section (1A) of Section 42 of RBI Act, 1934
December 12, 1994
5078
UBD.No.I&L(RCS)/5/12.05.00/94-95
Income Recognition, Assets Classification, Provisioning and other related matters
December 10, 1994
5079
DBOD.No.BC.143/12.01.001/94-95
Section 42 of RBI Act, 1934 – Prescription of Cash Reserve Ratio (CRR) on Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 9, 1994
5080
UBD.No.DS.Cir.PCB.33/13.03.00/94-95
Selective Credit Control – Granting of Fresh/Additional Limits to Borrowers Dealing in Sensitive Commodities – Delegation of Powers
December 6, 1994
5081
IECD.No.29/08.15.01/94-95
Commercial Paper – Restoration/enhancement in working capital limits on redemption of commercial paper – Clarification
December 6, 1994
5082
UBD.Plan.04/9.20.00/94-95
Issue of Bonus Shares by Primary Co-operative Banks
December 5, 1994
5083
RPCD.No.BC.76/07.07.10/94-95
Section 19 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Restriction in Holding Shares in other Co-operative Societies
December 2, 1994
5084
RPCD.No.BC.73/07.02.03/94-95
Maintenance of Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
December 2, 1994
5085
RPCD.No.BC.75/07.02.03/94-95
Maintenance of Cash Reserve Ratio (CRR) and Statutory Liquidity Ratio (SLR)
December 2, 1994
5086
RPCD.No.BC.71/07.02.08/94-95
Investment Portfolio of Banks – Transactions in Securities – Role of Brokers
December 1, 1994
5087
RPCD.No.BC.72/07.02.08/94-95
Investment Portfolio of Banks – Transactions in Securities – Bank Receipts (BRs)
December 1, 1994
5088
DBOD.No.BC.139/13.07.05/94
Advance Against Shares and Debentures
November 26, 1994
5089
IECD.No.28/08.12.01/94-95
Compliance with lending discipline (a) Charging of uniform rates of interest for lending under consortium arrangement and (b) Penal interest for non-compliance with the discipline
November 22, 1994
5090
UBD.DS.CIR.AD.7/13.02.00/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
November 17, 1994
5091
RPCD.BC.68/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1994
5092
RPCD.No.DIR.BC.67/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Schemes
November 16, 1994
5093
UBD.(AD)FCNR.4/13.02.00/94-95
Interest Rates on Desposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1994
5094
DBOD.No.BC.135/12.01.001/94-95
Auction of Government stock, 2002, for Which the Payment is made in Instalments
November 16, 1994
5095
DBOD.No.BC.137/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1994
5096
DBOD.No.Dir.BC.136/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 16, 1994
5097
IECD.No.27/04.02.15/94-95
Sharing of Packing Credit under PCFC Scheme
November 14, 1994
5098
DBOD.No.BC.134/21.04.048/94
Income Recognition, Asset Classification and Provisisng and other Related Matters
November 14, 1994
5099
DBOD.No.BC.133/21.03.054/94
Ceiling on Credit Exposure to Individual / Group of Borrowers Investments in and Underwriting of Bonds Issued by Public Sector Undertakings (PSUS) and Commercial Papers (CPs)
November 11, 1994
5100
UBD.No.Plan.PCB.30/09.17.03/94-95
Central Interest Subsidy Scheme (Revised) for November 1984 Riot Affected Borrowers
November 10, 1994
5101
IECD.No.EFD.25/04.02.02/94-95
Inland Export L/C System covering the sub-suppliers to an Export Order
November 10, 1994
5102
IECD.No.EFD.26/04.02.05/94-95
Export credit to tobacco trade – Stipulation of year-wise crop for liquidation by export packing credit-Relaxation
November 10, 1994
5103
IECD.No.24/03.27.04/94-95
Credit Monitoring Arrangement-Advances to Sugar Industry against stock of baled bagasse
November 9, 1994
5104
IECD.No.23/08.12.01/94-95
Loans to State Industrial Development/Financial Corporations
November 9, 1994
5105
IECD.No.22/03.27.25/94-95
Housing Finance Allocation for the year 1994-95
November 7, 1994
5106
RPCD.No.BC.63/07.38.02/94-95
De-regulation of Interest Rates on Advances
November 2, 1994
5107
RPCD.No.DIR.BC.62/07.38.02/94-95
Interest Rates on Advances
November 2, 1994
5108
IECD.No.20/03.27.04/94-95
Credit Monitoring Arrangement – Advances to Sugar Industry – Current ratio
November 1, 1994
5109
RPCD.No.BC.61/07.06.00/94-95
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societes) – Branch Licensing Policy Guidelines
November 1, 1994
5110
IECD.No.21/08.12.01/94-95
Bill discounting schemes operated by Small Industries Development Bank of India (SIDBI)
November 1, 1994
5111
UBD.No.DS.CIR.PCB.28/13.05.00/94-95
Assessment of Working Capital Credit Limits – Treatment of Bills Negotiated under Usance Letters of Credit as Receivables
October 31, 1994
5112
DBOD.No.BC.131/12.02.001/94-95
Classification of Investment in Commercial Paper
October 31, 1994
5113
IECD 9/08.15.01/94-95
Notification
October 29, 1994
5114
UBD.(AD)FCNR 3/13.02.00/94-95
Foreign Currency (Non-Resident) Accounts Scheme and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 26, 1994
5115
UBD.DS.(CIR).AD.3/13.02.00/94-95
Foreign Currency (Non-Resident) Accounts Scheme and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 26, 1994
5116
UBD.DS.PCB.DIR.7/13.01.00/94-95
Interest Rates on Deposits
October 26, 1994
5117
UBD.DS.CIR.PCB.26/13.01.00/94-95
Interest Rates on Deposits – Margin on Advances against Term Deposits
October 26, 1994
5118
DBOD.No.524/23.07.001/94-95
Limits on Credit Exposures to Individual /Group of Borrowers
October 25, 1994
5119
DBOD.NO.BC.126/12.01.001/94-95
Notification
October 24, 1994
5120
DBOD.No.BC.127/12.02.001/94-95
Notification
October 24, 1994
5121
DBOD.No.BC.128/12.01.001/94-95
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949.
October 24, 1994
5122
DBOD.No.BC.124/13.07.05/94
Investmnent in Shares of Discount and Finance House of India Ltd. (DFHI) and Securities Trading Corporation OfIndia Lt. (STCI)
October 22, 1994
5123
UBD.No.DS.CIR.25/13.05.00/94-95
Lending to Non-Banking Financial Companies
October 21, 1994
5124
IECD.No.19/08.15.01/94-95
Commercial Paper – Stand by Arrangement
October 20, 1994
5125
IECD.No.18/08.12.01/94-95
Co-ordination between banks and financial institutions in extending term finance/loans-Revision in the extent of bank participation
October 18, 1994
5126
RPCD.No.BC.56/03.05.26/94/95
Regional Rural Banks (RRBs) – Restructuring Exercise – Opening of a Department/Cell for Regional Rural Banks
October 18, 1994
5127
UBD.Plan.Cir.SUB.1/09.27.00/94-95
Issue of Guarantees – Guidelines to be followed by the Primary (Urban) Co-operative Banks
October 18, 1994
5128
RPCD.No.DIR.BC.53/07.38.02/94-95
Selective Credit Control – Advances against Sensitive Commodities
October 17, 1994
5129
RPCD.No.DIR.BC.54/07.38.02/94-95
Selective Credit Control – Advances against Sensitive Commodities
October 17, 1994
5130
UBD.No.DS(PCB)Cir.23/(13.03.00)/94-95
Selective Credit Control – Advances against Sensitive Commodities
October 17, 1994
5131
UBD.No.DS(PCB)DIR.6/13.03.00/94-95
Selective Credit Control – Advances against Sensitive Commodities
October 17, 1994
5132
RPCD.No.DIR.BC.47/07.38.01/94-95
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) Scheme
October 17, 1994
5133
RPCD.No.DIR.BC.48/07.38.01/94-95
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme (NRE Accounts)
October 17, 1994
5134
RPCD.No.DIR.BC.49/07.38.01/94/95
Interest Rates on Deposits
October 17, 1994
5135
RPCD.No.DIR.BC.50/07.38.01/94-95
Interest Rates on Deposits
October 17, 1994
5136
UBD.No.(PCB)DIR.4/(13.01.00)/94-95
Interest Rates on Deposits
October 17, 1994
5137
UBD.No.DS.CIR.(PCB)21/(13.01.00)/94-95
Interest Rates on Deposits
October 17, 1994
5138
UBD.No.DS.CIR.PCB.22/(13.01.00)/94-95
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 17, 1994
5139
UBD.No.DS(PCB)DIR.5/(13.01.00)/94-95
Interest Rates on Deposits
October 17, 1994
5140
DBOD.BC.111/12.04.002/94-95
T.T. Discounting Facilities
October 17, 1994
5141
RPCD.No.DIR.BC.51/07.38.02/94-95
Interest Rates on Advances
October 17, 1994
5142
RPCD.No.RF.BC.52/07.38.02/94-95
Deregulation of Interest Rates on Advances
October 17, 1994
5143
UBD.(PCB)DIR.3/(13.04.00)94-95
Interest Rates on Advances.
October 17, 1994
5144
UBD.No.DS.PCB.20/(13.04.00)/94-95
Interest Rates on Advances
October 17, 1994
5145
DBOD.No.BC.112/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
October 17, 1994
5146
DBOD.No.BC.113/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
October 17, 1994
5147
DBOD.No.BC.117/13.01.09/94
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 17, 1994
5148
DBOD.No.BC.118/13.01.01/94
Interest Rates on Deposits
October 17, 1994
5149
DBOD.No.BC.119/13.01.01/94
Interest Rates on Deposits
October 17, 1994
5150
DBOD.No.BC.122/13.01.09/94
Foreign Currency (Non-Resident) Accounts and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 17, 1994
5151
DBOD.No.BC.123/13.01.09/94
Foreign Currency (Non-Resident) Accounts and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 17, 1994
5152
DBOD.No.Dir.BC.116/13.01.09/94
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 17, 1994
5153
IECD.No.EFD.17/04.02.02/94-95
Export Packing Credit – Relaxation in Interest Rates
October 11, 1994
5154
IECD.No.16/06.33.01/94-95
Extensions of Reliefs/Concessions by Banks under Rehabilitation Packages evolved for Sick Public Sector Undertakings considered as Potentially Viable
October 10, 1994
5155
DBOD.No.BC.110/21.01.001/94
Grant of Loans and Advances and Award of Contracts to Directors of Other Banks
October 10, 1994
5156
DBOD.No.834/12.01.001/94-95
Section 42 of the Reserve Bank of India Act, 1934
October 8, 1994
5157
RPCD.No.BC.45/07.38.02-94/95
Interest Rates on Advances – Interim Finance to SLDBs/PLDBs
October 6, 1994
5158
RPCD.No.BC.46/07.02.03-94/95
Investment of Surplus Funds by State/Central Co-operative Banks in the Bonds of Public Sector Undertakings (PSU)
October 6, 1994
5159
RPCD.No.BC.44/07.38.01-94/95
Customer Service
October 6, 1994
5160
DBOD.NO.BC.109/12.01.001/94
Borrowers of all India Financial Institutions from Term Money Market
October 6, 1994
5161
IECD.No.15/08.12.01/94-95
Financing of projects involving creation/expansion/modernisation of infrastructural facilities
October 6, 1994
5162
UBD.No.DS.CIR.PCB.19/13.04.00/94-95
Inventory/Receivables Norms for various Industries
October 5, 1994
5163
RPCD.No.BC.41/07.38.01/94-95
Committee on Consumer Service in Banks – Implementation of the Recommendations of the Goiporia Committee
October 1, 1994
5164
DBOD.No.BC.108/13.08.01/94
Selective Credit Control (SCC) – Advance Against Edible Oilseeds and Oils
October 1, 1994
5165
FIC.No.191/01.02.00/94-95
Lending to Non-Banking Financial Companies
September 28, 1994
5166
IECD.No.14/08.12.01/94-95
Lending to Non-banking financial companies
September 28, 1994
5167
FIC.No.187/01.02.00/94-95
Bridge Loans/Interim Finance
September 26, 1994
5168
IECD.No.EFD.13/04.02.02/94-95
Pre-shipment Credit in Foreign Currency (PCFC) Scheme Supplies from one EOU/EPZ Unit to another EOU/EPZ Unit
September 26, 1994
5169
DBOD.No.BC.107/12.01.001/94
Section 42 of the Reserve Bank of India Act, 1934 and section 24 of the Banking Regulation Act, 1949 – Interest Accrued on Deposits
September 26, 1994
5170
DBOD.No.BC.106/21.01.001/94
Fraudulent Operations in Deposit Accounts – Opening of and Collection of Cheques/ Pay Orders etc.
September 23, 1994
5171
DBOD.No.BC.105/09.07.007/94
Recommendation No.3.84 (Manpower Rationalisation /Redeployment) of the Goiporia committee on Customer Service in Banks – Implementation Thereof
September 22, 1994
5172
UBD.No.P&O.Cir.PCB.No.17/10.03-00/94-95
Rehabilitation of Small Scale Industrial Units Financed by Urban Co-operative Banks
September 19, 1994
5173
UBD.BR(Cir)/16/16.04.00/94-95
Amendments made to Section 46 & 47A of the Banking Regulation Act, 1949 (AACS) by Banking Regulation (Amendment) Act, 1994
September 19, 1994
5174
UBD.No.DS.CIR.PCB18/13.05.00/94-95
Report of the In-House Group Set up to Review the Role of Reserve Bank of India in laying down Norms for Bank Lending for Working Capital Purposes – Revised Guidelines
September 19, 1994
5175
IECD.No.12/08.12.01/94-95
Bridge Loans / Interim Finance
September 16, 1994
5176
DBOD.No.BC.104/22.01.001/93-94
Section 23 of the Banking Regulation Act, 1949 Relocation of Loss-Making Branches, Opening of Extension Counters, etc.
September 16, 1994
5177
RPCD.No.BC.35/07.38.04/94-95
Advances against FCNR/NRE Deposits – Manner of Charging Interest and Repayment
September 15, 1994
5178
DBOD.NO.BC.102/09.07.007/94
Committee to Enquire into Various aspects Relating to Frauds and Malpractices in Banks
September 10, 1994
5179
IECD.No.EFD.11/04.02.03/94-95
Liquidation of Export Packing Credit – Garment Exporters
September 5, 1994
5180
RPCD.No.BC.31/07.02.08/94-95
Ready Forward Transactions
September 5, 1994
5181
IECD.No.10/04.02.15/94-95
Export Financing in Foreign Currencies
September 3, 1994
5182
RPCD.No.DIR.BC.30/07.38.02-94/95
Selective Credit Controls – Imported Sugar
September 2, 1994
5183
DBOD.No.BC.101/13.08.01/94
Selective Credit Controls – Imported Sugar
September 2, 1994
5184
UBD.No.DS.CIR.PCB15/13.03.00/94-95
Selective Credit Controls – Imported Sugar
September 2, 1994
5185
IECD.No.9/04.02.02/94-95
Export Credit – Performance indicator for banks
August 29, 1994
5186
IECD.No.8/03.27.21/94-95
Tea Industry, Extension of additional credit facilities
August 24, 1994
5187
DBOD.No.BC.99/21.01.002/94
Capital Adequacy Measures
August 24, 1994
5188
UBD No.Cir(PCB)13/07.01.00/94-95
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Section 23 – Opening of Extension Counters, Shifting of Offices, etc.
August 20, 1994
5189
DBOD.No.BC.98/13.01.09-94
Rationalisation of Non-Resident Deposits Schemes
August 19, 1994
5190
RPCD.No.BC.27/07.38.04/94-95
Rationalisation of Non-Resident Deposits Schemes
August 19, 1994
5191
UBD.(AD).5/13.02.00/94-95
Rationalisation of Non-Resident Deposit Schemes
August 19, 1994
5192
DBOD.No.BC.97/21.01.023/94
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
August 19, 1994
5193
IECD.No.7/08.12.01/94-95
Guidelines on lending under consortium arrangement Lead bank charges – Clarifications
August 17, 1994
5194
DBOD.No.BC.95/27.02.001/94-95
Ready Forward Transactions
August 16, 1994
5195
RPCD.No.DIR.BC.26/07.38.04/94-95
Foreign Curency (Non-Resident) Accounts (FCNRA) Scheme
August 13, 1994
5196
UBD.(SUC).CIR.4/13.02.00/94-95
Foreign Currency (Non-Resident) Accounts (FCNRA) Scheme
August 13, 1994
5197
DBOD.No.Dir.BC.94/13.01.09/94
Foreign Currency (Non-Resident) Accounts (FCNRA) Scheme
August 13, 1994
5198
IECD.No.6/08.12.01/94-95
Bridge Loans/Interim Finance
August 10, 1994
5199
IECD.EFD.440/04.02.15/94-95
Rediscounting of Export Bills Abroad/Pre-shipment Credit in Foreign Currency
August 4, 1994
5200
IECD.No.5/04.02.02/94-95
Extension of concessive export credit for deemed export List of multilateral or bilateral agencies/funds
August 4, 1994
5201
IECD.No.4/08.13.08/94-95
Guidelines on lending under consortium arrangement-Clarifications
August 3, 1994
5202
UBD.No.Plan.(PCB).11/09.08.00/94-95
Calendar of Reviews – Matters to be Placed Before the Board of Directors of Urban Co-operative Banks
August 2, 1994
5203
RPCD.BC.19A/07.38.04/94-95
Foreign Currency (Non-Resident) Accounts (FCNRA) Scheme – Payment of Commission and Offering Incentives
August 1, 1994
5204
UBD.(AD).FCNR.3/13.02.00/94-95
Foreign Currency (Non-Resident) Accounts (FCNRA) Scheme – Payment of Commission and Offering Incentives
August 1, 1994
5205
DBOD.No.BC.94/13.01.09/94
Foreign Currency (Non-Resident) Acounts (Fcnra) Scheme Payment of Commission and Offering Incentives
August 1, 1994
5206
DBOD.No.14/19.06.01/94-95
Action Plan for Banks for the Period April 1994 – March 1996
July 28, 1994
5207
DBOD.No.BC.267/21.01.009/94
Half – Yearly Information relating to Overdue Advances
July 27, 1994
5208
RPCD.No.BC.15/07.02.08/94-95
Acceptance of Deposits under Portfolio Management Scheme (PMS)
July 26, 1994
5209
UBD.No.Plan.(PCB).9/09.06.00-94/95
Overseeing the Internal Audit Function in Banks – Setting up of Audit Committee of Boards
July 25, 1994
5210
RPCD.No.BC.14/07.38.02/94-95
Restriction on Credit to Certain Sectors
July 23, 1994
5211
RPCD.No.BC.13/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident ) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 23, 1994
5212
RPCD.No.DIR.BC.12/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 23, 1994
5213
UBD.(AD)FCNR.2/13.02.00/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 23, 1994
5214
UBD.DS.CIR.AD.2/13.02.00/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 23, 1994
5215
DBOD.No.BC.89/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 23, 1994
5216
DBOD.No.BC.90/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 23, 1994
5217
UBD.No.DS.PCB.DIR.2/13.04.00/94-95
Interest Rates on Advances
July 22, 1994
5218
IECD.No.3/08.12.01/94-95
QIS – Charging of Penal Interest
July 19, 1994
5219
UBD.No.Reh.2/15.05.04/94-95
Supersession of Board of Directors of Primary Co-operative Banks
July 19, 1994
5220
DBOD.No.BC.88/21.01.023/94
Receipts of Foreign contributions by Various Associations/ Organisations in Indai Under FC(R) Act, 1976
July 16, 1994
5221
UBD.I&LCir.RCS.1/12.05.00/94-95
Granting of Loans and Advances to Persons Engaged in Business Competing with or Conflicting with the Business of Primary Co-operative Banks
July 15, 1994
5222
IECD.No.2/08.13.09/94-95
Compliance with lending discipline Half-yearly Progress Report
July 13, 1994
5223
UBD.No.DS.CIR.PCB.4/13.05.00/94-95
Maximum Limit on Advances – Advances to Directors and their Relatives and to Concerns in which Directors or their Relatives are Interested
July 12, 1994
5224
IECD.No.1/03.27.25/94-95
Direct Housing Finance
July 11, 1994
5225
DBOD.No.05/19.06.01/94-95
Action Plan for Banks
July 8, 1994
5226
RPCD.No.BC.5/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 7, 1994
5227
RPCD.No.DIR.BC.4/07.38.04/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 7, 1994
5228
UBD.(AD)FCNR.1/D.13.02.00/94-95
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 7, 1994
5229
UBD.DS.CIR.AD.1/13.02.00/94-95
Interest Rates on Deposits
July 7, 1994
5230
DBOD.No.84/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 7, 1994
5231
DBOD.No.BC.85/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 7, 1994
5232
UBD.No.DS.CIR.PCB-3/13.05.00/94-95
Guidelines on Lending under Consortium Arrangements
July 6, 1994
5233
UBD.DS.PCB.DIR.1/13.01.00/94-95
Interest Rates on Deposits
July 5, 1994
5234
UBD.DS.CIR.PCB.1/13.01.00/94-95
Participation in Call/Notice Money Market and Term Money Market
July 5, 1994
5235
UBD.No.Plan.(PCB)2/09.69.00/93-94
Automated Teller Machines (ATMs) / Branch Teller Machines (BTMs)
July 5, 1994
5236
RPCD.No.NB.BC.3/03.05.34/94-95
Rate of Interest to be charged by Sponsor Banks on their lendings to Regional Rural Banks (RRBs)
July 4, 1994
5237
RPCD.No.DIR.BC.1/07.38.01/94-95
Interest Rates on Deposits
July 4, 1994
5238
RPCD.No.DIR.BC.2/07.38.01/94-95
Participation in Call/Notice Money Market and Term Money Market
July 4, 1994
5239
DBOD.No.BC.82/08.95.005/94
Board of Directors
July 1, 1994
5240
UBD.No.DS(SUC)CIR.170/13.02.00/93-94
Pre-shipment Credit in Foreign Currency (PCFC) Scheme – Clarifications/Relaxations
June 30, 1994
5241
UBD.No.(PCB)Cir.87/13.05.00-93/94
Acquisition of Accommodation on Lease/Rental Basis by Primary Co-operative Banks for their Use (i.e. for Office and Residence of Staff)
June 30, 1994
5242
UBD.DS.(SUC)CIR.169/13.02.00/93-94
Pre-Shipment Credit in Foreign Currency (PCFC) – Extension of Running Account Facility
June 29, 1994
5243
DBOD.No.BC.81/21.01.001/94
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
June 28, 1994
5244
DBOD.No.BC.79/13.01.01/94
Interest Rates on Deposits
June 28, 1994
5245
DBOD.No.BC.80/13.01.01/94
Participation in Call/ Notice Money market and Term Money Market
June 28, 1994
5246
UBD.BR.Cir.85/16.26.00/93-94
Zero Coupon Bonds Issued by Government of India
June 23, 1994
5247
DBOD.No.BC.77/12.01.001/94
Maintenance of Cash Reserve Ratio (CRR) and Statuory Liquidity Ratio (SLR) – Exemption
June 23, 1994
5248
UBD.No.(PCB)Cir.84/13.01.00/93-94
Advances against FCNR/NRE Deposits – Manner of Charging Interest and Repayment
June 22, 1994
5249
IECD.No.47/08.10.01/93-94
Guidelines on lending under consortium arrangement – Sanction of term finance
June 22, 1994
5250
DBOD.No.BC.75/09.07.007/94
Committee on Customer service in Banks – Implementation of the Recommendations of the Goiporia Committee
June 17, 1994
5251
UBD.No.PCB.(CIR).83/13-01.00/93-94
Calculation of Interest on Savings Bank Accounts – Determining the Monthly Product
June 16, 1994
5252
UBD.No.CIR(SUC)168/13.02.00/93-94
Pre-shipment Credit in Foreign Currency (PCFC) – Clarifications
June 14, 1994
5253
RPCD.No.DIR.BC.163/07.38.02.93/94
Interest rates on advances
June 13, 1994
5254
RPCD.No.DIR.BC.164/07.38.02/93-94
Interest rates on advances
June 13, 1994
5255
DFC.COC.No.1707.174.93-94
Financial Companies – Prudential norms for income recognition, accounting standards, provisioning for bad and doubtful debts, capital adequacy and concentration of credit/investments
June 13, 1994
5256
UBD.No.Cir(PCB)82/07.01.00/93-94
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Opening of Extension Counters by Urban Co-operative Banks
June 13, 1994
5257
IECD.No.46/08.12.01/93-94
Review of inventory/receivables norms for diamond industry
June 10, 1994
5258
RPCD.No.DIR.BC.160/07.38.02/93-94
Selective Credit Control – Advances against sensitive commodities – Cotton and Kapas
June 8, 1994
5259
DBOD.No.BC.74/22.01.001/94
Opening of Specialised Agricultural Finance Branches (SAFs) to Deal with High- Tech Agricultural Loans
June 8, 1994
5260
UBD.No.(PCB).CIR.80/13.05.00/93-94
Credit Authorisation Scheme – Co-ordination between Banks and Financial Institutions in Extending Term Loans
June 1, 1994
5261
FIC.No.1058/01.02.00/93-94
Income Recognitions, Asset Classification, Provisioning and other Related Matters
May 31, 1994
5262
RPCD.No.BC.154/07.38.01/93-94
Customer Service-Immediate Credit of outstation/local cheques-Rate of Interest
May 30, 1994
5263
RPCD.No.DIR.BC.151/07.38.02/93-94
Selective Credit Controls – Imported Sugar
May 26, 1994
5264
DBOD.No.BC.71/13.08.01/94
Selective Credit Controls – Imported Sugar
May 26, 1994
5265
UBD.No.(PCB)CIR.79/13.03.00/93-94
Selective Credit Controls – Imported Sugar
May 26, 1994
5266
UBD.No.(PCB)DIR.5/13-05.00/93-94
Maximum Limit on Advances
May 26, 1994
5267
UBD.No.DS(PCB)Cir.76/13.05.00/93-94
Maximum Limit on Advances – Advances to Directors and their Relatives and to Concerns in which Directors or their Relatives are Interested
May 26, 1994
5268
UBD.No.RBL(RCS)52/07.01.00/93-94
Section 23 read with Section 56 (p) of Banking Regulation Act, 1949 – Branch Expansion Programme in Metropolitan/Urban/Semi-urban Centres for the period 1991-92 to 1993-94 (3 years)
May 23, 1994
5269
IECD.No.EFD.45/04.02.02/93-94
Statistics relating to Export credit
May 23, 1994
5270
IECD.No.44/08.10.01/93-94
Assessment of working capital credit limits – Treatment of bills negotiated under usance letters of credit as receivables
May 20, 1994
5271
RPCD.BC.149/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 20, 1994
5272
RPCD.No.DIR.BC.148/07-38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 20, 1994
5273
UBD.(AD)FCNR.4/13.02.00/93/94
Interest Rates on Deposit held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
May 20, 1994
5274
UBD.DC(SUC).167/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme(FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
May 20, 1994
5275
DBOD.No.BC.67/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 20, 1994
5276
DBOD.No.BC.68/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 20, 1994
5277
DBOD.No.1321/23.02.006/93-94
Control System at Foreign Offices – Management of Credit Portfolio and Risk Exposures
May 19, 1994
5278
UBD.No.(PCB)CIR.73/13.03.00/93-94
Selective Credit Control – Advances against Sensitive Commodities – Cotton and Kapas
May 18, 1994
5279
IECD.No.EFD.43/04.02.15/93-94
Pre-Shipment Credit in Foreign Currency (PCFC)- Extension or ‘Running Account’ Facility
May 18, 1994
5280
DBOD.No.BC.61/13.07.05/94
Investment in and UnderWriting of Shares and Debentures of Corporate Bodies
May 18, 1994
5281
DBOD.No.BC.62/12.01.001/94
Notification
May 18, 1994
5282
DBOD.No.BC.63/12.02.001/94
Notification
May 18, 1994
5283
DBOD.No.BC.64/12.01.001/94
Section 42 of the Reserve Bank of India Act, 1934 and section 24 of the Banking Regulation Act, 1949
May 18, 1994
5284
DBOD.No.BC.60/22.01.003/94
Acquisition of Accommodation on Lease Rental Basis by Commercial Banks for their use (I.E. for Office and Residence of Staff)
May 17, 1994
5285
DBOD.No.BC.59/21.04.043/94
Income Recognition, Provisioning and Other Related Matters valuation of Investments
May 17, 1994
5286
RPCD.No.DIR.BC.142/07.38.02/93-94
Selective Credit Control (SCC) – Advances against sensitive commodities – Imported sugar
May 16, 1994
5287
DBOD.No.BC.57/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities Imported Sugar
May 16, 1994
5288
DBOD.No.BP.BC.58/21.04.048/94
Income Recognition, Asset Classification and Provisioning
May 16, 1994
5289
RPCD.No.DIR.BC.140/07.38.02/93-94
Selective Credit Control-Advances against sensitive commodities
May 14, 1994
5290
RPCD.No.DIR.BC.141/07.38.02/93-94
Selective Credit Controls-Advances against sensitive commodities
May 14, 1994
5291
UBD.No.(PCB)Cir.71/(13.03.00)/93-94
Selective Credit Control – Advances against Sensitive Commodities
May 14, 1994
5292
UBD.No.(PCB)DIR.4/13.03.00/93-94
Selective Credit Control – Advances against Sensitive Commodities
May 14, 1994
5293
RPCD.No.DIR.BC.138/07.38.01/93-94
Interest rates on deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) Scheme
May 14, 1994
5294
RPCD.No.DIR.BC.139/07.38.01/93-94
Interest rates on deposits under Non-resident (External) Rupee Accounts Scheme (NRE Accounts)
May 14, 1994
5295
UBD.No.(PCB)Cir.70/(13.01.00)/93-94
Interest Rates on Deposits
May 14, 1994
5296
UBD.No.(PCB)DIR.3/(13.01.00)/93-94
Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts) Scheme
May 14, 1994
5297
DBOD.No.BC.56/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
May 14, 1994
5298
DBOD.No.Dir.BC.55/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
May 14, 1994
5299
DBOD.No.BC.53/13.01.09/94
Interest-Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme
May 14, 1994
5300
DBOD.No.BC.54/13.01.09/94
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
May 14, 1994
5301
UBD.No.I&L/69/12.05.00/93-94
Committee to Enquire into various aspects relating to Frauds and Malpractices in Banks (Ghosh Committee)
May 13, 1994
5302
RPCD.No.BC.135/07.02.08/93-94
Inter-Bank Ready Forward (Repo) Transaction 12.5 per cent Government Stock 2004
May 9, 1994
5303
IECD.No.EFD.42/04.02.02/93-94
Consignment Exports to CIS and East European Countries – Interest Rates on Post-shipment Credit
May 7, 1994
5304
DBOD.No.BC.52/23.01.001/94
Indian Investment in Foreign Ventures – Financing Equity Participation
May 4, 1994
5305
RPCD.No.132/07.02.08/93-94
Zero Coupon Bonds issued by Government of India
May 2, 1994
5306
RPCD.No.133/07.02.08/93-94
Zero Coupon Bonds issued by Government of India
May 2, 1994
5307
DBOD.No.BC.51/13.01.09/94
Advances against FCNR/NRE Deposits – Manner of Repayment
May 2, 1994
5308
UBD.No.(SUC)DC.165/13.05.00/93-94
Customer Service – Implementation of Recommendations of the Goiporia Committee
April 30, 1994
5309
UBD.No.DS.(SUC)CIR166/13.02.00/93-94
Report of the Committee on Structure of Export Credit – Streamlining of Procedure for Loans and Advacnes with particular reference to Export Credit
April 30, 1994
5310
DBOD.No.BC.50/21.04.048/94
Income Recognition, Asset Classification And Provisioning and Capital Adequacy Norms – Clarification
April 30, 1994
5311
DBOD.No.BC.49/21.04.048/94
Advances to State Government Undertakings Gauaranteed by the concerned State Governments Comprises Settlements
April 28, 1994
5312
RPCD.No.BC.129/07.38.01/93-94
Deposits at Call Receipts
April 28, 1994
5313
DBOD.BC.48/21.04.012/94
Relaxations to Trade and Industry in Punjab, Jammu and Kashmir and Chandigarh
April 27, 1994
5314
IECD.No.41/08.10.01/93-94
Review of inventory/receivables norms for financing of leather products/leather industry
April 22, 1994
5315
FIC.No.937-947/01.02.00-93/94
Monitoring the Activities of Subsidiaries/Mutual Funds
April 22, 1994
5316
DBOD.No.BC.46/17.04.001/94
Committeee to Enquire into various Aspects relating to Frauds and Malpratices in Banks
April 22, 1994
5317
IECD.No.40/06.33.01.93/94
Conversion of Funded Interest Term Debt into Equity of Non-SSI Sick/Weak Industrial Units under Rehabilation Packages
April 20, 1994
5318
IECD.No.39/08.10.0.01/93-94
Review of inventory/receivables norms for financing Flour Mills
April 18, 1994
5319
DBOD.No.BC.44/16.13.100/94
Acquisition of Shares of Banks for Gaining Controlling Interest
April 16, 1994
5320
IECD.No.38/08.10.01/93-94
Review of inventory/receivables norms for certain segments of chemical industry-Pesticides, Weedicides, etc.
April 13, 1994
5321
DBOD.No.BC.43/16.05.015-94
Matters to be placed Before the board of Directors of the Bank
April 13, 1994
5322
DBOD.No.FSC.BC.41/24.75.001-94
Recovery of Dues of Banks – Companies Planning Public Issue.
April 12, 1994
5323
DBOD.No.BC.42/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities – Cotton and Kapas
April 12, 1994
5324
DBOD.No.BC.40/12.02.001/94
Section 42 of the Reserve Bank of India Act, 1934 and section 18 and 24 of the Banking Regulation Act, 1949 – Maintenace of Cash Reserve Ratio/ Statutory Liquidity Ratio (CRR/SLR) and Computation of Net Demand and Time Liabilities
April 5, 1994
5325
DBOD.No.BC.38/12.01.001/93-94
Section 42 (2) of the Reserve Bank of India Act, 1934 and section 24 (2-A) of the Banking Regulation Act, 1949 – (1) Pre-Shipment Credit in Foreign Currency (PCFC) (2) Rediscounting of Export Bills Aboard (BAF) Submission of Statement
April 4, 1994
5326
DBOD.No.BC.39/27.02.001/93-94
Inter-Bank Ready Forward (Repo) Transaction – 12.00 Percent Government Stock 1999
April 4, 1994
5327
UBD.No.DS(SUC)CIR.164/13.02.00/93-94
Rediscounting of Export Bills Abroad and Pre-Shipment Credit in Foreign Currency (PCFC) – Withholding Tax
March 31, 1994
5328
DBOD.No.BC.37/21.04.012/94
Relaxtions to Trade and Industry in Punjab, Jammu and Kashmir and Chandigarh
March 31, 1994
5329
IECD.No.EFD.37/04.02.15/93-94
Pre-shipment Credit in Foreign Currency (PCFC) Scheme – Clarifications/relaxations
March 30, 1994
5330
UBD.No.DS(SUC)CIR.163/13.02.00/93-94
Pre-shipment Credit in Foreign Currency (PCFC) – Extension of Running Account Facility for Export of Diamonds
March 30, 1994
5331
DBOD.No.BC.36/21.03.054/94
Investments in and Underwriting of Bonds Issued by Public Sector Undertakings (PSUS) and Commercial Papers(CPs) – Limits on Credit Exposure to Individual /Group of Borrowers
March 30, 1994
5332
RPCD. BC.122/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 29, 1994
5333
RPCD.No.DIR.BC.121/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 29, 1994
5334
UBD.(AD)FCNR.3/13.02.00/93/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
March 29, 1994
5335
UBD.DC.162/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
March 29, 1994
5336
DBOD.No.BC.33/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 29, 1994
5337
DBOD.No.BC.34/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 29, 1994
5338
UBD.1078/07.01.00/93-94
Section 23 read with Section 55(p) of Banking Regulation Act, 1949 – Issue of Branch Licences to Urban Co-operative Banks during the First Phase of the Branch Expansion Programme 1993-94
March 28, 1994
5339
FIC.No.841/01.02.00/93-94
Income Recognition, Asset Classification, Provisioning and other Related Matters
March 28, 1994
5340
DBOD.No.BC.32/17.04.001/94
Committee to Enquire into Various aspects Relating to Frauds and Malpractices in Banks
March 24, 1994
5341
UBD.No.P&O.67 /10.01.00/93-94
Report of the Committee to Examine the Adequacy of Institutional Credit to Small Scale Industrial Sector and related aspects
March 19, 1994
5342
DBOD.No.BC.30/27.02.001/93-94
Inter-bank Ready Forward (REPO) Transaction – 12.5 Per cent Government Stock 2004
March 18, 1994
5343
IECD.No.36/08.12.01/93-94
Bridge loans/ Interim finance
March 17, 1994
5344
IECD.No.35/08.12.01/93-94
Co-ordination between commercial banks and State Financial Corporations (SFCS) in the provision of financial assistance to industries
March 15, 1994
5345
DBOD.No.BC.29/22.01.001/94
Section 23 of the Banking Regulation Act, 1949 Branch Banking Statistics – Offices Opened/ Closed
March 12, 1994
5346
DBOD.No.1033/23.07.001/94
Engagement / Extension of Services of Expatriate Officers in Indian Offices of Foreign Banks
March 11, 1994
5347
DBOD.No.1034/23.13.008/94
Acquisition / Leasing of Premises
March 9, 1994
5348
IECD.No.34/06.03.02/93-94
Amendments to Sick Industrial Companies (Special Provisions) Act, 1985
March 9, 1994
5349
DBOD.No.BC.28/24.01.001/94
Directors/ Trustees of Subsidaries/ Mutual Funds of Banks Borrowing Arrangements with Sponsor Banks
March 9, 1994
5350
RPCD.No.BC.116/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 7, 1994
5351
RPCD.No.DIR.BC.114/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 7, 1994
5352
UBD.(AD)FCNR2/13.02.00/93/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 7, 1994
5353
UBD.DC.161/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 7, 1994
5354
DBOD.No.BC.23/17.04.001/94
Committee to Enquire into various aspects Relating to Frauds and Malpractices in Banks
March 7, 1994
5355
DBOD.No.BC.24/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 7, 1994
5356
DBOD.No.BC.25/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
March 7, 1994
5357
DBOD.No.BC.No.21/08.95.005-94
Board of Directors
March 5, 1994
5358
IECD.No.EFD.32/04.02.11-93/94
Rediscounting of Export Bills Abroad and Pre-shipment Credit in Foreign Currency (PCFC) – Withholding Tax
March 3, 1994
5359
IECD.No.33/08.12.01/93-94
Co-ordination between banks and financial institutions in extending term loans
March 3, 1994
5360
IECD.No.EFD.31/04.02.15/93-94
Pre-shipment Credit in Foreign Currency (PCFC) Extension of ‘Running Account’ facility for export of diamonds
March 3, 1994
5361
RPCD.No.BC.106/07.02.08-93/94
Investment Portfolio of banks-Transactions in securities-Bouncing of SGL transfer forms-Penalties to be imposed
March 2, 1994
5362
RPCD.No.DIR.BC/109/07.38.01/93-94
Interest rates on deposits
March 2, 1994
5363
UBD.No.49/07.01.00/93-94
Area of Operation of Urban Cooperative Banks
March 1, 1994
5364
UBD.No.62/07.01.00/93-94
Area of Operation of Urban Co-operative Banks
March 1, 1994
5365
UBD.No.I&L.63/12.05.00/93-94
Income Recognition, Assets Classification, Provisioning and other related matters
March 1, 1994
5366
RPCD.No.DIR.BC.104/07.38.02/93-94
Interest Rates on Advances
February 28, 1994
5367
RPCD.No.DIR.BC.105/07.38.02/93-94
Interest Rates on Advances
February 28, 1994
5368
IECD.No.EFD.30/04.02.15/93-94
Pre-shipment Credit in Foreign Currency (PCFC) – Clarifications
February 28, 1994
5369
UBD.No.(PCB)Cir.61/13.05.00/93-94
Advances against Units of Mutual Funds
February 26, 1994
5370
UBD.No.Reh(RCS)Cir.47/15.05.04/93-94
Rehabilitation of Weak Primary (Urban) Co-operative Banks – Recommendations of Committee on Licensing of New Urban Co-operative Banks – Implementation of
February 25, 1994
5371
UBD.No.649/16.04.01/93-94
Report of the Committee on Licensing of New Urban Co-operative Banks – Amendments to State Co-operative Societies Act
February 22, 1994
5372
UBD.No.(PCB)DIR.1/03.00/93-94
Selective Credit Control – Advances against Sensitive Commodities
February 19, 1994
5373
RPCD.No.DIR.BC.100/07.38.02/93-94
Selective Credit Control-Advances Against Sensitive Commodities
February 18, 1994
5374
RPCD.No.DIR.BC.101/07.38.02/93-94
Selective Credit Control-Advances against sensitive commodities-Cotton and Kapas
February 18, 1994
5375
DBOD.No.BC.16/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities – Cotton and Kapas
February 18, 1994
5376
DBOD.No.BC.17/13.08.01/94
Selective Credit Control (SCC) – Advance Against Sensitive Commodities
February 18, 1994
5377
UBD.No.(PCB)Cir.58/13.01.00/93-94
Interest Rates on Deposits – Premature Withdrawal
February 16, 1994
5378
UBD.No.P&O.57/10.01.00/93-94
Report of the Committee to Examine the Adequacy of Institutional Credit for Small Scale Industries Sector
February 14, 1994
5379
RPCD.No.DIR.BC.99/07.38.04/93-94
Foreign Currency (Non-Resident) Accounts (FCNRA) Scheme
February 14, 1994
5380
UBD.No.(SUC)Cir.160/13.01.00/93-94
Foreign Currency (Non-Resident) Accounts Scheme (FCNRA)
February 14, 1994
5381
DBOD.No.BC.14/13.07.01/94
Application of Certain Directives to Non-Scheduled Commericial Banks
February 14, 1994
5382
DBOD.No.BC.15/13.07.01/94
Application of certain Directives to Non-Scheduled Commercial Banks
February 14, 1994
5383
DBOD.No.BC.No.13/13.01.09/94
Foreign Currency (Non-Resident) Accounts (Banks) Scheme (FCNRA)
February 14, 1994
5384
UBD.No.Plan.(PCB).CIR.55/09.08.00/93-94
Board of Directors of Urban Co-operative Banks – Professionalisation and their Role – Dos and Donts
February 11, 1994
5385
UBD.No.(SUC)CIR.159/13.02.00/93-94
Payment of Compensation to the Exporters in respect of Delayed Credit of Export Bills
February 10, 1994
5386
UBD.No.(PCB)Cir.54/13.01.00/93-94
Premature Withdrawal of Term Deposit before the Minimum Period – Rate of Interest on Advance Granted against Deposit
February 8, 1994
5387
DBOD.No.BC.9/21/01.002/94
Capital Adequacy Measures
February 8, 1994
5388
DBOD.No.BC.10/13.01.01/94
Interest Rates on Deposits
February 8, 1994
5389
DBOD.No.BC.11/13.01.01/94
Interest Rates on Deposits
February 8, 1994
5390
IECD.No.29/08.12.01/93-94
Bridge Loans against Euro Issues
February 4, 1994
5391
DBOD.No.BC.8/21.04.043/94
Income Recognition, Provision and Other Related Matters
February 4, 1994
5392
RPCD.BC.95/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
February 3, 1994
5393
RPCD.No.DIR.BC.94/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
February 3, 1994
5394
UBD.(AD)FCNR.1/13.02.00/93/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
February 3, 1994
5395
UBD.DC.(SUC)157/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
February 3, 1994
5396
DBOD.No.BC.6/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
February 3, 1994
5397
DBOD.No.BC.7/13.01.09/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
February 3, 1994
5398
UBD.DC(SUC)156A/13.02.00/93-94
Pre-shipment Credit in Foreign Currency (PCFC)
January 31, 1994
5399
DBOD.No.BC.5/13.01.01/94
Deposits at Call Receipts
January 28, 1994
5400
DBOD.No.Dir.BC.4/13.07.05/94
Investment in and Underwriting of Bonds Issued by Public Sector Undertakings (PSUS)
January 25, 1994
5401
DBOD.No.BC.3/13.07.05-94
Investments in and Underwriting of Shares and Debentures of Corporate Bodies
January 24, 1994
5402
UBD.No.(PCB)50/13.05.00-93/94
Restrictions on Credit to certain Sectors – Real Estate Loans
January 14, 1994
5403
UBD.No.48/12.05.00/93-94
Income Recognition, Assets Classification, Provisioning and other related matters
January 14, 1994
5404
IECD.No.28/08.12.01/93-94
Review of the inventory/receivables norms for fertiliser industry
January 12, 1994
5405
DBOD.No.BC.2/24.48.001/93-94
Zero Coupon Bonds Issued by Government of India
January 12, 1994
5406
IECD.No.CMD.A.27/03.27.03/93-94
Financing of fertiliser subsidy receivables
January 6, 1994
5407
UBD.No.POT.47/09.51.00/93-94
Incidence of Guarantee Premium Payable to Deposit Insurance and Credit Guarantee Corporation
January 6, 1994
5408
DBOD.No.724/23.12.001/93-94
Operations of Foreign Branches
January 3, 1994
5409
RPCD.No.BC.80/07.38.01/93-94
Customer Service – Immediate Credit of Local Cheques
January 1, 1994
5410
UBD.No.DC(SUC)/153(13.02.00)/93-94
Rediscounting of Export Bills Abroad
December 30, 1993
5411
DBOD.No.BC.211/21.01.001/93
Restrictions on credit, to Certain Sectors – Real Estate Loans
December 28, 1993
5412
DBOD.No.BC.210/12.01-110/93
Section 24 of Banking Regulation Act, 1949 – Eligible Securities for the purpose of Statuory Liquidity Ratio – Tax Free Bonds of Konkan Raliway Corporation
December 24, 1993
5413
UBD.No.45/12.05.00/93-94
Income Recognition, Asset Classification, Provisioning and other related matters – Clarification regarding Credit Facilities Backed by Government Guarantees
December 24, 1993
5414
IECD.No.26/08.12.01/93-94
Co-ordination between banks and financial institutions in extending term loans
December 23, 1993
5415
UBD.No.P&O.43/10.01.00/93-94
Report of the Committee to Examine the Adequacy of Institutional Credit to the Small Scale Industrial Sector and related aspects (Nayak Committee)
December 23, 1993
5416
RPCD.No.BC.78/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 23, 1993
5417
RPCD.No.DIR.BC.77/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Schemes (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 23, 1993
5418
UBD.DC.(SUC)150/13.02.00/93/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 23, 1993
5419
UBD.DC.(SUC)151/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 23, 1993
5420
DBOD.No.BC.208/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 23, 1993
5421
DBOD.No.BC.209/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 23, 1993
5422
DBOD.No.BC.207 /22.01.001/93-94
Section 23 of the Banking Regulation Act, 1949 – Relocation of loss Making Branches, Opening of Extension Counters, etc.
December 22, 1993
5423
RPCD.No.BC.75/07.02.08-93/94
Investment Portfolio of Banks – Inter-bank Ready Forward (Repo) Transactions – 12.75 percent Government Stock 1996 and 12.00 percent Government Stock 1995
December 20, 1993
5424
IECD.No.25/08.15.01/93-94
Issue of Commercial Paper(CP)
December 17, 1993
5425
DBOD.No.805/27.02.001/93-94
Investment Portfolio of Banks – Transactions in Securities – logement of SGL Transfer – Clarification
December 17, 1993
5426
UBD.No.40/09.63.00/93-94
Policy and Practice regarding Nominal Membership
December 16, 1993
5427
UBD.No.Plan.42/09.27.00-93/94
Bank Guarantee – Delay in Obtaining Certified Copies of Judgements
December 16, 1993
5428
DBOD.No.BC.204 /12.01.001/93
Section 42 (2) of the Reserve Bank of India act, 1934 – Pre-shipment credit In Foreign Currency (Non-Resident) Accounts (Banks) Scheme
December 15, 1993
5429
IECD.No.24/08.12.01/93-94
Treatment of import duty benefit on advance licences as current assets
December 14, 1993
5430
UBD.No.(PCB)DC.38/13.05.00/93-94
Norms for Lending to Equipment Leasing and Hire Purchase Companies
December 13, 1993
5431
UBD.No.(PCB)DC.40/13.05.00/93-94
Credit Authorisation Scheme – Treatment of Term Loan Instalments for Assessment of Working Capital Requirements
December 13, 1993
5432
IECD.No.EFD.23/04.02.02/93-94
Extension of concessive export credit for deemed exports- List of multilateral or bilateral agencies/funds
December 10, 1993
5433
DBOD.No.1049/13.01.09/93
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme (NRE Accounts) – Correction
December 9, 1993
5434
IECD.No.EFD.22/04.02.02-93/94
Report of the Committee on Structure of Export Credit Streamlining of Sanctioning Procedure for Loans and Advances with particular reference to Export Credit
December 8, 1993
5435
DBOD.No.BC.201/12.01.001/93
Section 42 (2) of the Reserve Bank of India act, 1934 – Pre-shipment Credit in Foreign Currency (PCFC)
December 6, 1993
5436
DBOD.No.BC.202/17.04.001/93
The Committee to Enquire, into various Aspects Relating to Frauds and Malpractices in Banks
December 6, 1993
5437
DBOD.No.BC.203/12.01.001/93
Section 42(2) of RBI Act 1934 – Return in Form A and Statement in Form VIII – Exempted Categories of Cash Reserve Ratio / Statuory Liquidity Ratio
December 6, 1993
5438
DBOD.No.BC.199 /13.07.05/93-94
Advances Against units of Mutual funds
November 30, 1993
5439
UBD.DC.(SUC)148/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency
November 30, 1993
5440
RPCD.No.BC.71/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 27, 1993
5441
RPCD.No.DIR.BC.70/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 27, 1993
5442
UBD.DC.(SUC)147/13.02.00/93/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 27, 1993
5443
DBOD.No.BC.197/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 27, 1993
5444
DBOD.No.BC.198/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
November 27, 1993
5445
UBD.No.145/13.05.00/93-94
Advances against Units of Mutual Funds
November 25, 1993
5446
DBOD.No.BC.195/21.04.048/93
Income Recongintion, Assets Classification and Provisiosning – Clarfications
November 24, 1993
5447
DBOD.No.BC.194/21.04.009/93
Payment under Bank Guarantees – Immediate Settlement of Cases
November 22, 1993
5448
DBOD.No.BC.193 /17.04.001/93
Frauds in banks – Encashment of Interest / Dividend Warrants, Refund Orders, Etc.
November 18, 1993
5449
IECD.No.EFD.21/04.02.15-93/94
Pre-shipment Credit in Foreign Currency (PCFC)
November 8, 1993
5450
DBOD.No.BC.192/21.01.001/93
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Finanacial Institutions
November 8, 1993
5451
DBOD.No.BC.191/12.01.001/93
Section 42(2) of the Reserve Bank of India Act, 1934 and Section 24 (2-A) of the Banking Regulation Act, 1949 Rediscounting of Export Bills Abroad
November 2, 1993
5452
RPCD.No.NB.BC.61/03.04.01/93-94
Acceptance of fixed deposits by State/Primary Co-operative Agriculture and Rural Development Banks
October 29, 1993
5453
IECD.No.19/08.13.09/93-94
Report of the In-House Group set up to review the role of Reserve Bank of India in laying down norms for bank lending for working capital purposes – Revised guidelines
October 28, 1993
5454
IECD.No.20/08.13.08193-94
Guidelines on lending under consortium arragement
October 28, 1993
5455
RPCD.No.BC.59/07.38.04/93-94
India Development Bonds
October 26, 1993
5456
UBD.No.35/10.01.00/93-94
Refinance Facilities to Primary (Urban) Co-operative Banks under section 17 of the Reserve Bank of India Act, 1934 – Small/Tiny Industrial Units
October 25, 1993
5457
RPCD.No.BC.57/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Schemes (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
October 22, 1993
5458
RPCD.No.DIR.BC.56/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 22, 1993
5459
UBD.DC.(SUC)142/13.02.00/93/94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 22, 1993
5460
UBD.DC.(SUC)143/13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 22, 1993
5461
DBOD.No.BC.186/12.04.002/93-94
T.T.Discounting Facilities
October 22, 1993
5462
DBOD.No.BC.187/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 22, 1993
5463
DBOD.No.BC.188/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
October 22, 1993
5464
DBOD.No.BC.185/21.04.009/93
Bank Guarantee – Delay in Obtaining Certified Copies of Judgements
October 21, 1993
5465
RPCD.No.BC.53/07.02.08/93-94
Investment portfolio of banks – Transactions in securities – Aggregate contract limit for individual brokers – Clarifications
October 20, 1993
5466
IECD.No.18/04.02.02/93-94
Payment of compensation to the exporters in respect of delayed credit of export bills
October 20, 1993
5467
IECD.8/08.15.01/93-94
Notification
October 18, 1993
5468
IECD.No.17/08.15.01/93-94
Commercial Paper (CP) – Amendment to Directions
October 18, 1993
5469
DBOD.No.579/27.02.001/93-94
Inter-bank ready Forward (Repo) Transactions – 12.00 Percent Government Stock 1995
October 12, 1993
5470
IECD.No.CMD.16/03.27.26/93-94
Norms for Lending to Equipment Leasing and Hire Purchase Companies
October 12, 1993
5471
RPCD.No.DIR.BC.48/07.38.02/93-94
Selective Credit Control – Advance Against Sensitive Commodities
October 11, 1993
5472
RPCD.No.DIR.BC.49/07.38.02/93-94
Selective Credit Control – Advances against Sensitive Commodities
October 11, 1993
5473
UBD.No.(PCB.)27/DC(13.03.00)/93-94
Selective Credit Control – Advances against Sensitive Commodities
October 11, 1993
5474
UBD.No.(PCB)DC.28/(13.03.00)-93/94
Selective Credit Control – Advances against Sensitive Commodities
October 11, 1993
5475
IECD.No.15/08.12.01/93-94
Credit Monitoring Arrangement Treatment of term loan instalments for assessment of working capital requirements
October 11, 1993
5476
DBOD.No.BC.178/13.01.10/93
Donations
October 11, 1993
5477
RPCD.No.DIR.BC.45/07.38.01/93-94
Interest rates on deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 11, 1993
5478
RPCD.No.DIR.BC.46/07.38.01/93-94
Interest rates on deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 11, 1993
5479
RPCD.No.DIR.BC.47/07.38.04/93-94
Foreign Currency (Non-Resident) Accounts Scheme (FCNRA)
October 11, 1993
5480
UBD.DC.(SUC)140/13.02.00/93-94
Deposits under Foreign Currency (Non-Resident) Accounts Scheme (FCNRA)
October 11, 1993
5481
UBD.No.(PCB)DC.24/(13.01.00)/93-94
Interest Rates on Deposits
October 11, 1993
5482
UBD.No.(PCB)DC.25/(13.01.00)/93-94
Interest Rates on Deposits
October 11, 1993
5483
DBOD.No.BC.177/13.07.07/93
Inter-Bank Participations
October 11, 1993
5484
DBOD.No.BC.174/13.08.01/93
Selective Credit Control Advances Sensitive Commodities
October 11, 1993
5485
DBOD.No.BC.175/13.08.01/93
Selective Credit Control Advances Sensitive Commodities
October 11, 1993
5486
DBOD.No.BC.176/13.07.05/93
Investments in and Underwriting of Bonds Issued by Public Sector Undertakings (PSUS)
October 11, 1993
5487
DBOD.No.BC.172/12.02.001/93
Notification
October 11, 1993
5488
DBOD.No.BC.173/12.02.001/93
Section 24 of Banking Regulation Act, 1949
October 11, 1993
5489
DBOD.No.BC.179/13.01-09/93
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme
October 11, 1993
5490
DBOD.No.BC.180/13.01.09/93
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme (NRE Accounts)
October 11, 1993
5491
DBOD.No.BC.181/13.01.09/93
Foreign Currency (Non-Resident) Accounts (Banks) Scheme (FCNRA)
October 11, 1993
5492
DBOD.No.BC.171/21.03.053/93
Certificates of Deposits (CDs) Scheme
October 11, 1993
5493
IECD.No.EFD.14 /04.02.11/93-94
Rediscounting of Export Bills Abroad
October 6, 1993
5494
IECD.6/08.15.01-93/94
Notification
October 5, 1993
5495
IECD.No.13/08.15.01-93/94
Commercial Paper(CP) Amendment to Directions
October 5, 1993
5496
IECD.No.12/03.33.001/93-94
Group Accounts
September 28, 1993
5497
UBD.No.Plan.22/09.11.00/93-94
Monitoring of Flow of Funds
September 28, 1993
5498
DBOD.No.BC.170/16.25.001/93
India Development Bonds
September 22, 1993
5499
DBOD.No.BC.169/13.08.01/93
Selective CRedit Control – Granting of Fresh/ Additional Limits to Borrrowers Dealing in Sensitive Commodities – Delegation of Powers
September 21, 1993
5500
DBOD.No.BC.168/13.07.05/93-94
Advances Against Units of Mutual Funds
September 16, 1993
5501
DBOD No.BC.165/21.01.023/93
Working Group To Review the Existing Returns From the Commercial Banks to Reserve Bank of India in the Light of Financial Sector Reforms
September 14, 1993
5502
DBOD.No.BC.166/21.01.023/93
Working Group To Review the Existing Returns From the Commercial Banks to Reserve Bank of India in the Light of Financial Sector Reforms
September 14, 1993
5503
IECD.No.CMD.A-11/03.27.03/93-94
Financing of Fertilizer Subsidy Receivables
September 13, 1993
5504
RPCD.No.BC.38/07.38.04/93-94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Schemes (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 11, 1993
5505
RPCD.No.DIR.BC.37/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Schemes
September 11, 1993
5506
UBD.(SUC)136/D.(13.02.00)/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 11, 1993
5507
UBD.No.(SUC)135/D.13.02.00/93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 11, 1993
5508
DBOD.No.BC.163/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 11, 1993
5509
DBOD.No.BC.164/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
September 11, 1993
5510
IECD.No.10/06.01.03/93-94
Half yearly reporting system in respect of sick SSI units – Change in the definition of a sick SSI unit
September 8, 1993
5511
DBOD.No.292/23.54.015/93-94
Exposure to China
September 7, 1993
5512
DBOD.No.BC.162/24.56-001/93
Stolen Share Certificates
September 6, 1993
5513
RPCD.No.DIR.BC.29/07.38.02/93-94
Interest rates on advances
September 1, 1993
5514
RPCD.No.DIR.BC.30/07.38.02/93-94
Interest Rates on Advances
September 1, 1993
5515
UBD.No.P&O13/10.01.00/93-94
Report of the Committee to Examine the Adequacy of Institutional Credit to the Small Scale Industrial Sector and related aspects
September 1, 1993
5516
RPCD.No.DIR.BC.27/07.38.01/93-94
Interest Rates on Deposits
September 1, 1993
5517
RPCD.No.DIR.BC.28/07.38.01/93-94
Interest Rates on Deposits
September 1, 1993
5518
UBD.No.(PCB)15/DC(13.01.00)-93/94
Interest Rates on Deposits
September 1, 1993
5519
UBD.No.(PCB)DC.16/(13.01.00)/93-94
Interest Rates on Deposits
September 1, 1993
5520
DBOD.No.BC.153/27-01.003/93-94
Monitoring of Flow of Funds
September 1, 1993
5521
DBOD.No.BC.154/13.01.01/93
Interest Rates on Deposits
September 1, 1993
5522
DBOD.No.BC.155/13.01.01/93
Interest Rates on Deposits
September 1, 1993
5523
IECD.No.8/08.12.01/93-94
Credit Monitoring Arrangement – Treatment of disputed Excise/Customs duty for sanction of permissible bank finance
August 27, 1993
5524
RPCD.No.RF.BC.24/07.02.08/93-94
Investment Portfolio of Banks Transaction in securities
August 27, 1993
5525
IECD.No.9/03.27.04/93-94
Credit Monitoring Arrangement- Advances to Sugar Industry- Current Ratio
August 26, 1993
5526
RPCD.No.BC.23/07.38.01/93-94
Revival of Interest Tax Act, 1974
August 26, 1993
5527
RPCD.No.BC.22/07.38.01/93-94
Deduction of tax at source from interest on time deposits with banks
August 26, 1993
5528
UBD.No.(PCB)DC.11/(13.05.00)/93-94
Customer Service – Implementation of Recommendations of the Goiporia Committee
August 25, 1993
5529
UBD.No.(SUC)DC.131/(13.05.00)/93-94
Customer Service – Implementation of Recommendations of the Goiporia Committee
August 25, 1993
5530
DBOD.No.BC.152/22.01.001/93
Section 23 of the Banking Regulation Act, 1949 – Opening/ Closing of Bank Branches
August 24, 1993
5531
IECD.No.7/03.27.25/93-94
Housing Finance
August 20, 1993
5532
DBOD.No.BC.151/13.08.01/93
Selective Credit Control – Prior Approval of Reserve bank of India fo rGrnating Advances Against Sensitive Commodities And Other Requirements
August 20, 1993
5533
IECD.No.6/08.12.01/93-94
Co-ordination between banks and financial institutions in extending term loans-Revision in extent of bank participation
August 19, 1993
5534
DBOD.No.BC.150/12.01.001/93
Section 42 of RBI Act, 1934 and Section 24 B.R.Act, 1949 Foreign Bank’s Deposits with Small Industries Development Bank of India
August 18, 1993
5535
UBD(PCB)5/13.06.00/93-94
Credit Authorisation Scheme – Co-ordination between Banks and Financial Institutions in Extending Term Loans
August 14, 1993
5536
IECD.No.5/03.27.26/93-94
Norms for lending to Leasing and Hire Purchase Companies
August 13, 1993
5537
UBD.No.PCB.7/RBL/07.01.00/93-94
Section 23 read with Section 56(P) of Banking Regulation Act, 1949 – Branch Expansion Programme in Metropolitan / Urban / Semi-Urban Centres for the Period 1991-92 to 1993-94 (3 years)
August 12, 1993
5538
IECD.No.4/03.27.04/93-94
Credit Monitoring Arrangement Advances to Sugar industry against stocks of molasses
August 6, 1993
5539
DBOD.No.BC.147/13.07.05/93
Bank finance for Markets Makers
August 5, 1993
5540
UBD.No.(PCB)9/(13.01.00)/93-94
Premature Withdrawal of Term Deposit for a Period of 46 Days – Rate of Interest on Advance granted against Deposit
August 4, 1993
5541
IECD.No.EFD.2/04.02.02/93-94
Extension of concessive export credit for deemed exports
August 2, 1993
5542
UBD.(SUC)DC.129/(13.04.00)/93-94
Post-shipment Credit denominated in Foreign Currency (PSCFC) – Availability of Refinance
August 2, 1993
5543
IECD.No.CMD.Gr.A-3/(EP)-93/94
Inventory/Receivables norms for Electronics Industry
August 2, 1993
5544
RPCD.No.BC/14/07.38.02/93-94
Restriction on Credit to certain sectors
July 28, 1993
5545
RPCD.No.BC.16/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 28, 1993
5546
RPCD.No.DIR.BC.15/07.38.04-93/94
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 28, 1993
5547
UBD.No.(SUC)127/13.02.00/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident)
July 28, 1993
5548
UBD.No.(SUC)D.126(13.02.00)93-94
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-resident) Accounts (Banks) Scheme
July 28, 1993
5549
DBOD.No.BC.143/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 28, 1993
5550
DBOD.No.BC.144/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
July 28, 1993
5551
IECD.No.1/06.03.02/93-94
Winding up orders passed by Board for Industrial and Financial Reconstruction in respect of non-viable sick industrial companies for liquidation – Follow-up by banks of progress in recovery/liquidation of the companies
July 26, 1993
5552
RPCD.No.DIR.BC.6/07.38.01-93/94
Interest rates on current accounts accepted under Non-Resident (External) Rupee Accounts Scheme
July 22, 1993
5553
RPCD.No.DIR.BC.7/07.38.01-93/94
Interest rates on current accounts accepted under Non-Resident (External) Rupee Accounts Scheme
July 22, 1993
5554
DBOD.No.BC.142/21.02.036/93
Grant of Advances Against the Security of National Savings Certificates – VIII Issue
July 20, 1993
5555
DBOD.No.BC.140/09.07.007/93
Delay in Crediting the Proceeds of Outstation Instruments – Rate of Interest
July 12, 1993
5556
UBD.No.(PCB)1/13.06.00/93-94
Review of Inventory/Receivable Norms for Financing Vegetable and Hydrogenated Oil Industry
July 12, 1993
5557
DBOD.No.BC.139/13.06.00/93
Corporate Clients of Commercial Banks – Application Money Received for Issues of Shares, Debentures, Bonds etc, Utilisation
July 10, 1993
5558
DBOD.No.BC.138/13.07.05/93
Submission of Half-Yearly Statements on Holding Corporate Shares/ Debentures and Public Sector Bonds
July 7, 1993
5559
IECD.No.38/08.12.01/92-93
Import of Capital Goods under Foreign Currency Lines of Credit – Issue of Guarantees by Banks
July 2, 1993
5560
RPCD.NO.BC.135/07.38.04-92/93
Payment of Brokerage
June 30, 1993
5561
RPCD.NO.BC.136/07.38.04-92/93
NRE Deposits – Payment of brokerage
June 30, 1993
5562
UBD.No.(SUC)DC.124/13.06.00/92-93
Inventory and Receivables Norms – Basmati Rice
June 30, 1993
5563
UBD.No.DC(PCB)99/13.06.00/92-93
Review of Inventory/Receivables Norms for Financing Biscuits and Bakery Products Industry
June 30, 1993
5564
RPCD.NO.DIR.BC.128/07.38.02-92/93
Interest rates on advances
June 23, 1993
5565
RPCD.NO.DIR.BC.129/07.38.02/92-93
Interest Rates on Advances
June 23, 1993
5566
RPCD.NO.DIR.BC.130/07.38.02/92-93
Selective credit controls – Advances Against Sensitive Commodities
June 23, 1993
5567
RPCD.NO.DIR.BC.131/07.38.02/92-93
Selective credit control – Advances against sensitive commodities
June 23, 1993
5568
UBD.No.(PCB)88/DC(13.03.00)/92-93
Selective Credit Control – Advances against Sensitive Commodities
June 23, 1993
5569
UBD.No.(PCB)DC.89/(13.03.00)-92/93
Selective Credit Control – Advances against Sensitive Commodities
June 23, 1993
5570
UBD.No.(PCB)DC.94/(13.04.00)/92-93
Interest Rates on Advances
June 23, 1993
5571
UBD.No.(PCB)DC.95/(13.04.00)/92-93
Interest Rates on Advances
June 23, 1993
5572
RPCD.NO.DIR.BC.132/07.38.01/92-93
Interest Rates on Deposits
June 23, 1993
5573
RPCD.NO.DIR.BC.133/07.38.01-92/93
Interest rates on deposits
June 23, 1993
5574
UBD.No.(PCB)91/DC(13.01.00)92-93
Interest Rates on Deposits
June 23, 1993
5575
UBD.No.(PCB)92/DC.V.1(B)/92-93
Interest Rates on Deposits
June 23, 1993
5576
DBOD.No.BC.134/13.08.01/93
Selective Credit Control – Advances Sensitive Commodities
June 23, 1993
5577
DBOD.No.BC.135/13.08.01/93
Selective Credit Control – Advances Sensitive Commodities
June 23, 1993
5578
DBOD.No.BC.130/13.01.01/93
Interest Rates on Deposits
June 23, 1993
5579
DBOD.No.BC.131/13.01.01/93
Interest Rates on Deposits
June 23, 1993
5580
DBOD.No.BC.129 /17.04.001/93
Committee to Equire into various Aspects Relating to Frauds and Malpractices in Banks
June 21, 1993
5581
RPCD.NO.1112/07.38.04-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 17, 1993
5582
UBD.I&L.71/J.1/92-93
Income Recognition, Assets Classification, Provisioning and other related matters – Clarification
June 17, 1993
5583
UBD.No.POT.26/UB.38/92-93
Comittee on Customer Service in Banks – Implementation of Recommendations
June 16, 1993
5584
UBD.No.(SUC)DC.122/13.05.400-92/93
Norms for Financing of Ship-breaking Industry by Banks
June 14, 1993
5585
UBD.I&L.24/J.1-93/94
Writing-off of Bad Debts/Losses/Compromise Proposals
June 14, 1993
5586
UBD.No.BR.21/A.1/92-93
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) Primary Credit Societies – Inclusion in the List of Primary Co-operative Banks
June 11, 1993
5587
IECD.No.CMD.A.37/03.27.03/92-93
Financing of Fertiliser Subsidy Receivables
June 9, 1993
5588
DBOD.No.BC.128/27.02.003/93
Assessment of Shortfall in Securties Portfolio and Provision therefor
June 9, 1993
5589
UBD(PCB)84-07.01-00-92-93
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Opening of Extension Counters, Shifting of Offices, Closure of Branches, etc. by Urban Co-operative Banks
June 9, 1993
5590
UBD.No.Reh.15/R(Gen.)-92/93
Rehabilitation of Weak Primary (Urban) Co-operative Banks – Recommendations of the Committee on Licensing of New Urban Co-operative Banks
June 8, 1993
5591
UBD.No.P&O.18 /HG.4-92/93
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Small/Tiny Industrial Units
June 8, 1993
5592
RPCD.NO.DIR.BC.123/07-38-04-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 7, 1993
5593
UBD.(SUC)120/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 7, 1993
5594
UBD.No.(SUC)119/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 7, 1993
5595
DBOD.No.BC.125/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 7, 1993
5596
DBOD.No.BC.126/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Foreign Currency (Non-Resident) Accounts (Banks) Scheme
June 7, 1993
5597
DBOD.No.BC.124/23.09.001/92-93
Assessment of Erosion in Assets and Provision therefor in Indian Books
June 2, 1993
5598
RPCD.NO.BC.120/07.38.02/92-93
Grant of advance against security of Gold Bonds, 1998
June 2, 1993
5599
UBD.No.(PCB)80/DC(13.08.00)-92/93
Grant of Advances against Security of Gold Bonds, 1998
June 2, 1993
5600
UBD.No.(PCB)82/DC(13.08.00)-92/93
Grant of Advances against the Security of 10% Relief Bonds, 1993
June 2, 1993
5601
UBD.BR.744/745/A-12(24)/92-93
India Development Bonds
June 2, 1993
5602
UBD.No.P&O.14/UB.23-92/93
Role of State Co-operative Banks in the Promotion, Growth and Development of Urban Co-operative Banks
June 2, 1993
5603
IECD.No.36/04.02.02-92/93
Post-shipment Credit denominated in Foreign Currency (PSCFC) – Availability of Refinance
May 31, 1993
5604
UBD.Plan.12/UB.4/92-93
Norms of Viability of Urban Banks
May 28, 1993
5605
UBD.(PCB)78/DC.V.1(B)/92-93
Interest Rates on Deposits – Premature Withdrawal
May 26, 1993
5606
UBD.No.NBL.8/J.21-92/93
Registration, Licensing and Area of Operation of New Urban Co-operative Banks
May 25, 1993
5607
UBD.No.(PCB)76/DC.(R.1)-92/93
Restriction on Credit to certain Sectors
May 22, 1993
5608
IECD.No.35/04.02.10/92-93
Constitution of State Level Export Promotion Committee (SLEPC)
May 21, 1993
5609
IECD.No.34/08.15.01/92-93
Commercial Paper (CP) – Application of Stamp Duty
May 19, 1993
5610
DBOD.No.BC.122/21.01.037/93
Grant of Advances Against Security of Gold Bonds, 1998
May 18, 1993
5611
DBOD.No.BC.123/21.02.036/93
Grant of Advances Against the Security of 10% Relief Bonds 1993
May 18, 1993
5612
DBOD.No.BC.121/12.01.001/93
Section 42 (2) of the Reserve Bank of India act, 1934 – Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 18, 1993
5613
UBD. No. Plan.74/UB.81-92/93
Investment portfolio of banks – Transactions in securities
May 17, 1993
5614
RPCD.DIR.BC.113/07.38.04-92/93
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 15, 1993
5615
RPCD.NO.BC.114/07.38.04-92/93
Foreign Currency (Non-resident) Accounts (banks) Scheme
May 15, 1993
5616
UBD.(PCB)68/DC.V.1(B)/92-93
Interest Rates on Deposits
May 15, 1993
5617
UBD.(PCB)69/DC.V.1(B)/92-93
Interest Rates on Deposits – Acceptance of Deposits for Longer Period
May 15, 1993
5618
UBD.No.I&L.6/J.1-92/93
Income Recognition, Assets Classification, Provisioning and other related matters
May 13, 1993
5619
RPCD.No.BC.110/07.38.01-92/93
Customer Service – Implementation of recommendations of the Goiporia Committee
May 11, 1993
5620
UBD.(SUC)116/DC.V.1(B)/92-93
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 10, 1993
5621
UBD.(SUC)117/DC.V.1(B)/92-93
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
May 10, 1993
5622
RPCD.NO.1033/07.38.04-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 8, 1993
5623
RPCD.NO.DIR.BC.109/07.38.04-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 8, 1993
5624
UBD.(SUC)114/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 8, 1993
5625
UBD.No.(SUC)113/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 8, 1993
5626
DBOD.No.BC.118/13. 01.09/93
Interest Rates on Deposits held under Foreign Currency Non-Resident Accounts Scheme (FCNR)
May 8, 1993
5627
DBOD.No.BC.119/13.01.09/93
Interest Rates on Deposits held under Foreign Currency Non-Resident Accounts Scheme (FCNR)
May 8, 1993
5628
IECD.CMD.A.33/03.27.03/92-93
Financing of Fertiliser Subsidy Receivables
May 7, 1993
5629
DBOD.No.BC.117/22-01-001/93
Utilisation of Pending Licences Issued Under Branch Licensing Policy 1985 -90 Service Area Approach
April 29, 1993
5630
DBOD No. BC.115/13.01.09/93
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 29, 1993
5631
DBOD No. BC.116/13.01.09/93
Foreign Currency (Non-Resident) Accounts (Banks) Scheme
April 29, 1993
5632
IECD.No.32/08.10.01/92-93
Assessment of Working Capital Finance – Treatment of Unpaid Stocks
April 28, 1993
5633
DBOD.No.1179/08.95.004/93
Local Advisory Boards
April 27, 1993
5634
UBD.No.(PCB)(SUC)/111DC/(R.1)/92-93
Maximum Limit on Advances
April 23, 1993
5635
UBD.No.(SUC)110/DC.(R.1)92-93
Maximum Limit on Advances
April 23, 1993
5636
UBD.No.I&L.4/J.1(Spl)-92-93
Investment in Government and Other Trustee Securities
April 23, 1993
5637
UBD.(SUC)108/DC.V.1(B)/92-93
Resident Foreign Currency Accounts – Waiver of Penalty for Conversion of FCNR/NRE Accounts
April 23, 1993
5638
UBD.NO.P&O.71/HG.1(10)-92/93
Rehabilitation of Sick/small Scale Industrial Unit financed by urban Co-operative banks – Parameters on Interest rates and promoters contribution
April 23, 1993
5639
DBOD.No.BC.113/21.01.007/93
Revival of Interest Tax Act, 1974
April 21, 1993
5640
IECD.No.31/08.12.01/92-93
Conceding of Second Charge by Financial Institutions over Fixed Assets in favour of Commercial Banks for Working Capital Facilities
April 19, 1993
5641
RPCD.NO.BC.101/07.07.02-92/93
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Branch Licensing Policy
April 19, 1993
5642
IECD.No.30/08.12.01/92-93
Credit Monitoring Arrangement – Lending Discipline – SSI Sector (Marketing Companies)
April 17, 1993
5643
DBOD.No.BC.112/21.01.001/93
Restriction on Credit to Certain Sectors
April 16, 1993
5644
UBD.No.I&L.63.J-I/92-93
Income Recognition, Assets Classification, Provisioning and other related matters
April 16, 1993
5645
DBOD.No.BC.111/16.13.100/93
Bill Discounting Scheme – Usance Promissory Notes
April 15, 1993
5646
DBOD.No.BC.110/27.02.001/92-93
Inter-Bank Ready Forward (Repo) Transactions – 12.75 Percent Government Stock, 1996
April 10, 1993
5647
IECD.No.29/08.12.01/92-93
Co-ordination between Banks and Financial Institutions in Extending Term Loans – Revision in Extent of Bank Participation
April 8, 1993
5648
RPCD.NO.BC.90/07.02.03-92/93
Section 42(2) of the RBI Act, 1934 – Returns in Form ‘B’ – Exempted categories of deposits from maintenance of reserve requirements
April 8, 1993
5649
RPCD.NO.BC.91/07.02.03-92/93
India Development Bonds
April 8, 1993
5650
DBOD.No.BC.105/21.01.001/93
Restriction on Credit to Certain Sectors
April 7, 1993
5651
IECD.No.27/08.12.01/92-93
Credit Monitoring Arrangement – Financing of Fertiliser Industry – Relaxation in Norms for Inventory and Receivables
April 7, 1993
5652
RPCD.NO.BC.98/07.38.02/92-93
Restriction on credit to Certain Sectors
April 7, 1993
5653
RPCD.NO.DIR.BC.94/07.38.02/92-93
Interest Rates on Advances
April 7, 1993
5654
RPCD.NO.DIR.BC.95/07.38.02/92-93
Interest Rates on Advances
April 7, 1993
5655
RPCD.NO.DIR.BC.97/07.38.02/92-93
Selective Credit Controls – Advances against Sensitive Commodities
April 7, 1993
5656
RPCD.NO.DIR.BC/96/07.38.02/92-93
Selective Credit Controls – Advances against Sensitive Commodities
April 7, 1993
5657
UBD.No.(PCB)60/DC(PR.474)92-93
Selective Credit Control – Advances against Sensitive Commodities
April 7, 1993
5658
UBD(PCB)59/DC(PR.474)/92-93
Selective Credit Control – Advances against Sensitive Commodities
April 7, 1993
5659
IECD.No.28/08.1.2.01/92-93
Credit Monitoring Arrangement – Treatment of Term Loan Instalments for Assessment of Working Capital Requirements
April 7, 1993
5660
RPCD.NO.DIR.BC.92/07.38.01-92/93
Interest rates on term deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
April 7, 1993
5661
RPCD.NO.DIR.BC.93/07.38.01-92/93
Interest rates on term deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
April 7, 1993
5662
UBD.No.(PCB)56/DC.V.1(B)/92-93
Interest Rates on Deposits
April 7, 1993
5663
UBD.No.(PCB)57/DC.V.1(B)/92-93
Interest Rates on Deposits held under Non-Resident (External) Rupee Accounts
April 7, 1993
5664
DBOD.No.BC.101/13.08.01/93
Selective Credit Control Advances Sensitive Commodities
April 7, 1993
5665
DBOD.No.BC.102/13.08.01/93
Selective Credit Control Advances Sensitive Commodities
April 7, 1993
5666
DBOD.No.BC.103/13.01.09/93
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme
April 7, 1993
5667
DBOD.No.BC.104/13.01.09/93
Interest Rates on Term Deposits under Non-Resident (External) Rupee Accounts Scheme (NRE Accounts)
April 7, 1993
5668
DBOD.No.BC.107/12.02.001/93
Notification
April 7, 1993
5669
DBOD.No.BC.108/12.01.001/93
Notification
April 7, 1993
5670
DBOD.No.BC.109/12.01.001/93
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949
April 7, 1993
5671
UBD.No.(PCB)54/DC(R.1)-92/93
Restriction on Credit to certain Sectors
April 7, 1993
5672
DBOD.No.BC.106/21.03.053/93
Certificate of Deposits (DCs) – Enhancement of Limit
April 7, 1993
5673
DBOD.No.BC.98/23.50.001/92-93
Capital Adequacy Measures – Treatment of Foreign Currency Loans to Indian Parties (DFF)
April 6, 1993
5674
IECD.No.CMD.Gr.A-26/(E-P)-92/93
Inventory/Receivables Norms for Electronics Industry
April 2, 1993
5675
RPCD.NO.NB.BC.88/03.05.33/92-93
Rate of interest to be charged by sponsor banks on their lendings to Regional Rural Banks (RRBs)
April 1, 1993
5676
RPCD.NO.NB.BC.89/03.05.33/92/93
Payment of interest on current account balance Regional Rural Banks (RRBs)
April 1, 1993
5677
IECD.No.CMD.A.25/03.27.03/92-93
Financing of Fertiliser Subsidy Receivables
March 30, 1993
5678
IECD.No.24/06.01.03/92-93
Half-yearly Reporting System in respect of SSI Sick and Non-SSI Sick/Weak Industrial Units
March 23, 1993
5679
DBOD No.BC.95/21.04.048/93
Income Recognition Asset Classification, Provisioning and Other Related Matters
March 23, 1993
5680
IECD.No.21/08.10.01/92-93
Review of Inventory/Receivables Norms for Financing Vegetable and Hydrogenated Oil Industry
March 17, 1993
5681
IECD.No.22/08.10.01/92-93
Review of Inventory/Receivables Norms for Financing Biscuits and Bakery Products Industry
March 17, 1993
5682
IECD.No.23/08.10.01/92-93
Inventory and Receivables Norms – Basmati Rice
March 17, 1993
5683
RPCD.NO.RF.BC.82/A.4-92/93
Investment portfolio of banks – Transactions in securities
March 16, 1993
5684
UBD.(SUC)106/DC.V.1(B)/92-93
Foreign Currency (Ordinary – Non-Repatriable) Deposit Scheme (Revised) (FCON)
March 16, 1993
5685
RPCD.NO.876/07:38:04/92-93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1993
5686
RPCD.NO.DIR.BC.81/07.38.04-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1993
5687
UBD.No.(SUC)103/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1993
5688
UBD.No.(SUC)104/DC.V.1(B)/92-93
Interest Rates on Deposits
March 13, 1993
5689
DBOD.No.BC.91/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1993
5690
DBOD.No.BC.92/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1993
5691
RPCD.NO.RF.BC.78/324-92/93
Payment of interest on SLR deposits kept by RRBs
March 4, 1993
5692
DBOD.No.BC.90/21.04.012/93
Relaxations to Trade and Industry in Punjab, Jammu And Kashmir and Chandigarh
March 3, 1993
5693
RPCD.NO.RF.DIR.BC.76/D.2-92/93
Interest Rates On Advances
February 27, 1993
5694
RPCD.NO.RF.DIR.BC.77/D.2-92/93
Interest rates on advances
February 27, 1993
5695
UBD.No.(PCB)47/DC.(HG.9)-92/93
Interest Rates on Advances
February 27, 1993
5696
UBD.No.(PCB)48/DC(HG.9)-92/93
Interest Rates on Advances
February 27, 1993
5697
RPCD.NO.RF.DIR.BC.74/D.1-92/93
Interest Rates on Deposits
February 27, 1993
5698
RPCD.NO.RF.DIR.BC.75/D.1-92/93
Interest rates on deposits
February 27, 1993
5699
UBD.No.(PCB)50/DC.V.1(B)/92-93
Interest Rates on Deposits
February 27, 1993
5700
UBD.No.(PCB)51/DC.V.1(B)/92-93
Interest Rates on Deposits
February 27, 1993
5701
DBOD.No.BC.83/13.01-01/93
Interest Rates on Deposits
February 27, 1993
5702
DBOD.No.BC.84/13.01.01/93
Interest Rates on Deposits
February 27, 1993
5703
UBD.No.(PCB).DC43/R.1/92-93
Credit Authorisation Scheme – Lending Discipline – Method of Lending
February 25, 1993
5704
UBD.No.(PCB).DC45/R.1/92-93
Credit Authorisation Scheme – Treatment of Term Loan Instalments for Assessment of Working Capital Requirements
February 25, 1993
5705
DBOD.No.BC.81/18.02.001/93
Co-accpetance of Bills by Banks
February 22, 1993
5706
RPCD.NO.IRF.800/D.1(F).92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1993
5707
RPCD.NO.RF.DIR.BC.73/D.1(F)-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1993
5708
UBD.(SUC)101/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1993
5709
UBD.No.(SUC)100/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1993
5710
DBOD.No.BC.79/13.0l.009/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1993
5711
DBOD.No.BC.80/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1993
5712
DBOD.No.BC.78/12.05.001/92-93
Section 27 of the Banking Regulation Act, 1949 – Submission of Form XI Return
February 15, 1993
5713
DBOD.No.BC.77/09-08-001/93
Recovery of Banks Dues througgh proper Execution of Decrees
February 11, 1993
5714
DBOD.No.BC.76/09.07.007/92-93
Committee on Customer Service in Bnks – Implementation of Recommendations of the Goieporia Committee
February 11, 1993
5715
UBD.No.41-UB.17(c)-92/93
Guidelines for Relief Measures by Urban Banks in Areas Affected by Recent Riots
February 10, 1993
5716
DBOD.No.BC.75/13.01.09/93
Non-Resident (Non-Repatriable) Rupee Deposit Scheme – Payment of Brokerage
February 9, 1993
5717
UBD.No.I&L.38/J.1-92/93
Income Recognition, Assets Classification, Provisioning and other related matters
February 9, 1993
5718
UBD.No.I&L.40J.1.-92 /93
Diversion of Working Capital Funds
February 9, 1993
5719
RPCD.NO.RF.735/D.1(F)-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1993
5720
RPCD.NO.RF.DIR.BC.67/D.1(F)-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1993
5721
UBD.(SUC)98/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1993
5722
UBD.No.(SUC)97/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1993
5723
DBOD.No.BC.73/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1993
5724
DBOD.No.BC.74/13.01.09/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1993
5725
DBOD.No.BC.72/12.01.001/93
India Development Bonds
January 28, 1993
5726
UBD.(DC)36/V.1/92-93
Directive on Interest rates on Deposits – Permissible Value of Gift
January 28, 1993
5727
IECD.No.19/08.12.01192-93
Co-ordination between Banks and Financial Institutions in Extending Term Loans – Revision in Extent of Bank Participation
January 20, 1993
5728
IECD.No.20/08.12.01/92-93
Credit Monitoring Arrangement – Treatment of Term Loan Instalments for Assessment of Working Capital Requirements
January 20, 1993
5729
DBOD.NO.BC.68/13.01.09/93
Resident Foreign currency Accounts Wiver of Penalty for Conversion of FCNR/NRE Accounts
January 20, 1993
5730
DBOD.No.BC.69/13.01.09/93
NRE Deposits – Payment of Brokerage
January 20, 1993
5731
RPCD.NO.RF.BC.64/D.1-92/93
Renewal of overdue NRE deposits
January 19, 1993
5732
DBOD.No.BC.66/13.08.01/93
Selective Credit Control Advances against Sensitive Commodities
January 19, 1993
5733
DBOD.No.BC.67/13.08.01/93
Selective Credit Control Advances against Sensitive Commodities
January 19, 1993
5734
DBOD.No.BC.65/17.05.001/93
Investigation of Fraud etc. Cases Filing of Civil Suits
January 19, 1993
5735
RPCD.NO.RF.DIR.BC.62/D.2-92/93
Selective Credit Control – Advances against Sensitive Commodities – Oilseeds, vegetable oils (including vanaspati), cotton and kapas
January 18, 1993
5736
RPCD.NO.RF.DIR.BC.63/D.2-92/93
Selective Credit Control – Advances against Sensitive Commodities – Oilseeds, vegetable oils (including vanaspati), cotton and kapas
January 18, 1993
5737
UBD.No.(PCB).34/DC(PR.474)-92/93
Selective Credit Control – Advances against Sensitive Commodities – Oilseeds, Vegetable oils (including Vanaspati), Cotton and Kapas
January 18, 1993
5738
UBD.No.(PCB)33/DC(PR.474)/92-93
Selective Credit Control – Advances against Sensitive Commodities – Oil seeds, Vegetable oils (including Vanaspati), Cotton & Kapas
January 18, 1993
5739
UBD No.(PCB).DC.13/(13.04.00)/93-94
Interest Rates on Advances
January 9, 1993
5740
UBD.No.(PCB)DC.19/(13.04.04)-92/93
Interest Rates on Advances
January 9, 1993
5741
UBD.No.(SUC)95/DC.(HG.9)-92/93
India Development Bonds
January 8, 1993
5742
UBD.No.(PCB)31/DC(HG.9)-92/93
Export Finance for Storing and Sale through Warehouses Abroad
January 6, 1993
5743
FIC.No.493-503/01.02.00-92/93
Investment Portfolio – Transactions in Securities
January 4, 1993
5744
DBOD.No.BC.63/13.01.08/92-93
Opening of Savings Bank Accounts in the Name of Self-Help Groups
January 4, 1993
5745
RPCD.No.RF.BC.57/D2.92/93
Export finance for storing and sale through warehouses abroad
January 2, 1993
5746
DBOD.No.BC.61/13.08-01/92
selective Credit Control Granting of Fresh/ Additional limits to Borrowers Dealing in Sensitive Commodities Delegation of Powers
December 30, 1992
5747
IECD.No.EFD.18/819-POL-ECR/92-93
Export credit
December 26, 1992
5748
UBD.No.(PCB)29/1)C.(R.1)-92/93
Bridge Loans/Interim Finance
December 26, 1992
5749
RPCD.NO.RF.BC.55/A.20(24)-92/93
Scheduled State Co-operative Banks – Exemption from provisions of proviso to sub-section (1) and sub-section (1A) of Section 42 of RBI Act, 1934
December 22, 1992
5750
IECD.No.17/08.12.01/92-93
Credit Monitoring Arrangement – Lending Discipline – Method of Lending
December 21, 1992
5751
RPCD.NO.RF.50/A.20(24)-92/93
Notification
December 21, 1992
5752
RPCD.NO.RF.51/A.20(24)-92/93
Notification
December 21, 1992
5753
RPCD.NO.RF.52/A.20(24)-92/93
Notification
December 21, 1992
5754
RPCD.NO.RF.53/A.20(24)-92/93
Notification
December 21, 1992
5755
DBOD.No.BC.60/21.01.023/92
Diversion of Working Captial Funds
December 21, 1992
5756
RPCD.NO.RF.BC.48/D.1(F)-92/93
Renewal of Overdue NRE/FCNR Deposits
December 19, 1992
5757
DBOD.No.BC.59/21.04.043/92
Income Recognition, Asset Classification and Provision Clarification
December 17, 1992
5758
IECD.No.16/EFD/819-POL-ECR/92-93
Export Finance for Storing and Sale through Warehouses Abroad
December 15, 1992
5759
IECD.No.CMD.A-15/03.27.03-92/93
Financing of Fertiliser Subsidy Receivables
December 12, 1992
5760
IECD.No.10/08.12.01/92-93
Credit Monitoring Arrangement – Norms for Inventory and Receivables
December 10, 1992
5761
IECD.No.12/08.12.01/92-93
Credit Monitoring Arrangement (CMA)
December 10, 1992
5762
RPCD.NO.RF.DIR.BC.46/D.2-92/93
Selective Credit Control – Advances against Sensitive Commodities – Cotton & Kapas
December 10, 1992
5763
RPCD.NO.RF.DIR.BC.47/D.2-92/93
Selective Credit Control – Advances against Sensitive Commodities – Cotton and Kapas
December 10, 1992
5764
UBD.No.(PCB)26/DC(PR.474)/92-93
Selective Credit Control – Advances against Sensitive Commodities – Cotton & Kapas
December 10, 1992
5765
UBD.No.(PCB)27/DC(PR.474)-92/93
Selective Credit Control – Advances against Sensitive Commodities – Cotton and Kapas
December 10, 1992
5766
UBD(SUC)87A/DC(HG.9)-92/93
Interest Rates on Advances
December 10, 1992
5767
IECD.No.11/08.12.01/92-93
Financing of Projects involving Creation/Modernisation/Expansion of Infrastructural Facilities
December 10, 1992
5768
RPCD.NO.RF.BC.45/D.1(F)-92/93
Foreign Currency (Ordinary-Non-Repatriable) Deposit Scheme (Revised) (FCON)
December 10, 1992
5769
IECD.No.13/PMD/08.12.01/92-93
Credit Monitoring Arrangement – Export Credit
December 10, 1992
5770
DBOD.No.BC.57/13.08.01/92
Selective Credit Control – Advances against Sensitive Commodities – Cotton and kapas
December 10, 1992
5771
DBOD.No.BC.58/13.08.01/92
Selective Credit Control on Cotton and Kapas
December 10, 1992
5772
IECD.No.9/03.27.32/92-93
Norms for Financing of Ship-breaking Industry by Banks
December 2, 1992
5773
RPCD.NO.RF.BC.43/D.2-92/93
Discounting/Rediscounting of bills by banks
November 30, 1992
5774
IECD.No.8/EFD/819-POL-ECR/92-93
Delay in Sanction of Loan Limits to Borrowers with Particular Reference to Exporters
November 5, 1992
5775
RPCD.NO.RF.BC.35/J.-92/93
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Branch Licensing Policy – Guidelines
November 3, 1992
5776
RPCD.NO.RF.394/D.1(F)-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 31, 1992
5777
RPCD.NO.RF.DIR.BC.33/D.1(F).92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 31, 1992
5778
UBD.(SUC) 90/DC/V.1(B)/-92/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 31, 1992
5779
DBOD.No.BC.49/13.01.091/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident Accounts Scheme (FCNR)
October 31, 1992
5780
DBOD.No.BC.50/13.01.09/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 31, 1992
5781
DBOD.No.BC.51/13.01.09/92
Foreign currency (Ordinary Non-Repatriable) Deposits Scheme (Revised) (FCON)
October 31, 1992
5782
IECD.No.CC&MIS.338/07.03.12/92-93
Monthly Statement of Fund-based Accounts of Large Borrowers
October 28, 1992
5783
DBOD.No.BC.46/18.02.001/92
Co-Acceptance of Bills by Banks
October 19, 1992
5784
RPCD.NO.BC.31/03.03.01/92-93
Interim Accommodation to State Governments
October 16, 1992
5785
RPCD.NO.RF.DIR.BC.30A/D.2-92/93
Interest rates on Advances
October 12, 1992
5786
IECD.No.CMD.A.6/C.446(CC)/92-93
Financing of Fertiliser – Decontrol of Prices of Phosphatic and Potassic Fertilisers
October 12, 1992
5787
IECD.No.7/EFD/819-POL-ECR/92-93
Post-shipment Credit denominated in Foreign Currency (PSCFC)
October 12, 1992
5788
RPCD.NO.RF.DIR.BC.30B/D.2-92/93
Post-shipment Credit denominated in Foreign Currency (PSCFC)
October 12, 1992
5789
UBD.No.(SUC)87B/DC(HG.9)-92/93
Post-shipment Credit denominated in Foreign Currency (PSCFC)
October 12, 1992
5790
RPCD.NO.RF.352/D.1(F)-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 10, 1992
5791
RPCD.NO.RF.DIR.BC.30/D.1(F)-92-93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 10, 1992
5792
UBD(SUC)83/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 10, 1992
5793
UBD(SUC)84/DC.V.1(B)/92-93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 10, 1992
5794
DBOD.No.BC.42/13.01.09/92
interest rates on Deposits Held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 10, 1992
5795
DBOD.No.BC.43/13.01.09/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Account Scheme, (FCNR)
October 10, 1992
5796
DBOD.No.BC.39/09.08.001/92
Court Cases – Filing of Appeals/Affidavits
October 9, 1992
5797
DBOD.No.BC.41/22.01.001/92
Section 23 of the Banking Regulation Act, 1949 – Delegation of Authority to Banks for Shifting of Offices, Spinning – Off of Business Etc.
October 9, 1992
5798
RPCD.NO.RF.DIR.BC.28/D.2-92/93
Interest Rates on Advances
October 8, 1992
5799
RPCD.NO.RF.DIR.BC.29/D.2-92/93
Interest rates on advances
October 8, 1992
5800
RPCD.NO.RF.DIR.BC.24/D.1-92/93
Interest Rates on Deposits
October 8, 1992
5801
RPCD.NO.RF.DIR.BC.25/D.1-92/93
Interest rates on deposits
October 8, 1992
5802
RPCD.NO.RF.DIR.BC.26/D-1.92/93
Interest rates on deposits under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 8, 1992
5803
RPCD.NO.RF.DIR.BC.27/D.1-92/93
Interest rates on deposits accepted under Non-Resident (External) Rupee Accounts (NRE Accounts)
October 8, 1992
5804
UBD No.(PCB)24/DC.V.1/92-93
Interest Rates on Deposits
October 8, 1992
5805
UBD.No.(PCB)23/DC.V.1/92-93
Interest Rates on Deposits
October 8, 1992
5806
DBOD.No.BC.30/13.01.01/92
interest Rates on Deposits
October 8, 1992
5807
DBOD.No.BC.31/13.01.01/9
Interest Rates on Deposits
October 8, 1992
5808
DBOD.No.BC.34/13.01.09/92
Interest Rates on Deposits under Non- Resident (External) Rupee Accounts Scheme
October 8, 1992
5809
DBOD.No.BC.35/13.01.09/92
Interest Rates on Deposit Accepted under Non-Resident (External) Accounts Scheme
October 8, 1992
5810
DBOD.No.BC.36/12.02.001/92
Notification
October 8, 1992
5811
DBOD.No.BC.37 /12.01.001/92
Notification
October 8, 1992
5812
DBOD.No.BC.38/12.01.001/92
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949
October 8, 1992
5813
DBOD.No.BC.27/21.03.053/92
Certificates of Deposit (CDs) – Enhancement of Limit
October 8, 1992
5814
DBOD.No.BC.26/09.07.007/92
Committee on Customer Service in Banks – Implementation of Recommendations of the Goiporia Committee
October 7, 1992
5815
UBD.No.Reh.81/R.(Gen)/92-93
Rehabilitation of Weak Banks – State Level Review Committee Meeting – Role of State Co-operative Banks
September 29, 1992
5816
IECD.No.CMD.A-5/H-92/93
Advances to Sugar Industry – Payment of Cane Dues by Sugar Mills
September 23, 1992
5817
UBD.(PCB)17/DC.V.1(B)-92/93
Renewal of Overdue NRE Deposits
September 21, 1992
5818
UBD(SUC)76/DC/V.1(B)/92-93
Interest Rates on Deposits – Renewal of Overdue FCNR/NRE Deposits
September 21, 1992
5819
UBD.(PCB)15/DC.V.1-92/93
Premature Withdrawal of Term Deposit for a period of 46 Days – Rate of Interest on Advance granted against Deposit
September 18, 1992
5820
UBD(PCB)11/DC/R.1(B)/92-93
Discounting/Re-discounting of Bills by Banks
September 17, 1992
5821
UBD. No. Plan.13/UB.81/92-93
Investments portfolio of banks – Transactions in securities
September 15, 1992
5822
DBOD.NO.BC.23/21.01.001/92
Payment of Cheques/Pay Orders
September 9, 1992
5823
DBOD.No.BC.22/13.01-01/92
Interest Rates on Deposits
September 5, 1992
5824
RPCD.NO.RF.BC.17/A.4-92/93
Investment Portfolio of banks – Transactions in Securities
September 4, 1992
5825
UBD.No.(PCB)9/DC.HC(Policy)-92/93
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts
August 29, 1992
5826
IECD.No.CMD.A-4/C.446(CC)/92-93
Financing of Fertiliser Subsidy Receivables
August 27, 1992
5827
UBD.No.(PCB)7/DC.(PR.474)/92-93
Selective Credit Control – Advances to New Processing Units
August 26, 1992
5828
DBOD.No.BC.20/17.04.001/92
Committee to Enquire into Various Aspects relating to Frauds and Malpractices in Banks
August 25, 1992
5829
IECD.No.EFD.BC.3/819-POL-ECR-92/93
Statistics relating to Export Credit
August 24, 1992
5830
DBOD.No.BC.18/16.14.001/92
Credit Monitoring System – Larger Sticky Advances
August 20, 1992
5831
UBD.I&L.3/J.1(Spl)-92/93
Investment in Government and Other Trustee Securities – Provision
August 11, 1992
5832
DBOD.No.BC.16/13.01.01/92
Premature withdrawal of Term Deposit for a Period of 46 Days Rate of Interest on Advances Granted Against Deposit
August 11, 1992
5833
UBD.No.(PCB).21/DC(RG.9)-92/93
Interest Rates on Advance
August 10, 1992
5834
UBD.No.(PCB)20/DC.(HG.9)-92/93
Interest Rates on Advances
August 10, 1992
5835
DBOD.No.BC.15/22.01.001/92
Section 23 of the Banking Regulation Act, 1949 – Position of Extension/Exchange/Collection Counters, Controlling Offices (Zonal/Divisional/Regional Offices)Specialised Branches, Service Branches/Regional Collection Centres Operating/Allowed as on 30th June 1992
August 10, 1992
5836
UBD.Plan.1/UB-6/92/93
Donations/Contributions for Public/Charitable Purposes Out of Profits of Co-operative Banks
August 3, 1992
5837
DBOD.No.BC.14/13.01.09/92
Renewal of Overdue FCNR/NRE Deposits
August 3, 1992
5838
RPCD.NO.RF.BC.10/D.2-92/93
Interest Rates on Advances
July 31, 1992
5839
DBOD.NO.BC.13/09.08.001/92
Acceptance of Cheques for Payment Bearing a Date in Hindi as per National Calendar (Saka Samvat)
July 31, 1992
5840
DBOD.No.BC.10/13.07.01/92
Rate of Interest on Advances
July 29, 1992
5841
DBOD.No.DC.9/13.01-08/92
Opening of Savings Bank Accounts in the Name of Development of Women and Children in Rural Areas (DWCRA)
July 28, 1992
5842
RPCD.NO.RF.86/A.12(24)-92/93
Notification
July 27, 1992
5843
RPCD.NO.RF.BC.9/A.12(24)-92/93
Non-Resident (Non-Repatriable) Rupee Deposit Scheme
July 27, 1992
5844
DBOD.No.BC.8/16.13.100/92-93
Discounting/Redicounting of Bills by Banks
July 27, 1992
5845
UBD.(UAF)1/DC(V.1)-92/93
Interest Rate on Savings Deposits – Increase from 5% p.a to 6% p.a. w.e.f.24.4.1992
July 24, 1992
5846
DBOD.No.BC.5/17.04.001/92
Bank Frauds
July 24, 1992
5847
UBD.(PCB)5/DC.R.1A/92-93
Inventory and Receivables Norms for Power Generation/Distribution Industry
July 24, 1992
5848
UBD.No.P&O.71/HG.4-92/93
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small/Tiny Industrial Units
July 22, 1992
5849
UBD.(PCB)3/DC.R.1A.92/93
Inventory and Receivables Norms for certain Segments of Chemical Industry – Essential Oil based Chemicals
July 14, 1992
5850
RPCD.NO.RF.39/D.1(F)-92/93
Interest rates on deposits held Under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1992
5851
RPCD.NO.RF.DIR.BC.6/D.1(F)-92/93
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1992
5852
UBD.(SUC) 68/DC/V.1(B)-92-93
Interest Rate on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1992
5853
UBD.(SUC)69/DC/V.1(B)-92/93
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1992
5854
DBOD.No.BC.2/13.01.09/92
Interest Rates on Deposits held Under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1992
5855
DBOD.No.BC.3/13.01.09/92
Interest Rates on Deposits Held Under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1992
5856
IECD.No.2/CMD.GA/Gen/92-93
Group Approach
July 4, 1992
5857
UBD.No.POT.1/UB.58-92/3
Payment under Letters of Credit – Immediate Settlement of Claims
July 3, 1992
5858
DBOD.No.BC.1/13.01.09/92
Resident Foreign Currency Accounts – waiveer of penalty for Conversion of FCNR/ NRE Accounts
July 2, 1992
5859
IECD.No.CMD.B.1/HF(P)-92/93
Housing Finance
July 1, 1992
5860
DO.No.FIC.984-994/01.02.00-91/92
Investment Portfolio – Transactions in Securities
June 23, 1992
5861
IECD.No.66/CMD.B/Tex Policy/91-92
Working Capital Requirements of Composite Textile Mills – Relaxation in the Norm for Finished Goods and Receivables
June 20, 1992
5862
RPCD.No.Stat.BC.138/378-91/92
Section 42(2) of The RBI Act, 1934 – Fortnightly return in Form ‘A’ – Regional Rural Banks
June 20, 1992
5863
DBOD.No.BC.143/21.04.012/92
Relaxation to Trade and Industry in the State of Jammu and Kashmir
June 18, 1992
5864
RPCD.No.RF.DIR.BC.136/D.1(F)-91/92
Foreign Currency (Ordinary Non-repatriable) Deposit Scheme
June 15, 1992
5865
RPCD.No.RF.DIR.BC.133/D.1(F)-91/92
Non-resident (Non-repatriable) Rupee Deposit Scheme
June 13, 1992
5866
RPCD.No.RF.DIR.BC.134/D.1(F)-91/92
Non-Resident (Non-Repatriable) Rupee Deposit Scheme
June 13, 1992
5867
UBD.(SUC)66/DC/V.1(B)/91/92
Foreign Currency (Ordinary Non-Repatriable) Deposit Scheme
June 13, 1992
5868
DBOD.NO.BC.142/13.01-09/92
Foreign Currency (Ordinary Non- Repatriable) Deposit Scheme
June 13, 1992
5869
UBD.(SUC)64/DC/V.1(B)-91/92
Non-Resident (Non-Repatriable) Rupee Deposit Scheme
June 11, 1992
5870
UBD(SUC)63/DC/V.1(B)1-91/92
Non-Resident (Non-Repatriable) Rupee Deposits Scheme
June 11, 1992
5871
DBOD.No.BC.139/13.01.09/92
Non-Resident (Non-Repatriable) Rupee Deposit Scheme
June 11, 1992
5872
DBOD.No.BC.140/13.01.09/92
Non-Resident (Non-Repatriable) Rupee Deposit Scheme
June 11, 1992
5873
DBOD.No.BC.141/12.05.004/92
Section 42 of the Reserve Bank of India Act, 1934 – Payment of Interest on Eligible Cash Balances Maintained with Reserve Bank of India Provision to be made Towards Interest Liability iin the Bank’s Annual Accounts 1991-92
June 11, 1992
5874
DBOD.No.BC.137/12.01.001/92
Notification
June 10, 1992
5875
DBOD.No.BC.138/12.01.001/92
Non-Resident (Non-Repatriable) Rupee Deposit Scheme
June 10, 1992
5876
RPCD.No.RF.DIR.BC.131/D.2-91/92
Restriction on Credit to Certain Sectors
June 5, 1992
5877
RPCD.No.RF.DIR.BC.130/D.2-91/92
Interest rates on advances – Interim Finance to SLDBs/PLDBs
June 1, 1992
5878
UBD.BR.No.838/A.6(A)-91/92
Annual/Half-yearly Closing of Accounts by the Co-operative Banks – Declaration of Holidays under the Negotiable Instruments Act, 1881
May 31, 1992
5879
DBOD.No.BC.135/09.07.007/91-92
Committee on Customer Service in Banks – Implementation of Recommendations of the Goiporia Committee
May 27, 1992
5880
DBOD.No.BC.132/22.01.001/92
Section 23 of the Banking Regulation Act 1949 – Delegation of Authority to Banks for Shifting of Offices, Opening of Controlling Offices, Spining Off of Business, etc.
May 20, 1992
5881
IECD.No.64/08.12.01/91-92
Bridge Loans/Interim Finance
May 15, 1992
5882
IECD.No.CMD.A65-C.446 (RT)-91/92
Inventory/Receivable Norms for Tyre Industry – Additional Credit Facilities for Undertaking Price Support Operation in respect of Natural Rubber
May 15, 1992
5883
IECD.5/08.15.01-91/92
Notification
May 13, 1992
5884
IECD.No.63/08.15.01-91/92
Commercial Paper (CP) – Amendments to Directions
May 13, 1992
5885
UBD.No.774(a)/A6(A)91/92
Section 29 & 31 of the Banking Regulation Act, 1949 (as Applicable to Co-operative Societies – Change of Accounting Year
May 6, 1992
5886
UBD.No.BR.774(b)/A.6A-91/92
Section 29 & 31 of the Banking Regulation Act, 1949 (as Applicable to Co-operative Societies – Change of Accounting Year
May 6, 1992
5887
UBD.No.(PCB)73/DC(R.1)/91-92
Maximum Limit on Advances – Proposals for Credit Authorisation
April 28, 1992
5888
DBOD.No.BC.130/18.03.150/92
Import Under Letters of Credit
April 28, 1992
5889
DBOD.No.BC.128/21.01.001/92
Restriction on Credit to certain Sectors
April 27, 1992
5890
DBOD.NO.BC.129/21.04.043/92
Income Recognition, Asset Classification,Provisioning and other Related Matters
April 27, 1992
5891
DBOD.No.BC.127/21.03.053/92
Certificates of Deposit (CDs) Enhancement of Limit
April 27, 1992
5892
RPCD.No.RF.DIR.BC.122/D.1-91/92
Interest Rates on Deposits
April 23, 1992
5893
RPCD.No.RF.DIR.BC.123/D.1-91/92
Interest Rates on Deposits
April 23, 1992
5894
UBD.No.(PCB)70/DC.V.1-91/92
Interest Rates on Deposits
April 23, 1992
5895
UBD.PCB.71/DC.V.1-91/92
Interest Rates on Deposits
April 23, 1992
5896
DBOD.No.BC.123/13.01.01/92
Interest Rates on Deposits
April 23, 1992
5897
DBOD.No.BC.124/13.01.01/92
Interest Rates on Deposits
April 23, 1992
5898
DBOD.No.BC.125/13.01.01/92
Interest Rates on Deposits
April 23, 1992
5899
DBOD.No.BC.117/21-01.002/92
Capital Adequecy Measures
April 22, 1992
5900
RPCD.No.RF.DIR.BC.115/D.2-91/92
Interest Rates on Advances
April 21, 1992
5901
RPCD.No.RF.DIR.BC.117/D.2-91/92
Selective Credit Control – Advances against Sensitive Commodities
April 21, 1992
5902
RPCD.No.RF.DIR.BC.118/D.2-91/92
Selective Credit Control – Advances against Sensitive Commodities
April 21, 1992
5903
UBD.No.(PCB)67/DC.(PR.474)-91/92
Selective Credit Control – Advances against Sensitive Commodities – Paddy/Rice, Wheat, Cotton & Kapas, etc.
April 21, 1992
5904
UBD.No.(PCB)68/DC(PR.474)-91/92
Selective Credit Control – Advances against Senitive Commodities – Paddy/Rice, Wheat, Cotton & Kapas, etc.
April 21, 1992
5905
RPCD.No.RF.DIR.BC.116/D.2-91/92
Interest rates on advances
April 21, 1992
5906
RPCD.No.RF.DIR.BC.113/D.1-91/92
Rates on Deposits
April 21, 1992
5907
RPCD.No.RF.DIR.BC.114/D.1-91/92
Interest rates on deposits
April 21, 1992
5908
UBD.No.(PCB)64/DC.V.1.91/92
Interest Rates on Deposits
April 21, 1992
5909
UBD(PCB)65/DC.V.1-91/92
Interest Rates on Deposits
April 21, 1992
5910
DBOD.No.BC.109/13.08.01/92
Selective Credit Control – Advances against Sensitive Commodities
April 21, 1992
5911
DBOD.No.BC.110/13.08.01/92
Selective Credit Control Advances Against Sensitive Commodities
April 21, 1992
5912
DBOD.No.BC.113/13.01.01/92
Interest Rates on Deposits
April 21, 1992
5913
DBOD.No.BC.114/13.01.01/92
interest Rates on Deposits
April 21, 1992
5914
DBOD.No.BC.118/12.01-001/92
Notification
April 21, 1992
5915
DBOD.No.BC.119/12.01.001/92
Section 42(1) of the Reserve Bank of India Act, 1934 – Cash Reserve Ratio on Incremental Certificates of Deposit Exemption
April 21, 1992
5916
DBOD.No.BC.120/12.01.001/92
Notification
April 21, 1992
5917
DBOD.No.BC.121/12.01.001/92
Reserve Bank of India Act, 1934 Section 42(1A) – Requirement for Maintaining Additional cash Balances – Exemption
April 21, 1992
5918
DBOD.No.BC.107/13.01.09/92
FCNR Deposits – Payment of Brokerage
April 13, 1992
5919
DBOD.No.BC.108/13.01.09/92
Advances against FCNR/NRE Deposits – Manner of Charging Interest
April 13, 1992
5920
IECD.No.62/PMD/C.446(PL)-91/92
Commitment Charge on Unutilised Portion of Credit Limits
April 9, 1992
5921
IECD.No.PMD.61/99/91-92
Financing of Imports – Inventory Norms
April 9, 1992
5922
DBOD.No.BC.106/21.04.012/92
Relaxations to Trade and Industry in the State of Punjab
April 1, 1992
5923
DBOD.No.BC.105/21.01.023/92
Payment under Letters of Credit Immediate Settlement of Claims
April 1, 1992
5924
IECD.No.CC&MIS.60/C.446-1-2-91/92
Credit Monitoring Arrangement – Submission of Statistical Data in Form A
March 31, 1992
5925
IECD.No.CC&MIS.61/C.446-1-2-91/92
Credit Monitoring Arrangement – Submission of Statistical Data in Form A
March 31, 1992
5926
RPCD.No.RF.DIR.BC.107/D.2-91/92
Interest Rates on Advances
March 31, 1992
5927
RPCD.No.RF.DIR.BC.108/D.2-91/92
Interest rates on Advances – Pre-shipment Credit for periods beyond 180 days
March 31, 1992
5928
UBD.(PCB)58/DC.(HG.9)-91/92
Interest Rates on Advances
March 31, 1992
5929
UBD.(PCB)59/DC(HG.9)-91/92
Interest Rates on Advances – Pre-shipment Credit for Periods Beyond 180 Days
March 31, 1992
5930
IECD.No.CMD.Gr.A.2333/C.446(78)/91-92
Credit Monitoring Arrangement – Term Lending by Banks – Quarterly Statement
March 27, 1992
5931
RPCD.No.RF.1166/D.1(F)-91/92
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1992
5932
RPCD.No.RF.DIR.BC.104/D.1(F)-91/92
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts (FCNR)
March 26, 1992
5933
UBD.(SUC)61/DC/V.1(B)-91/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1992
5934
UBD(SUC)60/DC/V.1(B)-91/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1992
5935
UBD.No.P&O.10/UB-31/91-92
Finance for Housing Schemes – Primary (Urban) Co-op. Banks
March 26, 1992
5936
DBOD.No.BC.103/13.01.09/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1992
5937
DBOD.No.BC.104/13.01.09/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1992
5938
DBOD.No.BC.102/22.01-001/92
Utilisation of Pending Licences Issued under Branch Expansion Programme 1985-90 Extension of Validity Period
March 25, 1992
5939
IECD.No.57/PMD/27-C/91-92
Inventory and Receivables Norms for Bicycle Tyre Manufacturing Units
March 23, 1992
5940
IECD.No.58/PMD/27-C/91-92
Inventory and Receivables Norms for certain Segments of Chemical Industry – Essential Oil based Chemicals
March 23, 1992
5941
IECD.No.59(PMD)27-C/91-92
Inventory/Receivables Norms for Power Generation/Distribution Industry
March 23, 1992
5942
IECD.No.56/EFD/819-POL-ECR/91-92
Extension of Pre-shipment Credit – Running Account Facility
March 14, 1992
5943
DBOD.No.BC.100/13.01.09/92
Conversion of NRE Deposits into FCNR Deposits and Vice-Versa before Maturity of Deposits
March 13, 1992
5944
IECD.No.55/EFD/819-POL-ECR/91-92
Pre-shipment Credit for Periods Beyond 180 days
March 12, 1992
5945
RPCD.No.RF.DIR.BC.100/D.2-91/92
Selective Credit Control – Advances against Sensitive Commodities
March 11, 1992
5946
RPCD.No.RP.DIR.BC.101/D.2-91/92
Selective Credit Control Advances against Sensitive Commodities – Wheat
March 11, 1992
5947
UBD.(PCB)55/DC(PR.474)-91/92
Selective Credit Control – Advances against Sensitive Commodities Wheat – Minimum Margin
March 11, 1992
5948
UBD.(PCB)56/DC(PR.474)-91/92
Selective Credit Control – Advances against Sensitive Commodities Wheat – Minimum Margins
March 11, 1992
5949
DBOD.NO.BC.96/21.04.012/92
Banking Service/Credit Relaxations to Borrowers/Customers in Punjab and Jammu and Kashmir
March 11, 1992
5950
DBOD.No.BC.97/13.08.01/92
Selective Credit Control Advances against Sensitive Commodities
March 11, 1992
5951
DBOD.No.BC.98/13.08.01/92
Selective Credit Control – Advances against Senitive Commodities
March 11, 1992
5952
UBD.BR.644/A.6(A)-91/92
Section 29 & 31of banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Change of Accounting Year
March 10, 1992
5953
DBOD.No.BC.94/16.13.100/92
Directors on the Boards of Private Sector Banks
March 9, 1992
5954
IECD.No.54/IRD/IR-54/91-92
Amendment to Sick Industrial Companies (Special Provisions) Act, 1985
March 6, 1992
5955
UBD.(PCB) 53/DC(R.1)91/92
Restrictions on Credit to certain Sectors
March 5, 1992
5956
DBOD.No.BC.91/12.02.001/92
Notification
March 3, 1992
5957
DBOD.No.BC.92/12.02.001/92
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio (SLR) by Banks
March 3, 1992
5958
IECD.No.53/EFD/819-POL-ECR/91-92
Interest Rates on Export Credit
February 29, 1992
5959
RPCD.No.RF.DIR.BC.96/D.2-91/92
Interest Rates on Advances
February 29, 1992
5960
RPCD.No.RF.DIR.BC.97/D.2-91/92
Interest rates on advances
February 29, 1992
5961
RPCD.No.RF.DIR.BC.98/D.2-91/92
Interest Rates on Advances
February 29, 1992
5962
RPCD.No.RF.DIR.BC.99/D.2-91/92
Post-shipment Export Credit Denominated in Foreign Currency (PSCFC)
February 29, 1992
5963
UBD.(PCB)51/DC(HG.9).91/92
Interest Rates on Advances
February 29, 1992
5964
UBD.(PCB)50/DC.(HG.9)-91/92
Interest Rates on Advances
February 29, 1992
5965
IECD.No.CC&MIS.52/C.446-4-6/91-92
Credit Monitoring Arrangement – Submission of Quarterly Information System – Statement II
February 27, 1992
5966
DBOD.No.BC.88/12.01.001/92
India Development Bonds – Classification of Accounts
February 24, 1992
5967
DBOD.No.BC.87/13.01.01/91-92
Payment of Additional Rate of Interest of 1% on Deposits of Bank Employees’ Federations
February 19, 1992
5968
UBD.No.BR.593/A.6A-91/92
Section 29 and 31 of Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Change of Accounting Year
February 13, 1992
5969
UBD.No.BR.595/A.6A/91-92
Section 29 and 31 of Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Change of Accounting Year
February 13, 1992
5970
DBOD.No.BC.84/13.01.09/92
Services to Non-Resident Indian (NRI)Depositors
February 13, 1992
5971
IECD.No.50/PMD/99/91-92
Financing of Imports
February 12, 1992
5972
DBOD.No.BP.BC.82/C.686-92
Revised Format of the Balance sheet and Profit and Loss Account
February 12, 1992
5973
DBOD.No.BP.BC.83/65-92
Certificates of Deposit
February 12, 1992
5974
RPCD.No.RF.DIR.BC.85/D.2-91/92
Selective Credit Control – Advances against sensitive Commodities
February 10, 1992
5975
RPCD.No.RF.DIR.BC.86/D.2-91/92
Selective Credit Control – Advances against Sensitive Commodities
February 10, 1992
5976
UBD.(PCB)48/DC(PR.474)-91/92
Selective Credit Control – Advances against Sensitive Commodities – Cotton and Kapas, Wheat, etc.
February 10, 1992
5977
UBD.(PCB)47/DC(PR.474)-91/92
Seletive Credit Control – Advances against Sensitive Commodities – Cotton & Kapas and Wheat
February 10, 1992
5978
DBOD.No.BC.80/13.08.01/92
Selective Credit Control Advances Against Sensitive Commodities
February 10, 1992
5979
DBOD.No.BC.81/13-08.01/92
Selective Credit Control – Advances against Sensitive Commodities – Wheat, Cotton and Kapas
February 10, 1992
5980
IECD.No.49/CC&MIS/87/91-92
Issue of Commercial Paper (CP) – Submission of Returns etc.
February 7, 1992
5981
IECD.No.PMD.48/99/91-92
Financing of Import of Raw Cashewnuts
February 7, 1992
5982
DBOD.No.BP.BC.78/C.686/91-92
Revised Format of the Balance sheet and Profit Loss Account
February 6, 1992
5983
UBD.No.Plan.8/UB.8/91/92
Policy and Practice regarding Nominal Membership
February 5, 1992
5984
DBOD.No.BC.75/13.01.11/92
Schemes for Mobilising Deposits
January 31, 1992
5985
UBD(PCB)45/DC(Vll)-91/92
Customers Service – Payment of Interest at Savings Bank Rate for the Delay in Collection of Outstaion Cheques
January 29, 1992
5986
RPCD.No.RF.DIR.BC.81/D.1-91/92
Interest Rates on Deposits – Premature withdrawal
January 28, 1992
5987
RPCD.No.RF.DIR.BC.80/D.1-91/92
Deduction of tax at source from interest on time deposits with banks
January 28, 1992
5988
DBOD.No.BC.74/09.07.001/92
Committee on Customer Service in Banks Implementation of Recommendations
January 28, 1992
5989
RPCD.No.RF.975/D.1(F)-91/92
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 25, 1992
5990
RPCD.No.RF.DIR.BC.79/D.1(F)-91/92
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 25, 1992
5991
UBD.(SUC)58/DC/V.1(B)-91/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 25, 1992
5992
UBD(SUC)57/DC/V.1(B)-91/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 25, 1992
5993
IECD.No.47/EFD/819-POL-ECR/91-92
Packing Credit – Running Account Facility
January 25, 1992
5994
DBOD.No.BC.72/13.01/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 25, 1992
5995
DBOD.No.BC.73/13.01.09/92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 25, 1992
5996
DBOD.No.FSC.BC.71/C.469-91/92
Restriction on Credit to certain Sectors
January 22, 1992
5997
IECD.No.46/CMD.B/C.446-Misc.-91/92
Credit Monitoring Arrangement
January 16, 1992
5998
UBD.(PCB)42/DC.(R.1)-91/92
Maximum Limit on Advances
January 13, 1992
5999
UBD.(PCB)43/DC.(R.1)-91/92
Maximum Limit on Advances
January 13, 1992
6000
DBOD.No.BC.69 /12.01.001/92
Notification
January 10, 1992
6001
DBOD.No.BC.70/12.01.001/92
Reserve Bank of India Act, 1934 – Section 42(IA) Requirement for Maintaining Additional Balances
January 10, 1992
6002
UBD.No.(PCB).DC.18/(13.04.00)/93-94
Interest Rates on Advances
January 9, 1992
6003
DBOD.No.BC.67/13.05.00/92
Buy- Back Arrangements in Government and Other Approved Securities Entered into by Commercial Banks
January 6, 1992
6004
IECD.NO.45/IRD/IR-A/91-92
Conversion of Funded Interest/Term Debt into Equity of Non-SSI Sick/Weak Industrial Units under Rehabilation Packages
January 2, 1992
6005
IECD.No.PMD.44/99/91-92
Financing of Imports other than Capital Goods
January 1, 1992
6006
RPCD.No.RF.DIR.BC.73/D.2-91/92
Interest Rates on Advances
December 31, 1991
6007
RPCD.No.RF.DIR.BC.74/D.2-91/92
Post-shipment Export Credit Denominated in Foreign Currency (PSCFC)
December 31, 1991
6008
UBD(SUC)54/DC.(HG.9)-91/92
Interest Rates on Advances
December 31, 1991
6009
UBD(SUC)55/DC(HG.9)-91/92
Post-shipment Export Credit denominated in Foreign Currency (PSCFC)
December 31, 1991
6010
IECD.No.PMD.42/99/91-92
Financing of Imports other than Capital Goods
December 27, 1991
6011
DBOD.No.BP.BC.64/C.576-91
Credit Relaxations to Borrowers in Punjab and Jammu & Kashmir
December 23, 1991
6012
IECD.No.40/EFD/819-POL-ECR/91-92
Post-shipment Export Credit denominated in Foreign Currency (PSCFC)
December 21, 1991
6013
IECD.4/87(CP)-91/92
Notification
December 20, 1991
6014
IECD.No.39/PMD/87(CP)-91/92
Commercial Paper (CP) – Amendment to Directions
December 20, 1991
6015
DBOD.No.BP.BC.63/C.464(W)/91
Training Arrangements in Banking Industry
December 20, 1991
6016
RPCD.No.RF.DIR.BC.70/D.1(F)-91/92
Interest rates on Advances
December 19, 1991
6017
RPCD.No.RF.DIR.BC.71/D.1(F)-91/92
India Development Bonds
December 19, 1991
6018
RPCD.No.RF.DIR.BC.68/D.1(F)-91/92
Advances against Foreign Currency (Non-Resident) Account deposits – Manner of charging interest
December 18, 1991
6019
RPCD.No.RF.DIR.BC.69/D.1(F)-91/92
Advances against Foreign Currency (Non-Resident) Accounts deposits – Manner of charging interest
December 18, 1991
6020
RPCD.No.NB.BC.67/RRB.16-91/92
Court Case – Ensuring attendance of Banks officials and advocates
December 12, 1991
6021
IECD.No.38/PMD/99/91-92
Financing of Imports other than Capital Goods
December 11, 1991
6022
RPCD.No.RF.758/D.1(F)-91/92
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 11, 1991
6023
RPCD.No.RF.DIR.BC.66/D.1(F)-91/92
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 11, 1991
6024
UBD(SUC)45/DC/V.1(B)-91-92
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 11, 1991
6025
UBD(SUC)46/DC/V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 11, 1991
6026
DBOD No.Dir.BC.61/C.347(I)-91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 11, 1991
6027
DBOD.No.Dir.BC.60/C.347(I)-91/92
Interest Rate on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 11, 1991
6028
UBD.(SUC)43/DC.[R.1(A)]1-91/92
Restrictions of Drawals under Large Cash Credit Limits
December 10, 1991
6029
IECD.No.PMD.37/99/91-92
Financing of Imports other than Capital Goods
December 9, 1991
6030
DBOD.No.BP.BC.58/C.469-91
Delays Experienced by the Exporters at Banks
December 7, 1991
6031
IECD.NO.35/IRD/IR-A/91-92
Parameters for Provision of Reliefs/Concessions by Banks under Rehabilitation Packages evolved for Non-SSI Sick/Weak Industrial Units Considered as Potentially Viable
December 6, 1991
6032
IECD.No.36/IRD/IR-A/91-92
Advances to Sugar Industry – Parameters for Provision of Reliefs/Concessions by Banks under Rehabilitation Packages
December 6, 1991
6033
DBOD.No.Ret.1297/C.110-91
Section 42(2) of the Reserve Bank of India Act, 1934 – Payment of Interest on Specified Additional Cash Balances Maintainted with Reserve Bank of India
December 2, 1991
6034
DBOD.No.Dir.BC.56/C.347(l)-91
Advances against FCNRA Deposits – Manner of Charging Interest
November 30, 1991
6035
DBOD.No.Dir.BC.57/C.347(l)-91
Adavnces against FCNRA Deposits – Manner of Charging Interest
November 30, 1991
6036
D.O.No.DBOD.BP.BC.53/C.473-91
Payment under Bank Guarantee – Immediate Settlement of Cases
November 27, 1991
6037
UBD.(SUC)51/DC.(HG.9)-91/92
Interest Rates on Advances
November 25, 1991
6038
DBOD.No.Dir.BC.55/C.96-91
India Development Bonds
November 25, 1991
6039
UBD.(SUC)52/DC.(HG.9)-91/92
India Development Bonds
November 25, 1991
6040
UBD.I&L.16/J.1-91/92
Misuse of Banking Channels for Violation of Fiscal Laws and Evasion of Taxes – Issue and Payment of Demand Drafts for Rs. 50,000/- and above
November 25, 1991
6041
DBOD.No.Dir.BC.52/C.347(l)-91
Calculation of Interest on FCNR Deposits
November 25, 1991
6042
DBOD.No.Ret.BC.51/C.96(Ret)-91
Section42(2) of the Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio (CRR)
November 23, 1991
6043
IECD.No.34/EFD/819-POL-ECR/91-92
Packing Credit – Running Account Facility in respect of Exports of Freeze Dried Pepper and Dehydrated Green Pepper
November 22, 1991
6044
IECD.No.33/CMD.GA/Gen/91-92
Group Approach
November 22, 1991
6045
IECD.No.CMD.32/CMD.B/HF(P)-91/92
Credit Policy for the Second-half of the year 1991-92 – Restriction on Credit to certain Sectors – Housing Finance
November 20, 1991
6046
IECD.No.31/EFD/819-POL-ECR/91-92
Extension of Packing Credit – Running Account Facility
November 20, 1991
6047
IECD.No.CMD.B/30/Tex/91-92
Working Capital Requirements of Composite Textile Mills – Relaxation in the Norm for Finished Goods and Receivables
November 19, 1991
6048
DBOD.No.BP.BC.50/C.464(W)-91
Participation of Officers of Regional Rural Banks (RRBs) in the Training Programme at the College of Agricultural Banking, Pune (CAB)
November 19, 1991
6049
IECD.No.29/PMD. 99/91-92
Financing of Imports other than Capital Goods
November 15, 1991
6050
UBD(PCB)38/DC.(R.1)-91/92
Restricition on Credit to certain Sectors
November 13, 1991
6051
IECD.No.28/PMD/99/91-92
Financing of Imports other than Capital Goods – Release of Cash Margins
November 9, 1991
6052
IECD.No.27/PMD/C.446(PL)-91/92
Restrictions of Drawals under Large Cash Credit Limits
November 8, 1991
6053
RPCD.No.RF.DIR.BC.28/D.1-91/92
Revival of the Interest-Tax Act, 1974
November 4, 1991
6054
RPCD.No.RF.DIR.BC.61/D.2-91/92
Interest rates on deposits – Participation in the Call Money Market
November 4, 1991
6055
UBD(RO)13/DC.(V.1)-91/91
Deduction of Tax at Source from Interest on Time Deposits with Banks
October 31, 1991
6056
DBOD.No.Ret.BC.48/C.96(Ret.)-91
Penal Rate of Interest on the Shortfalls in the Maintenance of CRR/SLR
October 30, 1991
6057
DBOD.No.GC.BC.47/C.408(A)91
Frauds in Banks
October 28, 1991
6058
IECD.No.26/PMD/99/91-92
Financing of Imports other than Capital Goods
October 25, 1991
6059
UBD.P&O.224/HG.4-91/92
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small/Tiny Cottage Industries etc.
October 22, 1991
6060
RPCD.No.RF.DIR.BC.55/D.1-91/92
Deduction of tax at source from interest on time deposits with banks
October 18, 1991
6061
DBOD.No.IBS.BC.46/C.212-91/92
Servicing of FCNR Deposits of Overseas Branches
October 16, 1991
6062
DBOD.No.Leg.BC.44/C.90(H)-91
Court Cases – Ensuring Attendance of Banks Officals and Advocates
October 11, 1991
6063
DBOD.No.BP.BC.43/C.469(81-A)-91
Deduction of Tax at Source from Interest on Time Deposits with Banks
October 10, 1991
6064
IECD.No.25/EFD/819-POL-ECR-91/92
Interest Rates on Export Credit
October 9, 1991
6065
RPCD.No.RF.DIR.BC.47/D.2-91/92
Interest Rates on Advances
October 9, 1991
6066
RPCD.No.RF.DIR.BC.48/D.2-91/92
Interest Rates on Advances
October 9, 1991
6067
RPCD.No.RF.DIR.BC.49/D.2-91/92
Selective Credit Control – Advances against sensitive commodities
October 9, 1991
6068
RPCD.No.RF.DIR.BC.50/D.2-91/92
Selective Credit Control – Advances against Sensitive Commodities
October 9, 1991
6069
RPCD.No.RF.DIR.BC.45/D.1-91/92
Interest Rates on Deposits
October 9, 1991
6070
RPCD.No.RF.DIR.BC.46/D.1-91/92
Interest rates on deposits
October 9, 1991
6071
UBD.(PCB)27/DC(HG.9)-91-92
Interest Rates on Advances
October 8, 1991
6072
UBD(PCB)28/DC(HG.9)91-92
Interest Rates on Advances
October 8, 1991
6073
UBD(PCB)30/DC(PR.474)-91/92
Selective Credit Control – Advances against Sensitive Commodities – Cotton and Kapas, Pluses and Wheat
October 8, 1991
6074
UBD(PCH)31/DC(PR.474)-91/92
Selective Credit Control – Advances against Sesitive Commodities – Cotton & Kapas, Pulses and Wheat
October 8, 1991
6075
IECD.No.24/PMD/99/91-92
Financing of Imports other than Capital Goods
October 8, 1991
6076
UBD(PCB)24/DC.V-1-91/92
Interest Rates on Deposits
October 8, 1991
6077
UBD(PCB)25/DC.V-1-91/92
Interest Rates on Deposits
October 8, 1991
6078
DBOD.No.BP.BC.42/C.469-91
Restrictions on Credit to certain Sectors
October 8, 1991
6079
DBOD.No.Dir.BC.35/C.218-91
Seletive Credit Control – Advances against Sensitive Commodities
October 8, 1991
6080
DBOD.No.Dir.BC.36/C.218-91
Selective Credit Control – Advances against Sensitive Commodities
October 8, 1991
6081
UBD(PCB)22/DC(R.1).91/92
Advances Granted to Directors and their Relatives by the Primary (Urban) Co-operatives Banks
October 5, 1991
6082
DBOD.No.BC.32./C.469(81-A)-91
Deduction of Tax at Source from Interest on Time Deposits with Banks
October 4, 1991
6083
IECD.No.23/PMD/99/91-92
Financing of Imports other than Capital Goods
September 30, 1991
6084
DBOD.No.Dir.BC.31/C.347(J)-91
Donations
September 28, 1991
6085
IECD.No.22/EFD/BC/819/POL/ECR-91/92
Interest Rates on Post-shipment Export Credit
September 27, 1991
6086
IECD.No.21/EFD/BC/819-POL-ECR/91-92
Packing Credit Advances – Financing of Frozen Meat
September 26, 1991
6087
DBOD.No.GC.BC.30/C.408-A(88)-91
Reporting of Cases of Bank Robberies/Dacoities/Burglaries
September 26, 1991
6088
UBD(PCB)19/DC.V-1-91/92
Interest Rates on Deposits
September 20, 1991
6089
UBD(PCB)20/DC.V-1-91/92
Interest Rates on Deposits – Opening of Savings Bank Accounts
September 20, 1991
6090
DBOD.No.Ret.BC.26/C.178-91/92
T.T.Discounting Facilities
September 19, 1991
6091
IECD.No.20/PMD/99/91-92
Financing of Imports by Universities/Research Institutions
September 17, 1991
6092
UBD(RO)6/DC(V.1)-91/92
Interest Rates on Deposits – Payment of Interest on Term Deposits
September 17, 1991
6093
UBD.No.P&O.161/HG.4-91-92
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the RBI Act, 1934 – Small/Tiny Cottage Industries etc.
September 16, 1991
6094
IECD.No.19/PMD/99/91-92
Financing of Imports other than Capital Goods
September 13, 1991
6095
RPCD.No.RF.DIR.BC.31/D.1-91/92
Interest Rates on Deposits
September 9, 1991
6096
RPCD.No.RF.DIR.BC.32/D.1-91/92
Interest Rates on Deposits – Opening of savings bank accounts
September 9, 1991
6097
IECD.No.18/CC&MIS/C.446-1-2-91/92
Credit Monitoring Arrangement – Submission of Quarterly Statistical Data in Form A
September 5, 1991
6098
RPCD.No.RF.DIR.BC.29/D.2-91/92
Selective Credit Control – Advances against paddy/rice, wheat, pulses and other foodgrains
September 4, 1991
6099
RPCD.No.RF.DIR.BC.30/D.2-91/92
Selective Credit Control – Advances against Sensitive Commodities
September 4, 1991
6100
UBD(PCB)17/DC.(V.1).91/92
Revival of the Interest Tax Act, 1974
September 4, 1991
6101
UBD.(PCB)14/DC(PR.474)-91/92
Selective Credit Control – Advance against Sensitive Commodities – Wheat, Paddy/Rice and Other Foodgrains
September 3, 1991
6102
UBD(PCB)15ADC.(PR.474)-91/92
Selective Credit Control – Advances against Sensitive Commodities – Wheat, Paddy/Rice and Other Foodgrains
September 3, 1991
6103
DBOD.No.Dir.BC.21/C.218-91
Selective Credit Control – Advances against Paddy/Rice, Wheat, Pulses and Other Foodgrains
September 3, 1991
6104
DBOD.No.Dir.BC.22/C.218-91
Selective Credit Control – Advances against Paddy/ Rice, Wheat, Pulses and Other Foodgrains
September 3, 1991
6105
DBOD.No.BP.BC.20/C.469(l)-91
Revival of the Interest Tax Act, 1974
September 2, 1991
6106
DBOD.No.Dir.BC.18/C.347.91
Interset Rates on Deposits
September 2, 1991
6107
DBOD.No.Dir.BC.19/C.347-91
Interest Rates on Deposits – Opening of Savings Bank Accounts
September 2, 1991
6108
IECD.No.EFD.17/003-SEM/91-92
Financing of Exports
August 31, 1991
6109
IECD.No.15/CMD.(A)/C.446(H)/91-92
Restrictions on Drawals under Large Cash Credit Limit Sugar Industry – Clean Loans for Off-season Repairs
August 20, 1991
6110
IECD.No.16/PMD/87(CP)-91/92
Issue of Commercial Paper (CP)
August 20, 1991
6111
IECD.No.14/PMD/99/91-92
Financing of Imports
August 19, 1991
6112
IECD.No.12/PMD/99/91-92
Financing of Imports other than Capital Goods
August 9, 1991
6113
UBD(PCB)12/DC.(PR.474)-91/92
Selective Credit Control – Advances against Pulses to Pulses Progressing Units
August 7, 1991
6114
IECD.No.11/EFD/BC/819-POL-ECR/91-92
Interest Rates on Advances – Export Credit
August 5, 1991
6115
RPCD.No.RF.DIR.BC.22/D.2-91/92
Interest rates on advances
August 5, 1991
6116
RPCD.No.RF.DIR.BC.23/D.2-91/92
Interest rates on advances – Export Credit
August 5, 1991
6117
UBD(PCB)7/DC.(HG.9)-91/92
Interest Rates on Advances
August 5, 1991
6118
UBD(PCB)8/DC(HG.9)-91/92
Interest Rates on Advances – Export Credit
August 5, 1991
6119
IECD.No.10/IRD/IR-A/91-92
Rehabilitation of Sick/Weak Industrial Units
August 5, 1991
6120
IECD.No.8/PMD/C.446(PL)-91/92
Restriction of Drawals under Large Cash Credit Limits – Sugar Industry
August 1, 1991
6121
IECD.No.PMD.9/99/91-92
Financing of Imports other than Capital Goods
August 1, 1991
6122
DBOD.No.Fol.BC.13/C.20-91
Submission of Returns
August 1, 1991
6123
IECD.No.7/CMD.GA/Gen/91-92
Group Accounts
July 29, 1991
6124
DBOD No.Rec.103/C.208R-91
Scheme of Amalgamation under Section 45 of the Banking Regulation Act, 1949 – Proposals for Comprise / write off to Debts/ Assets
July 25, 1991
6125
IECD.No.PMD.5/99/91-92
Financing of Import of Capital Goods
July 24, 1991
6126
UBD(PCB)1.DC.V.1-91/92
Interest Rates on Deposits
July 22, 1991
6127
UBD(PCB)2/DC.V-1-91/92
Interest Rates on Deposits
July 22, 1991
6128
IECD.No.2/EFD/BC/819-POL-ECR-91-92
Export Credit (Interest Subsidy) Scheme, 1968 – Interest on Post-shipment Credit adjusted from Rupee Resources
July 9, 1991
6129
IECD.No.3 EFD/BC/819-POL-ECR-91-92
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Basmati Rice and Extractions
July 9, 1991
6130
IECD.No.IRD.4/IR-A/91-92
Rehabilitation of Sick/Weak Industrial Units – Single Window Concept for Lending (SWCL)
July 9, 1991
6131
IECD.No.1/EFD/BC/819-POL-ECR-91-92
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances to Manufacturer-exporters of Machine Tools
July 8, 1991
6132
DBOD.No.Dir.BC.4/C.347-91
Interest Rates on Deposits
July 4, 1991
6133
DBOD.No.Dir.BC.5/C.347-91
Interest Rates on Deposits
July 4, 1991
6134
RPCD.No.RF.DIR.BC.3/D.2-91/92
Interest rates on Advances
July 3, 1991
6135
RPCD.No.RF.DIR.BC.4/D.2-91/92
Interest rates on advances
July 3, 1991
6136
RPCD.No.RF.DIR.BC.1/D.1-91/92
Interest Rates on Deposits
July 3, 1991
6137
RPCD.No.RF.DIR.BC.2/D.1-91/92
Interest rates on deposits
July 3, 1991
6138
DBOD.No.Dir.BC.3/C.96(SD/PSB)-91
Advances against the Security/Collateral of Shares, Debentures and Public Sector Bonds
July 2, 1991
6139
DBOD.No.Ret.BC.2/C.195-91
Section 27 of Banking Regulation Act, 1949 – Submission of Returns in Form X – Classification of Investment in Commercial Papers
July 2, 1991
6140
DBOD.No.Ret.BC.138/C.110-(Spl)-91
Section 42 of The Reserve bank of India Act, 1934 – Payment of Interest on Eligible Cash Balances maintained with Reserve Bank of India
June 27, 1991
6141
RPCD.No.RF.BC.145/D.1-90/91
Recurring Deposits Account – Method of Calculation of interest on premature withdrawal/discontinuance of recurring deposits and charging of penal interest for the defaulted instalments of recurring deposits
June 24, 1991
6142
RPCD.No.RF.DIR.BC.144/D.1-90/91
Interest Rates on Deposits
June 24, 1991
6143
UBD.I&L.29/J.1-90/91
Misuse of Banking Channels for Violation of Fiscal Laws and Evasion of Taxes – Issue and Payment of Demand Drafts for Rs. 50,000/- and above
June 17, 1991
6144
RPCD.No.RF.DIR.BC.136/D.1(F)-90/91
Interest rates on deposits held in Foreign Currency (Ordinary-non-repatriable) Deposit Scheme
June 14, 1991
6145
RPCD.No.RF.DIR.BC.137/D.1(F)-90/91
Foreign Currency (ordinary non-repatriable) Deposit Scheme
June 14, 1991
6146
IECD.No.PMD.64/99/90-91
Financing of Import of Capital Goods
June 13, 1991
6147
UBD(SUC)40/DC.V.1(B)-90/91
Interest Rates on Deposits held in Foreign Currency (Ordianry Non-Repatriable) Deposits Scheme
June 13, 1991
6148
UBD(SUC)41/DC.V.1(B)-90/91
Foreign Currency (Ordinary Non-Repatriable) Deposit Scheme
June 13, 1991
6149
DBOD.No.Dir.BC.134/C.347(l)-91
Interest Rates on Deposits held in Foreign Currency (Ordinary Non-Repatriable) Deposit Scheme
June 13, 1991
6150
DBOD.No.Dir.BC.135/C.347(I)-91
Foreign Currency (Ordianry Non-Repatriable) Deposit Scheme
June 13, 1991
6151
IECD.No.CMD.B.63/74-90/91
Lending Norms for Diamond Exporters
June 12, 1991
6152
DBOD.No.Dir.BC.133/C.347-91
Interest Rates on Deposits
June 12, 1991
6153
DBOD.No.BL.BC.132/C.168(M)-91
Opening of Specialised Housing Finance Branches
June 11, 1991
6154
IECD.No.CMD.B.62/HF(P)/90-91
Housing Finance
June 8, 1991
6155
IECD.No.PMD.61/99/90-91
Financing of Imports
June 6, 1991
6156
IECD.No.CMD.B.60/HF(P)-90/91
Housing Finance
June 5, 1991
6157
IECD.No.PMD.59/C.446(PL)/90-91
Restriction of Drawals under Large Cash Credit Limits
June 4, 1991
6158
RPCD.No.RF.DIR.BC.127/D.2-90/91
Interest Rates on Advances
June 4, 1991
6159
RPCD.No.RF.BC.128/324-90/91
Exemption from the Provisions of sub-section (1A) of Section 42 of the RBI Act, 1934 – Regional Rural Banks
June 4, 1991
6160
RPCD.No.RF.BC.129/A.20(24)-90/91
Exemption from provisions of sub-section (1A) of Section 42 of the RBI Act, 1934 – Scheduled State Co-operative Banks
June 4, 1991
6161
UBD.(PCB)88/DC.HG.9/90-91
Interest Rate Surcharge on Import Finance
May 31, 1991
6162
UBD(SUC)38/DC.V.1(B)-90/91
Loans/Overdrafts to Residents against Security of Fixed Deposits in NRE/FCNR Accounts
May 31, 1991
6163
IECD.No.PMD.58/99/90-91
Financing of Imports -Suppliers Credit
May 31, 1991
6164
UBD.(SUC)36/DC.R.1(A)-90/91
Restrictions of Drawals under Large Cash Credit Limits
May 31, 1991
6165
IECD.3/87(CP)-90/91
Notification
May 30, 1991
6166
IECD.No.PMD.57/87-(CP)-90/91
Commercial Paper (CP) – Amendment to Directions
May 30, 1991
6167
RPCD.No.RF.H-11/324-90/91
Notification
May 30, 1991
6168
RPCD.No.RF.H-12/A.20(24)-90/91
Notification
May 30, 1991
6169
RPCD.No.NB.BC.124/RRB.16/90-91
Misuse of banking channels for violation of fiscal laws and evasion of taxes-Issue and payment of demand drafts for Rs.50,000/- and above
May 29, 1991
6170
UBD(PCB)85/DC(HG.9)-90/91
Interest Rates on Advances
May 23, 1991
6171
DBOD.No.GC.BC.128/C.408-(A)88-91
Reporting of Cases of Bank Robberies/Dacoities/Thefts Burglaries
May 21, 1991
6172
UBD.PCB.83 /DC(R.1)-90/91
Maximum Limit on Advances
May 20, 1991
6173
UBD(PCB)82/DC.(R.1)-90/91
Maximum Limit on Advances
May 20, 1991
6174
IECD.No.EFD.BC.56/819-POL-ECR-91
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Spice Oils and Oleoresins
May 16, 1991
6175
UBD.BR.111/A.9-90/91
Notification
May 16, 1991
6176
UBD.BR.5/A.12(6)-90/91
Section 6 & 9 of Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
May 10, 1991
6177
UBD.BR.81/A.12(9)-90/91
Section 6 & 9 of Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
May 10, 1991
6178
IECD.No.CMD.A.53/H-90-91
Credit Monitoring Arrangement – Advances to Sugar Industry
May 9, 1991
6179
IECD.No.PMD.54/99/90-91
Financing of Imports – Interest Rate Surcharge
May 9, 1991
6180
IECD.No.PMD.55/C.446(PL)-90/91
Restriction of Drawals under Large Cash Credit Limits
May 9, 1991
6181
RPCD.No.RF.DIR.BC.120/D.2-90/91
Selective Credit Control – Advances against sensitive commodities – Sugar
May 8, 1991
6182
RPCD.No.RF.DIR.BC.121/D.2-90/91
Selective Credit Control – Advances against Sensitive Commodities – Sugar
May 8, 1991
6183
UBD.(PCB)78/DC-(PR-474)-90/91
Selective Credit Control – Advances against Sugar
May 8, 1991
6184
UBD(PCB)79/DC(PR.474)/90-91
Selective Credit Control – Advances against Sugar
May 8, 1991
6185
DBOD.No.Dir.BC.123/C.218-91
Selective Credit Control – Advances against Sensitive Commodities
May 8, 1991
6186
DBOD.No.Dir.BC.124/C.218-91
Selective Credit Control – Advances against Sensitive Commodities – Sugar
May 8, 1991
6187
DBOD.No.GC.BC.122/C.408/A-91
Fraud in Banks – FCNR/NRE Accounts
May 6, 1991
6188
DBOD.No.Dir.BC.119/C.347(l)-91
Loans/Overdrafts to Residents against Security of Fixed Deposits in NRE/FCRE Accounts
May 3, 1991
6189
DBOD.No.Ret.BC.120/C.96(Ret)-91
Notification
May 3, 1991
6190
DBOD.No.Ret.BC.121/C.96(Ret)-91
Reserve Bank of India Act, 1934 – Section 42(1A) – Requirement for Maintaining Additional Balances
May 3, 1991
6191
UBD.PCB.76/DC-V-1-90/91
Interest Rates on Deposits – Premature Withdrawal of Term Deposits – Method and Rate for Calculating Interest
April 26, 1991
6192
IECD.No.PMD.52/99/90-91
Financing of Import of Capital Goods – (a) Letters of Credit opened on or before March 19, 1991, and (b) Import of goods not covered by letters of credit, where shipments were effected on or before March 19, 1991
April 25, 1991
6193
DBOD.No.BL.BC.118/C.168(M)-91
Section 23 of Banking Regulation Act, 1949 – Branch Expansion Programme in Urban/ Metropolitan Centres
April 24, 1991
6194
IECD.No.PMD.51/99/90-91
Financing of Imports
April 23, 1991
6195
IECD.EFD.BC.49/819-POL-ECR/91
Interest Rates on Advances – Export Credit
April 22, 1991
6196
RPCD.No.RF.DIR.BC.115/D.2-90/91
Interest rates on advances
April 22, 1991
6197
RPCD.No.RF.DIR.DC.116/D.2-90/91
Interest rates on Advances – Export Credit
April 22, 1991
6198
UBD(PCB)73/DC.HG.9/90-91
Interest Rates on Advances
April 22, 1991
6199
UBD(PCB)74/DC.HG.9-90/91
Interest Rates on Advances – Export Credit
April 22, 1991
6200
IECD.No.PMD.50/99/90-91
Financing of Imports
April 22, 1991
6201
DBOD.No.Leg.BC.115/C.466(iv)-91
Customers Service – Working Group Recommendations
April 19, 1991
6202
DBOD.No.IBS.BC.116/C.276-91
Valution of Securities to be lodged with the RBI under section 11(2) (a) (b) of the B.R.Act, 1949
April 19, 1991
6203
RPCD.No.RF.DIR.BC.111/D.2-90/91
Selective Credit Control – Advances against Sensitive Commodities – Rate of interest
April 18, 1991
6204
DBOD.No.BP.BC.113/65-91
Certificates of Deposit (CDs)
April 15, 1991
6205
RPCD.No.RF.DIR.BC.106/D.2-90/91
Interest rates on Advances
April 12, 1991
6206
RPCD.No.RF.DIR.BC.107/D.2-90/91
Interest Rates on Advances
April 12, 1991
6207
RPCD.No.RF.DIR.BC.108/D.2-90/91
Selective Credit Control – Advances against Sensitive Commodities
April 12, 1991
6208
RPCD.No.RF.DIR.BC.109/D.2-90/91
Selective Credit Control – Advances against Sensitive Commodities
April 12, 1991
6209
UBD.PCB.70/DC/PR.474-90/91
Selective Credit Control – Advances against Senitive Commodities
April 12, 1991
6210
UBD.PCB.No.71/DC/PR.474/90-91
Selective Credit Control – Advances aganist Sensitive Commodities
April 12, 1991
6211
RPCD.No.RF.DIR.BC.102/D.1-90/91
Interest rates on deposits under Non-Resident (External) Rupee Accounts Scheme
April 12, 1991
6212
RPCD.No.RF.DIR.BC.103/D.1-90/91
Interest rates on deposits accepted under Non-Resident (External)Rupee Accounts Scheme
April 12, 1991
6213
RPCD.No.RF.DIR.BC.104/D.1-90/91
Interest Rates on Deposits
April 12, 1991
6214
RPCD.No.RF.DIR.BC.105/D.1-90/91
Interest rates on deposits
April 12, 1991
6215
UBD.(PCB)68/DC-V-1-90/91
Interest Rates on Deposits held under the Non-Resident (External) Rupee Accounts
April 12, 1991
6216
UBD(PCB)64/DC-V-1-90/91
Interest Rates on Deposits
April 12, 1991
6217
UBD(PCB)65/DC-V-1-90/91
Interest Rates on Deposits
April 12, 1991
6218
UBD(PCB)67/DC(V.1)90/91
Interest Rates on Deposits
April 12, 1991
6219
DBOD.No.Dir.BC.106/C.218-91
Selective Credit Control – Advances against Sensitive Commodities
April 12, 1991
6220
DBOD.No.Dir.BC.107/C.218-91
Selective Credit Control – Advances against Sensitive Commodities
April 12, 1991
6221
DBOD.No.Dir.BC.102/C.347(l)-91
Interest Rates oon Deposits under Non-Resident (External) Rupee Accounts Scheme
April 12, 1991
6222
DBOD.No.Dir.BC.103/C.347(I)-91
Interest Rates on Deposits Accepted under Non-Resident (External) Accounts scheme.
April 12, 1991
6223
DBOD.No.Dir.BC.104/C.347-91
Interest Rates on Deposits
April 12, 1991
6224
DBOD.No.Dir.BC.105/C.347-91
Interest Rates on Deposits
April 12, 1991
6225
UBD(PCB)62/DC.PR.474-90/91
Selectives Credit Control – Advances against Sensitive Commodities
April 8, 1991
6226
IECD.No.EFD.BC.48/819-POL-ECR-91
Export Credit (Interest Subsidy) Scheme, 1968 – Rate of Interest Subsidy
April 2, 1991
6227
IECD.No.EFD.BC.47/819-POL-ECR/90-91
Interest Rates on Advances – Export Credit
April 1, 1991
6228
RPCD.No.RF.DIR.BC.100/D.2-90/91
Interest rates on Advances
April 1, 1991
6229
RPCD.No.RF.DIR.BC.101/D.2-90/91
Interest rates on Advances Export Credit
April 1, 1991
6230
UBD.(PCB)59/DC.HG.9/90-91
Interest Rates on Advances
April 1, 1991
6231
UBD(PCB)60/DC.HG.9/90-91
Interest Rates on Advances – Export Credit
April 1, 1991
6232
IECD.No.PMD.46/99/90-91
Financing of Imports
April 1, 1991
6233
IECD.No.EFD.BC.44/DDB(P)-91
Duty Drawback Credit Scheme, 1976 – Grant of Interest-free Advance against Duty Drawback Entitlements under Brand Rate
March 26, 1991
6234
IECD.No.PMD.45/99/90-91
Financing of Imports
March 26, 1991
6235
DBOD.No.IBS.BC.99/C.452(K)-91
Provisions towards Bad/Doubtful Debts and Liabilities towards Terminal Benefits
March 25, 1991
6236
DBOD.No.Ret.BC.100/C.96(Ret)-91
Section 42 of the RBI Act, 1934 and Section 24 of the BR Act, 1949 – Payment of Interest on Eligible Cash Balances Mauntained with RBI and Recovery of Penal Interest
March 25, 1991
6237
DBOD.No.Dir.BC.97/C.347(J)-91
Donations
March 22, 1991
6238
DBOD.No.BL.BC.98/C.168(64D)-91
Utilisation of Pending Licences Issued under the Previous Branch Licensing Policy 1985-90
March 22, 1991
6239
IECD.No.PMD.42/99/90-91
Financing of Imports
March 19, 1991
6240
DBOD.No.Fol.BC.96/C.249-91
Management of Advances Portfolio and Control over Advances
March 15, 1991
6241
DBOD.No.Dir.BC.95/C.347-91
Interest Rates on Deposits – Premature Withdrawal
March 13, 1991
6242
DBOD.No.BP.BC.94/C.464(W)-91
Induction Training Arragements for the Staff of Regional Rural Banks (RRBs)
March 12, 1991
6243
IECD.No.CMD.B.41/Tex/90/91
Working Capital Requirements of Composite Textile Mills – Relaxation in the Norm for Finished Goods and Receivables
March 11, 1991
6244
IECD.No.EFD.BC.40/819-POL-ECR-91
Provision of Timely and Adequate Export Credit
March 4, 1991
6245
ACD.OPR.3526/A.35-80/81
Interest Rates on Advances
March 2, 1991
6246
UBD(DC)80/H.G.9-85/86
Pre-shipment Finance for Exports
March 1, 1991
6247
IECD.No.EFD.BC.39/819-POL-ECR-91
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Handicrafts made out of Cane
February 28, 1991
6248
DBOD.No.Leg.BC.90/C.466(IV)-91
Working Group on Customer Service in Banks (Recommendation No.30) and Popularisation of Nomination Facility
February 28, 1991
6249
DBOD.No.BP.BC.89/C.576-91
Banking Service/Credit Relaxations to Borrowers/Customers in Punjab and Jammu & Kashmir
February 26, 1991
6250
UBD(PCB)57/DC.R.1A/90-91
Financing of Imports
February 25, 1991
6251
UBD(PCB)55/DC.R.1-90/91
Maximum Limit on Advances – Advances against Cheques Sent for Collection
February 25, 1991
6252
UBD.No.I&L51/J.1-90/91
Classification of Non-Performing Loans
February 23, 1991
6253
UBD.No.RBL.49/J/90-91
Section 23 read with Section 56(P) of Banking Regulation Act, 1949 – Branch Expansion Programme in Metropolitan/Urban/Semi-urban Centers
February 22, 1991
6254
DBOD.No.Dir.BC.87/C.347(l)-91
FCNR Deposits – Payment of Brokerage
February 21, 1991
6255
RPCD.No.BF.BC.86/D.2-90/91
Selective Credit Control – Advances against Sensitive Commodities
February 16, 1991
6256
DBOD.No.BL.BC.81/C.168(64D)-91
Section 23 of the Banking Regulation Act, 1949 – Opening/Closing of Bank Branches
February 16, 1991
6257
DBOD.No.BL.BC.82/BL.77-91
Section 23 of the Banking Regulation Act, 1949 – Opening of Extension Counters
February 16, 1991
6258
RPCD.No.RF.DIR.BC.84/D.1-90/91
Interest Rates on Deposits
February 11, 1991
6259
UBD.(PCB)44/DC(V.1)-90/91
Interest Rates on Deposits
February 11, 1991
6260
RPCD.No.RF.DIR.BC.85/D.1-90/91
Participation in the Call Money Market
February 11, 1991
6261
UBD.(PCB)45/DC.(V.1)-90/91
Participation in Call Money Market
February 11, 1991
6262
UBD(PCB)42/DC.HC.(Policy)-90/91
Credit Monitoring System – Health Code for Borrowal Accounts in Urban Co-operative Banks
February 11, 1991
6263
RPCD.No.RF.687/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency
February 7, 1991
6264
RPCD.No.RF.DIR.BC.82/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non – Resident) Accounts Scheme (FCNR)
February 7, 1991
6265
UBD.(SUC)34/DC/V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 7, 1991
6266
UBD(SUC)33/DC/V.1(B)90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 7, 1991
6267
DBOD.No.Dir.BC.78/C.347(l)-91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 7, 1991
6268
DBOD.No.Dir.BC.79/C.347(l)-91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 7, 1991
6269
IECD.No.PMD.37/C.446 (PL)-90/91
Credit Monitoring Arrangement (CMA) – Revision of Data base
February 6, 1991
6270
IECD.No.PMD.38/C.446(C&P)-90/91
Financing of Imports
February 6, 1991
6271
DBOD.No.Dir.BC.75/C.218-91
Selective Credit Control – Advances against Senstitive Commodities
February 1, 1991
6272
DBOD.No.BP.BC.73/C.469-91
Bills Rediscounting Scheme – Rediscounting of Bills with Financial Institutions
January 29, 1991
6273
DBOD.No.Dir.BC.76/C.347-91
Interest Rates on Deposits
January 29, 1991
6274
DBOD.No.Dir.BC.77/C.347-90
Participation in the Call Money Market
January 29, 1991
6275
DBOD.No.GC.BC.74/C.408(A)-90/91
Frauds in Banks
January 29, 1991
6276
IECD.No.PMD.36/C.446(C&P)-90/91
Financing of Imports
January 24, 1991
6277
DBOD.No.Dir.BC.72/C.347(PM/BBA)-91
Buy-back Arragements in Government and Other Approved Securities Entered into by commercial Banks
January 23, 1991
6278
UBD(PCB)39/DC.R.1-90/91
Financing of Inland Credit Sales – Charging Additional Interest on Book Debt Finance in Excess of the Prescribed Limit
January 22, 1991
6279
DBOD.No.Dir.BC.70/C.347(l)-91
Interest Rates on Deposits
January 21, 1991
6280
DBOD.No.Dir.BC.71/C.347(l)-91
Interest Rates on Deposits – Waiver of Penalty for Premature Withdrawal of NRE/FCNR Deposits for Investment in NRI Bonds (Second Series) of State Bank of India
January 21, 1991
6281
UBD.(PCB)37/DC.R.1A.90/91
Financing of Imports
January 19, 1991
6282
RPCD.No.RF.BC.76/D.1-90/91
Interest Payable on the deposit account of deceased depositors
January 18, 1991
6283
UBD.PCB.35/DC.V.1-90/91
Rounding off of Transactions to the Nearest Rupee
January 16, 1991
6284
DBOD.No.BL.BC.68/C.168(64D)-91
Approach to Future Branch Expansion
January 16, 1991
6285
IECD.No.EFD.BC.35/819-POL-ECR-99/ 91
Statistics relating to Export Credit
January 15, 1991
6286
IECD.No.PMD.34/C.446(C&P)-90/91
Financing of Imports
January 12, 1991
6287
RPCD.No.RF.566/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 12, 1991
6288
RPCD.No.RF.DIR.BC.73/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 12, 1991
6289
UBD.(SUC)31/DC/V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 12, 1991
6290
UBD(SUC)30/DC/V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 12, 1991
6291
DBOD.No.BC.67/C.347(I)-91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 12, 1991
6292
DBOD.No.Dir.BC.66/C.347(l)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 12, 1991
6293
DBOD.No.GC.BC.65/C.408(A)-91
Frauds in Banks
January 12, 1991
6294
UBD.RBL.597/J.90/91
Particulars of Existing Offices/Branches etc.
January 11, 1991
6295
RPCD.No.SP.BC.72/C.665(P)90/91
Interest Rates on Loans under Various Government of India Sponsored Schemes
January 10, 1991
6296
RPCD.No.RF.ROC.9/D.1-90/91
Interest rates on deposits Premature withdrawal of term deposit for a period of 46 days
January 9, 1991
6297
UBD.BR.454/A.6(A)90/91
Amendment to Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Change of Accounting Year in respect of Co-operative Banks
January 8, 1991
6298
RPCD.No.RF.DIR.BC.70/D.2-90/91
Selective Credit Control – Advances against Paddy/Rice and Other Foodgrains
January 7, 1991
6299
RPCD.No.RF.DIR.BC.71/D.2-90/91
Selective Credit Control – Advances against Sensitive Commodities
January 7, 1991
6300
UBD.(PCB)31/DC.PR.474-90/91
Selective Credit Control – Advances against Sensitive Commodities – Paddy/Rice, Other Foodgrains
January 7, 1991
6301
UBD.(PCB)32/DC.PR.474-90/91
Selectives Credit Control – Advances against Sensitive Commodities – Paddy/Rice and Other Foodgrains
January 7, 1991
6302
DBOD.No.Dir.BC.63/C.218-91
Selective Credit Control – Advances against Sensitive Commodities
January 7, 1991
6303
DBOD.No.Dir.BC.64/C.218-91
Selective Credit Control – Advances against Sensitive Commodities
January 7, 1991
6304
IECD.No.IRD.31/IR-A/90-91
Rehabilitation of Sick/Weak Industrial Units
December 29, 1990
6305
IECD.No.PMD.30/C.446 (PL)-90/91
Financing of Inland Credit Sales – Charging of Additional Interest on Book-debt Finance in Excess of the Prescribed Level
December 28, 1990
6306
IECD.No.PMD.BC.29/C.446-1-2(PL)-90/91
Commitment Charge on Unutilised Portion of Credit Limits
December 28, 1990
6307
IECD.No.PMD.28/C.446(C&P)-90/91
Financing of Imports
December 24, 1990
6308
UBD.DC.15/R.40-90/91
Grant of Advances against the Security of Kisan Vikas Patras
December 24, 1990
6309
DBOD.No.Ret.BC.61/C.96(Ret)-90
Section 42 of the Reserve Bank of India Act, 1934 – Shortfall in the Maintenance of Cash Reserve Ratio (CRR) – Scheme of Graduated Interest Rates
December 24, 1990
6310
IECD.No.PMD.27/C.446(PL)-90/91
Implementation of the Recommendations of Tandon/Chore Committee
December 20, 1990
6311
RPCD.No.RF.BC.64/A.20(24)-90/91
Maintenance of minimum average daily balance under Section 42(1) of the Reserve Bank of India Act, 1934
December 20, 1990
6312
RPCD.No.RF.BC.65/324-90/91
Regional Rural Banks – Exemption from provisions of proviso to sub-section (1) of Section 42 of RBI Act, 1934
December 20, 1990
6313
DBOD.No.BP.BC.60/65-90
Certificates of Deposit (CDs)
December 20, 1990
6314
RPCD.No.RF.494/324-90/91
Notification
December 19, 1990
6315
RPCD.No.RF.495/A.20(24)-90/91
Notification
December 19, 1990
6316
UBD.(SUC) 28/DC/V.1(B)-90/91
FCNR Deposits
December 19, 1990
6317
UBD.(SUC)24/DC/V.1(B)-90/91
Interest Rates on Deposits held in FCNR Accounts
December 19, 1990
6318
UBD.(SUC)27/DC/V.1(B)-90/91
Interest Rates on Deposits held in FCNR Accounts
December 19, 1990
6319
UBD(SUC)25/DC/V-1(B)-90/91
FCNR Special Deposit Scheme
December 19, 1990
6320
RPCD.No.RF.DIR.BC.61/D.1(F)-90/91
Interest rates on deposits held in FCNR accounts
December 18, 1990
6321
RPCD.No.RF.DIR.BC.62/D.1(F)-90/91
FCNR ‘Special Deposit’ Scheme
December 18, 1990
6322
IECD.No.CMD.I.26/C.446(CC)-90/91
Financing of Subsidy Receivables in the case of Fertiliser Industry
December 12, 1990
6323
UBD.DC.29/V.1-90/91
Charging of Penal Interest for the Defaulted Instalments of Recurring Deposits
December 8, 1990
6324
DBOD.No.Dir.BC.59/C.218-90
Selective Credit Control – Advances against Sensitive Commodities
December 6, 1990
6325
RPCD.No.RF.439/D.1(F)-90/91
Interest rates on – deposits held under Foreign-Currency (Non-Resident) Accounts Scheme (FCNR)
December 3, 1990
6326
RPCD.No.RF.DIR.BC.56/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 3, 1990
6327
UBD.(SUC) 21/DC/V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
December 3, 1990
6328
UBD(SUC)22/DC-V-1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 3, 1990
6329
DBOD.No.Dir.BC.57/C347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 3, 1990
6330
DBOD.No.Dir.BC.58/C.347(I)-90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 3, 1990
6331
RPCD.No.RF.DIR.BC.54/D.1-90/91
Interest Rates on Deposits
November 30, 1990
6332
RPCD.No.RF.DIR.BC.55/D.1-90/91
Interest Rates on Deposits – Participation in the Call Money Market
November 30, 1990
6333
UBD.(PCB)26/DC(V.1)-90/91
Interest Rates on Deposits
November 30, 1990
6334
UBD.(PCB)27/DC(V.1)-90/91
Participation in Call Money Market
November 30, 1990
6335
DBOD.No.Leg.BC.54/C.466(IV)-90
Customer Service – Payment of Interest for Delay in Collection of Outstation Cheques
November 29, 1990
6336
DBOD.No.Dir.BC.55/C.347(I)-90
Interest Rates on Deposits
November 29, 1990
6337
DBOD.No.Dir.BC.56/C347(I)-90
Interest Rates on Deposit – Waiver of Penalty for Premature Withdrawals of NRE/FCNR Deposit for Investment in NRI Bonds
November 29, 1990
6338
RPCD.No.RF.BC.53/D.1-90/91
Recurring Deposits-Account – Method of calculation of interest on premature withdrawal/discontinuance of recurring deposits and charging of penal interest for the defaulted instalments of recurring deposits
November 26, 1990
6339
DBOD.No.Dir.BC.51/C.96(SD/PSB)-90
Holdings of Corporate Shares and Debentures and Public Seector Bonds
November 26, 1990
6340
RPCD.No.RF.DIR.BC.59/D.1(F)-90/91
Deposits under Foreign currency Non-Resident Accounts Scheme
November 24, 1990
6341
RPCD.No.RF.DIR.BC.60/D.1(F)-90/91
FCNR Deposits
November 24, 1990
6342
DBOD.No.Dir.BC.52/C.347(I)-90
Deposits under Foreign Currency (Non-Resident) Accounts Scheme
November 24, 1990
6343
DBOD.No.Dir.BC.53/C.347(I)-90
FCNR Deposits
November 24, 1990
6344
IECD.No.IRD.24/IR-A/90-91
Rehabilitation of Sick/Weak Industrial Units – Exemption of Individual Bank’s Exposure from the Application of the Existing Ceilings prescribed under the Prudential Norms for Risk Management in the case of Sick/Weak Units
November 23, 1990
6345
IECD.No.PMD.23/C.446(C&P)-90/91
Financing of Imports
November 19, 1990
6346
DBOD.No.Dir.BC.49/C.347-90
interest Rates on Deposits
November 17, 1990
6347
DBOD.No.Dir.BC.50/C.347-90
Participation in the Call Money Market
November 17, 1990
6348
UBD.(PCB)24/DC.R.1A-90/91
Financing of Imports
November 10, 1990
6349
DBOD.No.GC.BC.48/C.408/C(P)-90
Complaints against Banks – Non-Aceptance of Currency Notes of Smaller Denominations by Banks for Issue of Drafts/Other Transactions
November 9, 1990
6350
IECD.No.CMD.IV.22/74-90/91
Lending Norms for Diamond Exporters
November 8, 1990
6351
IECD.No.IRD.20/IR-A/90-91
Funding of Workers’ Co-operatives for Take over of Sick Industrial Units
November 7, 1990
6352
IECD.No.IRD.21/IR-A/90-91
Rehabilitation of Sick/Weak Industrial Units – Discounting of Debts by Banks
November 7, 1990
6353
IECD.No.EFD.BC.18/819/POL-ECR-90/91
Export Finance – Problems Faced by Exporters as a result of Gulf Crisis
November 6, 1990
6354
RPCD.No.RF.ROC.6/324-90/91
Section 42 of the RBI Act, 1934 and Sections 18 and 24 of the B.R. Act, 1949 – Cash Reserve Ratio and Statutory Liquidity Ratio – Classification of amounts received from NABARD under Agricultural and Rural Debt Relief Scheme, 1990
November 6, 1990
6355
IECD.No.PMD.17/C.446(C&P)-90/91
Financing of Import of Capital Goods
November 1, 1990
6356
DBOD.No.Dir.BC.45/C.347(l)-90
Interest Rates on Deposits held in FCNR Accounts
November 1, 1990
6357
DBOD.No.Dir.BC.46/C.347(I)-90
FCNR ‘Special Deposit’ Scheme
November 1, 1990
6358
DBOD.No.BP.BC.41/C.469-90
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
October 31, 1990
6359
DBOD.No.BP.BC.42/C.469(W)-90
Classification of Non-Performing Loans
October 31, 1990
6360
UBD.REH.23 /R(Gen)-90/91
Declaration of Dividend
October 29, 1990
6361
IECD.No.MIS.16/C.446-1-2-90/91
Credit Monitoring Arrangement – Submission of Statistical Data in Form ‘A’ on Quarterly basis
October 29, 1990
6362
DBOD.No.Dir.BC.39/C347-90
Interest Rates on Deposits
October 29, 1990
6363
DBOD.No.Dir.BC.40/C.347-90
Scheme of Urban Micro Enterprises (SUME) – Opening of Savings Bank Accounts in the Name of Urban Local Bodies Under Nehru Rozar Yojana
October 29, 1990
6364
IECD.No.PMD.15/C.446 (C&P)-90/91
Financing of Imports
October 25, 1990
6365
RPCD.No.RF.314/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts. Scheme (FCNR)
October 25, 1990
6366
RPCD.No.RF.DIR.BC.43/D.(F)90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 25, 1990
6367
UBD.(SUC)No.19/DC.V.1(B).90/91
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
October 25, 1990
6368
UBD(SUC)18/DC-V-I(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 25, 1990
6369
DBOD.No.Dir.BC.37/C.347(l)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 25, 1990
6370
DBOD.No.Dir.BC.38/C.347(l)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 25, 1990
6371
IECD.No.EFD.BC.14/819-POL-ECR-90
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Shellac/Seedlac
October 22, 1990
6372
DBOD.No.Dir.BC.35/C.96(Z)-90
Bank Guarantee Scheme
October 22, 1990
6373
DBOD.No.Dir.BC.36/C.347-90
Rounding Off Transactions to the Nearest Rupee
October 22, 1990
6374
DBOD.No.Ret.BC.33/C.178-90
T.T. Discounting Facilities
October 16, 1990
6375
IECD.No.CMD.IV.13/HF-P-90/91
Issue of Guarantee by Banks favouring HUDCO in respect of Loans to State sponsored Bodies
October 15, 1990
6376
UBD(PCB)20/DC(V.1)-90/91
Interest Rates on Deposits
October 15, 1990
6377
UBD.(PCB)21/DC.(V.1)-90/91
Participation in Call Money Market
October 15, 1990
6378
No.UBD.(PCB)17/DC.PR.474-90/91
Selective Credit Control – Advances against Sensitive Commodities – Paddy/Rice, Other Foodgrains
October 9, 1990
6379
RPCD.No.RF.DIR.32/D.2/90-91
Selective Credit Control – Advances against Paddy/Rice and Other Foodgrains
October 9, 1990
6380
RPCD.No.RF.DIR.BC.33/D.2-90/91
Selective Credit Control Advance’s against Sensitive Commodities
October 9, 1990
6381
RPCD.No.RF.DIR.BC.36/D.2-90/91
Interest rates an advances
October 9, 1990
6382
RPCD.No.RF.DIR.BC.37/D.2/90-91
Interest Rates on Advances
October 9, 1990
6383
UBD.(PCB)18/DC PR.474-90/91
Selective Credit Control – Adavnces against Sensitive Commodities – Paddy/Rice and Other Foodgrains
October 9, 1990
6384
RPCD.No.DIR.BC.35/D.1-90/91
Interest Rates on Deposits Participation in the Call Money Market
October 9, 1990
6385
RPCD.No.RF.DIR.BC.30/D.1-90/91
Interest Rates on Deposits
October 9, 1990
6386
RPCD.No.RF.DIR.BC.31/D.1-90/91
Interest Rates on Deposits
October 9, 1990
6387
RPCD.No.RF.DIR.BC.34/D.1-90/91
Interest Rates on Deposits
October 9, 1990
6388
UBD.(PCB)14/DC.V.1-90/91
Interest Rates on Deposits
October 9, 1990
6389
UBD(PCB).15/DC-V-1-90/91
Interest Rates on Deposits
October 9, 1990
6390
DBOD.No.Dir.BC.29/C.218-90
Selective Credit Control – Advances against Sensitive Commodities
October 9, 1990
6391
DBOD.No.Dir.BC.30/C.218-90
Selective Credit Control – Advances against Sensitive Commodities
October 9, 1990
6392
DBOD.No.Dir.BC.25/C.347-90
Interest Rates on Deposits
October 9, 1990
6393
DBOD.No.Dir.BC.26/C.347-90
Participation in the Call Money Market
October 9, 1990
6394
DBOD.No.Dir.BC.27/C.347-90
Interest Rates on Deposits
October 9, 1990
6395
DBOD.No.Dir.BC.28/C.347-90
Interest Rates on Deposits
October 9, 1990
6396
DBOD.No.Fol.BC.24/C.249-90
Regulation of Staff Growth in Banks
October 8, 1990
6397
UBD.Plan.221/UB.23-90/91
Role of Urban Co-operative Banks in the VIII Five Year Plan
October 6, 1990
6398
UBD.(PCB)11/DC-R.1/90/91
Maximum Limit on Advances
October 4, 1990
6399
UBD.(PCB)12.DC.R-1-90/91
Maximum Limit on Advances
October 4, 1990
6400
DBOD.No.BP.BC.23/C.469-90
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
October 1, 1990
6401
RPCD.No.RF.BC.28/A.12(24)-90/91
The RBI Scheduled Banks’ Regulations 1951 – Classification of deposits accepted under the Home Loan Account Scheme of the National Housing Bank in Form B
September 27, 1990
6402
UBD.Reh.4/R.(Gen)-90/91
Rehabilitation of Weak Primary (Urban) Co-operative Banks
September 26, 1990
6403
RPCD.No.RF.261/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 24, 1990
6404
RPCD.No.RF.DM.BC.25/D.1(F)-90-91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 24, 1990
6405
UBD.(SUC)15/DC-V-1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
September 24, 1990
6406
UBD.(SUC)No.16/DC/V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
September 24, 1990
6407
DBOD.No.Dir.BC.20/C.347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 24, 1990
6408
DBOD.No.Dir.BC.21/C347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 24, 1990
6409
RPCD.No.R.F.DIR.BC.24/D.2-90/91
Interest rates on Advances
September 21, 1990
6410
RPCD.No.RF.DIR.BC.23/D.2-90/91
Interest Rates on Advances
September 21, 1990
6411
IECD.No.PMD.BC.12/C.446(C&P)-90/91
Co-acceptance/Issuance of Guarantees favouring Financial Institutions – Buyers’ Line of credit Scheme (BLCS)
September 21, 1990
6412
DBOD.No.BL.BC.17/BL.77-90
Section 23 of the Banking Regulation Act 1949 – Opening of Extension Counters
September 13, 1990
6413
DBOD.No.BL.BC.16/C.168(64D)-90
Approach to Future Branch Expansion
September 12, 1990
6414
DBOD.No.BL.BC.15/C.168(64D)-90
Utilisation of Pending Licences Issued under Branch Expansion Programme 1985-90 – Extension in the Validity Period thereof
September 11, 1990
6415
UBD.(PCB)8/DC.V.1-90/91
Directives on Interest Rates on Deposits
September 7, 1990
6416
UBD.(PCB)No.9/DC-V-1-90/91
Interest Payable on the Deposit Account of Deceased Depositor/s
September 7, 1990
6417
RPCD.No.RF.BC.18/324-90/91
Section 42 of the Reserve Bank of India Act, 1934 – Recovery of penal interest for default in maintaining the prescribed Cash Reserve Ratio
September 5, 1990
6418
DBOD.No.Leg.BC.13/C.466(IV)-90
Encashment of Drafts
September 5, 1990
6419
IECD.No.CMD.I.10/T-90/91
Inventory and Receivables Norms for Polyester Staple Fibre (PSF) Industry
September 3, 1990
6420
RPCD.No.RF.212/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 1, 1990
6421
RPCD.No.RF.DIR.BC.16/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 1, 1990
6422
UBD.(SUC)No.9/DC-V-1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 1, 1990
6423
UBD(SUC)No.10/DC-V-1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 1, 1990
6424
DBOD.No.Dir.BC.11/C.347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Repatriable) Accounts Scheme (FCNR)
September 1, 1990
6425
DBOD.No.Dir.BC.12/C.347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 1, 1990
6426
DBOD.No.BP.BC.10/C.469(W)-90
Mushroom Growth of Financial Companies in the Border Areas of Punjab
August 31, 1990
6427
UBD.NBL.3/J.21-90/91
Registration and Licensing of New Primary (Urban) Co-operative Banks
August 28, 1990
6428
RPCD.No.RF.DIR.BC.19/D.1(F)-90/91
Interest rates on deposits held in FCNR accounts
August 20, 1990
6429
RPCD.No.RF.DIR.BC.20/D.1(F)-90/91
FCNR ‘Special Deposit’ Scheme
August 20, 1990
6430
UBD.(SUC)12/DC-V-1-90/91
Interest Rates on Deposits held in FCNR Accounts
August 20, 1990
6431
UBD.(SUC)13/DC-V-1-90/91
FCNR Special Deposits Scheme
August 20, 1990
6432
IECD.No.IRD.8/IR-73/90/91
Half-yearly Reporting System in respect of SSI Sick and Non-SSI Sick/Weak Industrial Units
August 20, 1990
6433
DBOD.No.Dir.BC.8/C.347(I)-90
Interest Rates on Deposits held in FCNR Accounts
August 20, 1990
6434
DBOD.No.Dir.BC.9/C347(l)-90
FCNR Special Deposit Scheme
August 20, 1990
6435
IECD.No.CMD.IV.7/NP.113/90-91
Advances to Newspapers
August 13, 1990
6436
RPCD.No.RF.DIR.BC.9/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non – Resident) Accounts Scheme (FCNR)
August 11, 1990
6437
RPCD.RF.128/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 11, 1990
6438
UBD.(SUC)No.6/DC.V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 11, 1990
6439
UBD(SUC)No.7/DC-V-1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 11, 1990
6440
DBOD.No.Dir.BC.6/C.347(l)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 11, 1990
6441
DBOD.No.Dir.BC.7/C.347(l)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 11, 1990
6442
UBD.P&O.4/HG.9-90/91
Credit Limits under Section 17(4)(A) of Reserve Bank of India Act, 1934 – Scheduled Urban Co-operative Banks
August 8, 1990
6443
UBD.NBL.4/J.21-90/91
Organisation of New Urban Co-operative Banks – Proposals, Policy and Procedure
August 8, 1990
6444
DBOD.No.Dir.BC.4/C.347-90
Interest Payable on the Depoists Accounts of Deceased Depoistors
August 6, 1990
6445
DBOD.No.Dir.BC.5/C.347-90
Interest Payable on the Deposit Account of Deceased Depositor/s
August 6, 1990
6446
DBOD.No.Dir.BC.2/C.347-90
Acceptance of Term Deposits
July 24, 1990
6447
RPCD.No.RF.BC.6/D.1-90/91
Recurring Deposits Account – Method of calculation of interest on premature withdrawal/discontinuance of recurring deposits and charging of penal interest for the defaulted instalments of recurring deposits
July 23, 1990
6448
DBOD.No.Dir.BC.1/C.96(SD/PSB)-89/90
Corporate Clients of Commerical Banks – Application Monies Received for Issues of Shares, Debentures, Bonds, etc. – Utilistion of
July 23, 1990
6449
IECD.No.EFD.BC.6/819-POL-ECR-90
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances – Financing of Exports of Silk Fabrics, Silk Piece Goods and Silk Made-ups
July 20, 1990
6450
RPCD.No.RF.DIR.BC.5/D.1(F)-90/91
Comprehensive directive relating to deposits accepted in FCNR Accounts
July 20, 1990
6451
RPCD.No.RF.DIR.BC.4/D.1(F)-90/91
Interest rates on deposits held in FCNR Accounts
July 20, 1990
6452
UBD.PCB.2/DC.(R-1)-90/91
Financing of Leasing/Hire Purchase Companies
July 20, 1990
6453
RPCD.No.RF.63/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 18, 1990
6454
RPCD.No.RF.DIR.BC.3/D.1(F)-90/91
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme
July 18, 1990
6455
UBD(SUC)1/DC-V.1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 18, 1990
6456
UBD(SUC)No.2/DC-V-1(B)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 18, 1990
6457
DBOD.No.Dir.BC.127/C.347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 18, 1990
6458
DBOD.No.Dir.BC.128/C.347(I)-90/91
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 18, 1990
6459
IECD.No.IRD.3/IR-A/90-91
Rehabilitation of Sick/Weak Industrial Units
July 12, 1990
6460
IECD.No.CMD.IV.4/LF/90-91
Norms for Lending to Leasing and Hire Purchase Companies
July 12, 1990
6461
IECD.No.PMD.2/87 (CP)-90/91
Commercial Paper (CP) – Renewal of Existing Issue
July 7, 1990
6462
UBD.(SUC)22/DC.R-1-90/91
Credit Monitoring Arragement – Lending Discipline – Quarterly Information System (QIS)
July 7, 1990
6463
DBOD.No.GC.BC.126/C.408A(89)-90
Guidelines for referring Fraud/Embezzlement Cases in Public Sector Banks to Central Bureau of Investingation/Local Police
July 3, 1990
6464
DBOD.No.Dir.BC.124/C.218-90
Selective Credit Control – Advances against Wheat, Oilseeds and Vegetables Oils (including Vanaspati)
July 2, 1990
6465
DBOD.No.Dir.BC.125/C.218-90
Selective Credit Control – Advances against Sensitive Commodities
July 2, 1990
6466
DBOD.No.BP.BC.123/C.469(W)-90
Foreign Contribution Regulation Act, 1976 – Payment by Debit to NRE/FCNR Accounts by Non-Resident Foreign Citizens of Indian Orgin
July 2, 1990
6467
RPCD No.RF.DIR.BC.126/D.2-89/90
Selective Credit Control – Advances against Wheat and Oilseeds/Vegetable Oils
June 29, 1990
6468
RPCD.No.RF.DIR.BC.125/D.2-89/90
Selective Credit Control – Advances against Wheat and Oilseeds/Vegetable Oils
June 29, 1990
6469
UBD.(PCB)43/DC.PR.474-89/90
Selective Credit Control – Advances against Wheat and Oilseeds/Vegetables Oils (including Vanaspati)
June 29, 1990
6470
UBD.PCB.44/DC/PR.474-89/90
Selective Credit Control – Advances against Wheat and Oilseeds/Vegetables Oils (including Vanaspati)
June 29, 1990
6471
DBOD.No.Dir.BC.121/C.347(J)-90
Donations
June 18, 1990
6472
UBD.No.RO/19/DC(V-1)-89/90
Safe Deposits Lockers
June 13, 1990
6473
RPCD No.RF.ROC.26/D.1-89/90
Customer Service – Payment of interest at Savings bank Rate for delay in collection of outstation cheques
June 11, 1990
6474
DBOD.No.GC.BC.117/C.408A(89)-90
Guidelines for referring Fraud/Embezzlement Cases in Public Sector Banks to Central Bureau of Investingation/Local Police
May 31, 1990
6475
DBOD.No.BP.BC.114/C.469(W)-90
Extension of Credit Facilities including Bill Limits and/or Non-Fund Based Limits to Parties not Enjoying Regular Credit Facilities with them
May 29, 1990
6476
RPCD.No.RF.932/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 29, 1990
6477
RPCD.No.RF.DIR.BC.111/D.1(F.)-89-90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 29, 1990
6478
UBD.(SUC)19/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
May 29, 1990
6479
UBD(SUC)No.20/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
May 29, 1990
6480
DBOD.No.Dir.BC.115/C.347(I).89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 29, 1990
6481
DBOD.No.Dir.BC.116/C.347(1)89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 29, 1990
6482
DBOD.No.BP.1282/C.469(V)-90
Assurance to Lok Sabha – Unstarred Question No. 1917 dated 23 March, 1990 regarding Fictitious Accounts in Banks
May 28, 1990
6483
DBOD.No.BP.BC.113/C.469
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
May 25, 1990
6484
RPCD No.RF.ROC.24/324-89/90
Sections 18 and 24 of Banking Regulation Act, 1949 and Section 42 of RBI Act, 1934 – Treatment of various provisions made while preparing Accounts Statements
May 24, 1990
6485
DBOD.No.BP.BC.111/C.576-90
Assistance to Persons/Enterprises Affected by Fire in Different Parts of the Country
May 23, 1990
6486
DBOD.No.BP.BC.112/65-90
Certificates of Deposits (CDs)
May 23, 1990
6487
UBD.No.17/DC(R.40)-89/90
Amendment to Section 269T of the Income-tax Act – Direct Tax Laws (Amendment) Act, 1987 w.e.f 1 Aprl 1989
May 21, 1990
6488
UBD.No.PCB.38/DC/HG.9-89/90
Interest Rates on Advances
May 19, 1990
6489
UBD.No.(RO)16/DC.(R.1)-89/90
Withholding of Credit Facilities to Borrowers to Ensure Financial Dispciline
May 17, 1990
6490
DBOD No.BPBC.110/C.469(45)-90
Rural Publicity and Involvement of RRBs in Publicity
May 7, 1990
6491
RPCD No.RF.DIR.BC.106/D.2-89/90
Selective Credit Control – Advances against Oilseeds/Vegetable Oils
May 3, 1990
6492
RPCD.No.RF.DIR.BC.105/D.2-89/90
Selective Credit Control – Advances against Oilseeds/Vegetable Oils
May 3, 1990
6493
UBD.PCB.35/DC/PR.474-89/90
Selective Credit Control – Advances against Oilseeds and Vegetable Oils (including Vanaspati) – Increase in Minimum Margin
May 3, 1990
6494
UBD.PCB.36/DC/PR.474-89/90
Seletive Credit Control – Advances against Oilseeds and Vegetable Oils (including Vanspati) – Increase in Margin
May 3, 1990
6495
RPCD No.RF.847/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 3, 1990
6496
RPCD No.RF.DIR.BC.104/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 3, 1990
6497
UBD.(SUC)16/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
May 3, 1990
6498
UBD(SUC)No.17/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
May 3, 1990
6499
DBOD.No.Dir.BC.107/C.218-90
Selective Credit Control
May 3, 1990
6500
DBOD.No.Dir.BC.108/C.218-90
Selective Credit Control – Advances against Sensitive Commodities
May 3, 1990
6501
DBOD.No.Leg.BC.104/C.466(IV)-90
Customer Service – Fixation of Time Limit for Issue of Duplicate Draft
May 3, 1990
6502
DBOD.No.Dir.BC.105/C.347(I)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 3, 1990
6503
DBOD.No.Dir.BC.106/C347(I)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 3, 1990
6504
UBD.No.PCB.32/DC.V.1(B)-89/90
Interest Rates on Deposits
April 30, 1990
6505
UBD.PCB.33/DC-V-1.89/90
Participation in Call Money Market
April 30, 1990
6506
IECD.2/87(CP)-89-90
Notification
April 24, 1990
6507
IECD.No.PMD.28/87(CP)-89/90
Commercial Paper (CP) – Amendment to Directions
April 24, 1990
6508
DBOD.No.Ret.BC.102/C.96(Ret).90
Section 42 of the Reserve Bank of India Act, 1934 – Cash Reserve Ratio (CRR) – Interest on Banks Cash Balances with the Reserve Bank
April 20, 1990
6509
DBOD.No.Ret.BC.103/C.96(Ret)-90
Section 42 of the RBI Act, 1934 – Shortfall in the Maintenance of Cash Reserve ratio (CRR) – Scheme of Graduated Penalities
April 20, 1990
6510
DBOD.No.Ret.BC.100/C.236(G)Spl.90
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio by Banks
April 19, 1990
6511
DBOD.No.Ret.BC.99/C.236(G)Spl.90
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio by Banks
April 19, 1990
6512
DBOD.No.Dir.BC.98/C.218-90
Selective Credit Control (SCC) – Delegation of Powers to Regional Offices of Department of Banking Operations and Development (DBOD)
April 18, 1990
6513
DBOD.No.Dir.BC.96/C347-90
Interest Rates on Deposits
April 18, 1990
6514
DBOD.No.Dir.BC.97/C.347-90
Participation in the Call Money Market – General Insurance Corporation of India (GIC), Industrial Development Bank of India (IDBI), and National Bank for Agriculture and Rural Development (NABARD)
April 18, 1990
6515
IECD.No.CMD.II.27/(E-P)-89/90
Inventory/Receivables Norms for Electronics Industry
April 17, 1990
6516
DBOD.No.Dir.BC.95/C.347(f)90
Interest Rates on Deposits – Addition/Deletion of Names of NRE/FCNR Accounts
April 17, 1990
6517
RPCD No.RF.DIR.BC.100/D.2-89/90
Selective Credit Control – Advances against Sensitive Commodities
April 12, 1990
6518
RPCD.No.RF.DIR.BC.99/D.2-89/90
Selective Credit Control – Advances against Wheat, Cotton and Kapas
April 12, 1990
6519
UBD.(Dir)29/DC/PR.474-89/90
Selective Credit Control – Advances against Cotton and Kapas
April 12, 1990
6520
UBD.No.PCB.26/DC/PR.474-89/90
Selective Credit Control – Advances against Sensitive Commodities (Excluding Cotton and Kapas)
April 12, 1990
6521
UBD.No.PCB.27/DC/PR.474-89/90
Selectives Credit Control – Advances against Sensitive Commodities (Excluding Cotton and Kapas)
April 12, 1990
6522
UBD.PCB.30/DC/PR.474-89/90
Selective Credit Control – Advances against Cotton and Kapas
April 12, 1990
6523
RPCD No.RF.DIR.BC.97/D.1-89/90
Interest rates on deposits under Non-Resident (External) Rupee Accounts Scheme
April 12, 1990
6524
RPCD No.RF.DIR.BC.98/D.1-89/90
Interest rates on deposits accepted under Non-Resident (External) Rupee Accounts Scheme
April 12, 1990
6525
UBD.(UCB).23/DC(V.1)-89/90
Interest Rates on Deposits
April 12, 1990
6526
UBD.(UCB)24/DC-(V.1)-89/90
Interest Rates on Deposits held under Non-Resident (External) Rupee Accounts
April 12, 1990
6527
DBOD.No.Dir.BC.91/C.218-90
Selective Credit Control – Advances against Wheat, Cotton and Kapas
April 12, 1990
6528
DBOD.No.Dir.BC.92/C.218-90
Selective Credit Control – Advances against Sensitive Commodities
April 12, 1990
6529
DBOD.No.Dir.BC.93/C.347-90
Interest Rates on Deposits under Non-Resident (External) Rupee Accounts Scheme
April 12, 1990
6530
DBOD.No.Dir.BC.94/C.347(I)-90
Interest Rates on Deposits Accepted under Non-Resident (External) Accounts Scheme
April 12, 1990
6531
IECD.No.IRD.26/IR-A/89-90
Rehabilitation of Sick/Weak Industrial Units
April 9, 1990
6532
DBOD.No.BL.BC.89/C.168(64D)-90
Branch Expansion Programme 1985-90
April 6, 1990
6533
IECD.No.PMD.25/C.446(PL)-89/90
Withholding of Credit Facilities to Borrowers to Enforce Financial Discipline
April 5, 1990
6534
DBOD.No.BP.BC.88/60-90
Home Loan Account Scheme (HLAS) of National Housing Bank – Foreclosure of Loans Obtained from Other Sources
April 5, 1990
6535
IECD.No.CMD.IV.24/HF(P)-89/90
Housing Finance
March 30, 1990
6536
RPCD No.RF.717/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1990
6537
RPCD.No.RF.DIR.BC.92/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1990
6538
UBD.(SUC)13/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1990
6539
UBD.(SUC)No.14/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
March 26, 1990
6540
DBOD.No.Dir.BC.86/C347(l)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1990
6541
DBOD.No.Dir.BC.87/C.347(l)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 26, 1990
6542
RPCD.No.RF.BC.91/D.1-89/90
Customer Service – Payment of interest at Savings Bank rate for delay in collection of outstation cheques
March 24, 1990
6543
IECD.No.MIS.23/C.446-4-2-89/90
Credit Monitoring Arrangement – Submission of Quarterly Information System – Statement II
March 23, 1990
6544
DBOD.No.BP.1074/BP.60-90
Housing Finance – Designation of Specific Branches
March 23, 1990
6545
IECD.No.CMD.I.22/T/89-90
Extension of Working Capital Finance to Units of National Textile Corporation (NTC) and State Textile Corporations
March 22, 1990
6546
DBOD.No.GC.BC.85/C.408A(89)-90
Fraud in Banks
March 20, 1990
6547
RPCD No.RF.ROC.4051/324-89/90
Sections 18 and 24 of Banking Regulation, Act, 1949 – Section 42 of RBI Act 1934 – Treatment of various provisions made while preparing accounts statements
March 15, 1990
6548
DBOD.No.BP.1022/BP.60-90
Housing Finance – Designation of Specific Branches
March 15, 1990
6549
DBOD.No.BP.BC.84/C.469(W)-90
Banking Services/Credit Relaxations to Borrowers/Customers in Punjab
March 14, 1990
6550
RPCD No.RF.BC.88/D.1-89/90
Amendment to Section 269-T of the Income Tax Act – Direct Tax Laws (Amendment) Act, 1987 with effect from 1 April 1989
March 14, 1990
6551
UBD.No.P&O.21/HG.4.89/90
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small Scale Industries Sector
March 13, 1990
6552
RPCD No.RF.656/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme(FCNR)
March 9, 1990
6553
RPCD.No.RF.DIR.BC.87/D.1(F)-89-90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 9, 1990
6554
UBD.(SUC)No.10/DC./V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts (FCNR)
March 9, 1990
6555
UBD.(SUC)No.11/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Account Scheme (FCNR)
March 9, 1990
6556
DBOD.No.Dir.BC.81/C.347(l)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 9, 1990
6557
DBOD.No.Dir.BC.82/C347(l)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 9, 1990
6558
UBD.DC.12 /R.40-89/90
Grant of Advances against National Savings Certificates (NSCs) – VIII Issue
March 8, 1990
6559
DBOD.No.BL.1173/C.168(M).90
Section 23 B.R. Act, 1949 – Banking Plan – Urban/Metropolitan/Port-Town Centers
March 7, 1990
6560
UBD.No.PCB.16/DC.V-1(B)-89/90
Interest Rates on Deposits
March 5, 1990
6561
UBD.No.PCB.17/DC-V-1(B)-89/90
Participation in Money Market – Discount & Finance House of India Ltd. (DFHI)
March 5, 1990
6562
RPCD.No.NB.BC.82/COB.1-89/90
Stamp Duty on Bills of Exchange
February 26, 1990
6563
DBOD.No.BP.BC.78/C.469-90
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
February 24, 1990
6564
UBD.No.NBL.14/J.21-89/90
Registration/Licensing of New IV Mahila Urban Co-operative Banks – Policy
February 22, 1990
6565
UBD.Reh.9/R(Gen)-89/90
Rehabilitation of Weak Primary Co-operative Banks
February 20, 1990
6566
RPCD No.RF.629/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1990
6567
RPCD.No.RF.DIR.BC.83/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1990
6568
UBD.(SUC)No.8/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1990
6569
UBD.No.(SUC)7/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1990
6570
DBOD.No.Dir.BC.76/C.347(1).89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1990
6571
DBOD.No.Dir.BC.77/C347(I)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1990
6572
DBOD.No.Ret.BC.75/C.96-90
The Reserve Bank of India Scheduled Banks Regulations 1951 – Classification of Deposits Accepted under the Home Loan Account Scheme of the National Housing Bank in Form A
February 13, 1990
6573
UBD.No.UCB.12/DC.PR.474/89-90
Selective Credit Control – Advances against Sensitive Commodities – Oil Seeds and Vegetable Oils (Including Vanaspati) and Cotton and Kapas
February 12, 1990
6574
IECD.No.CMD.I.21/T-89/90
Inventory and Receivables Norms for Polyester Staple Fibre Industry
February 7, 1990
6575
DBOD.No.Dir.BC.73/C.218-90
Selective Credit Control – Granting of Fresh/Additional Limits to Borrowers Dealing in Sensitive Commodities
February 6, 1990
6576
RPCD.No.NB.BC.81/RRB-16/89-90
Classification of Non-performing Loans
February 5, 1990
6577
DBOD.No.BP.BC.72/C.469(81-A)-90
Amendment to Section 269T of Income Tax Act – Direct Tax Laws (Amendment) Act, 1987 with effect from 1 April, 1989
February 5, 1990
6578
DBOD.No.Dir.BC.71/C347-89/90
Deposit Linked Advances
February 5, 1990
6579
RPCD.No.RF.558/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1990
6580
RPCD.No.RF.DIR.BC.79/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1990
6581
UBD.(SUC)4/DC.V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1990
6582
UBD.(SUC)No.5/DC.V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1990
6583
DBOD.No.Dir.BC.69/C.347(I)-89-90
Interest Rates on Deposits held under Foreign currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1990
6584
DBOD.No.Dir.BC.70/C.347(l)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 30, 1990
6585
UBD.I&L(RO)5/J.1-84/90
Execution of Court Decrees towards Realisation of Dues
January 25, 1990
6586
IECD.No.PMD.19/87(CP)-89/90
Issue of Commercial Paper (CP)
January 23, 1990
6587
DBOD.No.Leg.BC.68/C.466(iv)-90
Display of Rates of Interest on Deposits
January 19, 1990
6588
DBOD.No.BP.BC.67/C.469(W)-90
Delay in Allotment Orders/Share Certificates and Refund Orders of Public Issues of Captial
January 18, 1990
6589
UBD.(UCB)3/DC.PR.474-89/90
Selective Credit Control – Advances against Pulses to Pulses Processing Units
January 17, 1990
6590
UBD.No.Plan.702/UB.8(3)-89/90
VIII Meeting of the Standing Advisory Committee for Urban Co-operative Banks – Follow-up Action
January 17, 1990
6591
UBD.(UCB)1/DC-R-1-89/90
Customer Service – Payment of Interest for Delay in Collection of Outstation Instruments
January 17, 1990
6592
RPCD No.RF.532/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 16, 1990
6593
RPCD No.RF.DIR.BC.76/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 16, 1990
6594
UBD.(SUC).1/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign currency (Non-Resident) Accounts Scheme (FCNR)
January 16, 1990
6595
UBD.No.2/DC-V-1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 16, 1990
6596
DBOD.No.Dir.BC.65/C.347(1)89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 16, 1990
6597
DBOD.No.Dir.BC.66/C.347(1)90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 16, 1990
6598
IECD.No.CMD.IV.18/HF(P)-89/90
Housing Finance
January 9, 1990
6599
IECD.No.CMD.IV.17/HF(P)-89/90
Housing Finance
January 8, 1990
6600
IECD.No.16/IR-73/89-90
Half-yearly Reporting System in respect of SSI Sick and Non-SSI Sick/Weak Industrial Units
January 5, 1990
6601
IECD.No.PMD.15/87(CP)-89/90
Issue of Commercial Paper (CP)
January 3, 1990
6602
UBD.BR.1/A.12(24)-89/90
Section 24 of the B.R. Act, 1949 (As Applicable to Co-operative Societies) – Investment by Urban Co-operative Banks in the IDBI Bonds
January 2, 1990
6603
DBOD.No.GC.BC.63/C.408.C(L)-90
Safe Deposit Valuts/Lockers Facilities
January 2, 1990
6604
RPCD.No.RF.BC.58/A.12(24)-89/90
Section 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Defaults in the maintenance of Statutory Liquidity Ratio (SLR)
January 1, 1990
6605
RPCD No.RF.DIR.BC.73/D.1-89/90
Interest Rates on Deposits
January 1, 1990
6606
RPCD No.RF.DIR.BC.74/D.1-89/90
Inter-bank Term Deposits Market – Participation by the Discount and Finance House of India Ltd. (DFHI)
January 1, 1990
6607
RPCD No.RF.DIR.BC.71/D.2-89/90
Selective Credit Control – Advances against sensitive commodities
December 29, 1989
6608
RPCD.No.RF.DIR BC.72/D.2-89/90
Selective Credit Control – Advances against Sensitive Commodities
December 29, 1989
6609
UBD.DC.57/PR.474-89/90
Selectives Credit Control – Advances against Sugar and Wheat
December 29, 1989
6610
UBD.DC.59/PR.474-89/90
Selective Credit Control – Advances against Wheat, Sugar, Gur and Khandsari and Cotton and Kapas
December 29, 1989
6611
UBD(DC)58/PR.474-90/90
Advances against Cotton and Kapas
December 29, 1989
6612
RPCD No.RF.ROC.16/A-12(24)-19/90
Section 24. of the B.R. Act, 1949 – Eligible securities for the purpose Of Statutory Liquidity Ratio – Kisan Vikas Patras
December 29, 1989
6613
DBOD.No.Dir.BC.61/C.218-89
Selective Credit Control
December 29, 1989
6614
DBOD.No.Dir.BC.62/C.218-89
Selective Credit Control – Advances against Sensitive Commodities
December 29, 1989
6615
RPCD No.RF.462/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 26, 1989
6616
RPCD.No.RF.DIR.BC.69/D.1(F)-89-90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 26, 1989
6617
UBD.DC.55/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 26, 1989
6618
UBD.No.DC.54/V.1(B)/89-90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 26, 1989
6619
RPCD.No.RF.BC.68/A.12(29-3l)-89/90
Treatment of overdue interest in the profit and loss account and Balance Sheet of Co-operative Banks
December 26, 1989
6620
DBOD.No.Dir.BC.58/C.347(I)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 26, 1989
6621
DBOD.No.Dir.BC.59/C.347(I)- 89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 26, 1989
6622
UBD.NBL.407/J.21-89/90
VIII Meeting of the Standing Advisory Committee for Urban Co-operative Banks
December 20, 1989
6623
DBOD.No.BP.BC.57/C.469-89
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
December 20, 1989
6624
DBOD.No.Dir.BC.56/C.96-89
Rural Electrification (SPA I & II) – Participation Arrangements – REC, Commercial Banks and National Bank – Interest Rates
December 18, 1989
6625
IECD.No.MIS.511/C.446-5-2/89-90
Monthly Statement of Fund-based Accounts of Large Borrowers
December 18, 1989
6626
IECD.No.IFD.2210/37-89/90
Borrowings from Reserve Bank of India
December 16, 1989
6627
UBD.DC.49/V.1-89/90
Method of Calculation of Interest on Premature Withdrawal/Discontinuance of Recurring Deposits and Charging of Penal Interest for the Defaulted Instalments of Recurring Deposits
December 13, 1989
6628
RPCD No.RF.428/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 12, 1989
6629
RPCD No.RF.DIR.BC.65/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 12, 1989
6630
UBD.DC.46/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 12, 1989
6631
UBD.No.DC.47/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 12, 1989
6632
DBOD.No.Dir.BC.54/C. 347(I)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 12, 1989
6633
DBOD.No.Dir.BC.55/C.347(I)-89
Interest Rates an Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 12, 1989
6634
IECD.1/87(CP)-89-90
Notification
December 11, 1989
6635
RPCD No.RF.BC.63/A.20(24)-89/90
Maintenance of minimum average daily balance under Section 42(1) of the Reserve Bank of India Act, 1934
December 4, 1989
6636
DBOD.No.Dir.BC.52/C.347(J)-89
Donations
December 2, 1989
6637
DBOD.No.Dir.BC.50/C.347-89
Interest Rates on Deposits
December 1, 1989
6638
DBOD.No.Dir.BC.51/C.347-89
Inter-bank Term Deposits Market – Participation by the Discount and Finance House of India Ltd. (DFHI)
December 1, 1989
6639
RPCD.No.RF.DIR.BC.60/A.6-89/90
Banks’ Lendings to Discount and Finance House of India Ltd. (DFHI) – Netting concept for Reserve Requirements
November 30, 1989
6640
IECD.No.CMD.IV.14/Y-89/90
Advances to Tea Industry
November 29, 1989
6641
RPCD No.RF.ROC.12/A.12(24)-89/90
Grant of advances against the security of Kisan Vikas Patras (KVPs)
November 29, 1989
6642
RPCD No.RF.383/A.20(24)-89/90
Notification
November 28, 1989
6643
DBOD.No.BP.BC.49/C.469(W)89
Credit Relaxations to Borrowers in Punjab
November 25, 1989
6644
DBOD.No.Leg.BC.48/C.466(IV)-89
Customer Service – Payment of Interest for Delay in Collection of Outstation Instruments
November 23, 1989
6645
RPCD.No.RF.DIR.BC.56/D.1-89/90
Customer Service – Payment of interest at savings Bank rate for delay in collection of outstation cheques
November 21, 1989
6646
RPCD.No.RF.DIR.BC.57/D.1-89/90
Matters relating to greater co-ordination between banking system and Income Tax authorities
November 21, 1989
6647
DBOD.No.Dir.BC.47/C.218-89
Selective Credit Control – Granting of Fresh/Additional Limits to Borrowers Dealing in Sensitive Commodities
November 21, 1989
6648
DBOD.Ret.BC.46/C96(Ret)-89
Banks Lendings to Discount and Finance House of India Ltd. (DFHI) – Netting Concept for Reserve Requirements
November 17, 1989
6649
DBOD.No.Leg.BC.45/C.466(IV)/89
Customer Service – Estimates Committee – 64th Report
November 15, 1989
6650
DBOD.No.BP.BC.41/C.469(44)-89
Grant of Advances against the Security of National Saving Certificates VIII Issue
November 8, 1989
6651
RPCD NO.RF.323/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
November 8, 1989
6652
RPCD No.RF.DIR.BC.52/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
November 8, 1989
6653
UBD.DC.40/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
November 8, 1989
6654
UBD.No.DC.41/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
November 8, 1989
6655
DBOD.No.BC.42/C.236(G)Spl.89
Section 24 of the Banking Regulation Act,1949 – Eligible Securities for the purpose of SLR – Indira Vikas Patra, Kisan Vikas Patra and fixed deposits with Sadar Sarovar Narmada Nigam Ltd.
November 8, 1989
6656
DBOD.No.Dir.BC.43/C.347/11-89/90
Interest Rates in Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
November 8, 1989
6657
DBOD.No.Dir.BC.44/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
November 8, 1989
6658
IECD.No.PMD.13/C.446(PL)-89/90
Credit Montoring Arrangement (CMA)
November 1, 1989
6659
DBOD.No.BC.40/C.469(W)-89
Classification of Non-performing Loans
October 26, 1989
6660
IECD.NO.PMD.12/C.446(PL)-89/90
Credit Monitoring Arrangement (CMA) – Financing of Credit Sales/Purchases through Drawal/Acceptance of Bills
October 25, 1989
6661
IECD.No.CMD.I.11/C.446(CC)-89/90
Revised Inventory / Receivables Norms for Fertiliser Industry
October 23, 1989
6662
RPCD.RF.ROC.No.9/A 12(24)-89/90
Grant of advances against the security of Kisan Vikas Patras (KVPs)
October 23, 1989
6663
RPCD No.RF.DIR.BC.49/D.1(F)49/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 20, 1989
6664
RPCD.NO.RF.295/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 20, 1989
6665
UBD.DC.37/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 20, 1989
6666
UBD.DC.38/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 20, 1989
6667
DBOD.No.Dir.BC.38/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 20, 1989
6668
DBOD.No.Dir.BC.39/C347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 20, 1989
6669
DBOD.No.BP.BC.30/C.469-89
Matters relating to Greater Co-ordination between Banking System & Income tax Authorities – Opening of Deposit Accounts
October 9, 1989
6670
RPCD.No.RF.DIR.BC.42/D.2/89/90
Interest Rates on Advances
October 9, 1989
6671
RPCD.No.RF.DIR.BC.43/D2.89/90
Interest rates on advances
October 9, 1989
6672
RPCD No.RF.281/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 9, 1989
6673
RPCD No.RF.DIR.BC.40/D.1-89/90
Interest Rates on Deposits
October 9, 1989
6674
RPCD.No.RF.DIR.BC.39/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 9, 1989
6675
RPCD.No.RF.DIR.BC.41/D.1-89/90
Interest Rates on Deposits
October 9, 1989
6676
UBD.DC.28/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 9, 1989
6677
UBD.No.DC.29/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 9, 1989
6678
UBD.No.DC.31/V.1-89/90
Interest Rates on Deposits
October 9, 1989
6679
UBD.No.DC.32/V.1-89/90
Interest Rates on Deposits
October 9, 1989
6680
DBOD.No.Dir.BC.31/C.347(I)89/90
Interest Rates in Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 9, 1989
6681
DBOD.No.Dir.BC.32/C.347(1)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 9, 1989
6682
DBOD.No.Dir.BC.35/C.347-89
Interest Rates on Deposits
October 9, 1989
6683
DBOD.No.Dir.BC.36/C.347-89.
Interest Rates on Deposits
October 9, 1989
6684
RPCD ROC No.RF.8/A.12(24)-89/90
Investments of funds by State/Central Co-operative Banks as deposits with public sector undertakings/ companies/ corporations/ co-operative institutions
October 7, 1989
6685
DBOD.No.BP.BC.29/C.469(44)-89
Grant of Advances by Banks against the Security of Kisan Vikas Patras
October 6, 1989
6686
IECD.No.CMD.I.9/C.446(CC)-89/90
Revised Inventory/Receivables Norms for Fertiliser Industry
September 29, 1989
6687
IECD.No.EFD.BC.8/819-POL-ECR-89/90
Export Credit (Interest Subsidy) Scheme, 1968 – Normal Transit Period – Demand Bills
September 28, 1989
6688
IECD.No.7/IR-73/89-90
Half-yearly Reporting System in respect of SSI Sick and Non-SSI Sick/Weak Industrial Units
September 22, 1989
6689
DBOD.No.Ret.BC.24/C.178-89
T.T. Discounting Facilities
September 22, 1989
6690
DBOD.No.BP.BC.23/C.469-89-90
Loans Raised by Traders from their Friends and Relatives – Computing Owned Funds
September 21, 1989
6691
UBD.No.DC.26/R.1/89-90
Credit Monitoring System – Health Code for Borrowal Accounts
September 19, 1989
6692
RPCD No.RF.DIR.BC.26/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 15, 1989
6693
RPCD.No.RF.213/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 15, 1989
6694
UBD.DC.23/V.1(B)-89-90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 15, 1989
6695
UBD.No.DC.24/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 15, 1989
6696
UBD.DC.21/R.1-89/90
Customer Service – Payment of Interest at Savings Bank Rate for Delay in Collection of Outstation Cheques
September 15, 1989
6697
DBOD.No.Dir.BC.20/C.347(l)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 15, 1989
6698
DBOD.No.Dir.BC.21/C.347(I)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
September 15, 1989
6699
DBOD.No.Ret.BC.22/C.96(Ret)-89
Section 42 of the Reserve Bank of India Act, 1934 – Payment of Interest on Specified Additional Cash Balances Maintained with Reserve Bank of India
September 13, 1989
6700
RPCD No.RF.189/A.6-89/90
Register showing the position of Average Daily Balance under Section 42 of the Reserve Bank of India Act, 1934 and Liquid Assets under Section 24 of the Banking Regulation Act, 1949 – Scheduled SCBs/RRBs
September 12, 1989
6701
DBOD.No.Dir.BC.18/C.96(SD)-89
Equity Issue of Corporate Clients of Commercial Banks – Application Money for Shares, Debentures, Bonds etc. – Utilisation of
August 28, 1989
6702
UBD.No.DC.141/R.1-89/90
Assessment of Working Capital Requirements – Drawal of Funds – Quarterly Information System (QIS)
August 26, 1989
6703
RPCD No.RF.146/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 23, 1989
6704
RPCD No.RF.DIR.BC.21/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 23, 1989
6705
UBD.DC.17/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
August 23, 1989
6706
UBD.No.DC.18/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
August 23, 1989
6707
DBOD.No.Dir.BC.15/C.347(I)-89-90
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 23, 1989
6708
DBOD.No.Dir.BC.16/C.347(I)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 23, 1989
6709
IECD.No.CMD.I.5/Tex/89-90
Working Capital Requirements of Composite Textile Mills
August 21, 1989
6710
DBOD.No.Dir.BC.11/C.96-89
Bank Guarantee Scheme
August 9, 1989
6711
RPCD No.RF.DIR.BC.17/D.1-89/90
Interest Rates on Deposits
August 4, 1989
6712
RPCD No.RF.DIR.BC.18/D.1-89/90
Interest Rates on Deposits
August 4, 1989
6713
DBOD.No.Dir.BC.10/C.347-89
Interest Rates on Deposits
August 4, 1989
6714
DBOD.No.Dir.BC.9/C.347-89
Interest Rates on Deposits
August 4, 1989
6715
DBOD.No.Leg.8/C.466(IV) 89
Customer Service – Payment of Interest for Delay in Collection of Outstation Cheques
August 2, 1989
6716
UBD.DC.11/40-89/90
Grant of Advance against the Security of Kisan Vikas Patras
July 31, 1989
6717
UBD.No.DC.7/R.1-89/90
Customers Service – Immediate Credit of Outstation Cheque upto Rs.2500/-
July 31, 1989
6718
RPCD No.RF.DIR.BC.12/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 31, 1989
6719
RPCD.No.RF.77/D.1(F)-89/90
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 31, 1989
6720
UBD.DC.13/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 31, 1989
6721
UBD.No.DC.14/V.1(B)-89/90
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
July 31, 1989
6722
UBD.DC.5/R.1-89/90
Credit Mointoring System – Health Code for Borrowal Accounts
July 31, 1989
6723
DBOD.No.Dir.BC.6/C.347(l)
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 31, 1989
6724
DBOD.No.Dir.BC.7/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 31, 1989
6725
RPCD.NO.PIan.BC.10/PL-09.01/89-90
Penal rate of interest
July 27, 1989
6726
IECD.No.PMD.4/C.446(PL)-89/90
Credit Monitoring Arrangement – Penal Interest on Ad-hoc Limits
July 26, 1989
6727
UBD.NBL.50/J.21-89/90
Registration/Licensing of New Primary (Urban) Co-operative Banks – Policy
July 26, 1989
6728
IECD.No.PMD.3/27C/89-90
Inventory/Receivables Norms for Paints and Varnishes Segments of Chemical Industry
July 25, 1989
6729
DBOD.No.GC.BC.5/C.408A-89
Frauds – Kite flying of Cheques.
July 22, 1989
6730
DBOD.No.LEG.BC.4/C.466(IV)-89
Customer Service – Immediate Credit of Outstation Cheques upto Rs. 2500/- – Maintenance of Separate Register
July 20, 1989
6731
RPCD No.RF.DIR.BC.7/D.2-89/90
Selective Credit Control – Advances against Sensitive commodities
July 19, 1989
6732
RPCD.No.RF.DIR.BC.8/D.2-89/90
Selective Credit Control – Advances against Sensitive Commodities
July 19, 1989
6733
UBD.DC.1/PR.474-89/90
Selective Credit Control – Advances against Sugar, Gur and Khandsari and Wheat
July 19, 1989
6734
UBD.DC.2/PR.474/89-90
Seletive Credit Control – Advances against Sugar, Gur and Khandshari and Wheat
July 19, 1989
6735
IECD.No.CMD.I.2/Jute/89-90
Financing of Jute Industry
July 19, 1989
6736
DBOD.No.Dir.BC.2/C.218-89
Selective Credit Control
July 19, 1989
6737
DBOD.No.Dir.BC.3/C.218-89
Selective Credit Control – Advances against Sensitive Commodities
July 19, 1989
6738
IECD.No.PMD.1/C.446(PL)-89/90
Submission of Returns/Reports
July 8, 1989
6739
RPCD.No.RF.DIR.BC.127/D.2/88-89
Interest rates on advances
June 21, 1989
6740
RPCD.No.RF.DIR.BC.128/D.2/88-89
Interest rates on advances – Export Credit
June 21, 1989
6741
DBOD.No.BP.BC.142/C.469-89
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
June 19, 1989
6742
UBD.No.BR.129/A.6(A)-88/89
Delcaration of a Holiday on 30 June 1989 under the Negotiable Instruments Act, 1881 in respect of Primary Co-operative Banks for Closing of their Annual Accounts
June 16, 1989
6743
IECD.No.IRD.255/IR-54/88/89
Half-yearly Reporting System in respect of SSI Sick and Non-SSI Sick/Weak Industrial Units
June 16, 1989
6744
RPCD.NO.RF.DIR.BC.124/D.1(F)/88-89
Interest rates on deposits held uder Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
June 15, 1989
6745
UBD.DC.126/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
June 15, 1989
6746
UBD.No.DC.127/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
June 15, 1989
6747
DBOD.No.Dir.BC.140/C.347(l)88/89
Interest Rates in Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
June 15, 1989
6748
DBOD.No.Dir.BC.141/C.347(I)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNRI)
June 15, 1989
6749
DBOD.No.BP.BC.139/63-89
Automated Teller Machines
June 13, 1989
6750
UBD.DC.124/V.1(B)-88/89
Interest Rates on FCNR Deposits – Premature Withdrawal of
June 10, 1989
6751
UBD.No.DC.123 /V.1(B)-88/89
Interest Rates on Deposits held in FCNR Accounts
June 10, 1989
6752
UBD.No.DC.121/PR.474-88/89
Selective Credit Control – Advances aganist Sensitive Commodities
June 8, 1989
6753
DBOD.No.BP.BC.136/C.469(441)-89
Grant of Advances by Banks against the Security of Kisan Vikas Patras’
June 8, 1989
6754
DBOD.No.Dir.BC.137/AC.347(l)-89
Interest Rates on Deposits held in FCNR Account
June 7, 1989
6755
DBOD.No.Dir.BC.138/C.347(1)-89
Interest Rates on FCNR Deposits – Premature Withdrawal of
June 7, 1989
6756
DBOD.No.BP.BC.134/65-89
Certificate of Deposit (CDs)
June 6, 1989
6757
DBOD.No.GC.BC.135/C.408A(88)-89
Reporting of Cases of Bank Robberies/Dacoities/Thefts/Burglaries
June 5, 1989
6758
DBOD.No.BP.BC.124/C.473-89
Payments under Bank Guarantees – Immediate Settlement of Cases
May 31, 1989
6759
IECD.No.EFD.254/227-CLM(P)-89
Export Credit (Interest Subsidy) Scheme, 1968 – Audit Requirements – Change in Accounting Year
May 29, 1989
6760
IECD.No.EFD.BC.253/819-POL-ECR/89
Export Credit (Interest Subsidy) Scheme, 1968 – Interest on Post-shipment Credit Adjusted from Rupee Resources
May 27, 1989
6761
DBOD.No.BP.BC.132/66-89
Limits on Credit Exposures to Individual/Group of Borrowers
May 26, 1989
6762
DBOD.No.BP.BC.133/C.469(W)-8
Classification of Non-performing Loans
May 26, 1989
6763
DBOD.No.Dir.BC.131/C.96-89
Customer Service – Value-dating of Mail Transfers (MTs)
May 26, 1989
6764
DBOD.No.Leg.BC.130/C.466(IV)-89
Customer Service – Immediate Credit of Outstation Cheques upto Rs. 2500/-
May 25, 1989
6765
IECD.No.PMD.252/C.446(PL)-88/89
Treatment of certain Disputed Dues to Government/Electricity Boards, etc. for Assessment of Working Capital Requirements
May 18, 1989
6766
DBOD.No.Dir.BC.129/C.96-89
Interest Rates on Advances – Loans under the Self Employment Scheme for Educated Unemployed Youth (SEEUY)
May 17, 1989
6767
RPCD.No.RF.DIR.BC.115/D.1(F)/88-89
Interest rates on deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 15, 1989
6768
UBD.DC.116/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 15, 1989
6769
UBD.No.DC.117/V.1(B)-88-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 15, 1989
6770
DBOD.No.Dir.BC.127/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 15, 1989
6771
DBOD.No.Dir.BC.128/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
May 15, 1989
6772
IECD.No.CMD.IV.251/HF(P)-88/89
Housing Finance
May 11, 1989
6773
DBOD.No.Leg.BC.123/C.233-89
Change of Accounting Year
May 10, 1989
6774
DBOD.Leg.BC.122./C.466 (IV)-89
Recommendations of the Working Group on Customer Service
May 9, 1989
6775
IECD.No.EFD.BC.250/380-DDB(P)-89
Duty Drawback Credit Scheme, 1976
April 29, 1989
6776
DBOD.No.BP.BC.119/C.473-89
Guarantees of State Governments for Credit Facilities granted by Banks
April 27, 1989
6777
IECD.No.PMD.249/C.446(PL)-88/99
CMA – Lending Discipline – Quarterly Information System (QIS)
April 24, 1989
6778
UBD.No.DC.113/R.1A-89/89
Assessment of Working Capital Requirements – Inventory/Recievable Norms for Paper Industry and for Consumable Spares
April 24, 1989
6779
DBOD.No.Dir.BC.116/G.475-89
Inter-bank Participation
April 22, 1989
6780
DBOD.No.Dir.BC.117/C.96-89
Bills Rediscounting Scheme – Rediscount Rate
April 22, 1989
6781
RPCD.No.RF.DIR.BC.108/D.2/88-89
Selective Credit Control – advances against paddy/rice, wheat, pulses and other foodgrains
April 21, 1989
6782
RPCD.No.RF.DIR.BC.109/D.2/88-89
Selective Credit Control – advances against Sensitive Commodities
April 21, 1989
6783
UBD.DC.111/PR. 474-88/89
Selective Credit Control – Advances against Wheat – Increase in Margin
April 21, 1989
6784
UBD.No.DC.110 /PR.474-88/89
Selective Credit Control – Advances against Wheat – Increase in Minimum Margin
April 21, 1989
6785
DBOD.Dir.BC.113/C.218-49
Selective Credit Control – Advances against Paddy/Rice, Wheat, Pulses and Other Foodgrains
April 21, 1989
6786
DBOD.Dir.BC.114/C.218-89
Selective Credit Control – Advances against Sensitive Commodities
April 21, 1989
6787
RPCD.No.RF.DIR.BC.105/D.1/88-89
Interest rates on deposits – Payment of interest on term deposits
April 20, 1989
6788
DBOD.No.GC.BC.111/C.408(A)-89
Non-detection of Frauds in Banks during Inspection/Audit
April 20, 1989
6789
DBOD No.Ret.BC.107/C.96(Ret)-89
Notification
April 11, 1989
6790
DBOD.No.Ret.BC.108/C96(Ret)-89
Maintenance of Cash Reserve Ratio and Statutory Reserve Ratio by banks
April 11, 1989
6791
UBD.No.P&O.108/UB.31-88/89
Finance for Housing Schemes – Primary (Urban) Co-operative Banks
April 5, 1989
6792
RPCD.No.RF.DIR.BC.103/D.2/88-89
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1989
6793
DBOD.No.Dir.BC.103/C.347(PSB)-89
Investments in and Underwriting of Shares and Debentures and Public Sector Bonds
April 3, 1989
6794
DBOD.No.Dir.BC.104/C.218-89
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1989
6795
IECD.No.MIS 247/C.446-1-2-88/89
CMA – Submission of Statistical Data in Form A and Form B
March 31, 1989
6796
RPCD.No.PL.NFS.BC.96/PS.69(Co-op)-88/89
Co-operative bank finance for housing schemes
March 31, 1989
6797
DBOD.No.Dir.BC.102/C.347-89
Interest Rates on Deposits – Payment of Interest on Term Deposits
March 31, 1989
6798
DBOD.No.Dir.BC.99/C.475-89
Scheme of Inter-bank Participations
March 28, 1989
6799
DBOD.No.BP.1504/C.469(D)-89
Minimum Capital and Reserves Requirements
March 27, 1989
6800
RPCD.No.RF.DIR.BC.92/D.2/88-89
Selective Credit Control – advances against sensitive commodities
March 27, 1989
6801
RPCD.No.RF.DIR.BC.93/D.2/88-89
Selective Credit Control – advances against Sensitive commodities
March 27, 1989
6802
UBD.No.DC.103A/PR.474/88-89
Selective Credit Control – Advances against Sensitive Commodities
March 27, 1989
6803
UBD.No.DC.103B/PR.474-88/89
Selective Credit Control – Advances against Sensitive Commodities (including Cotton and Kapas)
March 27, 1989
6804
UBD.No.DC.98/PR.474/88-89
Selective Credit Control
March 27, 1989
6805
UBD.No.DC.99/PR.474/88-89
Selective Credit Control – Advances against Sensitive Commodities
March 27, 1989
6806
RPCD.No.NB.BC.89/RRB.16/88-89
Payment of interest on current account balances of Regional Rural Banks
March 27, 1989
6807
RPCD.No.RF.DIR.BC.90/D.1/88-89
Interest Rates on Deposits
March 27, 1989
6808
RPCD.No.RF.DIR.BC.91/D.1/88-89
Interest Rates on Deposits
March 27, 1989
6809
UBD.No.DC.102/V.1/88-89
Interest Rates on Deposits
March 27, 1989
6810
DBOD.No.Dir.BC.97/C.218-89
Selective Credit Control
March 27, 1989
6811
DBOD.No.Dir.BC.98/C.218-89
Selective Credit Control – Advances against Sensitive Commodities
March 27, 1989
6812
DBOD.No.Dir.BC.95/C.347-89
Interest Rates on Deposits
March 27, 1989
6813
DBOD.No.Dir.BC.96/C.347-89
Interest Rates on Deposits
March 27, 1989
6814
UBD.No.P&O.790/HG.4-88/89
Refinance Facilities to Primary (Urban) Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small Scale Industries Sector
March 23, 1989
6815
DBOD.IBS.500/C.212(Mon)-89
Problem Credit and Country Exposures – Adequacy Provisions
March 18, 1989
6816
DBOD.No.Leg.BC.91/C.234(G)-89
Section 19(2) of the Banking Regulation Act, 1949 – Exemptions
March 17, 1989
6817
DBOD.No.GC.BC.92/C.408A-89
Annual Review of Cases of Frauds
March 17, 1989
6818
IECD.No.IRD.245/IR-A/88/89
Protection of Dues of Banks and Financial Institutions in the case of Nationalisation / Denotification of Units Assisted by them
March 15, 1989
6819
UBD.DC.88/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1989
6820
UBD.No.DC.89/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1989
6821
DBOD.No.Dir.BC.89/C.347(l)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1989
6822
DBOD.No.Dir.BC.90/C.347(I)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
March 13, 1989
6823
IECD.No.EFD.BC.240/819-POL-ECR-89
Export Credit (Interest Subsidy) Scheme, 1968 – Provision of Concessive Credit against Proceeds of Cheques, Drafts, etc. Received Directly towards Advance Payment for Exports
March 3, 1989
6824
DBOD.No.Leg.BC.87/C.466(IV)-89
Issue of Cheque Books
March 3, 1989
6825
IECD.No.IRD.241/IR-A 88/89
Rehabilitation of Sick / Weak Industrial Units
March 2, 1989
6826
IECD.No.IRD.242/IR-A/88-89
Rehabilitation of Sick / Weak Industrial Units
March 2, 1989
6827
IECD.No.IRD.243/IR.54-88/89
Rehabilitation of Sick / Weak Industrial Units – Board for Industrial & Financial Reconstruction (BIFR)
March 2, 1989
6828
UBD.No.DC.86A/HG.9/88-89
Interest Rates on Advances
March 1, 1989
6829
UBD.No.DC.86B/HG.9/88-89
Interest Rates on Advances – Export Credit
March 1, 1989
6830
DBOD.No.Dir.BC.85/C.347(PSB)-89
Holdings of Corporate Shares and debentures and Public Sector Bonds
March 1, 1989
6831
UBD.BR.65/A.6A-88/89
Section 29 and 31 of Banking Regulation Act, 1949 (As Applicable to Co-operatives Societies) – Change of Accounting Year in repsect of Primary Co-operative Banks
February 27, 1989
6832
DBOD.No.Ret.BC.79/C.254-89
Section 31 of the Banking Regulation Act, 1949 – Submission of Balance Sheet etc.
February 23, 1989
6833
DBOD.No.Ret.BC.80/C.469(F)- 89
Submission of Proforma Balance Sheet and Profit and Loss Account for the half-year ending September
February 23, 1989
6834
UBD.No.(DC)82/PR.474-88/89
Selective Credit Control – Advances against Sensitive Commodities – Oilseeds and Vegetable Oils (including Vanaspati)
February 23, 1989
6835
UBD.No.DC.81/PR.474-88/89
Selective Credit Control – Advances against Sensitive Commodities – Oilseeds/Vegetable Oils
February 23, 1989
6836
UBD.RBL.80/J.(Shifting)-88/89
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies – Section 23 – Shifting of Offices of Primary Co-operatives Banks
February 23, 1989
6837
DBOD.No.Ret.BC.78/C.273-89
Section 26 of Banking Regulation Act, 1949 – Submission of From IX Return of Unclaimed Deposits held by Banks as on 31st December
February 23, 1989
6838
UBD.DC.75/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1989
6839
UBD.No.DC.76/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1989
6840
UBD.DC.73/V.1-88/89
Safe Deposit Locker Facility
February 20, 1989
6841
DBOD.No.Dir.BC.74/C.347(I)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1989
6842
DBOD.No.Dir.BC.75/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
February 20, 1989
6843
IECD.No.PMD.239/C.446(C&P)-88/89
Advances on Consortium Basis – Single Window Concept of Lending (SWCL) by Banks – Documentation
February 16, 1989
6844
DBOD.No.Inf.BC.73/C.109(H)-89
Bank Guarantee Scheme
February 15, 1989
6845
IECD.No.PMD.238/C.446(C&P)-88/89
Deployment of Surplus Funds of Co-operative Banks
February 14, 1989
6846
RPCD.No.RF.BC.70/330/88-89
Section 29 of Banking Regulation Act, 1949 and Section 19 of the Regional Rural Banks Act, 1976 – Change of accounting year
February 10, 1989
6847
RPCD.No.DIR.BC.71/D.2-88-89
Selective Credit Control – advances against Oilseeds/vegetable oil
February 9, 1989
6848
RPCD.No.RF.DIR.BC.72/D.2.88-89
Selective Credit Control – Advances against Oilseed/vegetable oils
February 9, 1989
6849
DBOD.No.Dir.BC.71/C.218-89
Selective Credit Control – Advances against Oilseeds/Vegetable Oils
February 9, 1989
6850
DBOD.No.Dir.BC.72/C.218-89
Selective Credit Control – Oilseeds/Vegetable Oils
February 9, 1989
6851
IECD.No.CMD.I-237/T/88-89
Extension of Working Capital Finance to Units of National Textile Corporation (NTC) and State Textile Corporations
February 8, 1989
6852
DBOD.No.IBS.230/C.212(Mon)-89
Monitoring of Problem Credits at Overseas Branches
February 8, 1989
6853
DBOD.No.Rajbhasha.598/C.486-89
Meeting of Central Hindi Committee
February 4, 1989
6854
DBOD.No.Leg.BC.69/C.672-89
Operation of Rural Branches
February 2, 1989
6855
DBOD.No.Dir.BC.67/C.475-89
Discount and Finance House of India Ltd. – Permission to Operate as a Broker in the Inter-Bank Participations Market
February 1, 1989
6856
DBOD.No.Leg.BC.66/C.466(IV)-89
Encashment of Drafts
January 30, 1989
6857
UBD.DC.66/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 28, 1989
6858
UBD.No.DC.67/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 28, 1989
6859
DBOD.No.Dir.BC.64/C.347(l)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 28, 1989
6860
DBOD.No.Dir.BC.65/C.347(I)-89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
January 28, 1989
6861
IECD.No.CMD.IV.235/HF(P)-88/89
Housing Finance for the Year 1989
January 27, 1989
6862
RPCD.No.RF.BC.67/88-89
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Opening of Extension Counters – Guidelines
January 27, 1989
6863
IECD.No.IRD.234/IR-A 88/89
Rehabilitation of Sick Industrial Undertakings – Parameters for Provision of Reliefs and Concessions
January 24, 1989
6864
UBD.DC.60/R.1-88/89
Maximum Limit on Advances
January 18, 1989
6865
UBD.DC.61/R.1-88/89
Maximum Limit on Advances
January 18, 1989
6866
RPCD.No.RF.DIR.BC.65/D.1/88-89
Customer Service – Immediate Credit of Outstation cheques upto Rs. 2,500/-
January 16, 1989
6867
DBOD.No.Fol.BC.61/C.249.88/89
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
January 12, 1989
6868
DBOD.No.Fol.BC.62/C.249-89
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
January 12, 1989
6869
UBD.DC.57/R.1-88/89
Grant of Financial Assitance against Shares/Debentures of Joint Stock Companies
January 11, 1989
6870
UBD.DC.58/R.1-88/89
Grant of Financial Assitance against Shares/Debentures of Joint Shock Companies
January 11, 1989
6871
DBOD.No.Leg.BC.60/C.233-89
Change of Accounting Year
January 7, 1989
6872
DBOD.No.GC.BC.59/C.408(A)-89
Guidelines for referring Frauds/Embezzlement Cases in Public Sector Banks to the Central Bureau of Investigation/Local Police
January 6, 1989
6873
IECD.No.CMD.I.232/T-88/89
Inventory and Receivables Norms for Staple Fibre Industry
December 31, 1988
6874
DBOD.No.BP.BC.57/62-88
Inter-Bank Participations
December 31, 1988
6875
UBD.DC.54/V.1/(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 30, 1988
6876
UBD.No.DC.55/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 30, 1988
6877
DBOD.No.Dir.BC.55/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 30, 1988
6878
DBOD.No.Dir.BC.56/C.347(l)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 30, 1988
6879
UBD.No.BR.695/B.1-88/89
Payment of Balance in Accounts of the Deceased Customers to Survivors/Claimants – Non-insistence on Production of Succession Certificate – Extension to Other Assets
December 19, 1988
6880
IECD.No.231/27C-88/89
Assessment for Working Capital Requirements – Norms for Consumable Spares
December 16, 1988
6881
RPCD.No.RF.BC.53/324/88-89
Regional Rural Banks – Exemption from provisions of proviso to sub-section (1) and sub-section (1A) of Section 42 of RBI Act, 1934
December 14, 1988
6882
RPCD.No.RF.ROC.22/A.12(29-31)-88/89
Section 29 and 31 of banking Regulations Act, 1949 (As Applicable to Co-operative Societies) – Accounting year
December 12, 1988
6883
IECD.No.CMD-III.230/PR-88/89
Inventory / Receivables Norms for Paper Industry – Review
December 12, 1988
6884
RPCD.No.RF.DIR.BC.54/D.2/88-89
Interest Rates on Advances – Advances to agencies entrusted by the Government with the procurement and distribution of commodities for sale on commercial basis
December 9, 1988
6885
DBOD.No.BP.BC.52/C.469(44)-88
Grant of Advances against Security of Indira Vikas Patras (IVPs)
December 3, 1988
6886
UBD.No.DC.51/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 2, 1988
6887
UBD.No.DC.52/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 2, 1988
6888
DBOD.No.Dir.BC.50/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 2, 1988
6889
DBOD.No.Dir.BC.51/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
December 2, 1988
6890
DBOD.No.Dir.BC.49/C.96-89
Customer Service – Value-Dating Of Mail Transfer(M.T.)
December 1, 1988
6891
RPCD.No.RF.409/324-88/89
Notification
November 29, 1988
6892
RPCD.No.RF.410/324-88/89
Notification
November 29, 1988
6893
IECD.No.CMD.I/229(TEX)-88/89
Working Capital Requirements of Composite Textile Mills
November 25, 1988
6894
IECD.No.CAD.III.228/H-88/89
Advances to Sugar Industry – Clean Loans for Off-season Repairs
November 7, 1988
6895
IECD.No.PMD.225/C.446(PL)-88/89
Credit Monitoring Arrangement (CMA)
November 7, 1988
6896
IECD.No.PUD.227/C.446(PL)88/89
Transfer of Borrowal Accounts from One Bank to Another
November 7, 1988
6897
IECD.No.PMD.226/C.446(C&P)-88/89
Lending under Consortium Arrangements by Banks
November 7, 1988
6898
DBOD.No.BP.BC.46/C.469-88
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
November 7, 1988
6899
IECD.No.CAD.III.224/(79)/88/89
Review of Inventory / Receivables for Financing Flour Mills
November 4, 1988
6900
IECD.No.CAD.IV.223/HF(P)-88/89
Housing Finance
November 2, 1988
6901
UBD.No.DC.48/V.1(B)88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 29, 1988
6902
UBD.No.DC.49/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 29, 1988
6903
DBOD.No.Dir.BC.44/C.347(l)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 29, 1988
6904
DBOD.No.Dir.BC.45/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
October 29, 1988
6905
UBD.BR.46/A.6(A)-88/89
Interest to be Charged from Members not to Exceed the Principal Amount
October 28, 1988
6906
RPCD.No.NB.BC.29/RRB.16/88-89
Operation of rural branches – Observance of Non-Public Business Working Day
October 21, 1988
6907
DBOD.No.GC.BC.40/C.408(A)-88
Frauds in Banks Perpetrated by Unscrupulous Borrowers
October 18, 1988
6908
DBOD.No.BP.BC.39/C.469(W)-88
Receipts of Foreign Contributions by Various Associations/Organisations in India
October 15, 1988
6909
RPCD.No.RF.DIR.32/D.2/88-89
Interest rates on advances
October 8, 1988
6910
RPCD.No.RF.DIR.BC.30/D.2/88-89
Selective Credit Control – Rate of interest
October 8, 1988
6911
RPCD.No.RF.DIR.BC.31/D.2/88-89
Selective Credit Control – Advances against sensitive commodities – Rate of Interest
October 8, 1988
6912
RPCD.No.RF.DIR.BC.33/D2/88-89
Interest rates on advances
October 8, 1988
6913
UBD.DC.40/HG.9-88/89
Interest Rates on Advances
October 8, 1988
6914
UBD.DC.43/PR.474-88/89
Selective Credit Control – Rate of Interest
October 8, 1988
6915
UBD.No.DC.44/HG.9/88-89
Selective Credit Control – Advances against Sensitive Commodities and Cotton and Kapas – Rate of Interest
October 8, 1988
6916
UBD(DC)41/HG.9-88/89
Interest Rates on Advances
October 8, 1988
6917
DBOD.No.Dir.BC.36/C.347-88
Money Market Operations of the Discount and Finance House of India Ltd. (DFHI)
October 8, 1988
6918
RPCD.No.RF.DIR.BC.34/D.1/88-89
Participation in the call money market – Discount and Finance House of India Limited (DFHI)
October 8, 1988
6919
DBOD.No.Dir.BC.34/C.218-88
Selective Credit Control – Rate of Interest
October 8, 1988
6920
DBOD.No.Dir.BC.35/C.218-88
Selective Credit Control – Advances against Sensitive Commodities – Rate of Interest
October 8, 1988
6921
IECD.No.CAD.IV.219/74-88/89
Lending Norms for Diamond Exporters
October 6, 1988
6922
RPCD.No.RF.ROC.12/D.1/88-89
Prohibition against opening of Savings Bank Accounts in the names of certain bodies/organisations
September 30, 1988
6923
IECD.No.CAD.III.218/H.88/89
CAS – Advances to Sugar Industry 1988-89 Crushing Season
September 29, 1988
6924
DBOD.No.Ret.BC.29/C.178-88
T.T. Discounting Facilities
September 27, 1988
6925
DBOD.No.BP.BC.30/C.469(W.1)-88
Sixtyfourth Report of Estimates Commitee on the Ministry of Finance, Department of Economic Affairs (Banking Division) – Customer Service and Security Systems in Nationalised Banks
September 27, 1988
6926
UBD.DC.33/PR.474-88/89
Selective Credit Control
September 19, 1988
6927
UBD.DC.34/PR.474-88/89
Selective Credit Control – Advances against Sensitive Commodities
September 19, 1988
6928
DBOD.No.BP.BC.26/C.469(W)-88
Credit Relaxations to Industries etc. in Punjab
September 19, 1988
6929
DBOD.No.Dir.BC.27/C.218-88
Selective Credit Control
September 19, 1988
6930
DBOD.No.Dir.BC.28/C.218-88
Selective Credit Control – Advances against Sensitive Commodities
September 19, 1988
6931
DBOD.No.Leg.BC.25/C.466(IV)-88
Payment of Balance in Accounts of the Deceased Customers to Survivors/Claimants – Non-Insistence on Production of Succession Certificate – Extension to Other Assets
September 19, 1988
6932
DBOD.No.Dir.BC.24/C.96-88
Equity Issue of Corporate Clients of Commercial Banks – Utilisation of Share/Debenture Application Monies
September 8, 1988
6933
DBOD.No.Dir.BC.23/C.96-88
Bills Rediscounting Scheme – Introduction of Usance Promissory Notes – Procedure therefor
September 5, 1988
6934
DBOD.No.BP.BC.22/C.469-88
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
September 1, 1988
6935
UBD.No.DC.27/R.1.A-88/89
Inventory/Receivables Norms for Engineering Industry
August 23, 1988
6936
RPCD.No.RF.ROC.6/D.1/88-89
Payment of interest on Staff Security Deposits
August 22, 1988
6937
DBOD.No.GC.BC.21/C.408A(91)-88
Frauds in Banks – Cases of Frauds involving Rs. 100 lakhs and above
August 22, 1988
6938
DBOD.No.Dir.BC.19/C.347(K)-88
Scheme for Mobilising Deposit
August 19, 1988
6939
UBD.DC.25/R.1-88/89
Acquistion of Accommdation on Lease/Rental Basis by Bank for their Use – Incorporation of a Specific Clause in the Rent/Lease Agreements on Payment of Property Taxes by the Owners
August 18, 1988
6940
IECD.No.PMD.217/C.446(C&P)-88/89
Advances on Consortium Basis – Single Window Concept of Lending (SWCL) by Banks
August 18, 1988
6941
IECD.No.PMD.216/C.446(PL)-88/89
Withholding of Credit Facilities to Borrowers to Enforce Financial Discipline
August 16, 1988
6942
RPCD.No.RF.DIR.BC.15/D.1/88-89
Interest rates on deposits
August 16, 1988
6943
UBD.DC.23/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 13, 1988
6944
UBD.No.DC.22/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 13, 1988
6945
DBOD.No.Dir.BC.17/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 13, 1988
6946
DBOD.No.Dir.BC.18/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 13, 1988
6947
IECD.No.CAD.I.214/(T)-88/89
CAS – Credit Requirements of the Units of National Textile Corporation
August 12, 1988
6948
IECD.No.EFD.215/822-WGM-MOD-88
Overseas Civil Engineering – Construction Contracts – Consultancy Services
August 12, 1988
6949
DBOD.No.Leg.BC.16/C.466(IV)-88
Customer Service – Estimates Committee (1987-88) – 64th Report
August 12, 1988
6950
UBD.NBL.20/J.21-88/99
Licensing of New Primary (Urban) Co-operative Banks – Policy
August 11, 1988
6951
UBD.No.DC.18/V.1-88/89
Deposits Collection Schemes Floated by Private Organisations – Sale of Lottery Tickets by Banks
August 10, 1988
6952
DBOD.No.GC.BC.15/C.408A-88
Frauds – Advances against Pledge/Hypothecation of Merchandise – Godown Inspections
August 9, 1988
6953
UBD.DC.16/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
August 8, 1988
6954
UBD.No.DC.15/V.1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts Scheme (FCNR)
August 8, 1988
6955
DBOD.No.Dir.BC.13/C.347(l)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 8, 1988
6956
DBOD.No.Dir.BC.14/C.347(l)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
August 8, 1988
6957
IECD.No.PMD.213/C.446(PL)-88/89
Bank Finance for Payment of Bonus
August 5, 1988
6958
RPCD.No.RF.DIR.BC.10/D.1/88-89
Participation in the call money market – Discount and Finance House of India Limited (DFHI)
August 5, 1988
6959
RPCD.No.RF.DIR.BC.9/D.1/88-89
Interest Rates on Deposits
August 5, 1988
6960
UBD.DC.10/V.1-(B)-88/89
Interest Rates on Deposits held Under Foreign Currency (Non-Resident) Account Scheme (FCNR)
July 30, 1988
6961
UBD.DC.No.9/V-1(B)-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 30, 1988
6962
UBD.No.DC.12/V.1(B)-88/89
Directives on Interest Rates on Deposits
July 30, 1988
6963
UBD.No.DC.13/V.1(B)-88/89
Interest Rates on Deposits held under Non-Resdient (External) Accounts Scheme (NRE) – Renewal of Overdue Deposits
July 30, 1988
6964
IECD.No.NHB Cell.212/Act-88/89
National Housing Bank Act, 1987
July 29, 1988
6965
DBOD.No.Dir.BC.10/C.347(I)-88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 29, 1988
6966
DBOD.No.Dir.BC.11/C.347(I)-88
Interest Rates on FCNR Deposits
July 29, 1988
6967
DBOD.No.Dir.BC.12/C.347(I)-88
Interest Rates on Deposits held under Non-Resident (External) Accounts Scheme (NRE) – Renewal of Overdue Deposits
July 29, 1988
6968
DBOD.No.Dir.BC.9/C.347(I)-88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 29, 1988
6969
RPCD.No.NB.BC.5/RRB.16/88-89
Rate of interest to be charged by sponsor banks on their lendings to Regional Rural Banks
July 28, 1988
6970
DBOD.No.Ret.BC.7/C.96(Ret)-88
Notification
July 28, 1988
6971
DBOD.No.Ret.BC.8/C.96(Ret)-88
Circular
July 28, 1988
6972
DBOD.No.Dir.BC.4/C.347-88
Interest Rates on Deposits
July 21, 1988
6973
DBOD.No.Dir.BC.5/C.347-88
Participation in the Call Money Market Discount and Finance House of India Ltd. (DFHI)
July 21, 1988
6974
DBOD.No.GC.BC.3/C.408C(L)-88
Estimate Committee6s Report – Safe Deposit Locker Facility
July 13, 1988
6975
UBD.BR.53/A.12(19)-88/89
Restrictions on Primary Co-operative Banks in (a) Investment of Funds as Deposits with Public Sector Undertakings/Companies/Corporations/Co-operative Institutions and (b) Holding Shares in Institutions other than in Co-operative Sector
July 12, 1988
6976
UBD.No.(DC)5/V.1-88/89
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 12, 1988
6977
UBD(DC)No.4/V.1-88/89
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
July 12, 1988
6978
DBOD.No.Dir.BC.1/C.347(I)-88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
July 12, 1988
6979
DBOD.No.Dir.BC.2/C.347(I)-88
Interest Rates on Deposits held in FCNR Accounts
July 12, 1988
6980
UBD.No(DC)2/R.1-A-88/89
Inventory/Recievable Norms for certain Segments of Chemical Industry
July 8, 1988
6981
IECD.No.CAD.I.210/C.446(T)-88/89
Working Capital Requirements of Composite Textile Mills
July 6, 1988
6982
IECD.No.CAD.I.211/C.446(T)-88/89
Inventory and Receivables Norms for Polyester Staple Fibre Industry
July 6, 1988
6983
IECD.No.CAD.209/C.446(E-P)-88/89
Inventory/Receivables Norms for Engineering Industry
July 1, 1988
6984
IECD.No.PMS.208/C.446(PL)-87/88
CAS – Sanction of Term Loans/Deferred Payment Guarantees
June 30, 1988
6985
IECD.No.PMS.207/C.446 (C&P)-87/88
Advances on Consortium Basis – Co-ordination between Banks and All-India Financial Institutions in Dealing with New Investment, either by Existing Companies (as Modernisation, Diversification, Expansion) or by New Companies
June 29, 1988
6986
UBD.No.BR.1916/D34-87/88
Advances against the Security of Gold Ornaments by Urban Co-operative Banks – Exemption from Submission of Delcaration under Gold (Control) Act, 1966
June 27, 1988
6987
UBD.No.DC.1536/R.1/87-88
Assessment of Working Capital Requirements – Drawal of Funds – Quarterly Information System (QIS)
June 25, 1988
6988
DBOD.No.Dir.BC.155/C.347-88
Interest Rates on Deposits
June 22, 1988
6989
DBOD.No.BL.BC.154/C.168(61)-88
Acquisition of Accommodation on Lease/Rental Basis by Banks for their use – Incorporation of a Specific Clause in the Rent/Lease Agreements on Payment of Property Taxes bvy the Owners
June 20, 1988
6990
DBOD.No.Dir.BC.153/C.347(PSB)-88
Investments in and Holdings of Public Sector Bonds
June 18, 1988
6991
DBOD.No.BP.BC.152/C.469(W)-88
Banking Services/Credit Relaxations to Borrowers/Customers in Punjab
June 10, 1988
6992
DBOD.No.Ret.BC.151/C.96(Ret)-88
Revised C.R.R. effective from 2nd July, 1988 insted of 30th July, 1988 circular
June 9, 1988
6993
DBOD.No.Ret.BC.150/C.96(Ret)-88
Notification
June 9, 1988
6994
RPCD.No.RF.DIR.BC.112/D.2-87/88
Selective Credit Control – Advances against Wheat – Increase in minimum margin
June 8, 1988
6995
RPCD.No.RF.DIR.BC.113/D.2-87/88
Selective Credit Control – Advances against Wheat – Increase in Margin
June 8, 1988
6996
UBD.No.DC.127/PR.474-87/88
Selective Credit Control – Advances against Wheat – Increase in Minimum Margin
June 8, 1988
6997
UBD.No.DC.128/PR.474-87/88
Selective Credit Control – Advances against Wheat – Increase in Margin
June 8, 1988
6998
DBOD.No.Dir.BC.148/C.218-88
Selective Credit Control – Advances against Wheat – Increase in Minimum Margin
June 8, 1988
6999
DBOD.No.Dir.BC.149/C.218-88
Selective Credit Control – Advances against Wheat – Increase in Margin
June 8, 1988
7000
DBOD.No.BP.BC.144/C.469(59)-88
Break-Up of Deposits and Advances according to Different Interest Rate Ranges
June 1, 1988
7001
DBOD.No.BP.BC.145/C.469(44)-88
RBI Guidelines/Instructions to Banks and Branch Level Functionaries
June 1, 1988
7002
DBOD.No.GC.BC.143/C.408A-88
Detection of a fraud at an Overseas Branch of a Bank
June 1, 1988
7003
DBOD.No.BL.BC.142/C.168(64D)-88
Branch Licensing Policy 1985-90 – Allotment of Centres in Rural and Semi Urban Areas
May 31, 1988
7004
UBD.No.DC.123/R.1/87-88
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
May 31, 1988
7005
DBOD.No.Dir.BC.140/C.218-88
Selective Credit Control
May 27, 1988
7006
DBOD.No.Dir.BC.141/C.218-88
Selective Credit Control
May 27, 1988
7007
RPCD.No.RF.BC.109/D.1-87/88
Deposit Collection Schemes floated by private financiers/organisations
May 26, 1988
7008
RPCD.No.RF.BC.110/D.1-87/98
Payment of balance in the accounts of deceased customers to survivors/claimants and Nomination Facilities
May 26, 1988
7009
UBD.(DC).120/V.1-87/88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
May 21, 1988
7010
UBD.No.(DC)121/V.1-87/88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
May 21, 1988
7011
DBOD.No.Leg.BC.138/C.466(IV)-88
Customer Service in Banks – Opening of PPF Accounts
May 21, 1988
7012
DBOD.No.Dir.BC.136/C.347(I)-88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
May 21, 1988
7013
DBOD.No.Dir.BC.137/C.347(I)-88
Interest Rates on Deposits held in FCNR Accounts
May 21, 1988
7014
DBOD.No.GC.BC.135/C.408(A)-88
Reporting of Cases of Frauds involving Amount upto Rs. 10,000/- by Banks to RBI
May 20, 1988
7015
DBOD.No.GC.BC.134/C.408A(SA)-88
Security in Commercial Banks – Setting up of State Level Security Committees
May 14, 1988
7016
RPCD.No.RF.ROC.41/324-87/88
Cash Reserve Ratio under Section 42 of the Reserve Bank of India Act, 1934 and Statutory Liquidity Ratio under Section 24 of the Banking Regulation Act, 1949 – Regional Rural Banks – Advances against Term Deposits
May 13, 1988
7017
IECD.No.PMS.206/27C-87/88
CAS – Assessment of Working Capital Requirements – Classification / Treatment of certain items of Current Assets / Current Liabilities
May 12, 1988
7018
DBOD.No.Fol.BC.133/C.249-88
Data regarding Bad Debts Written off and Balancing of Books
May 10, 1988
7019
UBD.No.(DC)117/PR.474-87/88
Selective Credit Control – Advances against Cotton and Kapas
May 9, 1988
7020
DBOD.No.BL.BC.131/C.168(M)-88
Section 23 of the Banking Regulation Act, 1949 – Branch Expansion Programme relating to Metropolitan/Port-Town/Urban Centres for 1985-90
May 3, 1988
7021
IECD.No.CAD.205/C.446(LF)-87/88
Lending Norms for Hire Purchase Concerns
April 28, 1988
7022
IECD.No.PMS.204/27C-87/88
Working Capital Finance for Computer Software Industry
April 26, 1988
7023
DBOD.No.Leg.RC.129/C.672-88
Operation of Rural Branches
April 25, 1988
7024
IECD.No.PMS.203/C.446(PL)-87/88
CAS – Lending Discipline – Quarterly Information System (QIS)
April 22, 1988
7025
IECD.No.PMS.202/C.446(PL)-87/88
CAS
April 20, 1988
7026
DBOD.No.Dir.BC.128/C.96-88
Measures to Promote Bill Financing – Discounting of Bills – Deriving of Discounted Value of Bills
April 19, 1988
7027
RPCD.No.RF.DIR.BC.16/D.1/88-89
Interest rates on deposits held under Non-Resident (External) Accounts Scheme (NRE) – Renewal of overdue deposits
April 16, 1988
7028
IECD.No.CAD.201/C.446(LF)-87/88
Norms for Lending to Leasing Concerns
April 12, 1988
7029
DBOD.No.Leg.BC.126/C-466(IV)-88
Customer Service – Recommendations of Working Group
April 11, 1988
7030
DBOD.No.Dir.BC.127/C.347(PSB)-88
Buy-Back Arrangements in Government and Other Approved Securities Entered into by Commercial Banks
April 11, 1988
7031
RPCD.No.RF.DIR.BC.96/D.2-87/88
Selective Credit Control – Advances against Paddy/Rice, Wheat, Pulses and Other Foodgrains
April 9, 1988
7032
RPCD.No.RF.DIR.BC.97/D.2-87/88
Selective Credit Control – Advances against Sensitive Commodities – Inclusion of Wheat under the Control
April 9, 1988
7033
UBD (DC)115/PR.474-87/88
Selective Credit Control – Inclusion of Wheat under Control
April 9, 1988
7034
UBD(DC)114/PR.474-87/88
Selective Credit Control – Advances against Sensitive Commodities
April 9, 1988
7035
DBOD.No.Dir.BC.124/C.218-88
Selective Credit Control – Advances against Paddy/Rice, Wheat, Pulses and Other Foodgrains
April 9, 1988
7036
DBOD.No.Dir.BC.125/C.218-88
Selective Credit Control – Inclusion of Wheat under the Control
April 9, 1988
7037
DBOD.No.BP.BC.122/C.469(W)-88
Delay of Allotment Orders/Share Certificates and Refund Orders of Public Issues of Capital
April 5, 1988
7038
DBOD.No.Ret.BC.121/C.96(Ret)-88
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – Maintenance of CRR/SLR by Banks
April 5, 1988
7039
UBD.No.(DC)110/R.1-87/88
Immediate Credit of Outstation Cheques upto Rs. 2,500/-
April 4, 1988
7040
RPCD.No.RF.DIR.BC.94/D.2-87/88
Selective Credit Control – Advances against Paddy/Rice, Pulses, other Foodgrains, Oilseeds, Vegetable Oils Including Vanaspati and Cotton and Kapas
April 2, 1988
7041
RPCD.No.RF.DIR.BC.95/D.2-87/88
Selective Credit Control – Advances against Sensitive Commodities
April 2, 1988
7042
UBD.DC.108/PR.474-87/88
Selective Credit Control – Advances against Sensitive Commodities
April 2, 1988
7043
UBD.No.DC.107/PR.474-87/88
Selective Credit Control – Advances against Sensitive Commodities
April 2, 1988
7044
DBOD.No.Ret.BC.110/C.96(Ret)-88
Notification regarding Increase in CRR from 10.00 to 10.50
April 2, 1988
7045
DBOD.No.Ret.BC.111/C.96(Ret)-88
Notification regarding Increase in CRR from 10.00 to 10.50
April 2, 1988
7046
DBOD.No.Ret.BC.112/C.96(Ret)-88
Notification regarding Release of Impounded Balances
April 2, 1988
7047
DBOD.No.Ret.BC.113/C.96(Ret)-88
Notification regarding Release of Impounded Balances
April 2, 1988
7048
RPCD No.RF.DIR.BC.92/D.1-87/88
Interest Rates on Deposits
April 2, 1988
7049
RPCD.No.RF.DIR.BC.93/D.1-87/88
Interest Rates on Deposits
April 2, 1988
7050
UBD.DC.104/V-1/87-88
Interest Rates on Deposits
April 2, 1988
7051
UBD.DC.105/V.1-87/88
Interest Rates on Deposits
April 2, 1988
7052
DBOD.NO.Dir.BC.116/C.218-88
Selective Credit Controls – Advances against Paddy/Rice, Pulses, Other Foodgrains, Cotton and Kapas, Oilseeds and Vegetable Oils including Vanaspati
April 2, 1988
7053
DBOD.No.Dir.BC.117/C.218-88
Selective Credit Controls – Advances against Sensitive Commodities
April 2, 1988
7054
DBOD.No.Dir.BC.118/C.475-88
Bills Rediscounting Scheme – Rediscount Rate
April 2, 1988
7055
DBOD.No.Dir.BC.114/C.347-88
Interest Rates on Deposits
April 2, 1988
7056
DBOD.No.Dir.BC.115/C.347-88
Interest Rates on Deposits
April 2, 1988
7057
RPCD.No.RF.BC.91/J.87/88
Section 23 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Branch Licensing Policy – Guidelines
March 29, 1988
7058
DBOD.No.BC.109/C.408A(88)-88
Reporting of Cases of Bank Robberies/Dacoities/Thefts/Burglaries
March 29, 1988
7059
DBOD.No.BP.BC.108/C.469-88
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
March 28, 1988
7060
RPCD.No.RF.BC.89/D.1-87/88
Prohibiting bank employees from collecting donations for Trusts & other Organisations
March 22, 1988
7061
DBOD.No.GC.BC.107/C.408A(88)-88
Bank Robberies/Dacoities – Reporting thereof
March 22, 1988
7062
DBOD.No.Dir.BC.106/C.96(S&D)-88
Guidelines for Bank Finance to Assist Employees to Buy Shares of their Own Companies
March 17, 1988
7063
IECD.No.CAD.199/C.446 (HF-P)87/88
Housing Finance
March 16, 1988
7064
DBOD.No.BP.BC.104/C.469(35B)-88
Prohibiting Bank Employees from Collecting Donations for Trusts
March 12, 1988
7065
DBOD.No.BP.BC.101/C.469-88
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
March 5, 1988
7066
RPCD.No.RF.BC.84/A.6-87/88
Register showing the position of Average Daily Balance under Section 42 of the Reserve Bank of India Act, 1934 and Liquid Assets under Section 24 of the Banking Regulation Act, 1949 – Regional Rural Banks
March 3, 1988
7067
IECD.No.PMS.198/27C-87/88
Inventory/Receivables Norms for certain Segments of Chemical Industry
February 26, 1988
7068
DBOD.No.Leg.BC.98/C.90(H)(D)-88
Nomination Facilities
February 25, 1988
7069
RPCD.No.RF.ROC.35/A.12(19)-87/88
Section 19 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Restriction on holding shares in other co-operative societies – Investments in the shares of IFFCO
February 23, 1988
7070
DBOD.No.BL.BC.97/57(C).88
Section 23 of the Banking Regulation Act, 1949 – Branch Banking Statistics – Offices Opened/Closed
February 23, 1988
7071
RPCD.NO.RF.BC-81/A-6-87/88
Register showing the Daily Position of Cash Reserve and Liquid Assets maintained under Sections 18 and 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Central Co-operative Banks
February 18, 1988
7072
RPCD.No.RF.BC.79/A.6-87/88
Register showing the position of Average Daily Balance under Section 42 of the Reserve Bank of India Act, 1934 and Liquid Assets under Section 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Banks
February 18, 1988
7073
RPCD.No.RF.BC.80/A.6-87/88
Register showing the daily position of Cash Reserve and Liquid Assets maintained under Sections 18 and 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Non-Scheduled State Co-operative Banks
February 18, 1988
7074
RPCD.No.RF.ROC.34/324-87/88
Section 42 of the Reserve Bank of India Act, 1934 and Sections 18 and 24 of the Banking Regulation Act, 1949 – Cash Reserve Ratio & Statutory Liquidity Ratio – Claims received from Depository Insurance & Credit Guarantee Corporation (DICGC)
February 18, 1988
7075
UBD.No.(DC)101/R.1-A-87/88
Inventory/Receviable Norms for various Industries
February 15, 1988
7076
UBD.No.DC.84/R.1(B).87/88
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
February 13, 1988
7077
DBOD.BP.BC.95/C.469(W)-88
Implementation of Green Card System in the Union Territory of Delhi – Priority Attention in the Sanction of Bank Loans to Green Card Holders
February 12, 1988
7078
DBOD.No.IBS.BC.94/C.212(Mon)-88
Control Systems at Foreign Offices – Credit Management – Single Borrower/Borrower Group (SBL/BGL) Limits
February 9, 1988
7079
UBD.No.DC.99/R.1-87/88
Maximum Limit on Advances – Advances to Salaried Borrowers
February 8, 1988
7080
DBOD.No.BP.BC.90/C.469-88
Ban on Financing of Trade by Commercial Banks between India and FIJI
February 6, 1988
7081
UBD.(DC)96/V.1-87/88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
February 6, 1988
7082
UBD.No.(DC)97/V.1-87/88
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
February 6, 1988
7083
DBOD.No.BP.BC.89/C.469-88
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
February 6, 1988
7084
DBOD.No.Dir.BC.91/C.347(PSB)-88
Holdings of Corporate Shares and Debentures and Public Sector Bonds
February 6, 1988
7085
DBOD.No.Dir.BC.92/C.347(l)-88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
February 6, 1988
7086
DBOD.No.Dir.BC.93/C.347(I)-88
Interest Rates on Deposits held in FCNR Accounts
February 6, 1988
7087
DBOD.No.Leg.DC.88/C.466(IV)-88
Customer Service – Payment of Interest for Delay in Collection of Outstation Instruments
February 4, 1988
7088
IECD.No.EFD.197/822-WGM-MOD-88
Project Exports – Grant of Credit Facilities to Indian Contractors
January 30, 1988
7089
DBOD.No.Leg.BC.85/C.233-88
Advances on Consortium Basis – Co-ordination between Banks and Financial Institutions – Appointment of Nominee Directores by Commercial Banks on the Boards of Companies Assisted by them
January 29, 1988
7090
DBOD.No.IBS.BC.83/C.212(MON) PP-88
Training Abroad in Foreign Exchange
January 25, 1988
7091
DBOD.No.IBS.130/13-88
Financing of Indian Joint Ventures Abroad
January 20, 1988
7092
UBD.P&O.94/HG.4-87/88
Refinance Facilities to Urban Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small Scale Industries Sector
January 20, 1988
7093
RPCD.NO.RF.DIR.BC.74/D.2-87/88
National Savings Certificates and Indira Vikas Patras – Advances against the security of
January 19, 1988
7094
UBD.No.RBL.1099/J(Shifting)-87/88
Aquisition of Premises by Urban Co-operative Banks – Prior Approval of the Reserve Bank of India
January 18, 1988
7095
RPCD.No.RF.531/A.12(19)-87/88
Section 19 of the Banking regulation Act, 1949 (As Applicable to Co-operative societies) – Restriction on holding shares in other Co-operative societies – Kerala Kera Karshaka Sahakarana Federation Ltd. (KERAFED)
January 16, 1988
7096
UBD.No.DC.90/R.1-87/88
Customer Service – Payment of Interest at Savings Bank Rate for the Delay in Collection of Outstation Cheques
January 5, 1988
7097
DBOD.No.Leg.BC.80/C.234(G)-88
Section 19(2) of the Banking Regulation Act, 1949 – Exemptions
January 4, 1988
7098
UBD.No.(DC)88/R.40/87-88
Grant of Advances against Security of 9% Relief Bonds, 1987
January 1, 1988
7099
IECD.No.CAD.196/C.446(H)-87/88
CAS – Advances to Sugar Industry 1987-88 Crushing Season
December 31, 1987
7100
UBD.No.P&O.86/HG.1(10)-87/88
Rehabilitation of Small Scale Industrial Units Financed by Urban Co-operative Banks
December 28, 1987
7101
DBOD.No.Ret.BC.77/C.236(G)Spl-87
Notification
December 26, 1987
7102
DBOD.No.Ret.BC.78/236(G)Spl-87
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio by Banks
December 26, 1987
7103
DBOD.No.Leg/BC.75/C.90(H)(I)-87
Banking Regulation Act, 1949 – Bringing into force the Provisions thereof in the State of Sikkim
December 18, 1987
7104
DBOD.No.SIC.BC.74/739(A-1)-87
Fraud in Foreign Bills Purchased/Negotiated and Other Accounts
December 17, 1987
7105
DBOD.No.BP.BC.73/C.469(44)-87
Grant of Advances against Security of 9% Relief Bonds, 1987
December 16, 1987
7106
UBD.No.P&O.79/HG.4-87/88
Refinance Facilities to Urban Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small Industries Sector
December 15, 1987
7107
DBOD.No.BL.BC.72/C-168(64D)-87
Branch Licensing Policy 1985-90 – Setting up of Satellite / Mobile Branches
December 14, 1987
7108
RPCD.No.Stat.BC.68/378-87/88
Submission of Statutory Returns under Section 42(2) of the Reserve Bank of India Act, 1934 – Form A
December 12, 1987
7109
IECD.No.PMS.194/27C-87/88
Inventory / Receivables Norms for Dyes and Dye Intermediates Industry
December 11, 1987
7110
IECD.No.PMS.195/27C-87/88
Inventory / Receivables Norms for Financing of Glass, Ceramics, Breweries, Distilleries, Leather Products and Food Products Industries
December 11, 1987
7111
DBOD.No.BP.BC.71/C.473-87
Payments under Bank Guarantees – Settlement of Cases
December 10, 1987
7112
DBOD.No.BL.BC.70/C.168(64D)-87
Branch Licensing Poilcy for 1985 -90 – Validity Period of Licences
December 9, 1987
7113
RPCD.No.RF.ROC.23/A.12(24)-87/88
Section 42 of the Reserve Bank of India Act, 1934 and Sections 18 and 24 of the Banking Regulation Act, 1949 – Interest accrued on deposits
December 4, 1987
7114
DBOD.No.BP.BC.69A/C.469(W)-87
Performance Evaluation Reports
December 3, 1987
7115
DBOD.No.Dir.BC.69/C.218-87
Selective Credit Controls – Advances against Sensitive Commodities to Newly Established Processing/Manufacturing Units
December 3, 1987
7116
IECD.No.CAD.193/C.446(RT)-87/88
Inventory/Receivables Norms for Tyre and Other Rubber Products Units
December 2, 1987
7117
DBOD.NO.IBS.1740/C.212(Mon)-87
Exposures to Debts – Problems Countries
December 1, 1987
7118
DBOD.No.IBS.1728/C.553A-87
Acquisition/Leasing of Premises
November 30, 1987
7119
UBD.(DC)73/V.1-87/88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
November 28, 1987
7120
UBD.No.(DC)74/V.1-87/88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
November 28, 1987
7121
DBOD.No.Dir.BC.66/C.347(l)-87
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
November 28, 1987
7122
DBOD.No.Dir.BC.67/C.347(1)87
Interest Rates on Deposits held iin FCNR Accounts
November 28, 1987
7123
UBD.No.DC.71/R.40-87/88
Grant of Advances against Security of Indira Vikas Patras
November 26, 1987
7124
IECD.No.EFD.BC.191/ 819-POL-ECR-87
Financing of Exports – Timely and Adequate Provision of Export Credit
November 24, 1987
7125
IECD.No.CAD.189/C.446(74)-87/88
Lending Norms for Diamond Exporters
November 23, 1987
7126
IECD.No.CAD.190/C.446(CE)-87/88
Review of Inventory/Receivables Norms for Cement Industry
November 23, 1987
7127
UBD.No.I&L.67/J.1-87/88
Advances to Builders/Contractors
November 21, 1987
7128
UBD.No.(DC)63/V.1-86/87
Payment of Interest on Savings Bank Accounts
November 19, 1987
7129
UBD.No.(DC)65/V.1-87/88
Opening of Savings Accounts in the Names of certain Bodies/Organisations – Violation of Directives
November 19, 1987
7130
UBD.No.DC.60/V1.87/88
Interest Rates on Deposits – Rate of Interest Applicable to Overdue Deposits
November 13, 1987
7131
UBD(DC)58/R.1-87/88
Maximum Limit on Advances
November 12, 1987
7132
DBOD.No.GC.BC.62/C.408(A)-87
Frauds in Banks – Opening of New Accounts
November 11, 1987
7133
IECD.No.EFD.BC.188/819-POL-ECR-87
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit relating to the Export of Cashew Nuts and Other Agro-based Products
November 6, 1987
7134
DBOD.No.Ret.BC.61/C.96(Ret)-87
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – Interest Accured on Deposits
November 6, 1987
7135
RPCD.No.RF.DIR.BC.53/D.1-87/88
Interest Rates on Deposits
November 2, 1987
7136
RPCD.NO.RF.DIR.BC.54/D.1-87/88
Interest rates on deposits
November 2, 1987
7137
DBOD.No.GC.BC.59/C.408(A)-87
Frauds in Banks Committed by Unscrupulous Borrowers
November 2, 1987
7138
DBOD.No.Leg.BC.58/C.466(iv)-87
Customer Service – Immediate Credit of Outstation Cheques upto Rs.2500/- and Payment of Interest for Delayed Collection of Outstation Instruments
October 28, 1987
7139
IECD.No.CAD.187/C.446(H-143)-87/88
Housing Finance – Housing Development Finance Corporation Ltd. (HDFC)
October 27, 1987
7140
DBOD.No.Leg.BC.57/C.466(IV)-87
Working Group on Customer Service in Banks – Recommendation No. 30
October 27, 1987
7141
UBD.No.BR.483/B1-87/88
Payment of Balance in Accounts of the Deceased Customers to Survivors/Claimants
October 21, 1987
7142
IECD.No.CAD.186/C.446(H)87/88
CAS – Advances to Sugar Industry 1987-88 Crushing Season
October 19, 1987
7143
DBOD.No.BL.BC.55/C.168(61)-87
Acquisition of Accommodation on Rental/Lease basis by Commercial Banks for their use (i.e. for Offices and Residence of Staff)
October 17, 1987
7144
RPCD.No.RF.DIR.BC.48/D.2-87/88
Selective Credit Control Advances against Paddy/Rice, Pulses, other foodgrains, Oilseeds, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
October 17, 1987
7145
RPCD.NO.RF.DIR.BC.49/D.2-87/88
Selective Credit Control – Advances against Sensitive Commodities
October 17, 1987
7146
UBD(DC)54/PR.474-87/88
Selective Credit Control – Advances against Sensitive Commodities
October 17, 1987
7147
UBD(DC)55/PR.474-87/88
selective Credit Cotrol
October 17, 1987
7148
DBOD.No.Ret.BC.56/C.96(Ret)-87
Increase of CRR – Forwarding Letter
October 17, 1987
7149
DBOD.Ret.BC.54/C.96(Ret)-87
Notification
October 17, 1987
7150
DBOD.No.Dir.BC.52/C.218-87
Selective Credit Control
October 17, 1987
7151
DBOD.No.Dir.BC.53/C.218-87
Selective Credit Control
October 17, 1987
7152
UBD.DC.52/PR.474/87-88
Selective Credit Control
October 15, 1987
7153
DBOD.No.BP.BC.51/C.469(W)-87
Credit Relaxations to Borrowers in Haryana and Chandigarh
October 14, 1987
7154
RPCD.No.RF.DIR.BC.44/D.1-87/88
Interest Rates on deposits
October 10, 1987
7155
RPCD.No.RF.DIR.DC.43/D.1-87/88
Interest Rates on deposits
October 10, 1987
7156
UBD.(DC)46/V.1-87/88
Interest Rates on Deposits
October 10, 1987
7157
UBD.(DC)50/V.1.87/88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
October 10, 1987
7158
UBD(DC)47/V.1-87/88
Interest Rates on Deposits held under the Non-Resident (External) Rupee Accounts
October 10, 1987
7159
UBD(DC)49/V.1-87/88
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
October 10, 1987
7160
DBOD.No.IBS.1488/C.212(Mon.)-87
Monitoring of Overseas Branch Operations
October 10, 1987
7161
DBOD. No.Dir.BC.48/C.347-87
Interest Rates on Deposits
October 10, 1987
7162
DBOD.No.Dir. BC.49/C.347(l)-87
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
October 10, 1987
7163
DBOD.No.Dir.BC.50/C.347-87
Interest Rates on FCNR Deposits
October 10, 1987
7164
DBOD.BP.BC.47/C.469(W)-87
Problems Faced by Exporters
October 8, 1987
7165
RPCD.No.RF.BC.38/324-87/88
Regional Rural Banks – Exemption from provisions of proviso to sub-section (1) and sub-section (1A) of Section 42 of RBI Act, 1934
October 1, 1987
7166
UBD.(DC)42/V.1-87/88
Interest Rates on Deposits held in FCNR Accounts
September 30, 1987
7167
DBOD.No.GC.BC.43/C.408A(88)-87
Reporting of Cases of Bank Robberies/Dacoities/Thefts/Burglaries
September 28, 1987
7168
IECD.No.CAD.184/C.446(66)-87/88
Working Capital Requirements of Commercial Vehicles Manufacturers
September 25, 1987
7169
RPCD.No.RF.DIR.BC.33/D.2-87/88
Bank Advances Against Commodities
September 22, 1987
7170
IECD.No.PMS.183/C.446(PL)-87/88
CAS
September 21, 1987
7171
DBOD.NO.Dir.BC.37/C.96-87
Bank Advances against Commodities
September 21, 1987
7172
UBD(DC)No.39/PR.474-87/88
Bank Advances against Commodities
September 21, 1987
7173
DBOD.No.Leg.BC.40/C.466(lV-)87
Customer Service – Payment of Interest at Savings Bank Rate for Delay in Collection of Outstation Cheques
September 21, 1987
7174
DBOD.No.Leg.BC.41/C.466(IV)-87
Payment of Balance in Accounts of the Deceased Cutomers to Survivors/Claimants
September 21, 1987
7175
UBD(DC)377/PR.474-87/88
Bank Advances against Turmeric
September 19, 1987
7176
DBOD.No.BP.BC.35/C.469(44)-87
Grant of Advances against Security of Indira Vikas Patras
September 19, 1987
7177
DBOD.No.SIC.BC.38/C.739(A-1)87
Deposit-linked Advances
September 19, 1987
7178
DBOD.No.BL.BC.33/C.168-87
Section 23 of the Banking Regulation Act,1949 – Shifting of Offices etc.
September 17, 1987
7179
DBOD.No.Dir.34/C.218-87
Selective Credit Control
September 17, 1987
7180
DBOD.No.GC.BC.32/C.408(A)-87
Reporting of Cases of Frauds in Banks
September 16, 1987
7181
DBOD.No.Ret.BC.30/C.96(Ret)-87
Notification
September 12, 1987
7182
DBOD.No.BL.BC.29/C.108(64D)-87
Branch Licensing Poilcy 1985-90 – Allotment of Centres in Rural and Semi-urban Areas
September 11, 1987
7183
UBD.No.DC.327/PR.474-87/88
Bank Advances against Turmeric
September 10, 1987
7184
RPCD.No.RF.254/324-87/88
Notification
September 10, 1987
7185
RPCD.No.RF.255/324-87/88
Notifications
September 10, 1987
7186
DBOD.No.IBS.1207/C.212(PP)-87
Recuriment of Local Staff at Branches Abroad
August 31, 1987
7187
RPCD.No.NB.BC.20-RRB.16-87/88
Operations of Rural Branches
August 20, 1987
7188
UBD.No.(DC)35/R.40-87/88
Grant of Advances against the Security of National Savings Certificates – Margin on such Advances
August 19, 1987
7189
DBOD.No.Leg.BC.24/C.466(IV)-87
Payments of Drafts
August 18, 1987
7190
RPCD.No.RF.DIR.BC.27/D.2-87/88
Selective Credit Control – Advances against Sensitive Commodities
August 14, 1987
7191
RPCDNo.RF.DIR.BC.26/D.2-87/88
Selective Credit Control – Advances against Paddy/Rice, Pulses, other Foodgrains, Oilseeds, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
August 14, 1987
7192
UBD.No.(DC) 33/PR.474/87-88
Selective Credit Control – Advances against Sensitive Commodities
August 14, 1987
7193
UBD(DC)29/PR.474-87/88
Advances against Cotton and Kapas
August 14, 1987
7194
UBD(DC)30/PR.474-87/88
Advances against Cotton and Kapas
August 14, 1987
7195
UBD(DC)32/PR.474-87/88
Selective Credit Control – Advances against Sensitive Commodities
August 14, 1987
7196
DBOD.No.Dir.BC.22/C.218-87
Selective Credit Control – advances Against Pulses, Paddy/Rice, Other Foodgrains, Oilseeds, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
August 14, 1987
7197
DBOD.No.Dir.BC.23/C.218-87
Selective Creit Control – Advances against Sensitive Commodities
August 14, 1987
7198
DBOD.No.Dir.BC.21/C.347 (PSB)87
Investments in and Underwriting of Shares Debentures and Public Sector Bonds
August 11, 1987
7199
IECD.No.EFD.BC.181/819-POL-ECR-87
Export Credit Guarantee Corporation of India Ltd. (ECGC) – Realisation of Long Outstanding Export Bills – Recovery Efforts by Banks
August 10, 1987
7200
DBOD.No.RP.BC.18/C.469(W)-87
Bank Assitance to Riot Affected Victims of Meerut
August 7, 1987
7201
RPCD.No.NB.BC.16/RRB.16-87/88
Model (Staff) Service Regulations for Officers and other Employees of Regional Rural Bank – Medical Reimbursement
August 3, 1987
7202
IECD.No.IRD.BC.182/IR-54-87/88
Rehabilitation of Sick Industrial Companies – Board for Industrial and Financial Reconstruction (BIFR) – Commencement of Operations
August 3, 1987
7203
IECD.No.PMS.180/C.446(PL)87/88
Bank Finance for Payment of Bonus
July 31, 1987
7204
DBOD.No.Leg.BC.17/C.672-87
Operations of Rural Branches
July 30, 1987
7205
IECD.No.PMS.179/C.446(PL)-87/88
CAS – Financing of Credit Purchases through Bill Acceptances
July 29, 1987
7206
DBOD.No.BP.BC.15/C.469(W)-87
Bank Advances against Wheat Stocks
July 27, 1987
7207
DBOD.No.Ret.BC.16/C.96(Ret.)-87
Section 42 of the Reserve Bank of India Act, 1934 – Interest Accured on FCNR and NRE Accounts
July 27, 1987
7208
IECD.No.CAD.178/C.446(H)-87/88
Advances to Sugar Industry – Categorisation of Sugar Mills
July 25, 1987
7209
DBOD.No.Leg.BC.14/C.466(IV)-87
Payment of Balance in Accounts of the Deceased Customers to Surviors/Claimants
July 22, 1987
7210
DBOD.No.Leg.BC.13/C. 466(IV)-87
Customer Service – Payment of Interest for Delay in Collection of Outstation Instruments
July 22, 1987
7211
DBOD.No.BP.BC.12/C.469(W)-87
The Foreign Contribution (Regulation) Amendment Ordinance, 1984
July 21, 1987
7212
DBOD.No.Dir.BC.11/C.347-87
Deposits at Call Receipts Issued by Banks
July 18, 1987
7213
DBOD.No.Dir.BC.9/C.347(1)87
Deposits Accepted under FCNR Accounts – Loans/Overdrafts against the Security of FCNR Deposits – Clarification
July 16, 1987
7214
IECD.No.PMS.177/C.446(PL)-87-88
CAS – Financing of Credit Sales
July 16, 1987
7215
RPCD.No.RF.DIR.BC.10/D.2-87/88
Selective Credit Control-Advances Against Pulses, other Foodgrains, Oilseeds, Oils, Sugar, Gur and Khandsari
July 14, 1987
7216
RPCD.No.RF.DIR.BC.11/D.2-87/88
Selective Credit Control – Advances against Sensitive Commodities
July 14, 1987
7217
UBD(DC)17/PR.474-87/88
Advances against Sensitive Commodities
July 14, 1987
7218
UBD(DC)No.16/PR.474/87/88
Selective Credit Control – Advances against Sensitive Commodities
July 14, 1987
7219
DBOD.No.Dir.BC.7/C.218-87
Selective Credit Control – Advances against Pulses, Other Foodgrains, Oilseeds, Oils, Sugar, Gur and Khandsari
July 14, 1987
7220
DBOD.No.Dir.BC.8/C.218-87
Selective Credit Control – Advances against Sensitive Commodities
July 14, 1987
7221
RPCD.No.RF.ROC.1/A.12(24)-87/88
Section 24 of the Banking Regulation Act, 1949 – Eligible Securities for the purpose of Statutory Liquidity Ratio-Indira Vikas Patra.
July 6, 1987
7222
DBOD.No.Dir.BC.4/C.347(I)-87
Interest Rates on Deposits held in FCNR Accounts
July 6, 1987
7223
DBOD.No.Dir.BC.5/C.347-87
Interest Rates on Deposits
July 6, 1987
7224
DBOD.No.Dir.BC.6/C.347(l)-87
Interest Rates on Deposits
July 6, 1987
7225
UBD.DC.8/V.1-87/88
Interest Rates on Deposits
July 6, 1987
7226
UBD.DC.No.4/V.1-87/88
Interest Rates on Deposits held FCNR Accounts
July 6, 1987
7227
UBD.DC.No.5/V.1-87/88
Interest Rates on Deposits held in FCNR Accounts
July 6, 1987
7228
UBD.DC.No.7/V.1-87/88
Interest Rates on Deposits
July 6, 1987
7229
DBOD.No.Leg.BC.2/C.272-87
Non-Business Working Day
July 6, 1987
7230
DBOD.No.Leg.BC.3/C.672-87
Operations of Rural Branches
July 6, 1987
7231
IECD.No.CAD.176/C.446(T)-87/88
Working Capital Requirements of Composite Textile Mills
July 3, 1987
7232
UBD.DC.1/R.1-87/88
Maximum Limit on Advances
July 3, 1987
7233
UBD.No.(DC) 2/R.1-87/88
Maximum Limit on Advances
July 3, 1987
7234
IECD.No.CAD.175/C.446(H)-86/87
CAS – Advances to Sugar Industry – Adjustment of Cash Accruals under Central Government Incentives
July 2, 1987
7235
IECD.No.PMS.173/C.446(PL)87-88
CAS
July 1, 1987
7236
UBD(DC)111/HG.9-86/87
Interest Rates on Advances
June 29, 1987
7237
UBD.No.NBL.13/J .21-86/87
Area of Operations of Urban Co-operative Banks
June 27, 1987
7238
UBD.No.P&O.107/UB.31/86-87
Urban Co-operative Bank – Finance for Housing Schemes
June 27, 1987
7239
UBD.No.NBL.10/J.21-86/87
Licensing of New Primary (Urban) Co-operative Banks – Policy
June 27, 1987
7240
IECD.No.PMS.172/C.446.(C&P)-86/87
Lending under Consortium Arrangements by Banks
June 27, 1987
7241
UBD.No.P&O.109/HG.4.86/87
Refinance Facilities to Urban Co-opertive Banks under Section 17 of the Reserve Bank of India Act, 1934 – Surplus Funds
June 27, 1987
7242
UBD.DC.102/V.1-86/87
Interest Rates of Deposits
June 25, 1987
7243
UBD.DC.103/V.1.86/87
Interest Rates on Deposits
June 25, 1987
7244
IECD.No.PMS.171/C.446(C&P)-86/87
Advances on Consortium Basis – Co-ordination between Banks and Financial Institutions – Rehabilitation of Sick Units
June 25, 1987
7245
UBD.P&O.96/UB.23-86/87
Role of State Co-operative Banks in the Development of Urban Co-operative Banks
June 25, 1987
7246
UBD.No.P&O.100/UB.8-86/87
Policy and Practice regarding Nomial Membership
June 25, 1987
7247
UBD(DC)104/R.1-86/87
Guidelines for Assessment of Working Capital Requirements, Opening of Letters of Credit and Issue of Guarantees
June 25, 1987
7248
IECD.No.PMS.170/C.446/(PL)-86/87
CAS – Treatment of Disputed Excise Duty and Other Statutory Liabilities – Assessment of Working Capital Requirements
June 24, 1987
7249
UBD.No.P&O.94/PR.36(i)-86/87
Industrial Development Bank of India Scheme for Refinance Assistance for Quality Control Facilities by SSI Units
June 24, 1987
7250
DBOD.No.Fol.BC.64/C.249-87
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
June 16, 1987
7251
UBD(DC)No.91/V.1-86/87
Interest Rates on Deposits held in FCNR Accounts
June 13, 1987
7252
UBD.(DC)No.89/V.1-86/87
Comprehensive Directive relating to Deposits Accepted in FCNR Accounts
June 13, 1987
7253
DBOD.No.DIR.BC.61/C.347(PSB)-87
Advances against Shares and Debentures
June 9, 1987
7254
DBOD.No.BP.BC.59/C.469(W)-87
Bank Advances against Wheat Stocks
June 8, 1987
7255
DBOD.No.Dir.BC.60/C.347(PSB)-87
Investment in and Underwriting of Bonds Issued by Public Sector Undertakings
June 8, 1987
7256
UBD.No.I&L.88/J.1-87/88
Matters relating to Greater Co-ordination between Banking System and Income-tax Authorities
June 8, 1987
7257
DBOD.SIC.BC.58/C.739(A-1)-87
Advances against Shares and Debentures
June 6, 1987
7258
RPCD.No.RF.DIR.BC.87/D.1-86/87
Interest Rates on Deposits
June 5, 1987
7259
RPCD.No.RF.DIR.BC.88/D.1-86/87
Directive on interest rates on deposits – Payment of interest on savings bank deposits by Regional Rural Bank to Co-operative Institutions
June 5, 1987
7260
UBD.No.P&O.86/HG.1(10)-86/87
Rehabilitation of Small Scale Industrial Units Financed by Urban Co-operative Banks
June 5, 1987
7261
DBOD.No.Dir.BC.57/C.347-87
Payment of Interest on Margin Money held in Current Accounts
June 3, 1987
7262
UBD.DC.84/R.1-86/87
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
June 3, 1987
7263
UBD.(DC)78/R.40-86/87
Grant of Advances against the Security of Indira Vikas Patras
June 1, 1987
7264
UBD.No.(DC)76/R.40-86/87
Grant of Advances against the Security of National Savings Certificates
June 1, 1987
7265
DBOD.No.Ret.BC-56/C.236(G).Spl.87
Section 24 of the Banking Regualtion Act, 1949 – Eligible Securities for the Purpose of Statutory Liqudity Ratio – Indira Vikas Patra and Public Sector Bonds
June 1, 1987
7266
DBOD.No.GC.BC-55/C.408C(P)-87
Investments in and Underwriting of Bonds Issued buy Public Sector Undertakings
May 28, 1987
7267
DBOD.No.BP.BC.54/C.469-87
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Institutions
May 23, 1987
7268
DBOD.No.Dir.BC.52/C.347(l)-87
Interest Rates on Deposits held in Forreign Currency (Non-Resident) Accounts
May 23, 1987
7269
DBOD.No.Dir.BC.53/C.347(l)-87
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
May 23, 1987
7270
UBD.No.(DC)80/V.1/86-87
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
May 23, 1987
7271
UBD.No.(DC)81/V.1-86/87
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
May 23, 1987
7272
IECD.No.PMS.165/10-86/87
CAS – Contacts between Reserve Bank of India and Banks having Head / Principal Offices outside Bombay
May 19, 1987
7273
Notification DFC.55/DG (O)-87
Amended upto 01.01.2002 – RNBC (Reserve Bank) Directions, 1987
May 15, 1987
7274
Notification DFC.55/DG(O)-87
Amended upto 01.10.2002 – RNBC (Reserve Bank) Directions, 1987
May 15, 1987
7275
Notification No. DFC.55/DG(O)-87
Amended upto 31.03.2003 – Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
May 15, 1987
7276
Notification No.DFC.55/DG (O)-87
Amended upto 22-06-2004 – Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
May 15, 1987
7277
Notification No.DFC.55/DG(O)-87
Amended upto 30.06.2007 : Schedules – Residuary Non-Banking Companies (Reserve Bank) Directions, 1987
May 15, 1987
7278
DBOD.No.SIC.BC.49/C.739(A-1)87
Kite-flying Operations/Purchase of Cheques
May 15, 1987
7279
DBOD.No.BP.BC.44/C.469(44)-87
Grant of Advances against the Security of National Savings Certificates – Margin on such Advances
May 11, 1987
7280
DBOD.No.BP.BC.48/C.469(W)-87
Reliance on Money Market Funds for Maintenance of Reserve Requirements
May 8, 1987
7281
DBOD.No.Dir.759/C.347-87
Opening of Savings Accounts in the names of Fish Farmers Development Agencies (FFDAs)
May 7, 1987
7282
DBOD.No.Dir.BC.47/C.96-87
Interest Rates on Advances
May 4, 1987
7283
IECD.No.PMS.164/C.446(PL)-86/87
CAS
April 20, 1987
7284
DBOD.No.BP.BC.45/C.469(44)-87
Grant of Advances against the Security of National Savings Certificates
April 20, 1987
7285
UBD.DC.72/R.1-86/87
Acquisition of Accommodation on Lease/Rental Basis by Urban Co-opertive Banks for their Use
April 16, 1987
7286
DBOD.No.Dir.BC.42/C.347-87
Buy-back Arragements in Government and Other Approved Securities entered into by Commercial Banks
April 15, 1987
7287
DBOD.No.Dir.BC.41/C.347-87
Payment of Interest on Savings Bank Accounts
April 2, 1987
7288
UBD.(DC)68.V.1.86/87
Interest Rates on Deposits
April 1, 1987
7289
RPCD.No.RF.DIR.BC.70/D(2)-87
Interest rates on advances
March 31, 1987
7290
RPCD.No.RF.DIR.BC.70A/D.2-87
Selective Credit Control – Advances against pulses, other foodgrains, oilseeds, oils, sugar, gur and khandsari
March 31, 1987
7291
RPCD.No.RF.DIR.BC.71/D(2)-87
Interest rates on advances
March 31, 1987
7292
RPCD.No.RF.DIR.BC.71A/D.2-86/87
Selective Credit Control – Advances against sensitive commodities
March 31, 1987
7293
UBD.DC63/HG.9-86/87
Interest Rates on Advances
March 31, 1987
7294
UBD.No.(DC)65/PR.474-86/87
Advances against Sensitive Commodities
March 31, 1987
7295
UBD.No.DC.62/HG.9-86/87
Interest Rates on Advances
March 31, 1987
7296
UBD.No.DC.66/PR.474-86/87
Selective Credit Control – Advances against Sensitive Commodities
March 31, 1987
7297
DBOD.No.Ret.BC.29/C.236(G)Spl-87
Notification
March 31, 1987
7298
DBOD.No.Ret.BC.30/C.236(G)Spl-87
Section 24 of the Banking Regulation Act, 1949 – Maintenance of Statutory Liquidity Ratio by Banks
March 31, 1987
7299
DBOD.No.Ret.BC.31/C.96(Ret)-87
Notification
March 31, 1987
7300
DBOD.No.Ret.BC.32/C.96(Ret)-87
Section 42 of Reserve Bank of India Act, 1934 – Maintenance of Cash Reserve Ratio by Banks
March 31, 1987
7301
DBOD.Ret.BC.33/C.96(Ret)-87
Section 42 of Reserve Bank of India Act, 1934 – Shortfall in the Maintenance of Cash Reserve Ratio – Scheme of Graduated Penalties
March 31, 1987
7302
DBOD.No.Dir.BC.34/C.347-87
Interest Rates on Deposits
March 31, 1987
7303
DBOD.No.Dir.BC.35/C.347-87
Interest Rates on Deposits
March 31, 1987
7304
RPCD.No.RF.DIR.BC.67/D.1-87
Interest Rates on Deposits
March 31, 1987
7305
RPCD.No.RF.DIR.BC.68/D.1-87
Interest Rates on Deposits
March 31, 1987
7306
UBD.(DC)61/V.1-86/87
Interest Rates on Deposits
March 31, 1987
7307
UBD.DC.60/V.1-86/87
Interest Rates on Deposits
March 31, 1987
7308
DBOD.No.Dir.BC.38/C.218-87
Selctive Credit Control – Advances against Pulses, Other Foodgrains, Oilseeds, Oils, Sugar, Gur and Khandari
March 31, 1987
7309
DBOD.No.Dir.BC.39/C.218-87
Selective Credit Control – Advances against Sensitive Commodities
March 31, 1987
7310
DBOD.No.Dir.BC.36/C.96-87
Interest Rates on Advances
March 31, 1987
7311
DBOD.No.Leg.BC.28/C.466(IV)-87
Customer Service
March 25, 1987
7312
DBOD.No.Leg.BC.10/466(IV)-87
Customer Service – Recommendations of Working Group
March 23, 1987
7313
DBOD.No.Ret.BC.25/C.96(Ret)-87
Notification
March 12, 1987
7314
DBOD.No.Ret.BC.26/C.96(Ret)-87
Rescinding of the Release of Impounded Cash Balances
March 12, 1987
7315
IECD.No.PMS.642/27E-86/87
CAS – Compliance with the Requirements Prescribed by the Tandon, Chore and Marathe Committees
March 11, 1987
7316
DBOD.No.BP.BC.24/C.469(44)-87
Grant of Advances against Security of Indira Vikas Patras
March 7, 1987
7317
UBD.BR.1080/A.1-86/87
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 22 – Application of Licence by Primary Credit Socities which have attained Status of Primary Co-operative Banks
March 7, 1987
7318
IECD.NO.EFD.BC.163/819-POL-ECR-87
Export Credit (Interest Subsidy) Scheme, 1968
March 4, 1987
7319
DBOD.No.BP.BC.23/C.469(W)-87
Credit Relaxations in Punjab
March 4, 1987
7320
RPCD.No.NB.BC.57/RRB.1-86/87
Rate of interest to be charged by sponsor banks on their lendings to Regional Rural Banks
March 2, 1987
7321
DBOD.No.BL.BC.21/C.168(6l)-87
Acquisition of Accommodation on Lease/Rental Basis by Commercial Banks for their use
February 28, 1987
7322
DBOD.No.BL.BC.22/C.168(64D)87
Branch Expansion Policy 1985-90 – Allotment of Centers in Rural and Semi-urban Areas
February 28, 1987
7323
IECD.No.EFD.BC.162/819-POL-ECR-87
Statistics relating to Export Credit
February 26, 1987
7324
IECD. No.IRD.BC.161/IP.54/86-87
Rehabilitation of Sick Industrial Companies – Establishment of the Board for Industrial and Financial Reconstruction (BIFR)
February 24, 1987
7325
DBOD.No.BP.BC.20/C.469-87
Bank Credit for Marketing Organisations
February 21, 1987
7326
DBOD.No.Ret.BC.19/C.96(Ret)-87
Raising of CRR from 9% to 9.5%
February 20, 1987
7327
IECD.No.PMS.160/18-86/87
Personal Guarantees of Directors and Other Managerial Personnel of Borrowing Concerns
February 19, 1987
7328
DBOD.No.BP.BC.17/C.469(44)-87
Grant of Adavnces against the Security of National Savings Certificates
February 19, 1987
7329
DBOD.No.BP.BC.18/C.469-87
Matters relating to Greater Co-ordination between Banking System and Income-tax Authories
February 19, 1987
7330
UBD.(DC)57/R.1-86/87
Defaults in Payment of Statutory Dues by Borrowers
February 19, 1987
7331
DBOD.BP.BC.No.16/469 (W)-87
Transfer of Accounts Standing in the Name of Deceased Accounts Holders to the Legal Heirs
February 18, 1987
7332
DBOD.No.Ret.BC.15/C.96(Ret)-87
Notification
February 17, 1987
7333
UBD.P&O.55/HG-4-86/87
Refinance Facilities to Urban Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small Scale Industries Sector
February 17, 1987
7334
DBOD.No.BL.BC.13/C.168(64D)87
Branch Expansion Policy 1985-90 – Allotment of Centres in Rural and Semi-urban Areas
February 14, 1987
7335
DBOD.No.BL.BC.14/C.168-87
Section 23 of the Banking Regulation Act, 1949 – Opening of Extension Counters – Revised Proforma of Application
February 14, 1987
7336
DBOD.No.BL.BC.12/57(C)-87
Section 23 of the Banking Regulation Act, 1949 – Branch Banking Statistics – Offices Opened/Closed
February 12, 1987
7337
IECD.No.IFCD.158/3A-96/87
Co-ordination between Commercial Banks and State Financial Corporations (SFCs) in the provision of Financial Assistance to Industries
February 11, 1987
7338
IECD.No.IFCD.159/3A-86/87
Co-ordination between Commercial Banks and State Financial Corporations (SFCs) in the provision of Financial Assistance to Industries
February 11, 1987
7339
DBOD.No.BP.BC.11/C.473-87
Payment of Invoked Guarantee
February 10, 1987
7340
DBOD.No.BL.1495/C.168(6l)-87
Acquistion of Accommodation on Lease/Rental Basis by Commerical Banks for their Use – Setting up of Co-ordination Committtees at District Level
February 9, 1987
7341
DBOD.No.BL.1496/C.168(61)-87
Acquistion of Accommodation on Lease/Rental Basis by Commercial Banks for their use – Setting up of Co-ordination Committees at District Level
February 9, 1987
7342
IECD.No.IRD.BC.157/IR.54/86-87
Sick Industrial Compaines (Special Provisions) Act, 1985
February 6, 1987
7343
DBOD.No.GC.BC.9/C.408(A)-87
Frauds in Banks – Reporting of Cases of Actual/Suspected Frauds to Reserve Bank of India
February 4, 1987
7344
IECD.No.MIS.156/C.446-1-(2)-86/87
CAS – Submission of Statistical Data – Form A
January 31, 1987
7345
DBOD.No.Dir.BC.8/C.347(F)-87
Opening of Savings Accounts in the Names of Certain Bodies/Organisations – Violation of Directives
January 30, 1987
7346
DBOD.SIC.BC.5A/C.739(A-1)-87
Co-acceptance of Bills Drawn under Letters of Credit by Banks
January 29, 1987
7347
UBD.No.(DC)51/R.1-86/87
Customer Service – Immediate Credit of Outstation Cheques upto Rs. 2,500/-
January 28, 1987
7348
IECD.No.CAD.154/C.446(TO)-86/87
Credit Needs of Tobacco Trade
January 22, 1987
7349
UBD.No.DC.50/PR.474-86/87
Advances against Sensitive Commodities
January 21, 1987
7350
DBOD.No.Leg.BC.5/C.466(IV)-86
Formation of Voluntary Groups of Employees – Quality Circle
January 20, 1987
7351
DBOD No.IBS.142/C.553(A)-87
Your Bank’s Branches/Offices Operating in India
January 19, 1987
7352
DBOD.No.Leg.BC.4/C.672-87
Non-Business Working Day
January 19, 1987
7353
DBOD.No.GC.BC.3/C.408(A)-87
Reporting of Cases of Frauds in Banks
January 19, 1987
7354
IECD.No.EFD.BC.153/819-POL-ECR-87
Export Credit (Interest Subsidy) Scheme, 1968
January 3, 1987
7355
IECD.No.CAD.152/C.446(PF)-36/87
Defaults in Payment of Statutory Dues by Borrowers
December 30, 1986
7356
RPCD.No.RF.547/324-86/87
Regional Rural Banks – Exemption from the pro-visions of proviso to sub-section (1) and sub-section (lA) of Section 42 of the Reserve Bank of India Act, 1934
December 19, 1986
7357
DBOD.No.Dir.BC.140/C.218-86
Selective Credit Control – Advances against Sensitive Commodities
December 17, 1986
7358
DBOD.No.BP.BC.139/C.464(W)-86
Standing Co-ordination Committee to Co-ordinate, Monitor and Guide the Training Arrangements in Banks
December 17, 1986
7359
DBOD.No.BL.BC.137/C.168(64D)-86
Branch Licensing Policy 1985-90 – Allotment of Centres in Rural and Semi-urban Areas Identified Under the Current Policy
December 9, 1986
7360
IECD.No.CAD.1696/C.446(H-143)-86/87
Housing Finance – Housing Development Finance Corporation Ltd. (HDFC)
December 9, 1986
7361
IECD.No.CAD.149/C.446(CC)-86/87
Co-ordination between Commercial Banks and State Financial Corporations (SFCs) in the Provision of Financial Assistance to Industries
December 8, 1986
7362
IECD.No.PMS.150/C.446(PL)-86/87
Co-ordination Between Commercial Banks and State financial Corporations (SFCS) in the Provision of Financial Assistance to Industries
December 8, 1986
7363
D.O.No.Ret.5501/C.254-86
Window Dressing of Balance Sheet
December 6, 1986
7364
DBOD.No.Leg.BC.133/C.466(IV) 86
Customer Service – Speedy Collection of Instruments
December 4, 1986
7365
DBOD.No.Leg.BC.134/C.466(IV)/86
Customer Service – Payment of Interest at Savings Bank Rate for the Delay in Collection of Outstation Cheques
December 4, 1986
7366
UBD.(DC)45/R.1/86/87
Maximum Limit on Advances
November 25, 1986
7367
UBD(DC)44/R.1-86/87
Maximum Limit on Advances
November 25, 1986
7368
RPCD.No.RF.475/A.12(19)-86/87
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 19 – Restriction on holding shares in other co-operative societies
November 15, 1986
7369
DBOD.No.BP.BC.130/C.473-86
Bank Guarantee
November 15, 1986
7370
DBOD.No.BL.BC.128/57(C)-86
Section 23 of the Banking Regulation Act, 1949 – Branch Banking Statistics – Offices Opened/Closed
November 10, 1986
7371
DBOD No.BP.BC.127/C.469(W)-86
Investment Deposits Accounts Scheme, 1986
November 10, 1986
7372
DBOD.No.Ret.BC.125/C.96(Ret.)-86
Notification – Sec. 42 of Reserve Bank of India Act, 1934 – Maintenance of Additional Balance
November 7, 1986
7373
UBD.No.DC.41/R.1-86/87
Withholding of Credit Facilities to Borrowers to Ensure Financial Discipline
November 7, 1986
7374
RPCD.No.RF.443/A.12(19)-86/87
Section 19 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Restrictions on holding shares in other co-operative societies
November 6, 1986
7375
IECD. No.CAD.147/C 446(H)-86/87
CAS – Advances to Sugar Industry 1986-87 Crushing Season
November 5, 1986
7376
DBOD.No.Ret.BC.124/C.96(Ret)-36
Notification
November 5, 1986
7377
DBOD.No.Dir.BC.123/C.96-86
Equity Issue of Corporate Clients of Commercial Banks – Utilisation of Subscription Money
October 30, 1986
7378
DBOD.No.Dir.BC.121/C.347(26)-86
Interest Rates on Deposits – Deposits of Army Group Insurance Directorate (AGID) with Banks
October 29, 1986
7379
DBOD.No.Dir.BC.122/C.347(26)-86
Interest Rates on Deposits – Deposits Accepted from Army Group Insurance Directorate (AGID) – Agreements entered into by Banks
October 29, 1986
7380
DBOD.No.GC.BC.120/C.408(A)-86
Non-payment of Outstandings Dues to Banks by Army Personnel
October 28, 1986
7381
DBOD.No.Leg.BC.119/C.466(IV)-86
Customer Service in Banks
October 28, 1986
7382
DBOD.No.BP.BC.118/C.469(59)-86
Break -down of Deposits and Advances according to Different Interest Rates Ranges
October 25, 1986
7383
DBOD.No.SIC.BC.114/C.739(A-1)/86
Advances against Shares and Debentures
October 24, 1986
7384
DBOD.No.BP.BC.116/C-469(W)-86
Bills Discounting – Procedure for Debiting Customers Account
October 24, 1986
7385
RPCD.No.RF.381-A/324-86/87
Notification
October 23, 1986
7386
UBD.No.NBL.39/J.21-86/87
Licensing of New Primary (Urban) Co-operative Banks – Policy
October 22, 1986
7387
DBOD.No.MC.BC.112/C.808/86
Action Plan for Banks – November 1985 to December 1987
October 15, 1986
7388
UBD.RBL.33/J-86-87
Section 23 of the Banking Regulation Act, 1949 read with Section 56(p) – Prior Approval for Shifting Offices, etc.
October 15, 1986
7389
DBOD.No.Fol.BC.110/C.249-86
Sale of Lottery Tickets by Banks
October 10, 1986
7390
DBOD.No.BL.BC.109/C.168(64D)-86
Branch Licensing Policy – 1985-90 – Progress in Identification of Centers
October 7, 1986
7391
DBOD.No.BP.BC.108/C.469(47)-86
Reservation of Posts for Scheduled Castes (SC) and scheduled Tribes (ST) – Maintenance of Rosters
October 6, 1986
7392
IECD.No.CAD.965/C.446(H)-86
Standing Committee on Co-ordination of Institutional Finance for Sugar Industry Constituted by the Reserve Bank of India – Sickness in Sugar Industry – Categorisation
October 3, 1986
7393
DBOD.No.BL.BC.107/57(C)-86
Section 23 of the Banking Regulation Act, 1949 – Branch Banking Statistics – Offices Opened/Closed
October 1, 1986
7394
RPCD.No.RF.313-A/324-86/87
Notification
October 1, 1986
7395
DBOD.NO.BP.BC.105/C.469-86
Arrangement for Despatch of Valuables by Banks
September 30, 1986
7396
UBD.No.RBL.27/J.86/87
Section 23 read with Section 56(P) of the Banking Regulation Act, 1949 – Branch Expansion Programme in Metropolitan/Urban/Semi-urban Centres for the Period 1985-1990
September 27, 1986
7397
IECD.No.CAD.146/C.446(H)-86/87
CAS – Advances to Sugar Industry 1986-87 Crushing Season
September 25, 1986
7398
DBOD.No.BP.BC.104/C.469-86
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Financial Instituions
September 22, 1986
7399
DBOD.No.Ret.BC.103/C.178-86
T.T. Discounting Facilities
September 22, 1986
7400
DBOD.No.BL.BC.102/C.168(Urban/Metro)-86
Section 23 of the Banking Regulation Act, 1949 – Branch Expansion Programme at Metropolitan/Port Town and Urban Centers for 1985-86
September 20, 1986
7401
DBOD.No.Dir.BC.100/C.347-86
Interest Rates on Deposits
September 20, 1986
7402
DBOD.No.Dir.BC.101/C.347-86
Interest Rate of Deposits
September 20, 1986
7403
DBOD.No.Dir.BC.95/C.347(I)/86
Interest Rates on Deposits held in FCNR Accounts
September 11, 1986
7404
DBOD.No.Dir.BC.96/C.347(l)-86
Comprehensive Directive relating to Deposits Accepted in FCNR Accounts
September 11, 1986
7405
DBOD.No.Dir.BC.94/C.96-86
Interest Rates on Advances – IRDP Loans
September 9, 1986
7406
DBOD.No.Dir.93/C.347(I)-86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
September 6, 1986
7407
DBOD.No.Dir.BC.92/C.347(I)-86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
September 6, 1986
7408
UBD.No.(DC)22/V.1/86-87
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
September 6, 1986
7409
UBD.No.(DC)23/V.1-86/87
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
September 6, 1986
7410
UBD.DC.19/V.1.86/87
Acceptance of Deposits by Unincorporated Bodies/Private Ltd. Companies with Banks Guarantee
September 3, 1986
7411
D.O.No.DBOD.GC.BC.90/C.408(A)-86
Annual Review of Frauds
September 1, 1986
7412
DBOD.No.FOL.BC.89/C.249-86
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
August 21, 1986
7413
IECD.No.PMS.145/C.446(PL)-86/87
Withholding of Credit Facilities to Borrowers to Enforce Financial Discipline
August 20, 1986
7414
UBD.No.DC.17/R.1-86/87
Grant of Financial Assistance against Shares of Joint Stock Companies
August 18, 1986
7415
DBOD.No.BP.BC.88/C.469(81-B)-86
Exemption Available to Public Sector Banks from the purview of Section 193(IIIa) of the Income-tax Act, 1961
August 14, 1986
7416
DBOD.No.Leg.BC.86/C.466/(IV)-86
Customer Service – Recommendation No.33 of the Working Group on Customer Service
August 12, 1986
7417
DBOD.No.SIC.BC.85/C.739(A-1)86
Sanctioning of Loans/Overdrafts against Thrid Party (Institutional) Deposits
August 11, 1986
7418
IECD.No.PMS.79/C.446(PL)86/87
Procedure of Payment against Indents Placed with Public Sector Undertakings
August 11, 1986
7419
UBD.BR.13/A6-86/87
Banking Laws (Amendment) Act, 1983 – Sections 45 ZA to 45 ZF read with Section 56 of the Banking Regulation Act, 1949 – Co-operative Banks (Nomination) Rules, 1985 – Nomination Facilities
August 11, 1986
7420
DBOD.No.Leg.BC.84/C.672/86
Operation of Rural Branches
August 8, 1986
7421
DBOD.No.Fol.BC.83/C.249-86
Shareholding and Transfer of Shares
August 6, 1986
7422
RPCD.No.RF.DIR./D.1-86/87
Introduction of New Deposit Schemes
August 2, 1986
7423
DBOD.No.Leg.BC.80/C.466(iv)-86
Customer Service – Speedy Collection of Instruments
July 31, 1986
7424
DBOD.No.Dir.BC.78/C.96-86
Interest Rates on Advances
July 30, 1986
7425
DBOD.No.Dir.BC.79/C.96-86
Interest Rates on Advances – Export Credit
July 30, 1986
7426
IECD.No.PMS.144/C.446(PL)-86
CAS – Credit Requirements of Truck and Tractor Manufactures
July 30, 1986
7427
UBD.DC.4/HG.9/86-87
Interest Rates on Advances
July 30, 1986
7428
UBD.No.DC.5/HG.9/86-87
Interest Rates on Advances – Export Credit
July 30, 1986
7429
IECD.No.PMS.143/C.446(PL)-86
Bank Finance for Payment of Bonus
July 24, 1986
7430
DBOD.No.BP.BC.75/C.469(W)-86
Publishing of Annual Accounts – Economy in Publicity Expenditure
July 11, 1986
7431
DBOD.No.BP.BC.74/C.469(W-17)-86
Delegation of Powers – Writing off of Bad Debts/Losses, Compromise Proposals, etc.
July 9, 1986
7432
DBOD.No.BL.BC.61/C.168-86
Section 23 of the Banking Regulation Act, 1949 – Opening of Adminstrative Offices
June 30, 1986
7433
IECD.No.CAD 603/C.446 (H-143)-86
Housing Finance – Housing Development Finance Corporation Ltd. (HDFC)
June 27, 1986
7434
UBD.No.(DC)116/V.1-85/86
Interest Rates on Deposits held in Non-Resident (External) Accounts and Non-Resident (Ordinary) Accounts in Rupees in India
June 23, 1986
7435
DBOD.No.BL.BC.71/C.168(61)-86
Acquistion of Accommodation on Loans/Rental Basis by Commercial Banks for their use (i.e. for Office and Residence of Staff) – Effective Date of Revised Rate of Interest of 15% p.a.
June 20, 1986
7436
UBD.No.(DC)114A/R.1-85/86
Acqusition of Accomdation on Lease/rental Basis by Urban Co-ooperative Banks for their Use (i.e. for Office and Residence of Staff)
June 18, 1986
7437
DBOD.No.Dir.70/C.347-86
Acceptance of Deposits by Unincorporated Bodies with Bank Guarantee
June 18, 1986
7438
DBOD.No.Leg.BC.69/C.466(IV)-86
Customer Service – Recommendation of Working Group
June 16, 1986
7439
UBD.No.(DC)113/PR.474-85/86
Selective Credit Control – Advances against Sensitive Commodities
June 13, 1986
7440
DBOD.No.BP.BC.68/C.473-86
Personal Guarantee of Directors and Other Managerial Personnel of Borrowing Concerns
June 9, 1986
7441
DBOD.No.Dir.BC.67/C.96-86
Interest Rates on Advances – Clarifications
June 7, 1986
7442
DBOD.No.BP.BC.66/C.469(W)-86
Credit Relaxations to Borrowers in Punjab
June 6, 1986
7443
UBD.No.BR.1466/A.12(6)-85/86
Acquisition of Premises by Urban Co-operative Banks – Prior Approval of the Reserve Bank of India
June 5, 1986
7444
RPCD.No.RF.DIR.2049/D.2-85/86
Selective Credit Control-Advances against foodgrains, Pulses, Sugar, Gur and Khandsari. Oilseeds and oils thereof and Vanaspati
June 5, 1986
7445
RPCD.No.RF.DIR.2050/D.2-85/86
Selective Credit Control-Advances against sensitive commodities
June 5, 1986
7446
D.O.No.DBOD.IBS/1163/C.212(SG)-86
Control Systems at Foreign Offices – Asset-Liability Management
June 5, 1986
7447
UBD.No.I&L.110/J.I-85/86
Deposits Accounts – Opening of
June 2, 1986
7448
UBD.No.BR.1455/A12(24)-85/86
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 24 – Investment in Units Issued by the Unit Trust of India
May 31, 1986
7449
DBOD.No.BP.BC.65/C.469(81-B)-86
Government of India Notification under Section 193(IIIa) of Income Tax Act, 1961
May 30, 1986
7450
RPCD.No.RF.2027/A.12(24:)-85/86
Investments in Trustee Securities – Criteria for approved securities under Section 5(a) of the Banking Regulation Act, 1949
May 29, 1986
7451
DBOD.No.Leg.BC.64/C.233-86
Banking Laws (Amendment) Act, 1985
May 29, 1986
7452
UBD.P&O.104/UB.4-85/86
Norms of Viability of Urban Co-operative Banks
May 26, 1986
7453
DBOD.No Dir.59/C347(K)-86
Deposits Mobilisations by Commercial Banks – Deposits Schemes with Prizes Element
May 20, 1986
7454
UBD.No.(DC)102/PR.474-85/86
Bank Advances against Turmeric
May 14, 1986
7455
UBD.BR.1385/A.6-85/86
Banking Laws (Amendment) Act, 1983 – Section 45 ZA to 45 ZF read with Section 56 of the Banking Regulation Act, 1949 and the Co-operative Banks (Nomination) Rules, 1985 – Nomination Facilities
May 14, 1986
7456
DBOD.No.Leg.BC.58.C.233A-86
Banking Laws (Amendment) Act, 1983 and Banking Companies (Nominations) Rules, 1985
May 14, 1986
7457
DBOD.No.Dir.BC.57/C.218-86
Selective Credit Control – Errata
May 12, 1986
7458
DBOD.No.Leg.BC.55/C.466(IV)-86
Customer Service – Payment of Interest Rates at Savings Bank Rate for the Delay in Collection of Outstation Cheques Immediate Credit of Outstation Cheques upto Rs.2,500/-
May 5, 1986
7459
DBOD.No.Dir.BC.53/C.347(i)-86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
May 3, 1986
7460
DBOD.No.Dir.BC.54/C.347(I)/86
Interest Rates on Deposits held in Foreign Currency (Non-Resident ) Accounts
May 3, 1986
7461
UBD.No.(DC)98/V.1/85-86
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
May 3, 1986
7462
UBD.No.DC.99/V.1-85/86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
May 3, 1986
7463
DBOD.No.BP.BC.49/C.469(W)-86
Banking Services to the Customers in Punjab, Haryana and Chandigarh
April 28, 1986
7464
DBOD.No.BL.BC.51/C.168(64)-86
Section 23 of the Banking Regulation Act, 1949 – Branch Licensing Poilcy – 1985-90 – Licences Pending with Banks from the Pervious Plans in respect of Rural and Semi-urban Areas
April 24, 1986
7465
DBOD.No.BP.BC.52/C.469(W)-86
Publishing of Annual Accounts – Economy in Publicity Expenditure
April 24, 1986
7466
DBOD.No.SIC.BC.50/C.739(A-1)-86
Irregularities in NRE Deposits
April 23, 1986
7467
DBOD.No.Ret.BC.48/C.236(G)Spl-86
Section 24 of the Banking Regulation Act, 1949 – Statutory Liquidity Ratio (SLR)
April 19, 1986
7468
IECD.No.CAD.142/C.446(To)-86
Credit Needs of Tobacco Trade for 1986
April 17, 1986
7469
DBOD.No.GC.BC.47/C.408(A)-86
Frauds – Advances against Pledge/Hypothecation of Merchandise
April 17, 1986
7470
IECD.No.PMS.141/C.446(PL)-86
Transfer of Borrowal Accounts from One Bank to Another
April 17, 1986
7471
UBD.P&O.96/HG.4-85/86
Refinance under Section 17(2)(bb) read with Section 17(4)(c) of the RBI Act, 1934
April 16, 1986
7472
IECD.No.PMS.140/C.446(PL)-85/86
CAS – Fast Track Arrangement
April 15, 1986
7473
IECD.No.PMS.139/C.446(PL)-85/86
CAS
April 11, 1986
7474
DBOD.No.Inf.BC.45/C.109(H)-86
Bank Guarantee Scheme
April 9, 1986
7475
DBOD.No.BP.BC.44/C.469(W)-86
Affixing Date on Documents to Title of Goods
April 8, 1986
7476
D.O.DBOD.IBS.825/C.212(SG)-86
Control Systems at Foreign Offices – Management of Credit Portfolio and Risk Exposure
April 7, 1986
7477
DBOD.No.Dir.BC.42/C.218-86
Selective Credit Control – Advances against Pulses, Other Foodgrains, Oilseeds, Oils, Sugar, Gur and Khandsari
April 3, 1986
7478
DBOD.No.Dir.BC.43/C.218-86
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1986
7479
UBD.DC.86/PR.474-85/86
Advances against Cotton and Kapas
April 3, 1986
7480
UBD.No.(DC)85/PR.474-85/86
Advances against Sensitive Commodities
April 3, 1986
7481
UBD.No.DC.87/PR.474-85/86
Selective Credit Control – Advances against Sensitive Commodities
April 3, 1986
7482
DBOD.No.BP.BC.41/C.469(81-A).86
Deposits Accounts – Introduction
April 1, 1986
7483
DBOD.No.Ret.BC.40/C.236(G)-Spl-86
Claims Recieved from the Deposit Insurance and Credit Guarantee Corporation of India – Classification for he Purposes of Maintenance of Cash Reserve Ratio/Statutory Liquidity Ratio
March 27, 1986
7484
UBD(DC)83/R.1-85/86
Certification of Accounts of Non-Corporate Borrowers by Chartered Accountants
March 24, 1986
7485
DBOD.No.Leg.BC.37/C.233A-86
Banking Laws (Amendment) Act, 1983 – Section 45ZA to 45ZF of the Banking Regulation Act, 1949 and the Banking Companies (Nomination) Rules, 1985 – Nomination Facilities
March 21, 1986
7486
DBOD.No.Leg.BC.36/C.90(H)(D)-86
Banking Companies (Nomination) Rules, 1985
March 21, 1986
7487
IECD.No.PMS.138/C.446(PL)-86
Term Finance by Commercial Banks in Participation with Term Lending Institutions
March 14, 1986
7488
DBOD.No.Dir.BC.32/C.218-86
Selective Credit Control – Granting of Fresh/Additional Limits to Borrowers Dealing in Sensitive Commodities
March 11, 1986
7489
DBOD.No.Fol.BC.31/C.249-86
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
March 11, 1986
7490
UBD.No.P&O.81/HG.4-85/86
Refinance Facilities to Urban Co-operative Banks under Section 17 of the Reserve Bank of the India Act, 1934 – Small Scale Industries Sector
March 11, 1986
7491
DBOD.No.SIC.BC.460/C.739(A-1)-86
Frauds in Banks
March 11, 1986
7492
DBOD.No.BL.BC.30/C/168(61)-86
Acquisition of Accomadation on Lease/Rental Basis by Commercial Banks for their use (i.e. for Office and Residence of Staff)
March 7, 1986
7493
DBOD.No.BP.BC.28/C.469(W)86
Safeguards for Issue of Banks Instruments, etc.
March 7, 1986
7494
DBOD.No.Leg.BC.27/C.466(IV)-86
Customer Service – Payment of Interest at Savings Bank Rate for the Delay in Collection of Outstation Cheques
March 5, 1986
7495
DBOD.No.GC.BC.25/C.408(59)S-86
Grant of Loans/Advances and Awards of Contracts to Directors of Banks and their Relatives
March 3, 1986
7496
UBD.No.DC.79/HG.9-85/86
Interest Rates on Advances
March 1, 1986
7497
DBOD.No.GC.BC.24/C.408(A)-86
Frauds in Banks Committed by Unscrupulous Borrowers
March 1, 1986
7498
DBOD.No.Dir.BC.22/C.96-86
Interest Rates on Advances
February 28, 1986
7499
DBOD.No.Dir.BC.23/C.96-86
Pre-shipment Finance for Exports
February 28, 1986
7500
DBOD.No.SIC.BC.20/C.739(A-1)-86
Sanctioning of Credit Facilities to Group Concerns
February 28, 1986
7501
IECD.No.IRD.BC.137/SIU-A-86
Parameters for Provision of Reliefs/Concessions by Banks under Rehabilitation Packages Evolved for Sick Units Considered as Potentially Viable
February 28, 1986
7502
DBOD.No.Fol.BC.19/C.249-86
Declaration of Dividend
February 25, 1986
7503
DBOD.No.BP.BC.18/C.473-86
Bank Guarantee
February 24, 1986
7504
DBOD.No.Fol.BC.17/C.249-86
Implementation of the Instructions / Directives, Guidelines Issued by Reserve Bank of India / Government of India
February 19, 1986
7505
DBOD.No.Leg.BC.16/C.466(IV)-86
Implementation of the Recommendations of the Working Group on Customer Service in Banks (Recommendation No.28)
February 17, 1986
7506
DBOD.No.BP.BC.15/C.469-86
7% Capital Investment Bonds
February 14, 1986
7507
IECD.No.PMS.136/C.446(PL)-86
CAS – Exemption from Prior Authorisation in respect of Term Loans, Defered Payment Guarantees, etc. Sanctioned in Participation with Industrial Reconstruction Bank of India
February 12, 1986
7508
UBD.No.RBL.77/J(Shifting)-85-86
Section 23 of the Banking Regulation Act, 1949 read with Section 56(p) thereof – Shifting of Offices etc.
February 12, 1986
7509
DBOD.No.Dir.BC.12/C.347-86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
February 8, 1986
7510
DBOD.No.Dir.BC.13/C.347/86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
February 8, 1986
7511
UBD.No.(DC)74/V.1/85-86
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
February 8, 1986
7512
UBD.No.(DC)75/V.1-85/86
Interest Rates on Deposits held under Foreign Currency (Non-Resident) Accounts
February 8, 1986
7513
DBOD.No.Ret.BC.9/C.236(G)SPI-86
Section 24 of the Banking Regulation Act, 1949 – Interest Accured on FCNR and NRE Accounts
February 6, 1986
7514
RPCD.No.RF.DIR.1493/DI-85/86
Rounding Off transactions to the nearest multiple of 5 paise
February 3, 1986
7515
DBOD.No.CIS.BC.11/C.127/86
Collection and Furnishing of Credit Information – Section 45C(1) of the RBI Act, 1934
January 30, 1986
7516
DBOD.No.BP.818/C.469(W)86
Sharing of Govt. and Public Sector Deposits by Bank
January 28, 1986
7517
IECD.No.IRD.BC.135/C.446(SIU-A)-85
Policy relating to Protection of Dues of Banks and Financial Institutions in cases of Nationalisation of Industrial Units
January 27, 1986
7518
DBOD.No.BP.BC.5/Nat.29A-86
Common Format for Reporting of Performance Budgets of Banks
January 20, 1986
7519
UBD.No.RBL.Cir.66/A-85/86
Register showing the Daily Position of Cash Reserve and Liquid Assets Maintained under Sections 18 and 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Primary Co-operative Bank
January 18, 1986
7520
DBOD.No.BP.BC.3/C.469(W)-86
Engagement of Whole-time Law Officers to Appear for Public Sector Banks before Courts to Reduce Cost of Litigation
January 14, 1986
7521
DBOD.No.Fol.BC.2/C.249-86
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
January 9, 1986
7522
DBOD.No.Leg.BC.1/C.466(IV)-86
Customer Service – Payment of Interest at Savings Bank Rate for the delay in Collections of Outstation Cheques (Rec. No. 78)
January 1, 1986
7523
DBOD.No.Ret.BC.153/C.96(Ret)-85
Section 42 of Reserve Bank of India Act, 1934 – Shortfall in Maintenance of Cash Reserve Ratio – Scheme of Graduated Penalties
December 31, 1985
7524
DBOD.No.GC.BC.154/C.403(A)-85
Reporting of Cases of Frauds involving Amounts upto Rs. 10,000/- by Banks to RBI
December 31, 1985
7525
UBD.No.Plan.63/UB.8-85/86
Primary (Urban) Co-operartive Banks – Borrowings from Higher Financing Agencies
December 28, 1985
7526
IECD.No.PMS.134/C.446(PL)-85
Conceding of Second Charge by Financial Institutions over Fixed Assets in favour of Commercial Banks for Working Capital Facilities
December 27, 1985
7527
DBOD.No.Dir.BC.152/C.347-85
Interest Rates on Deposits
December 27, 1985
7528
DBOD.No.Dir.BC.151/C.347-85
Interest Rates on Deposits
December 27, 1985
7529
DBOD.No.BP.BC.150/C.469(W)-85
Normal Banking Services to the Customers in Punjab, Haryana and Chandigarh
December 26, 1985
7530
RPCD.NO.CONFS.254/CA(P) Fert./85-86
Credit Facilities for purchase and Distribution of Chemical Fertilisers -Margin Requirements
December 23, 1985
7531
DBOD.No.BC.Leg.148/C.466(IV)-85
Customer Service – Payment of Interest at Savings Bank Rate for the Delay in Collection of Outstation Cheques (Recommendation No.78)
December 19, 1985
7532
UBD.REH.62/R(Gen)-85/86
Declaration of Dividend
December 10, 1985
7533
RPCD.No.RRB.1159/324-85/86
Regional Rural Banks – Exemption from the provisions of sub-section (1A) of Section 42 of the Reserve Bank of India Act, 1934
December 3, 1985
7534
DBOD.No.Leg.BC.144/C.466(IV)-95
Customer Service in Banks
November 30, 1985
7535
DBOD.No.BL.BC.145/C.168-85
Section 23 of the Banking Regulation Act, 1949 – Shifting of Offices, etc.
November 29, 1985
7536
DBOD.No.Dir.BC.142/C.218-85
Selective Credit Control – Advances against Foodgrains, Oilseeds, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
November 26, 1985
7537
DBOD.No.Dir.BC.143/C.218-85
Selective Credit Control – Advances against Sensitive Commodites – Updating of Directive
November 26, 1985
7538
DBOD.No.SIC.BC.141/C.739(A1)-85
Austerity in Travel
November 22, 1985
7539
IECD.No.EFD.BC.133/015-EOU-85
Export Credit to 100% Export Oriented Units (EOUs)
November 21, 1985
7540
UBD.(DC)56/V.1/85-86
Payments of Interest on Savings Banks Accounts of Government Depatments, Semi-Governments, Quasi- Governments and Local Bodies and certain Organisations Engaged in Public Utility Services like State Housing Boards, State Electricity Boards, Water and Sewerage/Drainage Boards, etc.
November 19, 1985
7541
UBD(DC)57/V.1-85/86
Margin and Rate of Interest on Loans against Fixed Deposits
November 19, 1985
7542
UBD(DC)54/R.1-85/86
Negotiation of Consignment Bills
November 15, 1985
7543
DBOD.No.Leg.BC.138/C.466(IV)-85
Customer Service in Banks
November 14, 1985
7544
DBOD.No.Leg.BC.139/C.466(IV)-85
Customer Service in Banks
November 14, 1985
7545
DBOD.No.Fol.BC.136/C.249-85
Credit Monitoring System – Introduction of Health Code for Borrowal Accounts in Banks
November 7, 1985
7546
IECD.No.IRD.BC.132/SIU-A-85
Parameters for Provision of Reliefs/Concessions by Banks under Rehabilitation Packages evolved for Sick Units considered as Potentially Viable
November 5, 1985
7547
DBOD.No.GC.1314/C.408A(SA)-85
Security Arrangements in Public Sector Banks
October 28, 1985
7548
DBOD.No.Leg.BC.134/C.233-85
Banking Laws (Amendment) Act, 1983 – New Section 35A in the State Bank of India Act, 1955, 38A in the State Bank of India (Subsidiary Banks) Act, 1959 and10A in the Banking Companies (Acquistion and Transfer of Underatkings) Act, 1970/1980
October 28, 1985
7549
UBD(DC)51/PR.474/85-86
Advances against Sensitive Commodities
October 26, 1985
7550
UBD(DC)52/PR.474-85/86
Advances against Cotton and Kapas
October 26, 1985
7551
UBD(DC)53/PR.474-85/86
Selective Credit Control – Advances against Sensitive Commodities – Revision
October 26, 1985
7552
DBOD.No.Dir.BC.127/C.218-85
Selective Credit Control – Advances aganist Foodgrains, Oilseed, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
October 25, 1985
7553
DBOD.No.Dir.BC.128/C.218-85
Selectives Credit Control – Advances against Senitive Commodities – Revision
October 25, 1985
7554
DBOD.No.Ret.BC.130/C.96(Ret)-85
Section 42 of RBI Act, 1934 – Release of Impounded Cash Balance
October 25, 1985
7555
DBOD.No.Ret.BC.131/C.96(Ret)-85
Notification
October 25, 1985
7556
RPCD.RF.917/A.6/85-86
Banking Laws (Amendment) Act, 1983
October 23, 1985
7557
UBD.No.P&O.47/UB-8(3)-85/86
Prohibition Bank Employees from Collection Donations for Trusts
October 21, 1985
7558
UBD.BR.394/A.12(6)-85/86
Acquisition of Premises by Urban Co-operatives Banks – Prior Approval of Reserve Bank of India
October 19, 1985
7559
DBOD.No.BL.5481/C.168(64D)-85
Branch Expansion of Commercial and Regional Rural Banks in – for 1985-90
October 18, 1985
7560
DBOD.No.BL.5876/C.168(64D)-85
Branch Licensing Policy for the Period 1985-90
October 18, 1985
7561
RPCD.No.888/324-85
Notification
October 18, 1985
7562
IECD.No.IRD.131/C.446(SIU-A)-85
Policy relating to Protection of Dues of Banks and Financial Institutions in cases of Nationalisation of Industrial Units
October 17, 1985
7563
UBD.No.DC.43/HG.9-85/86
Interest Rates on Advances
October 17, 1985
7564
RPCD.No.RF.DIR.865/D.2-85/86
Interest Rates on Advances
October 16, 1985
7565
RPCD.No.RF.DIR.868/D.2-85/86
Interest Rate on Advances
October 16, 1985
7566
DBOD.No.GC.BC.125/C.408C(C)/85
Meeting Convenced by the Ministry of Finance on 10.9.1985 to Discuss Steps to be taken for Expeditious Disposal of References Recieved from Prime Minister’s Office and Other VIPs
October 16, 1985
7567
UBD.No.I&L.41/J.1-85/86
Capitalisation of Interest on Term Loans
October 16, 1985
7568
RPCD.No.RF.DIR.853/D.1-85/86
Interest Rates on Deposits
October 15, 1985
7569
IECD.No.CAD.130/C.446(PF)-85
Sanction of Credit Facilities to the Borrowers who are Defaulters in the Payment of Statutory Dues
October 14, 1985
7570
IECD.No.PMS.129/C.446(PL)-85
CAS – IDBI Bills Rediscounting Scheme
October 11, 1985
7571
IECD.No.PMS.128/C.446(PL)-85
Certification of Accounts of Non-corporate Borrowers by Chartered Accountants
October 11, 1985
7572
UBD.No.I&L.38 /J.1-85/86
Advances Granted by Urban Co-operative Banks – Diversion of Funds
October 11, 1985
7573
RPCD.No.RF.817/A.6-85/86
Banking Laws (Amendment) Act, 19&3 – Bringing into force of remaining provisions
October 10, 1985
7574
UBD.No.(DC)36/V.1-85/86
Interest Rates on Deposits
October 9, 1985
7575
UBD.No.DC.34/V.1-85/86
Rounding off of Transactions to the Nearest Mutilple of 5 Paise
October 9, 1985
7576
IECD.No.EFD.BC.127/819-POL-ECR-85
Export Credit (Interest Subsidy) Scheme, 1968 – Post-supply Credit Facilities against Supplies to IBRD/IDA/UNICEF aided Projects/Programmes in India
October 8, 1985
7577
IECD.No.IRD.BC.126/SIU-A-85
Sick Industrial Units
October 7, 1985
7578
UBD.P&O.31/UB-51/85-86
Manual for Urban Co-operative Banks – Registration of Memorandum of Deposits of Title Deeds in respect of Equitable Mortage of Property
September 27, 1985
7579
IECD.No.CAD.125/C.446(H)-85/86
CAS – Advances to Sugar Industry 1985-86 Crushing Season
September 20, 1985
7580
UBD.No.P&O.29/HG.485/86
Advances to Small Scale Industries
September 20, 1985
7581
DBOD.No.BP.BC.119/C.469(44)-85
Grant of Advances against the Security of National Savings Certificates
September 19, 1985
7582
DBOD.No.Ret.BC.117/C.236(G)Spl-85
Banking Laws (Amendment) Act, 1983
September 16, 1985
7583
IECD.No.PMS.124/C.446(PL)-85
Inventory/Receivables Nor for Financing of Electricals Industry by Commercial Banks
September 12, 1985
7584
UBD.No.DC.26/R.1-85/86
Maximum Limit on Advances
September 11, 1985
7585
UBD.No.NBL.CIR.24/J.21-85/86
Norms and Procedure for Registration and Licensing of New Primary (Urban) Co-operative Banks – Eligibility of Promoters
September 9, 1985
7586
IECD.No.MIS.123/C.446.1.(2)/85-86
CAS – Submission of Statistical Data – Form A
September 6, 1985
7587
UBD.No.(DC)23/R.40-85/86
Acceptance of Endownment Certificates Issued by Peerless General Finance & Investment Co. Ltd.
September 6, 1985
7588
DBOD.No.GC.BC.115/C.408(A)/85
Reporting of Frauds in Banks
September 6, 1985
7589
DBOD.No.BP.BC.111/C.469(W)-85
Safeguards for Issue of Banks Instruments, etc.
September 2, 1985
7590
DBOD.No.Dir.BC.109/C.96-85
Advances against Shares
August 31, 1985
7591
DBOD.Dir.BC.110/C.347(1)-85
Lending against Deposits and Investments made under the Special Schemes for Non-Residents of Indian Nationality/Origin
August 31, 1985
7592
DBOD.No.Dir.BC.108/C.218-85
Selective Credit Control – Advances for Price Support Operations in Pulses and Oilseeds
August 30, 1985
7593
DBOD.No.Leg.BC.107/C.466(V)-85
Advances Granted by Banks – Diversion of Funds
August 28, 1985
7594
DBOD.No.Ret.BC.106/C.236(G)SPI.-85
Section 24 of the Banking Regulation Act, 1949 – Statutory Liquidity Ratio (SLR)
August 26, 1985
7595
DBOD.No.BL.BC.105/C.168(64)-85
Branch Expansion Programme
August 22, 1985
7596
DBOD No.Dir.BC.102/C.347-85
Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
August 21, 1985
7597
DBOD.No.Dir.BC.103/C.347-85
Interest Rates on Deposits held in Foreign Currency (Non- Resident) Accounts
August 21, 1985
7598
UBD.No.DC.16/V.1-85/86
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts
August 21, 1985
7599
UBD.No.DC.17/V.1-85/86
Interest Rates on Deposits held under Foreign Currency (Non-resident) Accounts
August 21, 1985
7600
DBOD.No.Dir.BC.99/C.347-85
Margin and Rate of Interest on Loans against Fixed Deposits
August 20, 1985
7601
DBOD.No.Dir.BC.96/C.347-85
Payment of Interest on Current Account Balances of Regional Rural Banks
August 9, 1985
7602
DBOD.No.BP.BC.93/C.469(35B)- 85
Prohibiting Bank Employees from Collecting Donations for Trusts
August 6, 1985
7603
DBOD.No.App.No.151/C.452(K)-85
Tax Audit under Section 44-AB of the Income-tax Act, 1961
August 6, 1985
7604
DBOD.No.BP.BC.94/C.469(W)-85
Bank Assitance to Customers Affected by Disturbances in Ahmedabad City and Other Areas in Gujarat State
August 6, 1985
7605
DBOD.No.Dir.BC.90/C.347-85
Interest Rates on Advances
August 2, 1985
7606
DBOD.No.Dir.BC.89/C.347-85
Interest Rates on Deposits
August 2, 1985
7607
DBOD.No.Dir.BC.91/C.347-85
Rounding off Transactions to the Nearest Multiple of 5 Paise
August 2, 1985
7608
IECD.No.CAD.122/C.446(CAS-52)45/86
Participation of Commercial Banks in Rural Electrification Schemes
July 31, 1985
7609
DBODNo.GC.BC-87/C..408A(88)-85
Reporting of Cases of Bank Robberies/Dacoities
July 31, 1985
7610
IECD.No.PMS.121/C.446(PL)-85
Term Loans by Commercial Banks – Bank’s Share in Term Loans to Industries Extended in Participation with Term Lending Institutions
July 26, 1985
7611
IECD.No.PMS.120/C.446(PL)-85
Transfer of Loan Accounts by Borrowers from One Bank to Another
July 20, 1985
7612
DBOD.No.BL.BC.85/C.168(64D)-85
Section 23 of the Banking Regulation Act 1949 – Issue of Licences
July 19, 1985
7613
DBOD.No.SIC.BC.88/C.739(A-1)-85
Co-acceptance of Bills by Banks
July 13, 1985
7614
DBOD.No.Dir.BC.81/C.347(I)-85
Penalty on Premature Withdrawal of and Rests at which Interest should be paid on Deposits Accepted under the Foreign Currency (Non-Resident) Accounts Scheme (FCNR)
July 11, 1985
7615
IECD.No.PMS.119/C.446(PL)-85
Bank Finance for Payment of Bonus
July 10, 1985
7616
DBOD.No.BL.BC.80/57(C)-85
Section 23 of Banking Regulation Act, 1949 – Branch Banking Statistics – Offices Opened/Closed
July 9, 1985
7617
DBOD.No.GC.BC.79/C.40BA(89)-85
Annual Reports of Public Sector Banks – Paragraph on Vigilance Set up and Activities
July 8, 1985
7618
IECD.No.PMS.118/C.446(PL)-85
CAS – Exemption from Prior Authorisation in respect of Term Loans, Deferred Payment Guarantees etc. Sanctined in Participation with Exim Bank
July 8, 1985
7619
DBOD.No.BP.BC.78/C.469(K)Spl.-85
Overdues in Banks
July 5, 1985
7620
DBOD.No.Leg.BC.77/C.235C-85
Section 24 of the Banking Regulation Act, 1949
July 5, 1985
7621
UBD.No.RBL.Cir.5/A.84/85
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – 18 & 24 – Return in Form I
July 3, 1985
7622
DBOD.No.Dir.BC.76/C. 218-95
Selective Credit Control – Advances against Foodgrains, Oilseeds, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
July 2, 1985
7623
DBOD.No.SIC.BC.75/C.739(A1)-85
Review of Larger Advances
July 2, 1985
7624
UBD.(DC)4/PR.474-85-86
Advances against Cotton and Kapas
July 1, 1985
7625
UBD.DC.1/PR.474-85-86
Advances against Sensitive Commodities
July 1, 1985
7626
UBD.DC.2/PR.474-85-86
Selective Credit Control – Advances aganist Sensitive Commodities – Advances aganist Foodgrains, Pulses, Sugar, Gur and Khandsari, Oilseeds and Oils thereof and Vanaspati
July 1, 1985
7627
UBD(DC)3/PR.474-85-86
Advances against Cotton & Kapas
July 1, 1985
7628
DBOD.No.BL.BC.74/C.168(64)-85
Section 23 of the Banking Regulation Act, 1949 – Applications for Opening Branches
June 28, 1985
7629
DBOD.No.App.BC.86/C318(B)-85
Section 35B of the Banking Regulation Act, 1949 – Terms and Conditions of Appointment of Chairmen and Cheif Executive Officers of Private Sector Banks
June 22, 1985
7630
DBOD. No.Fol.BC.72/C.581-85
Working Results
June 13, 1985
7631
DBOD.No.BP.BC.70/C.469(W)-85
Normal Banking Services to the Customers in Punjab, Haryana and Chandigarh
June 11, 1985
7632
DBOD.No.Fol.BC.68/C-249-85
Grant of Credit Facilities under Ad hoc/Oral Instructions
June 7, 1985
7633
DBOD.No.BP.BC.69/C.469(K)Spl-85
Information relating to Overdue Position of Banks
June 7, 1985
7634
UBD.No.REH.801/R(Gen)/84-85
Declaration of Dividend
June 6, 1985
7635
IECD.No.IRD.BC.117/C.446(SIU-49)85
Role of Industrial Reconstruction Bank of India (IRBI) in the Rehabilitation/Revival of Sick Industrial Units
June 3, 1985
7636
UBD.DC.3413A/R.40-84/85
The Income-tax (Amendment) Ordinance, 1981
May 27, 1985
7637
DBOD No.Dir.BC.65/C.347-85
Interest Rates on Deposits
May 25, 1985
7638
DBOD.No.Dir.BC.66/C.347-85
Interest Rates on Deposits
May 25, 1985
7639
RPCD.No.RF.791/D.1-85
Interest Rtaes on Deposits
May 25, 1985
7640
RPCD.No.RF.DIR.790/D.1-85
Interest rates on deposits
May 25, 1985
7641
UBD.(DC)3408/V.1-84/85
Non-Resident Accounts in Rupees
May 25, 1985
7642
UBD.(DC)3413/V.1-84/85
Interest Rates on Deposits
May 25, 1985
7643
UBD.(DC)3415/V.1-84/85
Interest Rates on Deposits – Acceptance of Deposits for Periods Exceeding 10 Years
May 25, 1985
7644
UBD.(DC)3414/V.1-84/85
Interest Rates on Deposits
May 24, 1985
7645
RPCD.No.RF.775/A-6/85
Amendments to the Reserve Bank of India Scheduled Banks Regulations, 1951
May 23, 1985
7646
UBD.P&O.1383/UB.17(C)-84/85
Guidelines for Relief Measures by Urban Banks in Areas Affected by Natural Calamities
May 22, 1985
7647
D.O.IECD.No.CAD.(PMS)116/C.446(PMS)-85
CAS
May 21, 1985
7648
DBOD.No.SIC.BC.63/C.739(A-1)-85
Opening of Letters of Credit – Acceptance of Thrid Party Guarantee/Margin
May 14, 1985
7649
DBOD.No.GC.BC.62/C.40BA(89)-85
Appointment of Chief Vigilance Officer
May 14, 1985
7650
DBOD.No.Dir.RC.61/C.96-85
Acceptance of Deposits by Unincorporated Bodies with Bank Guarantee
May 11, 1985
7651
UBD.No.P&O.1351/UB.54-84/85
Non-Resident Accounts in Rupees
May 10, 1985
7652
UBD.BR.871/A.12(24)-84/85
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 24 – Investment made under National Deposit Scheme
May 10, 1985
7653
DBOD.No.Fol.BC.56/C.124(V)-85
Reconciliation of Inter-Branch Accounts – Report of the Sub-Committee on Computerisation
May 9, 1985
7654
DBOD.No.BP.BC.57/C.469-85
7% Capital Investment Bonds
May 9, 1985
7655
DBOD.No.BP.1050/C.469(44)-85
National Deposit Scheme
May 9, 1985
7656
RPCD.No.CP.NFS.BC.52/C.464(E)-85
Recovery of Loans to Small Road Transport Operators
May 7, 1985
7657
IECD.No.CAD.115/C.446(To)-85
Increased Credit of Requirements of Tobacco Trade due to Switchover to Auction System
May 6, 1985
7658
IECD.No.CAD(PMS)114/C.446(PMS)-85
CAS – Lending Discipline – Quaterly Information System
May 3, 1985
7659
DBOD.No.Ret.BC.55/C.195-85
Section 27 of the Banking Regulation Act, 1949 – Return in Form X
May 3, 1985
7660
RPCD.No.CPFS.BC.53/PS.161-A-84/85
Interest rates on short-term loans for traditional plantations like coffee, tea, rubber and spices
April 30, 1985
7661
IECD.No.CAD(PMS)113/C.446(PMS)-85
Norms for Financing of Units in Ship-making Industry by Banks
April 29, 1985
7662
DBOD.No.GC.BC.52/C.408(A)-85
Reporting of Cases of Attempted Frauds to Reserve Banks of India
April 29, 1985
7663
DBOD.No.Dir.BC.51/C.347-85
Loans/Advances against Security of Fixed Deposits under Non-Resident (External) Account Schemes
April 18, 1985
7664
UBD.BR.798/A.1-84/85
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 22 – Application for Licence by Primary Co-operative Credit Societies which have Attained the Status of Primary Co-operative Banks
April 15, 1985
7665
IECD.No.CAD(PMS).111/C.446(PMS)-85
Certificate of Accounts of Non-corporate Borrowers by Chartered Accountants
April 12, 1985
7666
DBOD.No.SIC.BC.48/C.739(A-1)-85
Review of Larger Advances
April 10, 1985
7667
DBOD.No.BL.BC.43/C.168(64)-85
Branch Expansion Programme 1982-85
April 9, 1985
7668
RPCD.No.RF.499/D.1-85
Interest Rates on Deposits
April 8, 1985
7669
RPCD.No.RF.DIR.498/D.1-85
Interest Rates of Deposits
April 8, 1985
7670
DBOD.No.Dir.BC.47/C.218-85
Selective Credit Control – Advances against Sentitive Commodities – Revision
April 6, 1985
7671
DBOB.No.Dir.BC.46/C.347-85
Interest Rates on Deposits
April 6, 1985
7672
DBOD.No.Dir.BC.45/C.347-85
Interest Rates on Deposits
April 6, 1985
7673
UBD.(DC)3161/V.1-84/85
Interest Rates on Deposits
April 6, 1985
7674
UBD(DC)3160/V.1-84/85
Interest Rates on Deposits
April 6, 1985
7675
DBOD.No.Dir.BC.46/C.218-85
Selective Credit Control – Advances against Foodgrains, Oil-seeds, Oils, Cotton and Kapas, Sugar, Gur and Khandsari
April 6, 1985
7676
DBOD.No.Ret.BC.41/C.236(G)Spl.-85
Notification
April 4, 1985
7677
DBOD.No.Ret.BC.42/C.236(C)Spl.-85
Increase in SLR – Section 24 of B.R. Act, 1949
April 4, 1985
7678
DBOD.No.BL.BC.39/C.168(61)-85
Acquisition of Premises on Lease/Rental basis by Banks for their use
March 30, 1985
7679
DBOD.No.Dir.BC.40/C.96-85
Interest Rates on Advances
March 30, 1985
7680
DBOD.No.Leg.BC.36/C.233A-85
Notification
March 29, 1985
7681
DBOD.No.Leg.BC.37/C.233A-95
Notification
March 29, 1985
7682
UBD.BR.763/B.1-84/85
Notification
March 29, 1985
7683
RPCD.No.RF.492C/A.6-85
Section 24, 45ZC(3) and 45ZE (4) of the Banking Regulation Act, 1949 as amended by Sections 26&37,of the Banking Laws (Amendment) Act 1983-Issue notification, etc.
March 29, 1985
7684
DBOD.No.Leg.BC.35/C.233A-85
Sections 24, 45ZC(3) and 45ZE(4) of the Banking Regulation Act, 1949 as Amended by Sections 26 & 37 of the Banking Laws (Amendment) Act, 1983 – Issue of Notification, etc.
March 29, 1985
7685
RPCD.No.RF.492A/A.6-85
Banking Laws (Amendment) Act, 1983 – Bringing into force of remaining provisions
March 29, 1985
7686
UBD.BR.764/B.1-841/85
Notification
March 29, 1985
7687
RPCD.NO.RF.493A/A-6-85
Notifications
March 29, 1985
7688
UBD.BR.764A/A-6-84/85
Banking Laws (Amendments) Act, 1983-84 – Bringing into Force of Remaining Provisions
March 29, 1985
7689
DBOD.No.Leg.BC.38/C.233A-85
Notification
March 29, 1985
7690
RPCD.No.RF.493B/A.6-85
Notifications
March 29, 1985
7691
IECD.No.EFD.BC.109/819-POL-ECR-85
Pre-shipment Credit to Exporters of Iron ore
March 27, 1985
7692
UBD.No.Reh.660/R(Gen) 84/85
Rehabilitation of Weak Primary (Urban) Co-operative Banks
March 27, 1985
7693
RPCD.No.RF.482A/A.6-85
Banking Laws (Amendment) Act, 1983 – Bringing into force of remaining provisions
March 26, 1985
7694
IECD.No.CAD(PMS)110/C.446(PMS)-85
Transfer of Borrowal Accounts
March 26, 1985
7695
UBD.No.I&L1818/J.1-84/85
Advances to Builders/Contractors
March 25, 1985
7696
UBD.DC.1282/HG.9-84/85
Interest Rates on Advances
March 23, 1985
7697
DBOD.No.Dir.BC.32/C.96-95
Interest Rates on Advances
March 16, 1985
7698
DBOD.No.Dir.BC.33/C.96-85
Interest Rates on Advances
March 16, 1985
7699
RPCD No.RF.DIR.432/D(2)-84/85
Interest Rates on Advances
March 16, 1985
7700
RPCD No.RF.DIR.433/D(2)-84/85
Interest Rates on Advances
March 16, 1985
7701
DBOD.No.BL.BC.30/57(C)-85
Section 23 of Banking Regulation Act – Branch Banking Statistics – Offices Opened/Closed
March 15, 1985
7702
IECD.No.CAD.107/C.446(CC)-85
CAS – Credit Limits for Fertiliser Distribution
March 13, 1985
7703
DBOD.No.Fol.BC.29/C.581-85
Bad Debts Written off
March 13, 1985
7704
DBOD No.App.BC.28/C.452(K)-85
Appointment of Statutory Auditors as Internal Auditors of Banks
March 12, 1985
7705
RPCD.RF.365/A.6-85
Amendments to the Reserve Bank of India, Scheduled Banks Regulation – 1951
March 11, 1985
7706
IECD.No.CAD(PMS).105/C.446(PMS)-85
CAS – Exemptions from Prior Authorisation
March 9, 1985
7707
IECD.No.CAD(PMS)106/C.446(PMS)-85
CAS – Sanction of Term Loans/Deferred Payment Guarantees
March 9, 1985
7708
UBD.REH.590/R(Gen)/84-85
Declaration of Dividend
March 6, 1985
7709
DBOD.No.Leg.BC.23/46A-85
Amendments to the Reseve Bank of India Scheduled Banks’ Regulations, 1951
March 5, 1985
7710
UBD.RBL.1177/J.21-84/85
Area of Operation
March 4, 1985
7711
DBOD.No.Hindi.BC.22/C.486-85
Use of Hindi in the Banks – Balance Sheet and Profit and Loss Account – Proforma
March 4, 1985
7712
UBD.(M)BR.570/J.15(3)-84/85
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 22 – Application for the Licence by Primary Co-operative Societies which Attained the Status of Primary Co-operative Banks
March 1, 1985
7713
DBOD.No.GC.BC.21/C.408C(59)-S-85
Advances to Officers and the Relatives of Senior Officers of Banks
February 28, 1985
7714
DBOD No.Ret.BC.20/53.A-85
Section 42 of Reserve Bank of India Act 1934 – Weekly Press Communique – Submisssion of Returns by Scheduled Commercial Banks
February 25, 1985
7715
UBD.I&L1707/J.1-84/85
Crediting of Interest on Deposits Accepted under Reinvestment Plan to the Deposit Accounts
February 23, 1985
7716
DBOD.No.Leg.BC.17/C.90(H)-85
Exemption from the Provisions of Banking Regulation Act, 1949
February 22, 1985
7717
DBOD.No.BP.B.C.18/C.469(W)-85
The Foreign Contribution (Regulation) Amendment Ordinance,1984
February 22, 1985
7718
IECD.No.CAD.104/C.446 (HF-P)-85
Housing Finance – Housing Development Finance Corporation Ltd. (HDFC)
February 13, 1985
7719
DBOD.No.GC.SIC.BC.15/C.739(A-I)-85
Co-acceptance of Bills by Banks
February 12, 1985
7720
DBOD.No.Ret.BC.14/C.96(Ret)-85
Reserve Bank of India Act, 1934 – Section 42 – Shortfall in Maintenance of Cash Reserve Ratio – Scheme of Graduated Penalties
February 11, 1985
7721
IECD.No.EFD.BC.103/819-POL-ECR-85
Export Credit (Interest Subsidy) Scheme, 1968 – Grant of Pre-shipment Credit – Substitution of Contract etc.
February 4, 1985
7722
DBOD.No.GC.BC.9/C.408C(P)-85
Issue of Blank Cheque
January 30, 1985
7723
UBD.BR.615/A.1-84/85
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 22 – Application for Licence by Primary Co-operative Societies which have Attained the Status of Primary Co-operative Banks
January 29, 1985
7724
IECD.No.EFD.BC.102/819-POL-ECR-85
Export Credit – Export of Commodities on Consignment basis
January 28, 1985
7725
UBD.(DC)987/PR.474-84/85
Compliance with the Provisions of Selective Credit Control Directives by Banks
January 25, 1985
7726
UBD.(DC)989/PR.474-84/85
Advances against Commodities Covered by Selective Credit Control – Clean Credit Facilities
January 25, 1985
7727
UBD.Reh.No.496/R. (Gen)-84/85
Rehabilitation of Weak Primary Urban Co-operative Banks
January 21, 1985
7728
UBD.(DC)935/474-84/85
Advances against Cotton Textiles including Cotton Yarn, Man-made Fibres and Yarn and Fabrics made out of Man-made Fibres (including Stocks in Process)
January 17, 1985
7729
UBD(DC)937/PR.474/84-85
Advances against Cotton Textiles including Cotton Yarn, Man-made Fibres and Yarn and Fabrics made out of Man-made Fibres (including Stocks in Process)
January 17, 1985
7730
UBD.P&O.904/HG.4-84/85
Refinance Facilities to Urban Co-operative Banks under Section 17 of the Reserve Bank of India Act, 1934 – Small Scale Industries Sector
January 17, 1985
7731
DBOD.No.GC.BC.5C.408A-95
Guidelines regarding Entrustment of Cases for Police Investigation
January 15, 1985
7732
IECD.No.CAD(PMS)101/C.446(PMS)-85
CAS
January 14, 1985
7733
UBD.DC.888/R.1-84/85
Maximum Limit on Advances
January 9, 1985
7734
UBD.No.(DC)887/R.1-84/85
Maximum Limit on Advances
January 9, 1985
7735
UBD.(DC)890/V.1-84/85
Interest Rates on Deposits – Payment of Interest at Savings Bank Rate on Amounts lying in the Current Account of Deceased Depositors
January 9, 1985
7736
UBD.BR.498/A.12(24) -84/85
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 24 – Investment in Government and Other Trustee Securities by Primary Co-operative Banks
January 8, 1985
7737
IECD.No.SIUD.BC.100/C.446(SIU)A-85
Policy relating to Protection of Dues of Banks and Financial Institutions in cases of Nationalisation of Industrial Units
January 7, 1985
7738
IECD.No.CAD(PMS)1/C.446(PMS)-85
CAS – Provision for Excise Duty – Assessment of Working Capital Requirement
January 2, 1985
7739
DBOD.No.GC.BC.127/C.408(A)-84
Classification of Frauds
December 28, 1984
7740
DBOD.No.GC.BC.128/C.408(A)44
Reporting of Cases of Bank Robberies/Dacoities/Thefts/Burglaries
December 28, 1984
7741
RPCD.No.NB.338/D.2-84/85
Co-operative Bank Finance for Housing Schemes
December 18, 1984
7742
RPCD.No.NB.DIR.336/D(1)-84/85
Interest rates on deposits – Payment of interest at Savings Bank Rate on amounts lying in current accounts, of deceased depositors
December 15, 1984
7743
DBOD.No.Dir.BC.120/C.347(Q)-84
Acceptance of Interest-free Deposits
December 13, 1984
7744
DBOD.No.Fol.BC.121/C.581-84
bad-debts written off
December 13, 1984
7745
IECD.No.EFD.BC.99/819-POL-ECR-84
Pre-shipment Credit to Handicrafts Sector
December 12, 1984
7746
IECD.No.CAD(PMS)585/C.446(PMS)-84
Sub-Committee (Textile Group) to Review the Norm Prescribed by the Tandon Committee – Inventory/Receivables Norm for Financing of Jute Industry by Commercial Banks
December 12, 1984
7747
D.O.No.DBOD.Hindi.BC.117/C.486-84
Use of Hindi in Banks
December 10, 1984
7748
DBOD.No.GC.SIC.BC.116/C.739(A-1)-84
Effective and Efficient Information System to keep the Top Executive of the Bank Posted with all the Developments in regard to Major Advances in the Bank
December 8, 1984
7749
UBD.POT.654/UB.17(C)-84/85
Banks Assistance to Persons Affected by Recent Disturbances
November 23, 1984
7750
DBOD.No.Dir.BC.112/C.347-84
Interest Rates on Deposits – Payment of Interest at Savings Bank Rate on Amounts lying in the Current Accounts of Deceased Depositors
November 21, 1984
7751
DBOD.No.Dir.BC.110/C.96-84
Interest Rates on Advances
November 16, 1984
7752
DBOD.No.Dir.BC.111/C.96-84
Interest Rates on Advances
November 16, 1984
7753
D.O.RPCD No.2375/PS.125-84
Recovery of Loans
November 14, 1984
7754
UBD.RBL.923/J.21-84/85
Urban Co-operative Banks – Restrictive Membership
November 13, 1984
7755
DBOD No.App.BC.107/C.452(K)-84
Appointment of Statutory Auditors as Internal Auditors of Banks
November 13, 1984
7756
DBOD.No.BP.379/C.469(44)-84
National Deposits Scheme
November 5, 1984
7757
RPCD.NO.836/324-84/85
Regional Rural Banks – Exemption from the proviso to sub-section (1) of Section 42 of the Reserve Bank of India Act, 1934
November 2, 1984
7758
IECD.No.CAD.98/C.446(M)-84
Financing of Jute Industry
October 31, 1984
7759
IECD.No.EFD.97/201-CTR-IRQ-84
Rupee Loan Facility for Indian Construction Contractors Executing Projects in Iraq
October 29, 1984
7760
UBD.RBL.832/J.21-84/85
Norms for Registration/Licensing of New Urban Co-operative Banks
October 26, 1984
7761
UBD.RBL.843/J.21-84/85
Norms and Procedure for Registration and Licensing of New Primary (Urban) Co-operative Banks
October 26, 1984
7762
DBOD.No.Ret.BC.105A/C.236(G)Spl.-84
Investment made under National Deposit Scheme, 1984
October 22, 1984
7763
DBOD.No.Ret.BC.106/C.236(G)Spl.-84
Section 24 of the Banking Regulation Act, 1949 – Investment made under National Deposit Scheme, 1984
October 22, 1984
7764
UBD.(DC)575/PR.474/84-85
Advances against the Security of Cotton and Kapas
October 20, 1984
7765
UBD.DC.537/R.1-84/85
Maximum Limit on Advances
October 16, 1984
7766
UBD.DC.536/R.1-84/84
Maximum Limits on Advances
October 16, 1984
7767
DBOD.No.Dir.BC.105/C.218-84
Compliance with the Provisions of Selective Credit Control Directives by Banks
October 12, 1984
7768
DBOD.No.BL.BC.104/C.168(61)-84
Acquisition of Accommodation on Lease/Rental Basis by Commercial Banks for their use ( i.e. for Office and Residence of Staff)
October 8, 1984
7769
DBOD.No.BP.BC.103/C.469-84
7% Capital Investment Bonds
October 5, 1984
7770
UBD.P&O.447/UB.17(B)-84/85
Classification of Priority Sector Advances
October 5, 1984
7771
RPCD.No.615/324-84/85
Notification
October 1, 1984
7772
IECD.CAD.95/C.446(H)-84
CAS – Advances to Sugar Industry 1984-85 Crushing Season
September 25, 1984
7773
DBOD.No.GC.SIC.BC.99/C.739(A-1)-84
Fictitious Supply Bills/Hundies – Discounting by Banks
September 17, 1984
7774
RPCD.No.PS.BC.12/C.568A-84
Compounding of Interest by Commercial Banks
September 15, 1984
7775
IECD.No.CAD(PMS)93/C.446-84
Bank Finance for Payment of Bonus
September 10, 1984
7776
DBOD.Leg.No.BC.94/C.233-84
Banking Laws (Amendment) Act, 1983 – Section 10A(2A)(i) of the Banking Regulation Act, 1949
September 10, 1984
7777
DBOD.No.Dir.BC.92/C.218(T)-84
Negotiation of Consignment Bills Drawn by Textile Mills
September 6, 1984
7778
UBD.(DC)360/H.G.9-84/85
Refinance Scheme of the Industrial Development Bank of India – Directives on Interest Rates on Advances
September 3, 1984
7779
DBOD.No.BP.BC.90/C.469-84
Transfer of Rural Business of Branches of Commercial Banks to Regional Rural Banks
September 1, 1984
7780
UBD.BR.149/A.12(9)-84/5
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 19 – Restriction on Holding Shares in Other Co-operative Institutions
August 22, 1984
7781
DBOD.No.BL.BC.86/C.168-84
Section 23 of the Banking Regulation Act, 1949 – Change in the Name of Branch Necessitated due to Change in the Name of Locality/Street etc.
August 21, 1984
7782
DBOD.No.Leg.BC.83/C.466(IV)-84
Recommendation Nos. 118 and 119 of the Working Group on Customer Service in Banks
August 17, 1984
7783
DBOD.No.GC.BC.81/C.408(A)-84
Frauds in Banks – Reporting of Cases of Cash Shortages by Banks
August 16, 1984
7784
IECD.No.EFD.91/012-PER-84
Outstanding Export Performance – Selection for Seventeenth Set of Awards of Trophies and Certificates of Merit for the Year 1983-84
August 11, 1984
7785
DBOD.No.BP.BC.78/C.469(W)-84
Opening of Import Letters of Credit
August 8, 1984
7786
DBOD.No.BP.BC.73/C.469(W)-84
Problems Facing the Exporters
August 2, 1984
7787
UBD.DC.182/PR.474-84/85
Advances against Sensitive Commodities
July 30, 1984
7788
UBD.DC.183/PR.474-84/85
Advances against Sensitive Commodities – Advances against Sugar – Valuation of Sugar Stocks
July 30, 1984
7789
DBOD.No.GC.BC.68/C.408(A)-84
Opening of New Accounts
July 23, 1984
7790
DBOD.No.Dir.BC.66/C.347(l)-84
Deposits under Foreign Currency (Non-Resident) Accounts Scheme
July 20, 1984
7791
IECD.No.SIUD/BC.70/C.446(SIU)A-84
Sick Industrial Undertakings
July 19, 1984
7792
DBOD.No.Dir.BC.63/C.218-84
Advances against Commodities Covered by Selective Credit Control – Clean Credit Facilities
July 17, 1984
7793
RPCD.No.PS.BC.2/PS.22-84
Norms for Agricultural Loans – Repayment Schedule
July 13, 1984
7794
UBD.BR.16/A.6-84/85
Banking Law (Amendment) Act, 1983
July 9, 1984
7795
DBOD.No.Ret.BC.61/C.236(G)Spl.-84
Section 24 of the Banking Regulation Act, 1949 – Statutory Liquidity Ratio (SLR)
July 4, 1984
7796
UBD.REH.2/R.(Gen)-84/85
Rehabilitation of Weak Primary (Urban) Co-operative Banks
July 3, 1984
7797
RPCD.No.CRRB.3969/A.6/83-84
Banking Laws (Amendment) Act, 1983
June 29, 1984
7798
RPCD.No.CRRB.3967/A.6-83/4
Banking Laws (Amendment) Act, 1983
June 29, 1984
7799
IECD.No.CAD(PMS)248/C.446-84
Sub-Committee (Textile Group ) to Review the Norms Prescribed by the Tandon Committee – Inventory/Receivables Norms for Financing of Textile Industry by Commercial Banks
June 20, 1984
7800
IECD.No.CAD(PMS)90/C.446(PMS)-84
CAS – IDBI Bills Rediscounting Scheme
June 12, 1984
7801
UBD.Reh.320/R.(Gen)-83/84
Rehabilitation of Weak Primary (Urban) Co-operative Banks
June 11, 1984
7802
IECD.No.CAD(PMS).89/C.446(PMS)-84
Provision for Income-tax and Advance Tax Paid
June 4, 1984
7803
IECD.No.CAD.(PMS)88/C.446(PMS)-84
CAS
June 1, 1984
7804
RPCD.No.CRRB.3726/C.10/324-83/84
Banks’ own investment in Central State Government loans – Payment of Brokerage
May 31, 1984
7805
DBOD.No.Ret.BC.50/C.96(Ret)-84
RBI Act, 1934 – Section 42(1A) – Requriement for Maintining Additional Balances
May 28, 1984
7806
IECD.No.EFD.BC.24/819-POL:ECR:84
Financing of Exports – Efficiency of Banks and Quality of Customer Service
May 28, 1984
7807
DBOD.No.BP.BC.48/C.469(44)-84
Banks own Investment in Central/State Government Loans – Payment of Brokerage
May 25, 1984
7808
RPCD.No.CRRB.3633/A.20(24)-83/84
Notification
May 18, 1984
7809
RPCD.No.CRRB.3465/Misc.5-83/84
Guarantees & furnished by the state and central co-operative banks in favour of HUDCO in respect of loans to State Housing Boards and similar bodies
May 17, 1984
7810
DBOD.No.Fol.BC.44/C.249(W)-84
Matters to be Placed before the Boards of Directors
May 16, 1984
7811
DBOD.No.GC.BC.43/C.408(A)-84
collection of information on frauds and action taken by banks to contain them
May 12, 1984
7812
DBOD.No.Dir.BC.40/C.218-84
Advances under Differential Rates of Interest (DRI) Scheme and Other Small Advances against Sensitive Commodities – Exemption from Selective Credit Control
May 11, 1984
7813
DBOD.No.Dir.BC.39/C.218-84
Scheme for Providing Self Employment to Educated Unemployed Youth – Exemption from Selective Credit Control
May 8, 1984
7814
DBOD.No.Dir.BC.36/C.96-84
Interest Rates on Advances
May 4, 1984
7815
DBOD.No.Dir.BC.37/C.96-84
Interest Rates on Advances
May 4, 1984
7816
UBD.P&O.1005/UB.8(3)-83/84
Linking of Shareholding to Borrowings in Primary (Urban) Co-operative Banks
April 21, 1984
7817
DBOD.No.GC.BC.34/C.408C(59)S-84
Guidelines in regard to Grant of Loans and Advances and Award of Contracts to Directors of Banks and their Relatives
April 12, 1984
7818
UBD.(DC)1416/PR.474-83/84
Advances against Cotton and Kapas
April 10, 1984
7819
UBD.(DC)1417/PR. 474-83/84
Advances against Cotton and Kapas
April 10, 1984
7820
UBD.(DC)1419/PR.474-83/84
Advances against Cotton and Kapas
April 10, 1984
7821
UBD(DC)1418/PR.474-83/84
Advances against Cotton and Kapas
April 10, 1984
7822
DBOD.No.Dir.RC.32/C.347(J)-84
Donations from Funds Created for Research and Development in Fields related to Banking
April 6, 1984
7823
DBOD.No.GC.SIC.BC.30/C.739(A)-84
Transfer of Loans Accounts from One Bank to Another
April 4, 1984
7824
DBOD.No.GC.SIC.BC.31/C.739(A)-84
Furnishing of Opinion Reports on the Borrowers
April 4, 1984
7825
RPCD.No.NB.DIR.580/D.1-83/84
Interest Rates on Advances
March 31, 1984
7826
RPCD.NO.NB.DIR.581/D.1-83/84
Directive on interest rates on deposits – Payment of interest on savings bank deposits by RRBs to the Co-Operative Institutions
March 31, 1984
7827
DBOD.No.CIS.BC.28/C.127-84
Collection and Furnishing of Credit Information – Section 45C(1) of the Reserve Bank of India Act, 1934
March 27, 1984
7828
DBOD.No.GC.BC.27/C.408(L)-84
Safe Deposit Locker Facility
March 27, 1984
7829
DBOD.No.Hindi.BC.26/C.486-84
Use of Hindi in Banks – Hindi Spellings of Numerals
March 26, 1984
7830
DBOD.No.Dir.BC.25/C.96-84
Guarantee of Inter-Company Deposits/Loans by Commercial Banks
March 26, 1984
7831
UBD.BR.663/C-1/83/84
Primary (Urban) Co-operative Banks – Change in the Addresses of their Principal Offices
March 24, 1984
7832
IECD.No.CAD.87/C.446(Y)-84
Advances to Tea Industry – Term Finance
March 16, 1984
7833
DBOD.No.App.BC.22/318(B)-84
Guidelines on the Role and Functions of Non-Official Directors on the Boards of Private Sector Banks
March 16, 1984
7834
IECD.No.EFD.BC.86/C.819-POL-ECR-84
Export Credit (Interest Subsidy) Scheme, 1968 – Repatriation of Proceeds of Export Bills
March 15, 1984
7835
RPCD.No.RRB.2177/324-83/84
Regional Rural Banks – Exemption from the provisions of Sub-section (1A) of Section 42 of Reserve Bank of India Act, 1934
March 14, 1984
7836
IECD.No.CAD.85/C.446(PF)-84
Sanction of Credit Facilities to the Borrowers who are Defaulters in the Payment of Statutory Dues
March 10, 1984
7837
IECD.No.CAD(PMS)84/C.446(PMS)-84
CAS
March 8, 1984
7838
UBD.P&O.796/UB.-17(B)-83/84
Grant of Loans for Agricultural and Allied Activities by Urban Co-operative Banks
March 5, 1984
7839
UBD.BR.610/A.17-83/84
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 36A (2) – Procedure to be Followed by Primary Co-operative Banks for going out of the Purview of the Act
March 3, 1984
7840
UBD.51/Adm/(5)-83/84
Formation of Urban Banks Department
February 28, 1984
7841
UBD.P&O.763/UB.58-83/84
Issue of Guarantees – Co-acceptance of Bills etc. by the Urban Co-operative Banks
February 28, 1984
7842
UBD.(DC)1176/V.1-83/4
Formulation and/or Advertisement of Deposit Mobilisation Schemes involving Award of Prizes
February 22, 1984
7843
UBD.P&O.658/HG.4-83/84
Refinance Facilities to Urban Co-operative Banks under Section 17 of Reserve Bank of India Act, 1934 – Small Scale Industries Sector
February 22, 1984
7844
DBOD.No.Leg.BC.18/C.233-84
Banking Laws (Amendment) Act, 1983
February 18, 1984
7845
DBOD.No.Dir.BC.17/C.96-83
Donations
February 17, 1984
7846
DBOD.No.Fol.BC.16/C.249-84
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Other Financial Institutions
February 15, 1984
7847
UBD.BR.568/A.18-83/4
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 36A(2) – Salary Earners/Employees Co-operative Credit Societies Desiring to go out of the Purview of the Act
February 14, 1984
7848
DBOD.No.GC.SIC.BC.13/C.408(A)-84
Advances to Cotton Traders
February 10, 1984
7849
RPCD.NB.No.DIR.436/D.2-83/84
Advances against Sugar – Valuation of Stocks
February 7, 1984
7850
RPCD.NB.No.DIR.437/D.2/83-84
Advances against sugar-Valuation of stock
February 7, 1984
7851
DBOD.No.Dir.BC.9/C.218(a)-84
Advances under Integrated Rural Development Programme (IRDP) against Sensitive Commodities – Complete Exemption from Selective Credit Control
February 3, 1984
7852
IECD.No.CAD.83/C.446(H)-83/84
Advances to Sugar Mills
February 2, 1984
7853
IECD.No.CAD. 82/C.446(HF-P)-84
Guarantees Furnished by Banks in favour of HUDCO in respect of Loans to State Housing Boards and similar bodies
February 2, 1984
7854
DBOD.No.Dir.BC.7/C.218(J)-84
Advances against Sugar – Valuation of Sugar Stocks
January 30, 1984
7855
DBOD.No.Dir.BC.8/C.218(J)-84
Advances against Sugar – Valuation of Sugar Stocks
January 30, 1984
7856
RPCD.No.CRRB.1362/A.21(A)-83/84
Extension of banking hours of branches of banks
January 30, 1984
7857
DBOD.No.Ret.BC.5/C.96(Ret)-94
Notification
January 27, 1984
7858
DBOD.No.Ret.BC.6/C.96(Ret)-84
Maintenance of Cash Reserve Ratio under Section 42(1) of Reserve Bank of India Act, 1934 – Revision
January 27, 1984
7859
IECD.No.CAD.81/C.446(H)/83-84
Advances against Sugar – Valuation of Sugar Stocks
January 25, 1984
7860
IECD.No.SIUD.BC.79/C.446(SIU)Q-83/84
Sick Industrial Undertakings – Small Scale Industrial Units
January 19, 1984
7861
IECD.No.EFD.BC.80/015.EOU.84
Export Credit to 100% Export Oriented Units
January 19, 1984
7862
DBOD.UBD.P&O.620/PR.36(1)-83/4
Extension of Industrial Development Bank of India’s Scheme for Refinancing of Industrial Loans to Central Co-operative Banks (CCBs) and Primary (Urban) Co-operative Banks
January 17, 1984
7863
RPCD.No.1718/324-84
Notification
January 13, 1984
7864
DBOD.No.UBD.(DC)852/PR.474-83/84
Advances against Sensitive Commodities
December 24, 1983
7865
DBOD.No.UBD(DC)853/PR.474-83/4
Advances against Sensitive Commodities – Advances against Foodgrains, Pulses, Sugar, Gur and Khandsari and Oilseeds and Oils thereof and Vanaspati
December 24, 1983
7866
DBOD.UBD.P&O.467/UB.8(3)-83/84
Linking of Shareholding to Borrowings in Primary (Urban) Co-operative Banks
December 23, 1983
7867
DBOD.No.BP.BC.105/C.469(44)-83
Granting Bank Loans against National Savings Certificates
December 20, 1983
7868
DBOD.No.Ret.BC.102/C.95-83
Section 27 of the Banking Regulation Act, 1949 – Return in Form x
December 16, 1983
7869
DBOD.UBD.I&L.1573-J.1-83/84
Handling of Export Documents by Primary (Urban) Co-operative Banks
December 16, 1983
7870
DBOD.No.APP.BC.101/C.452(K)-83
Statutory Audit by External Auditors
December 15, 1983
7871
DBOD.No.Fol.BC.100/C.249-83
Loans and Advances to the Individuals/Concerns to take up Shares of Other Companies – Banks Advised to Refrain from Granting such Loans and Advances
December 13, 1983
7872
DBOD.UBD.RBL.925/J.21-83/84
Licensing of New Primary (Urban) Co-operative Banks/Branches – Policy
December 7, 1983
7873
IECD.No.EFD.BC.78/C.297(P)-Gen(Africa)-83
Strategy for Exports to Africa
December 6, 1983
7874
DBOD.No.GC.SIC.BC.97/C.408(A)-83
Opening of Letters of Credit – Issue of Guarantees and Co-acceptance of Bills by Banks
November 26, 1983
7875
RPCD.No.CRRB.DIR.1284/D.1-83/84
Margin on Loans Against Deposits
November 21, 1983
7876
DBOD.No.Fol.BC.96/C.249(W)-83
Matters to be Placed before the Board of Directors
November 19, 1983
7877
IECD.No.CAD(PMS)74/C.446(PMS)-83
CAS
November 18, 1983
7878
IECD.No.CAD.75/C.446(TR)-83
CAS – Term Loan Assistance by Banks to State Road Transport Corporation (SRTCs)/Other Public Transport Undertakings
November 15, 1983
7879
IECD.No.CAD.76/C.446(H)-83
Advances to Sugar Industry – Holding of Buffer Stock
November 15, 1983
7880
DBOD.No.GC.BC.93/C.408A(89)-83
DETAILS OF VIGILANCE CASES/CASES REFERRED TO C.B.I
November 15, 1983
7881
DBOD No.Ret.BC.92/C.96(Ret)-83
Reserve Bank of India Act, 1934 – Section 42(1A) – Requriement for Maintaining Additional Balances
November 10, 1983
7882
DBOD.No.Ret.BC.90/C.96(Ret)-83
Notification
November 10, 1983
7883
DBOD.No.Ret.BC.91/C.96(Ret)-83
Notification
November 10, 1983
7884
IECD.No.CAD.73/C.446(H)-83
CAS – Advances to Sugar Industry 1983-84 Crushing Season
November 7, 1983
7885
RPCD.No.DIR.234/D(2)-83/84
Interest rates on advances
November 7, 1983
7886
RPCD.No.DIR.235/D(2)-83/84
Interest Rates on Advances
November 7, 1983
7887
DBOD.No.Ret.BC.88/C.254-83
Window-dressing of Balance Sheets
November 3, 1983
7888
IECD.No.CAD(PMS)72/C.446(PMS)-83
CAS
November 3, 1983
7889
DBOD.No.Fol.BC.89/C.210(A)-83
Association of Banks with Prize Chit Schemes Floated by Non-Banking Financial Institution
November 3, 1983
7890
DBOD.No.Fol.BC.87/C.249-83
Loss-making Branches of Banks
November 2, 1983
7891
DBOD.No.BP.BC.86/C.464(W)-83
Training Courses for Clerical Staff/Officers
October 27, 1983
7892
DBOD.UBD.I&L.1100/J.1-83/84
Safe Deposit Locker Facility
October 24, 1983
7893
DBOD.No.Dir.BC.84/C-96-83
Interest Rates on Advances
October 20, 1983
7894
DBOD.No.Dir.BC.85/C.96-83
Interest Rates on Advances
October 20, 1983
7895
DBOD.No.Hindi.420/C.486-(Q)-83
Printing of Text Books under Hindi Teaching Scheme
October 20, 1983
7896
DBOD.No.BL.BC 82/C.168(61)43
Acquistion of Accomodation on Lease/Rental Basis by Commercial Banks for their use (i.e. for Office and Residence of Staff)
October 17, 1983
7897
DBOD.No.BL.BC.81/C.168(61)-83
Acquisition of Accommodation on Lease/Rental Basis by Commercial Banks for their Use (i.e for Office and Residence of Staff)
October 17, 1983
7898
IECD.No.CAD.71/C.446(HF-P)-83
Housing Finance – Housing Development Finance Corporation Ltd. (HDFC)
October 14, 1983
7899
DBOD.UBD.RBL.628/J.21-83/84
Norms for Registration of New Urban Co-operative Banks
October 11, 1983
7900
DBOD.UBD(DC)507/V.1-83/4
Margin on Loans against Deposits
October 1, 1983
7901
UBD.(DC)502/PR.474-83/84
Advances against Cotton Textiles including Cotton Yarn, Man-Made Fibres and Yarn and Fabrics made out of Man-Made Fibres (including Stocks-in-Process)
September 30, 1983
7902
UBD.(DC)503/PR.474-83/84
Advances against Cotton Textiles including Cotton Yarn, Man-Made Fibres and Yarn and Fabrics made out of Man-Made Fibres (including Stocks in Process)
September 30, 1983
7903
UBD.(DC)500/R.1-83/84
Advances/Loans to Landlords/Lessors of Premises for Bank’s Offices
September 30, 1983
7904
DBOD.No.Ret.BC.79/C.96(Ret)-83
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – Provision for Interest on Deposits
September 21, 1983
7905
IECD.No.CAD (PMS)70/WGCC.83
Prompt Payment by Medium and Large Units to Small Ancillary Suppliers
September 19, 1983
7906
DBOD.UBD.P&O.161/UB.31-83/84
Urban Co-operative Bank Finance for Housing Schemes
September 2, 1983
7907
DBOD.UBD.(DC)332/V.1-83/84
Formulation of Desposit Mobilisation Scheme – Award of Prizes and Gifts
August 31, 1983
7908
DBOD.No.BP.BC.75/C.469(45)-83
Economy in Expenditure on Publicity/Advertisement by Public Sector Banks
August 29, 1983
7909
IECD.No.CAD.AD.126/C.446(HF-P)-83
Housing Finance – Flood Victims in Gujarat State
August 25, 1983
7910
DBOD.No.Leg.BC.73/C.466(IV)-83
Customer Service in Banks
August 25, 1983
7911
IECD.No.CAD.69/C.446(Y)-83
Advances to Tea Industry
August 23, 1983
7912
DBOD.UBD.P&O.127/UB.32-83/84
Employees Provident Funds Scheme, 1952
August 22, 1983
7913
DBOD.No.BP.BC.72/C.469(35B)-83
Instructions/Directions from Governmaent of India/RBI
August 16, 1983
7914
DBOD.No.Dir.BC.67/C.218(J)-83
Advances against Sugar – Method of Valuation of the Sugar Stocks Charged to Banks as Security
August 5, 1983
7915
DBOD.No.Dir.BC.68/C.218(J)-83
Advances against Sugar – Valuation
August 5, 1983
7916
RPCD.No.Dir.47/D.2/83-84
Advances Against Sugar – Valuation of Stocks
August 5, 1983
7917
RPCD.No.DIR.48/D.2/83-84
Advances against sugar – valuation of stocks
August 5, 1983
7918
DBOD.No.BP.BC.65/C.469(K)Spl-83
Half-yearly Overdue Advances as per Enclosed Proforma
July 29, 1983
7919
DBOD.No.Dir.BC.64/C.347(J)-83
Donations/Release of Advertisements in Souvenirs
July 28, 1983
7920
RPCD.No.CRRB.1/396-83/84
The Banking Regulation Act, 1949 – Section 27 – Special Return in Form X as on 31 March every year – Data processing
July 28, 1983
7921
DBOD.No.Dir.BC.62/C.347(J)-83
Application for Sanction of Donations
July 27, 1983
7922
IECD.No.CAD.68/C.446(HF-P)-83
Housing Finance – Flood Victims in Gujarat State
July 27, 1983
7923
IECD.No.CAD.67/C.446(H)-83
Advances against Sugar – Valuation of Free sale Stocks
July 22, 1983
7924
IECD.No.CAD.66/C.446(M)-83
Financing of Jute Mills
July 22, 1983
7925
DBOD.UBD(DC)127/V.1-83/84
July 22, 1983
7926
DBOD.UBD(DC)128/V.1-83/84
Interest Rates on Deposits
July 22, 1983
7927
DBOD.No.Dir.BC.60/C.218-83
Advances against Commodities Covered under Selective Credit Control – Purchase/Discount of Bills
July 16, 1983
7928
IECD.No.CAD.65/C-446(H)-83
Advances to Sugar Industry
July 14, 1983
7929
IECD.No.CAD(PMS)64/C.446(C&P)-83
Lending under Consortium Arrangements by Banks
July 13, 1983
7930
DBOD.No.Hindi.BC.59/C.486-83
Use of Hindi in Banks – Profroma of Quarterly Progress Report relating to Progressive Use of Hindi in the Central Government Offices Located in Tamil Nadu
July 11, 1983
7931
DBOD.No.App.BC.57/C.452(K)-83
Appointment of Statutory Auditors as Internal Auditors of Banks
July 7, 1983
7932
IECD.No.CAD.63/C-446(RES)-83
Report of the RBI Working Group on Planned Participation of Commercial Banks in Rural Electrification Programme – SPA Scheme for Energisation of Pump-sets – II Phase
July 6, 1983
7933
DBOD.No.Dir.BC.54/C.218-83
Selective Credit Control – Advances against Warehouse Receipts
July 4, 1983
7934
IECD.No.EFD.BC.40/C.297(P)-83
Financing of Leather Exports
June 27, 1983
7935
DBOD.No.Ret.BC.53/C’96(Ret)-83
Reserve Bank of India Act, 1934 – Section 42 – Shortfall in Maintenance of Cash Reserve Ratio – Scheme of Graduated Penalties
June 23, 1983
7936
IECD.No.EFD.BC.59/C.297P-83
Pre-shipment Credit to Exporters of Deoiled and Defatted Cakes, and of Rice barn Extraction
June 20, 1983
7937
IECD.No.EFD.BC.60/C.297P-83
Packing Credit Advances to Exporters of Deoiled and Defatted Cakes
June 20, 1983
7938
DBOD.No.IBS.BC.52/C.555(A)-83
Austerity in Foreign Travel
June 17, 1983
7939
DBOD.No.UBD.RBL.1761/J.82/83
Section 23 read with Section 56(p) of the Banking Regulation Act, 1949
June 14, 1983
7940
RPCD.No.CRRB.1507/Misc.5-82/83
Guarantee furnished by the state and central co-operative banks in favour of HUDCO/State Housing Boards and similar bodies etc.
May 31, 1983
7941
DBOD.No.Dir.BC.45/C.96-83
Bank Advances against Turmeric
May 30, 1983
7942
DBOD.No.Dir.BC.44/C.96-83
Guarantee of Inter-Company Deposits/Loans by Commercial Banks
May 30, 1983
7943
DBOD.No.BP.1142/C.469(47)-83
Reservation of Posts for SC/ST in the Private Sector Banks
May 27, 1983
7944
DBOD.No.BL.BC.42/C.168-83
Section 23 of the Banking Regulation Act, 1949
May 24, 1983
7945
DBOD.No.Ret.BC.43/C.195-83
Section 27 of the Banking Regulation Act, 1949 – Return in Form X
May 24, 1983
7946
DBOD.No.UBD.RBL.1555/J.-82/83
Extension of Banking Hours of Branches of Banks
May 16, 1983
7947
DBOD.No.Dir.BC.41/C.347(l)-83
Payment of Interest on Deposits – Foreign Currency (Non-Resident) Accounts Scheme (FCNR) and Non- Resident (External) Rupee Accounts Scheme (NRE)
May 9, 1983
7948
DBOD.No.Fol.BC.40/C.124(V)-83
Reconciliation of Inter-branch Transactions
May 4, 1983
7949
IECD.No.EFD.BC.1323/C.297P-83
Export Credit to Tobacco Trade
May 3, 1983
7950
DBOD.No.Dir.BC.36/C.96-83
Interest Rates on Advances
April 30, 1983
7951
DBOD.No.Dir.BC.37/C.96-83
Interest Rates on Advances
April 30, 1983
7952
RPCD.No.DIR.342/D(1)/82-83
Interest Rates on Advances
April 30, 1983
7953
RPCD.No.DIR.343/D(1)/82-83
Interest Rates on Advances
April 30, 1983
7954
DBOD.No.Dir.BC.38/C.347-83
Modifications to certain of the Existing Provisions governing Bank Deposits
April 30, 1983
7955
DBOD.No.Dir.BC.39/C.347-83
Interest Rates on Deposits
April 30, 1983
7956
RPCD.No.DIR.339/D(1)/82-83
Interest Rates On Deposits
April 30, 1983
7957
RPCD.No.DIR.340/D(1)/82-83
Interest Rates On Deposits
April 30, 1983
7958
ICD.No.CAD.57/C.446(T)-83
Credit Requirements of the Textile Mills in Bombay
April 23, 1983
7959
DBOD.No.Ret.BC.33/C.96(Ret)-83
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – Provision for Interest on Deposits
April 21, 1983
7960
DBOD.No.Dir.BC.32/C.347(C)-83
Maximum Amount of Advances against Re-investment Plan Deposits
April 20, 1983
7961
ICD.No.SIUD.BC.56/C.446(SIU)A-83
Sick Industrial Undertakings
April 12, 1983
7962
ICD.No.CAD.55/C.446(H)-83
Modalities of Physical Rotation of Sugar Stocks Constituting the Buffer Stocks
April 11, 1983
7963
DBOD.No.Fol.BC.29/C.249-83
Management of Advances Portfolio and Control Over Advances
April 8, 1983
7964
DBOD.No.GC.BC.28/C.408(A)-83
Frauds in Banks
April 8, 1983
7965
DBOD.No.Dir.BC.27/C.96-93
Interest Rates on Advances
March 30, 1983
7966
DBOD.UBD.P&O.810/UB.32-82/83
Insurance of Gold Ornaments Pledged with Banks against the Risk of Burglary and Fire
March 30, 1983
7967
ICD.No.CAD(PMS)53/C.446(PMS)-83
CAS – IDBI Bills Rediscounting Scheme
March 28, 1983
7968
ICD.No.EFD.BC.54/C.297A-83
Refinance under Export Bills Credit Scheme and Pre-shipment Credit Scheme – Annual Statements in Forms F and H
March 28, 1983
7969
DBOD.No.Ret.BC.26/C.96(Ret)-83
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 the Banking Regulation Act, 1949 – Classification of Deposits held as Security for Advances
March 23, 1983
7970
ICD.No.CAD.52/C.446(T)-82
Credit Requirements of Textile Mills in Bombay
March 23, 1983
7971
DBOD.UBD.(I&L)No.2584/J.1-82/83
Opening of various Deposit Accounts in Primary Co-operative Banks – Introduction
March 22, 1983
7972
DBOD.UBD.(DC)1354/HG.9-82/83
Interest Rates on Advances
March 21, 1983
7973
DBOD.UBD.(DC)1355/HG.9-82/83
Interest Rates on Advances
March 21, 1983
7974
ICD.No.CAD(PMS)51/C.446(PMS)-83
CAS
March 15, 1983
7975
DBOD.No.Dir.BC.21/C.96-93
Interest Rates on Advances
March 14, 1983
7976
RPCD.No.CRRB.DIR.848/D.1-82/83
Directives on interest rates on deposits payment of interest on Savings Bank Accounts in the names of certain organisations
March 7, 1983
7977
DBOD.No.BL.BC.19/C.168-93
Extension of Banking Hours of Branches of Banks
March 7, 1983
7978
RPCD.DIR.244/D(2)-82/83
Interest rates on advances
March 5, 1983
7979
RPCD.No.DIR.245/D(2)-82/83
Interest rates on advances
March 5, 1983
7980
DBOD.No.UBD.RBL.985/J-82/83
Banking Regulation Act, 1949 – Section 23 read with Section 56(p) – Proposals for Opening Branches during the Period April 1983 to March 1985
March 5, 1983
7981
DBOD No.Dir.BC.17/C.96-83
Interest Rates on Advances
February 28, 1983
7982
DBOD.No.Dir.BC.16/C.96-83
Interest Rates on Advances
February 28, 1983
7983
D.O.No.Fol.BC.14/C.729-83
Finalistion of Annual Accounts and Submission of Balance Sheets
February 25, 1983
7984
DBOD.UBD.P&O.698/UB.8(3)-82/83
Registration of New Urban Co-operative Banks – Open Membership
February 25, 1983
7985
DBOD.UBD.682/UB.24-82/83
Training Facilities for the Personnel of Urban Co-operative Banks
February 23, 1983
7986
DBOD.No.BP.BC.11/C.469-(45)-83
Economy in Expenditure on Publicity/Advertisement – Uniformity in Classification of Expenditure
February 21, 1983
7987
DBOD.No.BP.BC.12/C.469(45)-83
Advertisement by Banks – Approval of Advertising Agencies/Expenditure
February 21, 1983
7988
DBOD.No.Hindi.77/C.496-83
Signatures in Hindi on Official Documents
February 18, 1983
7989
DBOD.No.Ret.BC.10/C.96(Ret)-83
Section 42 of the Reserve Bank of India Act, 1934 – Penal Interest
February 17, 1983
7990
DBOD.No.Fol.BC.9/C.249-83
Letter of Credit Facilities
February 16, 1983
7991
DBOD.No.Fol.BC.7/C.249-83
Grant of Advances – Cashew Industry – Credit Appraisal and Post-disbursement Supervision
February 7, 1983
7992
RPCD.No.CRRB/BR/654/D.1-82/83
National Savings Certificates
February 7, 1983
7993
DBOD.UBD(DC)1055/V.1-82/83
Interest Rates on Deposits
February 4, 1983
7994
DBOD.No.UBD.RBL.845/J.82/83
Shifting of Offices of a Primary Co-operative Bank from One Locality to Another within the Same City/Town
February 3, 1983
7995
ICD.No.EFD.269/C.297P-83
Problems relating to Export of Tea to Sudan
January 31, 1983
7996
DBOD.UBD.P&O.584/UB.37-82/3
Association of Urban Banks with the Prize-chit Schemes Floated by any Person, Firm or a Non-Banking Financial Institution
January 29, 1983
7997
DBOD.No.UBD.805/E.82/3
Data relating to Overdues of Urban Co-operative Banks
January 27, 1983
7998
DBOD.UBD.P&O.552/HG.4-82-83
Refinance under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Financing of Small Scale Industries by Primary (Urban) Co-operative Banks
January 19, 1983
7999
DBOD.No.Ret.BC.4/C.96(Ret)-83
Section 42 of the Reserve Bank of India Act, 1934
January 18, 1983
8000
ICD.No.CAD.(PMS)48/C.446-(PMS)-83
Construction of Infastructural Facilities
January 14, 1983
8001
DBOD.UBD.P&O.523/HG.4-82/83
Short-term Credit Limit under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 for Financing Small Scale Industrial Units Outside the Co-operative Sector – Maintenance of Non-overdue Cover in respect of Borrowers
January 12, 1983
8002
DBOD No.BP.678/C.473-83
Bank Guarantees
January 11, 1983
8003
RPCD.No.BR.452/A20(24)-82/83
The Banking Regulation Act, 1949 (As applicable to co-operative societies) – Sections 18 and 24 – Exemption
January 10, 1983
8004
RPCD.No.BR.453/A20(24)-82/83
The Reserve Bank of India Act, 1934 – Section 42(1) and the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 24 – Exemption
January 10, 1983
8005
ICD.No.CAD.47/C.446(HF-P)-83
Guarantees Furnished by Banks in favour of HUDCO/State Housing Boards and similar bodies etc.
January 8, 1983
8006
RPCD.DIR.1673/D1-82/83
Interest rates on deposits
December 28, 1982
8007
RPCD.No.DIR.19/D1-82/83
Interest Rates on Deposits
December 28, 1982
8008
DBOD.UBD.P&O.465/UB.6/82-83
Loans against National Savings Certificates
December 24, 1982
8009
DBOD.No.UBD.P&O.420/HG.4-82/86
Financial Assistance for Development and Utilisation of Renewable Sources of Energy under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934.
December 17, 1982
8010
ICD.No.CAD.44/C.446(M)-82
Financing of Jute Mills
December 14, 1982
8011
DBOD.UBD.P&O.403/HG.4-82/83
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1983-84
December 13, 1982
8012
DBOD.UBD.P&O.393/UB.8(3)-82/83
Open Membership – Urban Co-operative Banks
December 11, 1982
8013
DBOD.No.Dir.BC.113/C.218(a)-82
Exemption of Advances to Rice Millers/Dealers from Selective Credit Control Measures
December 9, 1982
8014
RPCD.NO.Dir.1370/D2-82/83
Advances Against Sugar, Gur and Khandsari
December 8, 1982
8015
RPCD.No.Dir.17/D2-82/83
Advances against sugar, gur and khandsari
December 8, 1982
8016
ICD.No.CAD.43/C.446-82
CAS – Term Loan Assistance by Banks to State Road Transport Corporations/Other Public Transport Undertakings
December 6, 1982
8017
DBOD.No.Dir.BC.111/C.218(F)-82
Advances against Cotton and Kapas
December 4, 1982
8018
UBD.(FS) 557/PR.7(Gen)-82/3
Loans from the National Rural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions – 1982-83
December 3, 1982
8019
DBOD.No.UBD.BR.320/A.6-82/3
Amendment in the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
November 30, 1982
8020
ICD.No.CAD(PMS)42/C.446(PMS)-82
CAS
November 29, 1982
8021
DBOD.No.Fol.BC.108/C.249-82
Deposit Accounts in Benami or Fictitious Names
November 27, 1982
8022
DBOD.No.Ret.BC.107/C.236(G)Spl.-82
Section 24 of the Banking Regulation Act, 1949 – Investments in Gold
November 25, 1982
8023
DBOD.No.Dir.BC.102/C.218(j)-82
Advances against Sugar, Gur and Khandsari
November 18, 1982
8024
ICD.No.CAD.41/C.446(HF-P)-82
Housing Finance
November 18, 1982
8025
DBOD.No.Dir.BC.101/C.218(J)-82
Advances aganist Sugar, Gur and Khandsari
November 18, 1982
8026
ICD.No.CAD.1260/C.446(T)-82
Meeting Held at the Reserve Bank of India on the 29th October 1982 to Discuss Immediate Credit Requirements of the Textile Mills in Bombay
November 17, 1982
8027
DBOD.UBD.RBL.393/J.21-82/83
Norms and Procedure for Registration and Licensing of New Primary (Urban) Co-operative Banks
November 12, 1982
8028
DBOD.No.IBD.382/C.469(91)-82
Foreign Exchange Business undertaken by Overseas Branches of Indian Banks – Internal Control
November 12, 1982
8029
ICD.No.CAD.40/C-446(H)82
CAS – Advances to Sugar Industry 1982-83 Crushing Season
November 6, 1982
8030
ICD.No.CAD.39/C-446(H)-82
Advances to Sugar Industry
November 5, 1982
8031
RPCD.No.C.10/324-82/83
Regional Rural Banks – Exemption from the proviso to sub-section (1) of Section 42 of the Reserve Bank of India Act, 1934
November 5, 1982
8032
DBOD.UBD.P&O 229/UB.31-82/83
Co-operative Bank Finance for Housing Schemes
November 5, 1982
8033
DBOD.UBD.P&O.230/UB.31-82/83
Co-operative Bank Finance for Housing Schemes for the Economically Weaker Sections of the Community
November 5, 1982
8034
RPCD.No.Dir.1/P.1-82/83
Advances to sugar industry – holding of buffer stock
November 4, 1982
8035
RPCD.No.Dir.9/P.1-82/83
Advances to Sugar Industry – Holding Buffer Stocks
November 4, 1982
8036
DBOD.No.Dir.BC.100/C.218-82
Advances to Khadi and Village Industries Commission (KVIC) and Associated Institutions against Sentitive Commodities – Complete Exemption from Selective Credit Control
October 26, 1982
8037
DBOD.UBD(DC)464/V.1-82/3
Interest Rates on Deposits
October 26, 1982
8038
DBOD.UBD(DC)465/V.1-82/3
Interest Rates on Deposits
October 26, 1982
8039
RPCD.DIR 862/D1-82/83
Interest Rates on Deposits
October 26, 1982
8040
RPCD.DIR.863/D1-82/83
Interest Rates on Deposits
October 26, 1982
8041
RPCD.DIR.864/D1-82/83
Interest Rates on Deposits
October 26, 1982
8042
RPCD(DIR)865/D1-82/83
Interest Rates on Deposits
October 26, 1982
8043
DBOD.No.Dir.BC.98/C.347-82
Interest Rates on Deposits
October 25, 1982
8044
DBOD.No.Dir.BC.99/C.347-82
Rates of Interest Payable on Term Deposits Effective from 26th October 1982
October 25, 1982
8045
DBOD.No.BP.416/C.469(W)4-82
Lateral Movement of Staff
October 20, 1982
8046
DBOD.No.Hindi.BC.96/C.486-82
Use of Hindi in Banks – Use of International Form of Indian Numerals for the Offical Purposes of the Union
October 16, 1982
8047
ICD.No.CAD.38/C.446(M)-82
Financing of Jute Mills
October 11, 1982
8048
DBOD.No.Dir.BC.93/C-218(J)-82
Advances to Sugar Industry – Holding of Buffer Stocks
October 9, 1982
8049
DBOD.No.Dir.BC.94/C-218(J)-82
Advances to Sugar Industry – Holding of Buffer Stocks
October 9, 1982
8050
ICD.No.CAD.37/C.446(H)-82
Advances to Sugar Industry for holding Buffer Stock
October 7, 1982
8051
DBOD.UBD.(IFS)126/PR.474-82/83
Advances against Sensitive Commodities
September 30, 1982
8052
DBOD.UBD.IFS.125/PR.474-82/83
Advances against Sensitive Commodities
September 30, 1982
8053
DBOD.No.CIg.BC.91/C.109(H)-82
Bank Guarantee Scheme
September 30, 1982
8054
DBOD.No.BP.BC.90/C.464(W)-82
Working Group to Review the Training Arrangements in Banks
September 27, 1982
8055
DBOD.No.Ret.BC.89/C.96(Ret)-82
Section 42 of the Reserve Bank of India Act, 1934 and Section 24 of the Banking Regulation Act, 1949 – Interest Accured on Deposits
September 27, 1982
8056
DBOD No.UBD.RBL.230/J-82/83
Shifting of an Office of a Primary Co-operative Bank from One Locality to Another within the same City
September 27, 1982
8057
RPCD.No.Dir.488/P.1-82/83
Advances to manufacturers against sugar, gur and khandsari
September 24, 1982
8058
RPCD.No.Dir.2/P.1-82/83
Advances to Manufacturers against Sugar, Gur nad Khandsari
September 23, 1982
8059
DBOD.No.UBD.BR.180/A.6/82-83
Amendment in the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
September 21, 1982
8060
RPCD.No.442A/324-82
Notification
September 21, 1982
8061
ICD.No.CAD 35/C.446-82
Steel Re-rolling Mills
September 20, 1982
8062
DBOD.No.Dir.BC.85/C.218(J)-82
Advances to Manufacturers against Sugar, Gur and Khandsari
September 13, 1982
8063
DBOD.No.Dir.BC.86/C-218(3)-82
Advances against Sugar, Gur and Khandsari
September 13, 1982
8064
ICD.No.CAD.34/C.4146(H)-82
Advances to Sugar Industry
September 11, 1982
8065
RPCD.No.DIR.3/P.1/82-83
National Savings Certificates – Advances against security of
September 10, 1982
8066
DBOD.No.Inf.BC.82/C.107-82
Use of Ball-point Pens in Banks
September 6, 1982
8067
ICD.No.CAD.33/C.446(M)-82
Financing of Jute Mills
September 3, 1982
8068
UBD.(DC).242/R.1-82/83
Maximum Limits on Advances
August 25, 1982
8069
UBD.(DC)243/R.1-82/83
Maximum Limit on Advances
August 25, 1982
8070
UBD.(DC).185/R.40-82/83
National Savings Certificates – Advances against the Security of
August 12, 1982
8071
DBOD.No.Dir.BC.79/C.347-82
Donation as a Pre-condition for Placing Deposit – Kerala Toddy Workers Welfare Fund Board, Trivandrum
August 12, 1982
8072
ICD.No.CAD (PMS)32/C.446(PMS)-82
CAS – Raising of the Minimum Limit for Prior Authorisation
August 11, 1982
8073
DBOD.UBD.BR.86/A.12(24)-82/3
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 18 and 24 – Balances in Current Accounts with the Nationalised Banks
August 9, 1982
8074
ICD.No.SIUD.BC.31/C.446(SIU)3-82
Sick Industrial Undertakings
August 7, 1982
8075
DBOD.No.Ret.BC.77/C.96(Ret)-82
Reserve Bank of India Act, 1934 – Section 42 – Shortfall in Maintenance of Cash Reserve Ratio – Scheme of Graduated Penalties
July 19, 1982
8076
DBOD.No.Fol.BC.76/C.249-82
Deposit Accounts in Benami or Fictitious Names
July 16, 1982
8077
RPCD.CB.Br.30A/A.20(24)-82/83
The Reserve Bank of India Act, 1934 – Section 42(1) and the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 24 – Exemption
July 16, 1982
8078
ACD.ID.(DC).38/V.1-82/83
Violation of the Directive Provisions relating to Interest Rates on Deposits
July 9, 1982
8079
DBOD.No.BP/RC.BC.71/C.464(E)-82
Amendment to Motor Vehicles Act, 1939 – No Objection Certificate from the Financing Institutions
July 8, 1982
8080
DBOD.No.BP.BC.70/C.469(45)-82
Economy in Expenditure on Publicity/Advertisement
July 7, 1982
8081
DBOD.No.BP.5659/C-568-A-82
Implementation of IRDP – Credit Support
June 29, 1982
8082
DBOD.No.BP.BC.67/C.469(44)-82
National Savings Certificates – Advances aganist the Security of
June 28, 1982
8083
ICD.No.CAD.30/C.446(Y)-82
Advances to Tea Industry
June 28, 1982
8084
ICD.No.CAD.BC.29/C.446(RES)-82
Report of the RBI Working Group on Planned Participation of Commercial Banks in Rural Electrification Programme – SPA Schemes for Energisation of Pump-sets – II Phase
June 19, 1982
8085
DBOD.No.Dir.BC.64/C.347-82
Applications for Sanction of Donations/Release of Advertisements in Souvenirs, etc.
June 17, 1982
8086
ACD.BR.1341/A.10(1)-81-82
Registration of Co-operative Banks – Improper Use of Names Emblems and Names (Prevention of Improper Use) Act, 1950
June 15, 1982
8087
DBOD.No.BP.BC.59/C.453C(A)-82
Report of Study Group to Review the Scheme of Financing of Primary Agricultural Credit Societies by Commercial Banks
June 3, 1982
8088
ACD.ID.(DC)2692/V.1-81/82
Interest Rates on Deposits – Payment of Interest on Savings Bank Accounts of certain Organisations Engaged in Public Utility Services like Municipal Corporations, State Housing Boards, etc.
June 3, 1982
8089
DBOD.No.App.BC.58/C.318(BN)-82
Visits Abroad of the Chief Executives of Public Sector Banks
June 1, 1982
8090
ACD.ID.(DC)2619/R.40-81/82
National Savings Certificate – Advances against the Security of
May 28, 1982
8091
ACD.UBD.192/UB.8(3)-81/82
Linking of Shareholding to Borrowings by Urban Co-operative Banks
May 27, 1982
8092
ACD.RBL.1370/J.81/82
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Permission to Open New Places of Busines, etc.
May 26, 1982
8093
ACD.ID.(DC)2603/R.1-81/82
Grant of Financial Assistance against Shares of Joint Stock Companies
May 26, 1982
8094
DBOD.No.BL.BC.56/C.168(61)-82
Advances to Landlords/Lessors of Premises Taken for Banks Use
May 26, 1982
8095
DBOD.No.Dir.BC.55/C.96-82
Rehablitation of Sick Industries – Rate of Interest
May 25, 1982
8096
ICD.No.CAD.28/C.446(M)-82
Financing of Jute Mills
May 25, 1982
8097
DBOD.No.Leg.BC.53/C.466/(IV)-82
Recommendation No.164 of the Working Group on Customer Service in Banks – Liberal Use of Bankers Cheques
May 22, 1982
8098
DBOD.No.BL.BC.51/C.168(64)-92
Section 23 of the Banking Regulation Act, 1949 – New Branch Licensing Policy
May 21, 1982
8099
ICD.No.CAD.24/C.446-82
Sanction of Short- term Loan (Repayment within 3 years) for Financing Large Projects involving an outlay of over Rs.5 crores.
May 20, 1982
8100
DBOD.No.Dir.BC.47/C.347-82
Interest Rates on Deposits – Contravention of Our Directives
May 14, 1982
8101
DBOD.No.Leg. /C.466 (IV)-82
Recommendation No.133 of the Working Group on Customer Service in Banks – Supply of Name Plates to the Bank Employees
May 14, 1982
8102
DBOD.No.Dir.BC.46/C.347-82
Advertisements by Finance Brokers – Contravention of Credit Policy
May 11, 1982
8103
ICD.No.SIUD.27/C.446(SIU) A-82
Sick Industrial Undertakings
May 8, 1982
8104
ACD.BR.1178/A.12(6)-81/82
The Chit Funds Bill, 1980
May 6, 1982
8105
ICD.No.CAD.26/C.446-82
CAS – Term Loan Assistance by Banks to State Road Transport Corporations/Other Public Transport Undertakings
May 5, 1982
8106
D.O.DBOD.Dir.1024/C.347-82
Acceptance of Deposits from Institution – Violation of Directives relating to Rate of Interest
April 28, 1982
8107
ICD.No.SIUD.BC.25/C.446(SIU)A-82
Government of India’s Policy for Sick Industries – Revised Guidelines
April 28, 1982
8108
ICD.No.CAD.65/C.446(TLA-a)82
Transfer of Loan Accounts between Commercial and Co-operative Banks or vice-versa
April 26, 1982
8109
ICD.No.CAD.22/C.446(M)-82
Financing of Jute Mills
April 19, 1982
8110
ICD.No.CAD.23/C.446(T)-82
Problems Faced by Textile Industry
April 19, 1982
8111
DBOD.No.Ret.BC.38/C.96(Ret)-82
Notification
April 16, 1982
8112
DBOD.No.Ret.BC.39/C.96(Ret)-82
Notification
April 16, 1982
8113
DBOD.No.Ret.BC.40/C.96(Ret)-82
Maintenance of Average Daily Balance under Section 42(1) of RBI Act – Enhancement in the Rate of Interest
April 16, 1982
8114
DBOD.No.Hindi.BC.36/C.486(Q)-82
Use of Hindi in Banks – Pragya, Praveen and Prabodh Examinations Conducted by the Government of India, Ministry of Home Affairs
April 14, 1982
8115
DBOD.No.BP.3854/C.452K-82
Remittance of Profits/Surplus – Provision for Bad and Doubtful Debts
April 5, 1982
8116
DBOD.No.Ret.BC.35/C.236(G)Spl.-82
Section 24 of the Banking Regulation Act, 1949 – Balances in Current Accounts with Newly Nationalised Banks
April 3, 1982
8117
DBOD.No.BP.BC.33/C.517-82
Bank Finance for Purchase of Bicycles to Primary and Secondary School Teachers in Rural and Semi-Urban Areas
April 2, 1982
8118
ICD.No.CAD.(PMS)21/27G-82
Implementation of Chore Committee Recommendations – Maintenance of Control Accounts by Large Borrowers/Public Sector Undertakings
April 1, 1982
8119
ICD.No.CAD.20/C.446-82
Credit for Purchase of Tractors
March 16, 1982
8120
DBOD.No.Hindi/BC/27/C.486/82
Use of Hindi in Banks – Correspondence Course in Hindi
March 16, 1982
8121
ACD.Plan.(IFS)825/PR.36-81/82
Problems of Delayed Payments of Bills of Small Scale Industrial Units
March 13, 1982
8122
DBOD.No.Hindi.BC.26/C.486(C)-82
Use of Hindi in Banks – Official Language Implementation Committee (OLIC) Membership
March 6, 1982
8123
ICD.No.CAD.19/C.446(i)-82
Term Loans by Commercial Banks – Banks Share in Term Loans to Industries Extended in Participation with Term Lending Institutions.
March 4, 1982
8124
DBOD.No.Dir.RC.23/C.218-82
Margin on Bank Guarantees – Import of Essential Commodities
March 1, 1982
8125
ACD.ID.(DC)1882/V.1-81/82
Interest Rates on Deposits
March 1, 1982
8126
ACD.ID.(DC)1883/V.1-81/82
Interest Rates on Deposits
March 1, 1982
8127
DBOD.No.Dir.BC.20/C.347-82
Revised Interest Rates on Term Deposits Effective from 1st March 1982
February 27, 1982
8128
DBOD.No.Dir.BC.21/C.347-82
Interest Rates on Deposits
February 27, 1982
8129
DBOD.No.BP.BC.16/C.453(U)-82
Differential Rate of Interest Scheme – Financial Assistance to Physically Handicapped Persons for Purchase of Artificial Limbs, Hearing Aid, etc.
February 18, 1982
8130
ICD.No.CAD.18/C.446-82
Bank Guarantees – Honouring of
February 10, 1982
8131
ICD.No.CAD(PMS)17/WGCC-82
Exemption from 2nd Method of Lending in respect of New Compaines Floated prior to 08-12-1980
February 9, 1982
8132
ACD.Plan.(IFS)715/HG.4-81/82
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Resereve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1982-83
February 8, 1982
8133
ICD.No.CAD.16/C.446(M)-82
Financing of Jute Mills
February 4, 1982
8134
DBOD.No.Dir.BC.12/C.347-82
Acceptance of Deposits from Institutions – Rates of Interest
February 3, 1982
8135
ACD.RBL.896/J.81/82
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Permission to Open New Places of Business – Perspective Plans for the Period April 1982 to March 1985
February 3, 1982
8136
ACD.RBL.901/J.81/82
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Opening of New Offices and Shifting of Existing Places of Business
February 3, 1982
8137
DBOD.No.BP.BC.11/C.469(44)-82
Advances against the Security of National Savings Certificates – Clarification
January 30, 1982
8138
DBOD.No.Dir.BC.2/C.347-82
Deposits under Foreign Currency (Non-Resident) Accounts Scheme
January 27, 1982
8139
ACD.UBD.103/UB.6-81/82
Extension of Differential Rate of Interest (DRI) Scheme to Urban Co-operative Banks
January 23, 1982
8140
DBOD.No.Hindi.BC.5/C.486(C)-82
Use of Hindi in Banks – Second Official Language Conference – Follow-up Action
January 21, 1982
8141
ACD.ID(DC)1495/R.1/81-82
Advances against Special Bearer Bonds, 1991
January 18, 1982
8142
ACD:1580/PR.542-81/2
Transfer of Loan Accounts between Commercial and Co-operative Bank or vice-versa
January 14, 1982
8143
DBOD.NO. Leg.18/C.466/(IV)-82
Recommendation No.98 of the Working Group on Customer Service in Banks – Traning to Customers – Implementation of
January 8, 1982
8144
DBOD.No.Leg.19/C.466(IV)-82
Recommendation No.140 of the Working Group on Customer Service in Banks – Supply of Hand Book of General Information to the Staff – Implementation of
January 8, 1982
8145
DBOD.No.App.BC.1/C318(B)-82
Grant of Mementos or Other Milestone Presents to Directors
January 6, 1982
8146
DBOD.No.BP.BC.147/C.464(A)-81
Problems of Delayed Payment of Bills of Small Scale Industrial Units
December 22, 1981
8147
ACD.ID.(DC)1249/V.1-81/82
Interest Rates on Deposits
December 21, 1981
8148
ACD.ID.(DC)1251/V.1-81/82
Interest Rates on Deposits
December 21, 1981
8149
DBOD.No.BP.BC.145/C.464(M)-81
Bank Assistance for Development and Utilisation of Renewable Sources of Energy
December 17, 1981
8150
ACD.Plan.1341/PR.284.(Gen)-81/82
Interest to be Charged from the Members not to Exceed the Principal Amount
December 14, 1981
8151
DBOD.No.BP.BC.143/C.568A-81
Integrated Rural Development Programme – Role of Banks
December 10, 1981
8152
DBOD.BP.BC.141/C.453(G)-81
Guidelines for Relief Measures by Banks in Areas Affected by Floods – Rajasthan
November 30, 1981
8153
ICD.No.CAD.(PMS)14/WGCC-81
Permissible Bank Finance – Excise Duty and Sales-tax
November 19, 1981
8154
ICD.No.13/C.446(M)-81
Financing of Jute mills.
November 17, 1981
8155
ICD.No.CAD.12/C.446(H)-81
CAS – Advance to Sugar Industry – 1981-82 Crushing Season
October 29, 1981
8156
ICD.No.CAD(PMS) 11/WGCC-81
Seminar on the Implementation of the Recommendations of the Cash Credit System of Lending Working Group (Chore Committee) – Instructions / Clarifications on Issues Raised at the Seminar
October 24, 1981
8157
DBOD.No.BP.BC.132/C.594-81
Recommendations of the Working Group on the Development of Scheduled Castes
October 22, 1981
8158
ACD.ID.(P)2039/J.21-81/2
Licensing of New Primary (Urban) Co-operative Banks – Policy
October 13, 1981
8159
DBOD.No.Hindi.BC.126/C.486-81
Use of Hindi in the Banks
October 7, 1981
8160
ACD.Plan.(IFS)312/HG.4-81/82
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Rates of Interest
October 7, 1981
8161
ICD.No.CAD.8/C.446-81
CAS – Bills Discounting Limits under the Scheme of Industrial Development Bank of India (IDBI) for Rediscounting of Bills arising out of Sales of Indigenous Machinery
October 3, 1981
8162
ACD.ID.(DC)759/R.40-81/82
The Income Tax (Amendment) Ordinance, 1981
October 3, 1981
8163
ACD.Plan.(IFS)303/PR.474-81/2
Advances against Cottonseed to Oil Mills Crushing Cottonseed
October 1, 1981
8164
ACD.Plan.(IFS)304/PR.474/81-2
Advances against Cotton Seeds to Oil Mills Crushing Cotton Seeds – Relaxation in Margin
October 1, 1981
8165
ICD.No.CAD.7/C.446-81
Bank Finance for Payment of Bonus
September 28, 1981
8166
ICD.No.SIU.6/C.446(SIU-A)-81
Industrial Sickness
September 23, 1981
8167
ICD.No.CAD.5/C.446(M)-81
Financing of Jute Mills
September 21, 1981
8168
ICD.No.CAD.4/C.446(H)-81
Advances against Sugar
September 19, 1981
8169
ICD.No.CAD.Dir.3/C.446(H)-81
Advances against Sugar
September 19, 1981
8170
DBOD.No.Dir.BC.117/C.218-81
Margin on Bank Guarantees – Import of Essential Commodities
September 17, 1981
8171
DBOD.No.Dir.BC.118/C.218-81
Margin on Bank Guarantees – Import of Essential Commodities
September 17, 1981
8172
ICD.No.CAD.2/C.446(HF-P)-81
Housing Finance
September 16, 1981
8173
ICD.No.CAD.1/C.446(H)-81
CAS – Term Loans to Sugar Mills
September 14, 1981
8174
ACD.Plan.(IFS)229/HG.4-81/82
Short-term Credit Limit under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 for Financing Industrial Units – Maintenance of Non-overdue Cover in the respect of Borrowing
September 10, 1981
8175
DBOD.No.Dir.BC.113/C.218(H)-81
Advances against Cottonseed to Oil Mills Crushing Cottonseed
September 9, 1981
8176
DBOD.No.Dir.BC.114/C.218(J)-80
Advances aganist Cottonseed to Oil Mills Crushing Cottonseed – Relaxation in Margins
September 9, 1981
8177
DBOD.No.Dir.BC.112/C.475-81
Bills Rediscounting Scheme and Participation Certificates Scheme
September 7, 1981
8178
DBOD.No.BL.BC.110/C.168(61)-81
Fixing up of Office Premises by Commercial Banks – Payment of Service/Maintenance Charges
September 3, 1981
8179
DBOD.No.BP.BC.109/C.469(81-A)-81
The Income Tax (Amendment) Ordinance, 1981
August 31, 1981
8180
ACD.Plan.IFS.169/PR.36-81/82
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Primary (Urban) Co-operative Banks – Linking of the Share-holding between Primary (Urban) Co-operative Banks
August 20, 1981
8181
ACD.Plan.(IFS)165/PR.474-81/82
Advances against Sensitive Commodities
August 19, 1981
8182
ACD.Plan.(IFS)166/PR.474/81-82
Advances against Sensitive Commodities
August 19, 1981
8183
DBOD.No.BP.BC.104/C/464(51)-81
Bank Finance to Small and Medium Newspaper Units
August 19, 1981
8184
ACD.Plan.(SZ)401/PR.338-81/2
Co-operative Bank Finance for Housing Schemes
August 17, 1981
8185
ACD.ID.(DC)365/R.36-81/82
Subscription/Purchase of 7 Year National Rural Development Bonds
August 13, 1981
8186
ACD.ID.(DC)367/V.1-81/82
Interest Rates on Deposits – Renewal of Deposits Before Maturity
August 13, 1981
8187
ACD.ID.DC.369/V.1/81-82
Interest Rates on Deposits
August 13, 1981
8188
DBOD.No.Dir.BC.100/C.218-81
Compliance by Banks with Provisions of Selective Credit Control Directives
August 10, 1981
8189
DBOD.No.Dir.BC.98/C.218(a)-81
Advances against Paddy, Rice and Other Foodgrains (including Wheat)
August 10, 1981
8190
DBOD.No.Dir.BC.99/C.218(a)-81
Advances against Paddy, Rice and Other Foodgrains (including Wheat)
August 10, 1981
8191
ICD.No.CAD(COD).141/27C-81
Format for Appraisal of Credit Proposal from Non-manufacturing Units
August 7, 1981
8192
DBOD.No.Ret.BC.97/C.110-81
Weekly Returns under Section 42(2) of the Reserve Bank of India Act, 1934
August 7, 1981
8193
ACD.RC.60/T(Gen)-81/82
Rehabilitation of Weak Primary (Urban) Co-operative Banks
July 30, 1981
8194
DBOD.No.Dir.BC.96/C.218(F)-81
Advances against Cotton and Kapas
July 29, 1981
8195
DBOD.No.Dir.BC.94/C.347-81
Donations/Advertisements in Souvenirs, etc.
July 29, 1981
8196
ACD.Plan.(IFS)97/PR.474-81/2
Advances against Paddy, Rice and Pther Foodgrains (including Wheat)
July 28, 1981
8197
ACD.Plan.(IFS)98/PR.474-81/2
Advances against Paddy, Rice and Other Foodgrains (including Wheat)
July 28, 1981
8198
ACD.ID(DC)256/V.1-81/82
Interest Rates on Deposits – Premature Withdrawal of Deposits
July 22, 1981
8199
ACD.ID.(DC)180/R.1-81/82
Grant of Financial Assistance against Shares of Joint Stock Companies
July 16, 1981
8200
ACD.ID(DC)182/R.1-82/83
Grant of Financial Assistance against Shares of Joint Stock Companies
July 16, 1981
8201
DBOD.No.CAS.BC.92/C.446(SIU)T-81
Standing Co-ordination Committee (SCC) – CAS
July 15, 1981
8202
DBOD.No.Dir.BC.88/C.219(a)-81
Advances against Paddy, Rice and Wheat Foodgrains (including Wheat)
July 13, 1981
8203
DBOD.No.Dir.BC.89/C.218(a)-81
Advances against Paddy, Rice and Other Foodgrains (including Wheat)
July 13, 1981
8204
ACD.ID.(DC)81/R.40/81-82
National Savings Certificates
July 7, 1981
8205
DBOD.No.CAS.BC.87/C.446(SIU)-R-81
Term Loans by Commercial Banks
July 3, 1981
8206
DBOD.No.Dir.BC.86/C.96-81
Minimum Lending Rate – Educational Loans
July 2, 1981
8207
DBOD.No.Dir.BC.96/C.96-81
Minimum Lending Rate – Educational Loans
July 2, 1981
8208
DBOD.No.B.P.4313/C.469(W)-81
Closing of Books and Preparation of Final Accounts
June 24, 1981
8209
DBOD.No.CAS(COD)BC.83/WGCC-81
Report of the Working Group to Review the System of Cash Credit – Follow-up
June 22, 1981
8210
ACD.Plan.(CUB)334/UB-6/80/81
Primary (Urban) Co-operative Banks – Borrowings from Higher Financing Agencies
June 19, 1981
8211
DBOD.No.Hindi.BC.79/C.486(C)-81
Progresive Use of Hindi in Banks – Letters Received in Hindi not to be sent as of routine to the Hindi Officer/Hindi Section
June 16, 1981
8212
ACD.Plan.(IFS)1113/HG.4-80/81
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1981-82
June 16, 1981
8213
ACD.Plan.3419/PR.7(Gen.)-80/81
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions in 1981-82
June 11, 1981
8214
DBOD.No.BP.BC.75/C.464(A)-81
Bank Finance to State Level Corporations for Assisting Artisans, Village and Cottage Industries
June 9, 1981
8215
DBOD.No.CAS.BC.72/C.446(M)-81
Financing of Jute Mills
June 8, 1981
8216
DBOD.No.CAS.BC.70/C-446(HF-P)-81
Housing Finance
June 5, 1981
8217
DBOD.No.ECC.BC.67/C.297L(12)-81
Statistics relating to Export Credit
June 2, 1981
8218
DBOD.No.CAS(COD)BC.66/WGCC-81
Implementation of the Recommendations of the Tandon Study Group – Progress Reports
May 28, 1981
8219
DBOD.No.BP.BC.61/C.469(44)-81
National Savings Certificates
May 20, 1981
8220
DBOD.No.Dir.BC.54/C.96-81
Advances to Indigent Students Prosecuting Higher Studies within India
May 19, 1981
8221
DBOD.No.DIR.BC.60/C.218-81
Advances against Sensitive Commodities – Banks Advised to Follow the Instructions Scrupulously
May 19, 1981
8222
DBOD.No.Dir.BC.59/C.96-81
Advances to Central and State-level Agencies for Procurement and Distribution of Essential Commodities
May 19, 1981
8223
DBOD.No.Leg.243/IP.17(4)-81
Settlement of Claims of Non-Muslim Evacuees who had left their Deposits with Banks in Pakistan
May 19, 1981
8224
DBOD.No.Ret.BC.55/C.236(G)Spi-81
Section 24 of the Banking Regulation Act, 1949 – SLR Valuation of Securites
May 13, 1981
8225
DBOD.No.BP.3677/C-517-81
20-Point Programme – Assistance by Banks
May 4, 1981
8226
DBOD.No.CAS.BC.48/C.446(HF-P)-81
Housing Finance
April 24, 1981
8227
DBOD.No.Dir.BC.49/C.96-81
Subscription/Purchase of 7 Year National Rural Development Bonds
April 24, 1981
8228
DBOD.No.CAS.BC.46/C.446(M)-81
Financing of Jute Mills
April 15, 1981
8229
DBOD.No.BP.BC.45/C.469(86)-81
Credit Facilities to Scheduled Castes and Scheduled Tribes
April 14, 1981
8230
DBOD.No.Dir.BC.43/C.347-81
Donations/Release of Advertisements in Souvenirs, etc.
April 6, 1981
8231
ACD.Plan.(IFS)832/HG.9-80/81
Interest Rates on Advances
April 2, 1981
8232
ACD.Plan.(IFS)833/HG.9-80/81
Interest Rates on Advances
April 2, 1981
8233
DBOD No.BL.BC.42/C.168(6l)-81
Advances to Landlords/Lessors of Premises Taken for Banks Use
April 1, 1981
8234
DBOD.No.CAS.BC.37/C.466-81
Advances against Special Bearer Bonds, 1981
March 19, 1981
8235
DBOD.No.BL.BC.38/C.168(61)-81
Advances to Landlords/Lessors of Premises for Banks Offices
March 10, 1981
8236
DBOD.No.BP.BC.36/C.469(45)-81
Economy in Expenditure on Publicity/Advertisements
March 9, 1981
8237
DBOD.No.CAS.BC.34/C.446(M)-81
Financing of Jute Mills
March 7, 1981
8238
ACD.OPR.3527/A.35-80/81
Interest Rates on Advances
March 2, 1981
8239
ACD.ID.(DC)2132/V.1-80/81
Interest Rates on Deposits
March 2, 1981
8240
ACD.ID.(DC)2133/V.1-80/81
Interset Rates on Deposits
March 2, 1981
8241
DBOD.No.Dir.BC.32/C.96-81
Interest Rates on Advances
February 28, 1981
8242
DBOD.No.Dir.BC.30/C.347-81
Modification in Interest Rates on Term Deposits of One Year and Over, Cumulative Deposits/Recurring Deposits and Foreign Currency Non-Resident Deposits
February 28, 1981
8243
DBOD.No.Dir.BC.31/C.347-81
Interest Rates on Deposits
February 28, 1981
8244
ACD.OPR.3460/A.35-80/81
Advances against Commodities subject to Selective Credit Control Measures and Other Advances to Trading and Non-Priority Sectors
February 26, 1981
8245
DBOD.No.CAS.BC.29/C.446(SIU)-A-81
Sick Industrial Undertakings
February 26, 1981
8246
DBOD.No.B.P.2935/C.469(W)-81
Closing of Books and Preparation of Final Accounts
February 24, 1981
8247
DBOD.No.Com.BC.28/C.408(A)-81
Frauds in Banks
February 23, 1981
8248
ACD.Plan.(IFS)688/PR.474-80/81
Advances against Sensitive Commodities
February 20, 1981
8249
DBOD.No.Ret.BC.27/C.236(G)Spl.-81
Banking Companies (Acquisition and Transfer of Undertakings Act, 1980 – Compensation Bonds – Approved Securities for the Purpose of Section 24 of the Banking Regulation Act, 1949
February 19, 1981
8250
DBOD.No.Ret.BC.25/C.96(Ret)-81
Reserve Bank of India Act, 1934 – Explanatory Notes for Classification of Items in the Weekly Return (Form A) to be submitted by a Scheduled Bank under Section 42 – Money at Call and Short Notice
February 18, 1981
8251
DBOD.No.Ret.BC.24/C.236(G)Spl.-81
Section 24 of the Banking Regulation Act, 1949 – SLR Valuation of Securities
February 17, 1981
8252
ACD.ID(P)6428/J.1/80-81
Joint Accounts Either or Survivor, Latter or Survivor, Former or Survivor etc.
February 17, 1981
8253
DBOD.No.BP.BC.22/C.464(A)-81
Revision in the Definition of SSIs – Advances by Scheduled Commercial Banks
February 14, 1981
8254
DBOD.No.Ret.BC.21/C.96-81
Data relating to Foreign Currency (Non-Resident) Accounts and Non-Resident (External) Rupee Accounts – Publication of Data in International Finance Statistics
February 14, 1981
8255
DBOD.No.CAS.BC.19/C.446(H)-81
CAS – Advances to Sugar Industry – 1980-81 Season
February 12, 1981
8256
DBOD.No.Hindi.BC.20/C.486(Q)-81
Hindi Teaching Scheme – Payment towards the Cost of Arrangement of Special Hindi Teaching Classes and Government Undertakings, Autonomous and Statutory Bodies, etc. – Procedure for
February 12, 1981
8257
DBOD.No.Dir.BC.18/C.347-81
Schemes for Mobilising Deposits
February 5, 1981
8258
ACD.RBL.901/J.81-82
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – opening of new offices and shifting of existing places of business
February 3, 1981
8259
DBOD.No.CAS.BC.17/C.446(M)-81
Financing of Jute Mills
January 31, 1981
8260
DBOD.No.Leg.51/C.90(H)-81
Provisions of Chapter IV B of the Customs Act, 1962 – Prevention or Detention of Illegal Export of Goods
January 30, 1981
8261
DBOD.No.BP.BC.15/C.453(U)-81
Differential Rate of Interest Scheme – Implementation through Regional Rural banks
January 27, 1981
8262
DBOD.No.Ret.BC.14/C.236(G)Spl.-81
Section 42 of the Banking Regulation Act, 1949 – Statutory Liquidity Ratio (SLR)
January 22, 1981
8263
ACD.OPR.2967/A.35-80/81
Advances against Commodities Subject to Selective Credit Control – Measures and Other Advances to Trading and Non-Priority Sectors
January 21, 1981
8264
DBOD.No.Leg.3/C.466(IV) 81
Recommendations of Working Group on Customer Service in Banks – Implementation of
January 7, 1981
8265
DBOD.No.CAS.BC.147/C.446(M)-80
Financing of Jute Mills
December 29, 1980
8266
ACD.ID.(A)5256/J21/80-81
Licensing of Co-operative Banks under Section 22 of the Banking Regulation Act, 1949 (As Applicable to Co-Operative Societies)
December 18, 1980
8267
DBOD.CAS.2870/C.446-80
C A S
December 10, 1980
8268
DBOD.No.ECC.143/C.297P-80
x
December 9, 1980
8269
DBOD.No.ECC.BC.144/C.297P-80
Pre-shipment credit
December 9, 1980
8270
DBOD.No.CAS(COD)BC.142/WGCC-80
Report of the Working Group to review the system of cash credit – Implementation
December 8, 1980
8271
DBOD.No.BP.BC.141/C.469(86)-80
Village Adoption Scheme (VAS)
December 3, 1980
8272
DBOD.No.BP.BC.140/C.469(44)-80
Payment Brokerage to Recoginsed Banks in Respect of Investment made Towards Central/State Government Loans
November 27, 1980
8273
ACD.OPR.2275/A.35-80/81
Advances to Trading and Non-Priority Sector – Lending Rates
November 24, 1980
8274
DBOD.No.CAS.BC.134/C.446(SIU)Q-80
Sick Industrial Undertakings – Quarterly Statements – Units Financed by Consortium of Banks.
November 18, 1980
8275
ACD.Plan.(IFS)403/PR.474/80-81
Advances against Gur and Khandsari
November 11, 1980
8276
ACD.Plan.(IFS)404/PR.474-80/81
Advances against Gur and Khandsari
November 11, 1980
8277
DBOD.No.CAS.BC.131/C.446(SIU)T-80
Standing Co-ordination Committee(SCC) to secure on-going co-ordination between banks and term lending institutions
November 6, 1980
8278
ACD.ID(P)2380/J.21-80/81
Registration and Licensing of New Primary (Urban) Co-operative Banks
October 31, 1980
8279
DBOD.No.Ret.BC.127/C.96(Ret)-90
Notification
October 31, 1980
8280
DBOD.No.Ret.BC.127A/C.96(Ret)-80
Reserve Bank of India Act, 1934 – Section 42(1A) – Requirement for Maintaining Additional Balances
October 31, 1980
8281
DBOD.No.CAS.BC.120/C.446(H)-80
CAS- Advances to Sugar Industry -1980-81 crushing season
October 22, 1980
8282
DBOD.No.CAS.BC.121/C.446(M)-80
Financing of jute mills
October 22, 1980
8283
DBOD.No.CAS.BC.122/C.446(CF)-80
Bank finance for payment of bonus
October 22, 1980
8284
ACD.RBL.378/J.80/81
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Permission to Open New Places of Business – Recommendation of the Committee on Urban Co-operative Banks
October 21, 1980
8285
DBOD.No.CAS.BC.118/C.446(H)-80
Advances against Sugar
October 14, 1980
8286
DBOD.No.Dir.BC.118A/C.219(J)-80
Advances Against Sugar
October 14, 1980
8287
DBOD.No.Dir.BC.116/C.218(J)-80
Advances against Gur and Khandsari
October 13, 1980
8288
DBOD.No.Dir.BC.117/C.218(J)-80
Advances Against Gur and Khandsari
October 13, 1980
8289
ACD.Plan.(IFS)286/PR.474-80/81
Advances against Sensitive Commodities
October 7, 1980
8290
DBOD.No.BL.BC.112/C.168(64)-80
Section 23 of the Banking Regulation Act, 1949 – New Branch Licensing Policy
October 6, 1980
8291
DBOD.No.BP.BC.111/C.453(U)-80
Advances under the DRI Scheme – Exemption from Levy of Penal Rate of Interest
October 3, 1980
8292
DBOD.No.BL.BC.110/C.109(E)-80
Telephone Connections to Banks on Priority Basis
October 1, 1980
8293
DBOD.No.Com.BC.108/C.40BA-80
Writing Off of Bad Debts/Losses – Delegation of Powers
September 29, 1980
8294
DBOD.No.BL.BC.106/C.168(61)-80
Advances to Landlords/Lessors of Premises taken for Banks use
September 15, 1980
8295
DBOD.No.Inf.BC.103/C.109-80
Bank Guarantee Scheme
September 11, 1980
8296
ACD.OPR.1314/A.35-80/81
Advances against Commodities subject to Selective Credit Control Measures and Other Advances to Trading and Non-priority Sectors – Lending Rates
September 4, 1980
8297
ACD.Plan.(IFS.)193/HG.4-80/81
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 for Financing the Approved Industrial Units – Rate of Interest
September 2, 1980
8298
DBOD.No.CAS.BC.100/C.446-80
Acceptance of deposits from public Companies
August 23, 1980
8299
ACD.Plan.(CUB).74/UB.8/80/81
Bank Guarantee Scheme – Primary (Urban) Co-operative Banks
August 20, 1980
8300
ACD.OPR.925/A.35-80/81
Advances against Warehouse Receipts Issued by Rural Godowns
August 12, 1980
8301
DBOD.No.CAS.BC.96/C.446(RES)-80
Planned participation of commercial banks in Rural Electrification Schemes for energisation of pump-sets
August 8, 1980
8302
ACD.Plan.(CUB)47/UB.8-80/81
Recommendations of the Committee on Urban Co-operative Banks – Investment of Surplus Funds of Urban Banks
August 8, 1980
8303
ACD.Plan.(CUB)45/UB.8-80/81
Report of the Committee on Urban Co-operative Banks – Exemption to Urban Banks from Stamp Duty and Registration Charges
August 8, 1980
8304
DBOD.No.CAS.BC.95/C.446(M)-80
Financing of jute mills
August 7, 1980
8305
DBOD.No.Dir.92/C.218(a)-80
Advances Against Warehouse Receipts Issused by Rural Godowns
August 6, 1980
8306
DBOD.No.Dir.BC.93/C.218(a)-80
Advances Against Warehouse Receipts Issued by Rural Godowns
August 6, 1980
8307
DBOD.No.Dir.BC.91/C.347-80
Donations/Release of Advertisements in Souvenirs, Etc.
August 6, 1980
8308
DBOD.No.Dir.BC.87/C.218(J)-80
Advances to Sugar mills
July 22, 1980
8309
DBOD.No.BP.BC.86/C.453-80
Treatment of Defaults Involving Small Amounts by Small/Marginal Farmers
July 18, 1980
8310
DBOD.No.BP.159/C.453(U)-80
Differential Rate of Interest Scheme – Advances through Co-operatives/LAMPS
July 17, 1980
8311
DBOD.No.CAS.BC.85/C.446(CC)-80
Credit Requirements of Fertiliser Distribution Agencies
July 15, 1980
8312
DBOD.No.Dir.BC.80/C.469(I)-80
Interest Tax Act, 1974
July 2, 1980
8313
ACD.Plan.(IFS)6/HG.4-80/81
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1980-81
July 2, 1980
8314
DBOD.No.B.P.B.BC.74/C/.462/(E.9)-80
Credit Deposit Ratios of Banks in Rural and Semi-Urban Areas
June 18, 1980
8315
DBOD.No.Dir.58/C.218(a)-80
Advances against Warehouse Receipts Issued by Rural Godowns
June 11, 1980
8316
DBOD.No.Dir.BC.59/C.218(a)-80
Advances against Warehouse Receipts Issued by Rural Godowns
June 11, 1980
8317
DBOD.No.Dir.BC.72/C.347-80
Donations by Banks Overseas Branches
June 9, 1980
8318
ACD.Plan.(IFS).3700/HB.232-79/80
Bank Credit for Artisans, Village and Cottage Industries – Issue of Composite Loans
June 2, 1980
8319
ACD.Plan.(IFS)3702/HG.4-79/80
Advances to Cottage and Small Scale Industries Covered under the Credit Guarantee Scheme for Small Scale Industries – Margin Requirements
June 2, 1980
8320
ACD.ID(DC)3066/V.1-79/80
Deposit Incentive Schemes – Incentives to Staff for Deposit Mobilisation
May 30, 1980
8321
ACD.ID.(DC)2961/V.1-79/80
Directives on Interest Rates on Deposits
May 16, 1980
8322
DBOD.No.BP.3338/C.516-80
Consumption Credit – Government Contribution to Risk Fund
May 15, 1980
8323
DBOD.No.Ret.BC.62/C.254-80
Participation Certificates Issued by Banks – Classification for the Purpose of Balance Sheet
May 7, 1980
8324
ACD.Plan.CUB.306/UB.11-79/80
Committee on Urban Co-operative Banks – Recommendations regarding Salary Earners Societies
May 2, 1980
8325
DBOD.No.Ret.BC.60/C.236(G)SP-80
Section 24 of the Banking Regulation Act, 1949
May 2, 1980
8326
ACD.Plan.(CUB)304/UB.8-79/80
Linking of Shareholding to Borrowings by Urban Co-operative Banks
April 28, 1980
8327
DBOD.No.Ret.BC.56/C.236(G)SP-80
Section 24 of the Banking Regulation Act, 1949 – Units of Approved Securities – Unit Trust of India
April 24, 1980
8328
ACD.ID(DC)2763/R.1-79/80
Grant of Financial Assistance against Shares of Joint Stock Companies
April 19, 1980
8329
ACD.ID.(DC)2762/R.1-79/80
April 19, 1980
8330
DBOD.No.CAS.BC.50/C.446(CF)-80
Credit restraint measures
April 17, 1980
8331
DBOD.No.Leg.217/C-466(IV)-80
Loan Facilities to Purdanashin Women – Production of Photographs as means of Identification
April 14, 1980
8332
DBOD.No.Ret.BC.49/C.96(Ret)-80
Reserve Bank of India Act, 1934 – Section 42(1) and 42(1A) – Requirement for Maintaining Average Daily Balance and Additional Average Daily Balance in respect of Deposits in the form of Participation Certificates under Participation Certificates Scheme
April 7, 1980
8333
ACD Plan.(IFS)3100/PR.474-79/80
Advances against Cotton and Kapas
April 5, 1980
8334
ACD.Plan.(IFS)3099/PR.474-79/80
Advances against Cotton and Kapas
April 5, 1980
8335
ACD.Plan.(IFS)3102/PR.474-79/80
Advances against Cotton and Kapas
April 5, 1980
8336
ACD.Plan.(IFS)3103/PR.474-79/80
Advances against Cotton and Kapas
April 5, 1980
8337
ACD.ID.(DC)2641/R.1-79/80
Charge on Assets of the Borrowing Units
April 5, 1980
8338
DBOD.No.CAS(COD)BC.46/27C-80
Norms of Inventory and Receivables – Fertiliser Industry
April 2, 1980
8339
DBOD.No.Dir.BC.43/C.96-90
Interest Rates on Overdues Inland Bills
March 27, 1980
8340
DBOD.No.CAS.BC.45/C.446(CF)-80
Credit Restraint Measures
March 27, 1980
8341
DBOD.No.CAS.BC.42/C.446-80
CAS – Letters of Credit
March 24, 1980
8342
DBOD.No.BP.BC.41/C.453(U)-80
Differential Rate of Interest (DRI) Scheme
March 21, 1980
8343
DBOD.No.Fol.BC.40/C.249-80
Statement of Immovable Property – Officers
March 21, 1980
8344
DBOD.No.CAS.BC.38/C.446(H)-80
Margin on bank guarantees on behalf of sugar mills
March 13, 1980
8345
DBOD.No.BP.BC.37/C.453(U)-80
Differential Rate of Interest Scheme
March 13, 1980
8346
DBOD.No.Dir.BC.36/C.347A-80
Deposit Incentive Schemes – Incentives to Staff for Deposit Mobilisation
March 11, 1980
8347
D.O.DBOD.No.Ret.BC.34/C.110-80
Returns Under Section 42(2) of the Reserve Bank of India Act, 1934
March 4, 1980
8348
ACD.Plan.(IFS)2499A/PR.474-79/80
Advances against Gur and Khandsari
March 1, 1980
8349
ACD.Plan.(IFS)2499B/PR.PR.474-79/80
Advances against Gur and Khandsari
March 1, 1980
8350
DBOD.No.Dir.BC.32/C.218(J)-80
Advances against Gur and khandsari
March 1, 1980
8351
DBOD.No.Dir.BC.33/C.218(J)-80
Advances against Gur and Khandsari
March 1, 1980
8352
DBOD.No.CAS.BC.31/C.446(C&P)-80
Lending under consortium arrangements by banks – Guidelines
February 27, 1980
8353
DBOD.No.Fol.BC.29/C.124(V)-80
Reconciliation of Inter-branch Accounts
February 22, 1980
8354
DBOD.No.BC.24/C.464(A)-80
Financial Assistance to Small Scale Industrial Units
February 14, 1980
8355
DBOD.No.BP.BC.23/C.462.E.9(A)-80
Statistical Data on Banks’ Investments in Government Securities
February 11, 1980
8356
ACD.Plan.(IFS.)2199/HG.4-79/80
Provision of Block Capital Finance by Co-operative Banks for Cottage and Small-Scale Industries
February 9, 1980
8357
DBOD.No.Clg.BC.21/C.109(H)-80
Bank Guarantee Scheme
February 8, 1980
8358
DBOD.No.CAS.BC.19/C.446(CF)-80
Credit Restraint measures
February 7, 1980
8359
DBOD.No.BP.BC.18/C.464(A)-80
Advances to Organisations Undertaking Promotional Activities for Artisans, Village and Cottage Industries
February 6, 1980
8360
DBOD.No.CAS.BC.17/C.446(H)-80
CAS – Advances to Sugar industry 1979-80 crushing season
February 1, 1980
8361
ACD.Plan.(CUB)200/UB. 8-79/80
Report of the Committee on Urban Co-operative Banks – Remittance Facilities under the State Bank of India Scheme
January 28, 1980
8362
DBOD.No.CAS.BC.15/C.446-80
Assessment of credit proposals – Data base
January 28, 1980
8363
ACD.Plan.(IFS)2048/PR.474-79/80
Advances against Sugar – Valuation of Levy and Free-sale Stocks
January 23, 1980
8364
DBOD.No.Dir.BC.14/C.96-80
Loans by Financial Institutions
January 22, 1980
8365
DBOD.No.Dir.BC.13/C.96-80
Advances Against Gold/Silver Bullion – Curbing of Speculative Tendencies
January 22, 1980
8366
ACD.Plan.(CUB.)175/UB.8-79/80
Norms and Procedure for Registration and Licensing of New Urban Co-operative Banks
January 17, 1980
8367
DBOD.No.Ret.BC.10/C.236G(Spl.)-80
Monthly Return Under Section 24(3) of the Banking Regulation Act, 1949 – Submission of
January 15, 1980
8368
DBOD.No.Dir.BC.8/C.218(J)-80
Advances against sugar – Valuation of levy and free-sale stocks
January 8, 1980
8369
DBOD.No.CAS.BC.6/C.446(SIU)Q-79
Sick Industrial Undertakings – Quarterly Statements
January 4, 1980
8370
DBOD.No.Ret.B.C.5/195-80
Special Return in Form X as on 31st March Every Year
January 2, 1980
8371
DBOD.No.BP.BC.1/C.464(A)-80
Small Scale Industries – Requirement of Insurance against Fire and Other Risks
January 1, 1980
8372
DBOD.No.BP.BC.1892/C.516-B-79
Consumption Credit – Government Contributions to Risk Fund
December 28, 1979
8373
DBOD.No.B.P.1810/C.464(T)-79
Section 31 of the Banking Regulation Act, 1949 – Publishing of Balance Sheets etc. in Newspaper by Banks
December 19, 1979
8374
DBOD.No.Dir.BC.179A/C.218(J)-79
Advances to Sugar Mills
December 12, 1979
8375
DBOD.No.BP.BC.176/C.469(w)-79
Delay by Banks in Delivering Government Securities Against Bank Receipts
December 6, 1979
8376
DBOD.No.ECC.BC.172/C.297P-79
Export Credit – Export Credit and Guarantee Corporation Ltd. whole turnover post-shipment – Export Credit Guarantee Scheme
December 4, 1979
8377
DBOD.No.CAS.BC.173/CA46(C&P)-79
Lending under consortium arrangements by banks
December 4, 1979
8378
DBOD.No.CAS.BC.174/C.446(SIU)-Q-79
Problems of sick units
December 4, 1979
8379
DBOD.No.CAS.BC.171/C.446(CF)-79
Credit restraint measures
December 3, 1979
8380
DBOD.No.BL.BC.170/C/168-79
Section 23 of the Banking Regulation Act, 1949 – New Branch Licensing Poilcy – Closing of Rural Branches
November 29, 1979
8381
DBOD.No.Fol.BC.168/C.249-79
Association of Banks with the Prize – Chit Schemes Floated by Non-Banking Financial Institution
November 8, 1979
8382
DBOD.ECC.BC.166/C.297.P-79
Formation of a consortium of Indian and Foreign Banks
November 5, 1979
8383
DBOD.No.BP.BC.163/C.464(A)-79
Report of the Working Group on Small Scale Industries with Special Reference to DICs
October 30, 1979
8384
DBOD.No.Dir.BC.1963/C.96-79
Minimum Lending Rate – Relaxation in respect of Advances to Poor and Deserving Students for Prosecuting higher Studies within India
October 26, 1979
8385
DBOD.No.CAS.BC.162/C.446(l)-79
CAS – Term loan proposals
October 25, 1979
8386
DBOD.No.CAS.BC.161/C.446(CF)-79
Credit restraint measures – Sale of final consumer goods
October 23, 1979
8387
DBOD.No.Dir.BC.160/C.218(J)-79
Advances to Sugar Mills
October 19, 1979
8388
ACD.Plan.(CUB)140/UB.8-79/80
Bank Guarantee Scheme – Primary (Urban) Co-operative Banks
October 17, 1979
8389
DBOD.No.CAS.BC.155/C-446 (CF)/79
Credit restraint measures and increase in lending rates – Fertiliser distribution operations
October 12, 1979
8390
DBOD.No.CAS.BC.156/C.446(CF)-79
Credit restraint measures- Payment of bonus
October 12, 1979
8391
DBOD.No.CAS.BC.153/C.446(CF)-80
x
October 3, 1979
8392
ACD.OPR.1569/A.35-79/80
Measures to Restrict Further Credit Expansion
October 2, 1979
8393
DBOD.No.CAS.BC.152/C.445(CF)-79
Measures to restrict further credit expansion
September 28, 1979
8394
DBOD.No.CAS.BC.143/C.446(l)-79
Bills Rediscounting Scheme of Industrial Development Bank of India
September 17, 1979
8395
ACD.ID.(DC)791/V.1-79/80
Interest Rates on Deposits
September 14, 1979
8396
ACD.Plan.(IFS)764/PR.474-79/80
Advances against Sugar
September 13, 1979
8397
ACD.Plan.(IFS)765/PR.474-79/80
Advances against Pulses
September 13, 1979
8398
ACD.Plan.(IFS)766/PR.474-79/80
Advances against Sensitive Commodities
September 13, 1979
8399
ACD.Plan.(IFS)767/PR.474-79/80
Advances against Cotton and Kapas
September 13, 1979
8400
ACD.Plan.(IFS)767A/PR.680/474-7
Advances against Cotton and Kapas
September 13, 1979
8401
ACD.Plan.(IFS)767C/PR.474-79/80
Advances against Cotton and Kapas
September 13, 1979
8402
ACD.Plan.(IFS)767D/PR.474-79/80
Advances against Cotton and Kapas
September 13, 1979
8403
DBOD.No.Dir.BC.142/C.96-79
Amendments to Guidelines Issued to Banks in respect of Application of Rates of Interest on Various Categories of Advances
September 13, 1979
8404
ACD.ID.(DC)790/V.1-79/80
Interest Rates on Deposits
September 13, 1979
8405
DBOD.No.Dir.BC.134/C.347-79
Interest Rates on Deposits
September 13, 1979
8406
DBOD.No.Dir.BC.135/C.347-79
Interest Rates on Deposits
September 13, 1979
8407
DBOD.No.Dir.BC.136/C.347-79
Period of Deposits and Interest Rates on Deposits held in Foreign Currency (Non-Resident) Accounts
September 13, 1979
8408
DBOD.No.Dir.BC.137/C.347-79
Periods of Deposits and Interest Rates on Deposits Under Foreign Currency (Non-Resident) Account Scheme
September 13, 1979
8409
DBOD.No.Dir.BC.131/C.218(a)-79
Selective Credit Control – Restrictions on Effective Drawing Powers under the Limits for Cash Credit and Inland Bills in Case of Borrowal Accounts Enjoying Aggregate Credit Limits of Rs. 25 Lakhs and Above from Banks
September 7, 1979
8410
DBOD.No.CAS.BC.129/C.446(SIU)T-79
Standing Co-ordination Committee (SCC) to secure on-going co-ordination between banks and term lending institutions
September 4, 1979
8411
DBOD.No.BP.BC.127/C.464(A)-79
Bank Credit to Small Borrowers
September 1, 1979
8412
DBOD.No.CAS.BC.128/C.446(CF)-79
Measures to restrict further credit expansion
September 1, 1979
8413
DBOD.No.CAS.BC.126A/C.446(SIU)-Q-79
Sick Industrial Undertakings
August 31, 1979
8414
DBOD.No.Ret.BC.120/C.254-79
Section 31 of the Banking Regulation Act, 1949 – Submission of Balance Sheets, etc.
August 20, 1979
8415
DBOD.No.CAS.BC.122/C.446(SIU)R-79
Inter-Institutional Group on Co-ordination on the lending operations of term lending Institutions and commercial banks.
August 20, 1979
8416
DBOD.No.BP.BC.123/C.469(45)-79
Commercial Advertisements by Public Sector Banks
August 20, 1979
8417
DBOD.No.CAS.713/C.446(SIU)A-79
Sick Industrial Undertakings
August 20, 1979
8418
DBOD.No.CAS.BC.118/C446-79
CAS- Advances to Pharmaceutical concerns.
August 14, 1979
8419
DBOD.No.BP.BC.115/C.453-79
Report of the Working Group on Simplification of Application Forms and Lending Procedures for Loans to Agriculture and Allied Activities
August 14, 1979
8420
DBOD.No.Ret.BC.111/C.96(Ret)-79
Reserve Bank of India Act, 1934 – Section 42 (1) and (1A) – Requirement for Maintaining Average Daily Balance and Additional Average Daily Balance in Respect of Deposits in the Form of Participation Certificates Issued under the Participation Certificates Scheme
July 27, 1979
8421
DBOD.No.Fol.BC.109/C.249-79
Grant of Awards or Other ‘MileStone’ Presents to the Employees
July 24, 1979
8422
DBOD.No.ACC.BC.107/C.297P(C)-79
Duty Drawback Credit Scheme, 1976 – Adjustment in the loan accounts in the prescribed time
July 23, 1979
8423
DBOD.No.CAS.BC.108/C.446-79
CAS
July 23, 1979
8424
DBOD.No.ECC.BC.104/C.297P-79
Export Credit – Export Credit and Guarantee Corporation Whole Turnover Post-shipment Guarantee Scheme
July 14, 1979
8425
ACD.Plan.(IFS)77/PR.474-79/80
Advances against Foodgrains, Oilseeds, Oil (including Vanaspati), Sugar, Gur and Khandsari, Cotton Textiles including Yarn
July 10, 1979
8426
DBOD.No.Inf.BC.103/98(c)-79
Advances aganist Motor Lorry Receipts
July 10, 1979
8427
DBOD.No.BP.BC.101/C.464(A)-79
Small Scale Industries – Requirement of Insurance against Fire and Other Risks
July 3, 1979
8428
DBOD.No.Dir.BC.100/C.218-79
Advances Against Sugar and Foodgrains
June 29, 1979
8429
DBOD.No.Dir.BC.97/C.218-79
Advances against Sensitive Commodities
June 29, 1979
8430
DBOD.No.Dir.BC.98/C.218-79
Advances Against Foodgrains
June 29, 1979
8431
DBOD.No.Dir.BC.99/C.218(J)-79
Advances against Sugar
June 29, 1979
8432
DBOD.No.Dir.BC.93/C.96-79
Subscription/Purchase of 7-Year National Rural Development Bonds
June 23, 1979
8433
DBOD.No.Dir.BC.94/C.96-79
Directive Relating to Subscription/Purcahse of 7-Year National Rural Development Bonds
June 23, 1979
8434
DBOD.No.Ret.B.C.89/C.96(Ret)-79
Notification
June 21, 1979
8435
DBOD.No.Ret.BC.90/C.96(Ret)-79
Notification
June 21, 1979
8436
DBOD.No.Dir.BC.91/C.347-79
Interest Rates on Deposits
June 21, 1979
8437
DBOD.No.Dir.BC.92/C.475-79
Participation Certificates Scheme
June 21, 1979
8438
DBOD.No.Ret.BC.88/C.469(F)-79
Section 10(7) of the Banking Companies (Acquisition and Transfer of Undertakings) Act, 1970 – Transfer of Balance of Profit of Nationalised Banks to the Central Govts.
June 20, 1979
8439
DBOD.No.B.P.B.C.86/C.469(47)-79
Reservation of Posts for Scheduled Castes and Scheduled Tribes
June 18, 1979
8440
DBOD.No.Leg.361/C.466(IV)-79
Final Report of the Working Group on Customer Service in Banks – Implementation of the Recommendation No.13
June 12, 1979
8441
DBOD.No.Leg.362/C.466 (IV)-79
Final Report of the Working Group in Customer Service Banks – Implementation of the Recommendation No.19
June 12, 1979
8442
ACD.ID.(DC).4706/R.1-78/9
Maximum Limit on Advances
June 9, 1979
8443
ACD.ID.(DC)4705/R.1-78/9
Maximum Limit on Advances
June 9, 1979
8444
DBOD.No.CAS.BC.84/C.446-79
CAS
June 8, 1979
8445
DBOD.No.ECC.BC.81/C.297P-79
Export Credit (Interest Subsidy) Scheme, 1968 – Repartriation of proceeds of Export Bills
June 5, 1979
8446
DBOD.No.BP.BC.78/C.464(A)-79
Bank Credit for Artisans, Village and Cottage Industries and Small Scale Industries in the Tiny Sector
June 5, 1979
8447
DBOD.No.Ret.BC.75/C.96(Ret)-79
Notification
June 5, 1979
8448
DBOD.No.Dir.BC.79/C.347-79
The Periods of Deposits and Interest Rates on Deposits Held in Foreign Currency (Non-Resident) Accounts
June 5, 1979
8449
DBOD.No.Dir.BC.80/C.347-79
Periods of Deposits and Interest Rates on Deposits under Foreign Currency (Non-Resident) Accounts Scheme
June 5, 1979
8450
DBOD.No.ECC.BC.73/C.297(O)(12)-79
Export Credit – Export of Diamonds
June 2, 1979
8451
DBOD.NO.Inf.B.C.72/C.107-79
Sale of Imported Goods Under Actual Users Licence and Pledged with Banks
June 2, 1979
8452
ACD.Plan.(CUB)410/UB.8-78/79
Norms and Procedure for Registration and Licensing of New Urban Co-operative Banks
June 2, 1979
8453
DBOD.Hindi.BC.74/C.486-79
Submission of Bank’s Publications to The Ministry of Finance
June 2, 1979
8454
DBOD.No.CAS.BC.71/C.446(HF-P)-79
Housing Finance
May 31, 1979
8455
DBOD.No.BP.BC.69/C.453(D-6)-79
Scrutiny of Agricultural Advances Granted by Commercial Banks
May 28, 1979
8456
ACD.Plan.(IFS)4034/HB.232-78/9
Working Group on Small Scale Industries with Special Reference to District Industries Centres (DICs)
May 17, 1979
8457
DBOD.No.BP.BC.67/C469(45)-79
Commercial Advertisements by Public Sector Banks
May 7, 1979
8458
DBOD.No.BL.BC.64/C.168-79
Section 23 of the Banking Regulation Act, 1949 – Opening of Extension Counters
April 26, 1979
8459
ACD.Plan.(IFS)3711/HG.4-78/9
Financing of Cottage and Small Scale Industrial Activities Undertaken by Societies Registered under the Societies Registration Act, 1860
April 23, 1979
8460
ACD.Plan.350/UB.1-78/9
Report of the Committee on Urban Co-operative Banks
April 20, 1979
8461
ACD.Plan.352/UB.1-78/9
Report of the Committee on Urban Co-operative Banks
April 20, 1979
8462
ACD.Plan.354/UB.1-78/9
Report of the Committee on Urban Co-operative Banks
April 20, 1979
8463
ACD.Plan.356/UB.1-78/9
Report of the Committee on Urban Co-operative Banks
April 20, 1979
8464
ACD.Plan.360/UB.1-78/9
Report of the Committee on Urban Co-operative Banks
April 20, 1979
8465
ACD.Plan.348/UB.1-78/9
Report of the Committee on Urban Co-operative Banks
April 20, 1979
8466
ACD.Plan.358/UB.1-78/9
Report on the Committee on Urban Co-operative Banks
April 20, 1979
8467
ACD.RBL.938/G-78/9
Maintenance of Demand, Collection and Balance Register by the Primary (Urban) Co-operative Banks – Reporting of Figures in Form IX
April 18, 1979
8468
DBOD.No.BP.BC.61/C.453C(A)-79
Financing of PACS/FSS etc. by Commercial Banks/Regional Rural Banks-Lending Rates
April 16, 1979
8469
DBOD.No.CAS.BC.59/C.446(l)-79
CAS – Term lending by banks -submission of statement
April 11, 1979
8470
DBOD.No.CAS(COD)94/WGCC-79
Working Group to Review the System of Cash Credit
April 9, 1979
8471
DBOD.No.App.BC.58/C.318(B)-79
Bio-Data of Senior Executives
April 9, 1979
8472
DBOD.ACC.118/C.297P(C)-79
Duty Drawback Credit Scheme, 1976
April 7, 1979
8473
DBOD.ACC.BC.55/C.297P(C)-79
Duty Drawback Credit Scheme, 1976
April 7, 1979
8474
DBOD.No.BL.BC.52/C.163-79
Section 23 of the B.R. Act, 1949 – Statement of Loss-Making Branches
April 4, 1979
8475
DBOD.No.BP.BC.51/C.464(M)-79
Follow-up of the Reports of the Four Working Groups
April 4, 1979
8476
DBOD.No.Dir.BC.48/C.218(F)-79
Advances Against Cotton and Kapas
March 29, 1979
8477
DBOD.No.Dir.BC.47/C.218(F)-79
Advances Against Cotton and Kapas
March 29, 1979
8478
D.O.DBOD.No.Ret.BC.46/C.110-79
Weekly Return under Section 42(2) of the Reserve Bank of India Act, 1934 – Submission of
March 24, 1979
8479
DBOD.No.BP.BC.44/C.469(25)-79
Payment of Bonus Act – Interest Subsidy – Computation of Allocable Surplus
March 23, 1979
8480
DBOD.No.CAS.BC.45/C.446-79
CAS – Advances against the security of Fixed Deposits
March 23, 1979
8481
DBOD.No.CIS.BC.41/C.127-79
Collection and Furnishing of Credit Information – Return Under Section 45C(1) of the Reserve Bank of India Act, 1934
March 17, 1979
8482
ACD.Plan.(IFS)2913/PR.474-78/9
Advances against Cotton and Kapas
March 8, 1979
8483
ACD.Plan.(IFS)2916/PR.474-78/9
Advances against Cotton and Kapas
March 8, 1979
8484
ACD.Plan(IFS)2912/PR.474-78/9
Advances against Cotton and Kapas
March 8, 1979
8485
ACD.Plan(IFS)2915/PR.474-78/9
Advances against Cotton and Kapas
March 8, 1979
8486
DBOD.No.ACC.BC.38/C.297P(C)-79
Duty Drawback Credit Scheme, 1976
March 6, 1979
8487
DBOD.No.CAS.BC.35/C.446(H)-79
CAS – Advances to sugar industries Crushing season 1978-79
February 23, 1979
8488
ACD.ID.(DC)3167/V.1-78/9
Interest Rates on Deposits
February 19, 1979
8489
DBOD.No.BP.BC.30/C.464(M)-79
Reports of five Working Groups – Monitoring System
February 15, 1979
8490
DBOD.No.CAS.BC.29/C.446-79
Participation of commercial banks in Rural Electrification Schemes
February 9, 1979
8491
DBOD.No.BP.BC.19/C.453CU)-79
Differential Rate of Interest Scheme (DRI)
January 29, 1979
8492
DBOD.No.ECC.BC.18/C.297P-79
Export of readymade garments, fabrics, etc. – Policy for the year 1979
January 27, 1979
8493
DBOD.No.CAS.BC.17/C.446(SIU)-U-79
Problems of sick units
January 24, 1979
8494
DBOD.No.ECC.BC.14/C.297P.79
x
January 22, 1979
8495
DBOD.No.ECC.BC.15/C.297P-79
Export Credit
January 22, 1979
8496
DBOD.No.ECC.BC.9/C.297P-79
Advances to units in Free Trade/Export Promotion Zones
January 15, 1979
8497
DBOD.NO.CAS.BC.10/C.446-79
Guidelines for issue of Rights debentures by public limited companies for working capital requirements
January 15, 1979
8498
ACD.Plan.(IFS)2244/PR.474-78/9
Advances against Foodgrains, Oilseeds, Oils (including Vanaspati), Sugar, Gur and Khandsari, Cotton Textiles including Yarn – Purchase/Discounting of Bills
January 11, 1979
8499
DBOD.No.BP.BC.8/C-453(K)-Gen.-79
Agricultural Credit to Small and Marginal Farmers
January 9, 1979
8500
DBOD.No.CAS.BC.4/C.446(j)-79
Scheme for rupee finance to cover import of capital goods
January 3, 1979
8501
DBOD.No.CAS.BC.3/C.446(SIU)-Q-79
Problems of Sick Units
January 3, 1979
8502
DBOD.No.BP.BC.1/C.464(A)-79
Instructions Issued to Avoid Communication Gaps Between Head Offices of Banks and Their Branches
January 1, 1979
8503
DBOD.No.BP.BC.178/C.453(U)-78
Differential Rate of Interest Scheme (DRI)
December 22, 1978
8504
DBOD.No.CAS.BC.175/C.446(SIU)A-78
Sick Industrial Undertakings – Payment of Statutory Bonus
December 18, 1978
8505
DBOD.No.CAS.BC.174/C.446(SIU)Q-78
Problems of Sick Units
December 14, 1978
8506
DBOD.No.BP.BC.169/C.464(A)-78
Bank Credit for Artisans, Village Cottage Industries and Small-Scale Industries in the Tiny Sector
December 12, 1978
8507
DBOD.No.BP.BC.170/C.464(A)-78
Bank Credit for Small-Scale Industries
December 12, 1978
8508
DBOD.No.CAS.BC.173/C.446-78
Advances to Small Industries
December 12, 1978
8509
DBOD.No.LBC.BC.171/74(F)-78
Role of Credit Managers Deputed by Banks to the District Industries Centres (DICs)
December 12, 1978
8510
DBOD.No.BP.BC.172/C.464(R)-78
Role of Banks in Promoting Employment
December 12, 1978
8511
DBOD.No.CAS.BC.168/C.446(H)-78
Advances to sugar mills
December 9, 1978
8512
DBOD.No.Dir.BC.36/C.475-78
Participation Certificates Scheme and Bills Rediscounting Scheme
December 7, 1978
8513
DBOD.No.BP.1339/C.469(45)-78
Economy in Expenditure – Printing of Annual Accounts and Report
December 1, 1978
8514
DBOD.No.BP.BC.163/C.576-78
Role of Private Sector Banks in Enlarging Credit to the Priority and Neglected Sectors
November 29, 1978
8515
DBOD.No.BP.1267/C.453(U)-78
Implementation of Differential Rates of Interest Scheme through Regional Rural Banks
November 27, 1978
8516
ACD.ID.(DC)1259/V.1-78/9
Interest Rates on Deposits Covered by Declaration under Section 54E of the Income Tax Act, 1961
November 20, 1978
8517
DBOD.No.BP.1164/C.469(W)-78
Bank Finance to Victims of Emergency
November 16, 1978
8518
DBOD.No.CAS.BC.159/C.446(SIU)R-78
Report of the Inter-Institutional Group on co-ordination of the lending operations of term lending institutions and commercial banks
November 15, 1978
8519
DBOD.No.CAS.BC.156/C.446(C&P)-78
Lending under consortium arrangements by banks for working capital
November 10, 1978
8520
DBOD.No.BP.BC.155/C.453(G)-78
Assistance to People Affected by Floods
November 6, 1978
8521
DBOD.No.CAS.BC.154/C.446(H)-78
CAS- Advances to Sugar Industry 1978-79 crushing season
November 4, 1978
8522
ACD.Plan.(IFS)1487/PR.474-78/9
Advances against Foodgrains, Oils, Oilseeds (including Vanapati), Sugar, Gur, Khandsari, Cotton Textiles including Yarn
October 30, 1978
8523
DBOD.No.BP.BC.151/C.453(A)-78
Financing of PACS by Commercial Banks/RRBs – Minimum Recovery Performance
October 30, 1978
8524
DBOD.No.BP.BC.152/C.453.C(A)-78
Financing of Primary Agricultural Credit Societies by Commercial Banks
October 30, 1978
8525
DBOD.No.Fol.BC.150/C.249-78
Chit Fund/Kuri Business
October 27, 1978
8526
DBOD.No.CAS.BC.425/C.446(SIU)-78
Sick Industrial Undertakings
October 27, 1978
8527
DBOD.No.BL.BC.147/C.168-78
Change in the Name of Branches of Banks
October 20, 1978
8528
DBOD.No.BP.BC.146/C.453(G)-78
Assistance to People Affected by Floods
October 19, 1978
8529
DBOD.No.CAS.BC.144/C.446(SIU)-A-78
Sick Industrial Undertakings – Quarterly Statement
October 19, 1978
8530
ACD.Plan.(IFS)1295/PR.36-78/79
Sanction of Credit Facilities to Borrowers who are Defaulters in Payment of Statutory Dues such as Provident Fund, etc. by Co-operative Banks
October 17, 1978
8531
DBOD.No.Dir.BC.142/C.218(j)-78
Advances against Sugar
October 14, 1978
8532
DBOD.No.Dir.BC.143/C.218(J)-78
Advances against Sugar
October 14, 1978
8533
ACD.RBL.337/G.78/9
Maintenance of Demand, Collection and Balance Register by the Primary (Urban) Co-operative Banks – Reporting of Figures in Form IX
October 14, 1978
8534
DBOD.No.CAS(COD)BC.141/27F(8)-78
Leather Industry – Extension of credit limits
October 13, 1978
8535
DBOD.No.BP.BC.135/C.464(R)-78
Central Scheme for Financial Assistance to the States/Union Territories for Providing Margin Money to Small Scale Industries
October 5, 1978
8536
DBOD.BP.BC.134/C.453(G)-78
Assistance to People Affected by Floods
October 3, 1978
8537
DBOD.No.CAS.BC.133/C.446(SIU)A-78
Sick Industrial Undertakings – Maintenance of margin etc.
September 30, 1978
8538
DBOD.NO.B.P.BC.131/C.464(U)-78
Report of the Committee to Study the Functioning of Public Sector Banks (James Raj Committee)
September 29, 1978
8539
DBOD.No.CAS.BC.129/C.446-78
Report of the RBI Working Group on planned participation of commercial banks in Rural Electrification Schemes.
September 28, 1978
8540
DBOD.No.Leg.BC.130/C.466(IV)-78
Implementation of Recommendations of the Working Group on Customers Service in Banks
September 28, 1978
8541
DBOD.No.Dir.BC.125/C.218(J)-78
Advances to Sugar Mills
September 26, 1978
8542
DBOD.No.CAS.BC.124/C.446-78
Bank finance for payment of bonus
September 25, 1978
8543
DBOD.No.BP.BC.123/C.453-78
Report of the Expert Group on Agricultural Credit Schemes of Commercial Banks
September 22, 1978
8544
DBOD.No.Dir.BC.122/C.107(N)-78
Guarantee of Inter-Company Deposits/Loans by Commercial Banks
September 20, 1978
8545
DBOD.No.Leg.412/C.446(IV)-78
Payment of Balances in Deceased Accounts Survivors/Claimants
September 18, 1978
8546
DBOD.No.Ret.BC.118/C.96 (Ret-78
Amendments to Reserve Bank of India Scheduled Banks’ Regulations 1951 – Regulation
September 12, 1978
8547
DBOD.No.CAS.BC.116/C.446-78
CAS
September 4, 1978
8548
DBOD.No.CAS.BC.112/C.446-78
CAS
August 31, 1978
8549
DBOD.No.CAS(COD)BC.113/27-78
Problem of delayed payment of bills of small scale industries
August 31, 1978
8550
DBOD.No.Dir.BC.109/C.218(J)-78
Instructions regarding the basis for the valuation of stocks in the context of Government’s decision to remove the control on prices movement and distribution of sugar effective from 16th August 1978
August 29, 1978
8551
DBOD.No.BP.BC.108/C.464(T)-78
Report of the PEP Committee on Banking
August 28, 1978
8552
ACD.ID.(DC)584/V.1-78/9
Interest Rates on Deposits
August 23, 1978
8553
ACD.ID.(DC)585/V.1-78/9
Interest Rates on Deposits
August 23, 1978
8554
ACD.BR.184/A.12(19)-78/9
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 10 – Restriction on Holding Shares in other Co-operative Societies
August 23, 1978
8555
DBOD.No.CAD(PMS)107/C.446(PMS)-85
Report of the Reserve Bank of India Working Group on planned participation of commercial banks in Rural Electrification Schemes
August 22, 1978
8556
DBOD.No.B.P.B.C.105/C.464(T)-78
Report of the PEP Committee on Banking
August 11, 1978
8557
DBOD.No.BP.BC.104/C.453(G)-78
Assistance to People Affected by Floods and Other Natural Calamities
August 9, 1978
8558
DBOD.No.CAS.BC.103/C.44(SIU)-A-78
Sick Industrial Undertakings – Quaterly Reports
August 9, 1978
8559
DBOD.No.BP.272A and 272C/C.453(U)-78
Differential Rate of Interest Scheme – Revised Guidelines
August 1, 1978
8560
DBOD.No.Dir.BC.100/C.347-78
Interest Rates on Deposits
August 1, 1978
8561
DBOD.No.Dir.BC.101/C.347-78
Interest Rates on Deposits
August 1, 1978
8562
ACD.RC.56/T(Gen)-78/9
Rehabilitation of Weak Primary Co-operative Banks – Norms for Identification/Deletion
July 26, 1978
8563
DBOD.No.Leg.320/C.235C-78
General Order
July 25, 1978
8564
DBOD.No.Leg.BC.96/C.235.C-78
Section 20 of the Banking Regulation Act, 1949 – General Order
July 25, 1978
8565
DBOD.No.BP.BC.94/C.464(A)-78
Report of the High Powered Committee for Examining Bank Credit Problems of Small Scale Industries
July 20, 1978
8566
DBOD.No.CAS.(COD)BC.90/27C-78
Study Group to frame guidelines for follow-up of bank credit – Slip back into current ratio
July 17, 1978
8567
DBOD.No.Dir.BC.93/C.347-78
Interest Rates on Deposits
July 15, 1978
8568
DBOD.No.BP.106/C.453C(1)-78
Farmers Service Societies – Rate of Interest
July 14, 1978
8569
ACD.Plan.(IFS)199/HG.4-78/9
Financial Accommodation under Section 17(2)(bb) read with the Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1978-9
July 14, 1978
8570
ACD.Plan.(IFS)113/HG.4-78-9
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Penal Rate of Interest
July 11, 1978
8571
DBOD.No.CAS.BC.88/C.446(SFC)-78
Co-ordination between Commercial Banks and SFC’s in the provision of Financial Assistance to Industries
July 8, 1978
8572
DBOD.No.Ret.BC.84/C.96(Ret.)-78
Reserve Bank of India Act, 1934 – Section 42(1A) – Requirements for Maintaining Additional Balance under (i) Non-Resident (External) Rupee Accounts and (ii) Foreign Currency (Non -Resident) Account Scheme
June 28, 1978
8573
DBOD.No.Ret.BC.85/C.96 (Ret)-78
Notification
June 28, 1978
8574
DBOD.No.Ret.BC.86/C.96(Ret)-78
Notification
June 28, 1978
8575
DBOD.No.BP.1708/C.453C(A)-78
Recommendations of the Study Team on Overdues of Co-operatives Credit Institutions – Automatic Supersession of Managing Committee of Socieites and Board of Directors of Banks – Objective Norms
June 26, 1978
8576
DBOD.No.ACC.BC.80/C.574-78
Refinance against Rupee Finance to Cover Import of Capital Goods
June 15, 1978
8577
DBOD.No.CAS.BC.81/C.446-78
Report of RBI Working Group on Planned Participation of Commerical Banks in Rural Electrification Scheme
June 15, 1978
8578
DBOD.No.CAS.BC.78/C.446(H)-78
Financial Assitance for Setting up of Sugar Factories
June 9, 1978
8579
DBOD.No.ECC.BC.77/C.297L(1-A)-78
Unconditional Guarantees Issued by Indian Banks in Favour of Overseas Employers/Importers on Behalf of Indian Exporters
June 7, 1978
8580
ACD.ID.(DC)9264/V.1-77/8
Interest Rates on Deposits – Payment of Interest on Monthly basis on Fixed Deposits
June 2, 1978
8581
DBOD.No.CAS.BC.73/C.446-78
Transfer of Loan Accounts from One Bank to Another
May 30, 1978
8582
DBOD.No.Ret.BC.72/C.96(Ret)-78
Weekly Return Under Section 42(2) of the Reserve Bank of India Act, 1934 – Division of Savings Bank Deposits into ‘Demand’ and ‘Time’ Liabilities
May 29, 1978
8583
DBOD.No.ACC.BC.70/C.297P(C)-78
Duty Draw-back Credit Scheme, 1976
May 18, 1978
8584
DBOD.No.CAS.BC.69/C.446-78
Credit Authorisation Scheme
May 18, 1978
8585
DBOD.No.BP.BC.67/C.453(K)Gen.78
Concessionsal Rates in Repect of Advances to Agricultural Sector – Scope of the Term ‘Diversified Purposes’
May 17, 1978
8586
DBOD.No.CAS.BC.68/C.446-78
Transfer of Loan Accounts by Borrowers from One Bank to Another
May 17, 1978
8587
DBOD.No.CAS.BC.66/C.446-78
Companies (Acceptance of Deposits) Amendent Rules, 1978
May 13, 1978
8588
ACD.ID.(A)8610-J.1-77/8
Maintenance of Demand, Collection and Balance Register by the Primary (Urban) Co-operative Bank
May 13, 1978
8589
DBOD No.CAS.BC.65/C.446(J)-78
Scheme for Rupee Finance to Cover Import Capital Goods
May 12, 1978
8590
DBOD.No.CAS.BC.64/C446(SIU)Q-78
Sick Industries – Small Scale Units
May 12, 1978
8591
ACD.ID.(DC)8866/V.1-77/8
Directives on Interest Rates on Deposits
May 10, 1978
8592
ACD:ID:(A)8523-J 1-77/8
Treatment of Overdue Interest and Accrued Interest in the Profit and Loss Account and Balance Sheet – Procedure
May 8, 1978
8593
DBOD.No.BP.BC.62/C.453(K)Gen-78
Urban Land (Ceiling and Regulation) Act, 1976 – Exemption to Agricultural Land
May 5, 1978
8594
DBOD.No.ECC.BC.57/C.297L(1.D)Gen.-78
Overseas Construction Contracts
May 4, 1978
8595
DBOD.No.CAS.BC.60/C.446-78
Financing Deferred Recievables – Domestic Sales
May 3, 1978
8596
ACD.Plan.(IFS)4327/PR.474-77/8
Advances against Grountnut, Mustardseed/Rapeseed, Castorseed, Cottonseed and Linseed and Oils thereof and Vanaspati
April 27, 1978
8597
DBOD.No.CAS(COD)BC.58/27C-78
Norms for Inventory and Recievables – Cotton Spinning Mills
April 27, 1978
8598
DBOD.No.BL.BC.54/C.168(61)-78
Advances/Loans to Landlords/Lessors of Premises for Banks’ Offices
April 19, 1978
8599
DBOD.No.ECC.BC.53/C.297P-78
Financing of Exports
April 17, 1978
8600
ACD.Plan.(IFS)4006/PR.474-77/8
Advances against Sugar, Gur and Khandsari
April 4, 1978
8601
ACD.Plan.(IFS)3992/HG.4/77-8
Central Scheme for Financial Assistance to the State/Union Territories for Providing Margin Money to Small Scale Industries
April 3, 1978
8602
DBOD.No.Dir.BC.48/C.347-78
Interest Rates on Deposits
April 3, 1978
8603
DBOD.No.Dir.BC.49/C.347-78
Interest Rates on Deposits
April 3, 1978
8604
DBOD.No.ECC.BC.45/C.297(O)(12)-78
Export Credit – Export of Diamonds
March 29, 1978
8605
DBOD.No.BP.802/C.464(R)-78
Central Schemes For Financial Assistance to the States/Union Territories for Providing Margin Money to Small Scale Industries
March 27, 1978
8606
ACD.Plan.(IFS)3815/HG.-4-77-8
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Rate of Interest
March 23, 1978
8607
DBOD.No.CAS.BC.41/C.446(M)-78
Bank Credit to Jute Industry
March 11, 1978
8608
DBOD.No.Leg.BC.37/C.466(IV)-78
Final Report of the Working Group on Customer Service in Banks – Implementation of the Recommendations
March 9, 1978
8609
DBOD.No.ECC.BC.39/C.297P-78
Export Credit – Ceiling Rate on Interest – Directive
March 8, 1978
8610
DBOD.No.ECC.BC.40/C.297P-78
Export Credit – Ceiling Rates of Interest
March 8, 1978
8611
ACD.Plan.(IFS)3349/PR.474-77/8
Advances against Cotton and Kapas
March 7, 1978
8612
ACD.Plan.(IFS)3350/PR.474-77/8
Advances against Cotton and Kapas
March 7, 1978
8613
ACD.Plan.(IFS)3352/PR.474-77/8
Advances against Cotton and Kapas
March 7, 1978
8614
ACD.Plan.(IFS)3353/PR.474-77/8
Advances against Cotton and Kapas
March 7, 1978
8615
ACD.ID.(DC)6975/V.1-77/8
Interest Rates on Deposits
March 7, 1978
8616
ACD.ID.(DC)6976/V.1-77/8
Interest Rates on Deposits
March 7, 1978
8617
DBOD.No.Dir.BC.35/C.347-78
Payment of Donations (Contributions) while Canvassing for Deposits – Exemption in Respect of Donations/Contributions made to Indian Institute of Bankers
March 7, 1978
8618
DBOD.No.CAS.425/C.446(T)-78
Credit Requirments of the National Textile Corporation (NTC) Mills
March 2, 1978
8619
DBOD.CAS.BC.24/C.446-78
Industrial Priorities to be Followed by Banks while ascertaining Credit Proposals
March 1, 1978
8620
ACD.ID.(DC)6870/V.1-77/8
Interest Rates on Deposits
March 1, 1978
8621
ACD.ID.DC.6871/V.1/77-78
Interest Rates on Deposits
March 1, 1978
8622
DBOD.No.Dir.BC.31/C.347-78
Periods of Deposits and Interest Rates on Deposits Held in Foreign Currency (Non-Resident) Accounts
March 1, 1978
8623
DBOD.No.Dir.BC.32/C.347-78
Periods of Deposits and Interest Rates on Depoists under Foriegn Currency (Non Resident) Accounts Scheme
March 1, 1978
8624
DBOD.No.Dir.BC.27/C.96-78
Ceiling Rate on Advances
February 28, 1978
8625
DBOD.No.Dir.BC.28/C.96-78
Ceiling Rate on Advances
February 28, 1978
8626
DBOD.No.Dir.BC.25/C.347-78
Interest Rates on Deposits
February 28, 1978
8627
DBOD.No.Dir.BC.26/C.347-78
Interest Rates on Deposits
February 28, 1978
8628
DBOD.No.Dir.BC.23/C.96-78
Financing of Gobar Gas Plants by Commerical Banks
February 23, 1978
8629
DBOD.No.Dir.BC.22/C.347-78
Interest Rates on Deposits – Clarification regarding Payment of Brokerage/Commission by Banks on Funds Obtained by way of Call loans
February 23, 1978
8630
DBOD.No.CAS.BC.21/C.446(SIU)A-78
Sick Industrial Undertakings
February 21, 1978
8631
DBOD.No.BP.404/C.464(R)-78
Central Scheme for Financial Assistance to the States/Union Territories for Providing Margin Money to Small Scale Industries
February 13, 1978
8632
DBOD.No.BP.BC.16/C.464(R)-78
Central Scheme for Financing Assistance to the State/Territories for Providing Margin Money to Small Scale Industries
February 13, 1978
8633
DBOD.No.CAS.BC.15/C.446-78
Sanction of Credit Facilities to Borrowers who are Defaulters in the Payment of their Statutory dues
February 6, 1978
8634
DBOD.No.B.P.BC.14/C.462(E.l)-78
Fourth meeting of the Regional Consulatitive Committee, Northern Area
February 1, 1978
8635
DBOD.No.Dir.BC.6/C.96-78
Advances against Tumeric and Cumin Seeds
January 19, 1978
8636
DBOD.No.Dir.BC.5/C.475-78
Participation Certificates Scheme
January 16, 1978
8637
DBOD.No.CAS.(COD)BC.9/27C-78
Reserve Bank Study group to Frame Guidelines for Follow-up of Bank Credit – Half-yearly Proforma Balance sheet and Profit and Loss Account.
January 13, 1978
8638
DBOD.No.B.L.B.C.3/C.168-78
Perspective Plan for Branch Expansion, 1978
January 11, 1978
8639
DBOD.No.Clg.BC.1/C.109-78
Bank Guarantee Scheme
January 2, 1978
8640
DBOD.No.CAS(COD)BC.146/27-77
Certification of Borrowers’ Accounts by Chartered Accountants
December 22, 1977
8641
DBOD.No.BP.BC.142/C.453-77
Advances to Custom Service Units/Argo-Service Centres Classification in the Returns
December 7, 1977
8642
DBOD.No.RRB.1198/C.530(4)-77
Regional Rural Banks – Exemption from the Provision to Sub-Section (1) of Section 42 of the Reserve bank of India Act, 1934
December 5, 1977
8643
ACD.RBL.476/G.77/78
Weekly Return In Form ‘B’ – Division of Savings Bank Deposits into Demand and Time Liabilities
November 29, 1977
8644
DBOD.No.Dir.BC.139/C.218-77
Advances
November 28, 1977
8645
ACD.Plan.(IFS)1758/PR.474-77/8
Advances against Cotton and Kapas
November 7, 1977
8646
ACD.Plan.(IFS)1759/PR.474-77/8
Advances against Cotton and Kapas
November 7, 1977
8647
DBOD.No.Dir.BC.137/C.218-77
Advances against Commodities Covered by Selective Credit Control Directives
November 3, 1977
8648
DBOD.No.CAS.BC.135/C.446(H)-77
Credit Authorisation Scheme – Advances to Sugar Industry – 1977-78 Crushing Season
November 1, 1977
8649
DBOD.No.CAS.BC.136/C.446-77
Provident Funds Dues of Borrowers
November 1, 1977
8650
DBOD.No.B.P.BC.133/C.556-77
Supply of Disrict/State Level Statistical Data
October 27, 1977
8651
DBOD.No.Ret.BC.134/C.96(Ret)-77
Weekly Return Under Section 42(2) of the Reserve Bank of India Act, 1934
October 27, 1977
8652
DBOD.No.CAS.BC.132/C.446-77
Bank Finance for Payment of Bonus
October 20, 1977
8653
DBOD.No.BP.BC.131/C.516-B-77
Consumption Credit
October 19, 1977
8654
DBOD.No.Ret.BC.127/C.96(Ret)-77
Weekly Return under Section 42(2) of the Reserve Bank of India Act, 1934 – Division of Savings Bank Deposits into Demand and Time Liabilities
October 15, 1977
8655
DBOD.No.CAS(COD)BC.126/27C-77
Reserve Bank Study Group to Frame Gudieliness for Follow-up of Bank Credit – Half-Yearly Proforma Balance Sheet and Profit and Loss Accounts
October 14, 1977
8656
DBOD.No.CAS.BC.122/C.446-77
Credit Authorisation scheme
October 6, 1977
8657
DBOD.No.CAS.BC.120/C.446-77
Credit Authorisation Scheme – Submission of Periodical Data
October 4, 1977
8658
DBOD.No.B.P.BC.115/C.464(A)-77
Engineer Enterpreneurs’ Training Programme (Interest Subsidy) Scheme
September 26, 1977
8659
DBOD.No.RRB.1095/C.530(4)-77
Notification
September 26, 1977
8660
DBOD.No.Dir.BC.117/C.347-77
Interest Rates on Deposits – Clarification on Payment of Brokerage/Commission Donation by Banks
September 26, 1977
8661
DBOD.No.BP.BC.113/C.516-77
Consumption Credit – Rules for the Establishment and Utilisation of Risk Fund
September 22, 1977
8662
ACD.ID.2717/V.1-77/8
Interest Rates on Deposits
September 21, 1977
8663
ACD.ID.2718/V.1-77/8
Interest Rates on Deposits
September 21, 1977
8664
ACD.Plan.(IFS)1130/PR.474-77/8
Advances against Foodgrains, Oilseeds, Oils (including Vanaspati), Sugar, Gur and Khandsari, Cotton Textiles including Yarn
September 19, 1977
8665
ACD.Plan.1087*/PR.7(Gen.)-77/8
Loans from the National Agricultural Credit (Long-Term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions
September 10, 1977
8666
DBOD.No.Dir.BC.105/C.347-77
DataSubscriptions to Unguaranteed Bonds of Public Sector Institutions by Banks
August 22, 1977
8667
DBOD.No.Dir.BC.103/C.218(H)-77
Advances against Edible Oilseeds and Oil
August 17, 1977
8668
ACD.Plan.(IFS)/722/HG.4/77-8
Financial Accommodation under Section 17(2)(bb) & (4)(c) of the Reserve Bank of India Act, 1934 for Financing Cottage and Small Scale Industries – Rate of Interest
August 17, 1977
8669
ACD:ID:1579/D:10(110)-77-8
Accounting Procedure in respect of Outstanding Cheques and Drafts Not Presented for Payment
August 11, 1977
8670
ACD.RBL.108/G-77-78
Weekly Return in Form B
August 2, 1977
8671
ACD.ID.1092/V.1-77/8
Interest Rates on Deposits – Overdue Deposits
July 30, 1977
8672
DBOD.No.RRB.885/C.530(10)-77
Report of the Working Group on Simplified Accounting and Other Procedures for Regional Rural Banks
July 25, 1977
8673
ACD.Plan(IFS)336/PR.474-77/8
Advances against Foodgrains, Oilseed, Oils (including Vanaspati), Sugar, Gur and Khandsari, Cotton Textiles including Yarn
July 23, 1977
8674
DBOD.No.CAS(COD)BC.96/27C-77
Norms for Inventory and Recievables – Fertiliser Industry
July 20, 1977
8675
ACD.Plan.(IFS)167/HG.4-77/78
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector : 1977-8
July 12, 1977
8676
DBOD.No.Ret.BC.89/C.96(Ret)-77
Weekly Return Under Section 42(2) of the Reserve Bank of India Act, 1934
July 6, 1977
8677
DBOD.No.BP.1900/C.453(U)-77
Scheme of Differential Rate of Interest
July 6, 1977
8678
DBOD.No.Ret.BC.85/C.254-77
Form of Balance Sheet Classification of Outstanding Liabilities Under Letters of Credit
July 5, 1977
8679
DBOD.No.ECC.BC.82/C.297L(4.1)-77
Export Credit – Guidelines for Overseas Construction Contracts
July 4, 1977
8680
DBOD.No.App.BC.80/C.318(BN)-77
Admissibility of Halting and Entertainment Allowances to the Chairmen/Managing Directors During their Visits Aboard
June 30, 1977
8681
DBOD.No.App.BC.81/C.318(B)-77
Section 35B of the Banking Regulation Act, 1949 – Halting, etc. Allowances for the Chairmen of Banks During their Visits Abroad
June 30, 1977
8682
DBOD.No.Dir.BC.78/C.347-77
Interest Rates on Deposits – Overdue Deposits
June 28, 1977
8683
DBOD.No.Ret.BC.76/C.96(Ret)-77
Weekly Returns Under Section 42(2) of the Reserve Bank of India Act, 1934
June 22, 1977
8684
ACD.Plan.(IFS)5814/PR.474-76/7
Advances against Groundnut, Mustardseed/Rapeseed, Castorseed, Cottonseed and Linseed and Oils thereof and Vanaspati
June 21, 1977
8685
DBOD.No.Dir.BC.75/C.475-77
Participation Certificate Scheme
June 21, 1977
8686
ACD.BR.1232/A.12-76/7
Observance of Weekly Holiday by Banks
June 20, 1977
8687
Notification DNBC.39/DG(H)-77
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977 : Amended upto 30.06.2000
June 20, 1977
8688
Notification No. DNBC.39/DG (H)-77
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1977 : Amended upto 30.06.2005
June 20, 1977
8689
Notification No.DNBC.39/DG(H)-77
Miscellaneous Non-banking Companies (Reserve Bank) Directions, 1977 : Amended upto 17-09-2003
June 20, 1977
8690
ACD.ID.11438/V.1-76/7
Interest Rates on Deposits
June 20, 1977
8691
ACD.Plan.5750/PR.7(Gen)-76/7
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions
June 17, 1977
8692
DBOD.No.CAS.1782/C.446(T)-77
Credit Requirements of the National Textile Corporation (NTC) Mills
June 17, 1977
8693
DBOD.No.Dir.BC.73/C218(H)-77
Import of Edible Oils
June 15, 1977
8694
DBOD.No.Ret.BC.72/C.96(Ret)-77
Section 42(1A) of the Reserve Bank of India Act, 1934
June 13, 1977
8695
DBOD.No.CAS.BC.71/C.446-77
Report of the Committee on Transfer of Loan Accounts
June 13, 1977
8696
DBOD.No.B.L.3617/C.168-77
Opening of Extension Counters
June 10, 1977
8697
D.O.No.DBOD.COM.951/C.408(M)-77
frauds in banks
June 9, 1977
8698
DBOD.No.CAS(COD)BC.68/27C-77
Implementation of the Recommendations of Reserve Bank of India Study Group on Follow-up of Bank Credit
June 8, 1977
8699
DBOD.No.B.P.B.C.66/C.563-77
Data on Disposal of Loan Applications and Recovery Performance
June 2, 1977
8700
DBOD.No.B.P.B.C.67/C.563-77
Data on Disposal of Loan Application and Recovery Performance
June 2, 1977
8701
ACD.ID.10844/V.1-76/7
Interest Rates on Deposits
May 31, 1977
8702
ACD.ID.10845/V.1-76-7
Interest Rates on Deposits
May 31, 1977
8703
DBOD.No.Dir.BC.59/C.347-77
Interest Rates on Deposits
May 31, 1977
8704
DBOD.No.Dir.BC.60/C.347-77
Interest Rates on Deposits
May 31, 1977
8705
DBOD.No.CAS.58/C.446(SIU)A-77
Sick Industrial Undertakings – Quarterly Statement
May 31, 1977
8706
DBOD.No.Ret.BC.57/C.96(Ret)-77
Section 42 of the Reserve Bank of India Act, 1934
May 30, 1977
8707
DBOD.No.ECC.BC.55/C.297P-77
Post-shipment Credit given on Deferred Payment Terms
May 28, 1977
8708
DBOD.No.CAS.BC.56/C.446(STU)A-77
Sick Industrial Undertakings
May 28, 1977
8709
ACD.ID.10669/R.1-76/7
Maximum Limit on Advances
May 25, 1977
8710
ACD.ID.10690/R.1-76/7
Maximum Limit on Advances
May 25, 1977
8711
ACD.ID.10691/R.1-76/7
Maximum Limit on Advances
May 25, 1977
8712
DBOD.No.ACC.BC.52/C.297P(C)-77
Duty Draw-back Credit Scheme, 1976
May 25, 1977
8713
DBOD.No.BP.BC.47/C.473-77
Gurantees of State Governments for Credit Facilities Granted by Banks
May 16, 1977
8714
DBOD.No.BP.1244/C.464(S)-77
Financing of Gobar Gas Plants by Commerical Banks
May 9, 1977
8715
DBOD.No.B.L.2737/C.168-77
Intimation Regrading Opening/Closing of Offices by Regional Rural Banks
April 29, 1977
8716
DBOD.No.BP.BC.41/C.516-77
Guidelines for Implementation of the Recommendations of the Expert Committee on Consumption Credit by Commercial and Regional Rural Banks
April 26, 1977
8717
DBOD.No.RRB.565/C.531)(29)-77
Taking Over of Liabilities of Ceded Primary Agricultural Co-opertive Credit Societies
April 21, 1977
8718
DBOD.No.CLG.B.C.40/94-77
Banking Hours/Working Days of Branches of Commercial Banks
April 20, 1977
8719
DBOD.No.RRB.552/C.530(4)-77
Payment of Interest on the Balances Kept by Regional Rural Banks with Sponsor Banks in Current Accounts
April 18, 1977
8720
DBOD.No.BP.945/C.453(K)General-77
Cattle Insurance in SFDA/MFAL Project Areas
April 9, 1977
8721
DBOD.No.CAS.BC.34/C.446-77
Credit Authorisation Scheme – Submission of Periodical Data
March 31, 1977
8722
DBOD.No.BP.BC.35/C.469(W)-77
Canvassing for Deposits from Insurance Companies through which General Insurance Business is conducted by Banks
March 31, 1977
8723
DBOD.No.BP.33/Nat.29B-77
Mobilisation of Deposits in Rural Areas
March 30, 1977
8724
DBOD.No.ECC.BC.31/C.297M-77
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances to Exporters of HPS Grountnut and of Deoiled and Defatted Cakes
March 29, 1977
8725
DBOD.No.RRB.399/C.530(8)-77
Regional Rural Banks-Exemption from the Provisions of the Section 31 of the Banking Reguation Act, 1949
March 23, 1977
8726
DBOD.No.RRB.368/C.530(16)-77
Farmers Services Societies
March 19, 1977
8727
DBOD.No.Ret.BC.29/C.110-77
Weekly Returns Under Section 42(2) of the Reserve Bank of India, 1934
March 17, 1977
8728
DBOD.No.RRB.345/C.530(13)-77
Proceeding of Board Meetings
March 11, 1977
8729
DBOD.No.RRB.310/C.530(4)-77
Payment of Interest on the Balances kept with Sponsor Banks on Current Accounts by Regional Rural Banks
March 9, 1977
8730
DBOD.No.CAS.651/C.446-77
Credit Authorisation Scheme – Submission of Periodical Data
March 8, 1977
8731
ACD.Plan.(IFS)4074/PR.474-76/7
Advances against Foodgrains, Oilseeds, Oils (including Vanaspati), Sugar, Gur and Khandsari, Cotton Textiles including Yarn
March 4, 1977
8732
DBOD.No.CAS.BC.26/C.446-77
Study Group to Frame Guidelines for Follow-Up Of Bank Credit – Extension of Credit Limits on Consortium/Participation Basis
March 1, 1977
8733
ACD.RC.294/T(Gen)-76/7
Rehabilitation of Weak Primary Co-operative Banks
February 24, 1977
8734
DBOD.No.B.L.940/C.168-77
Section 23 of the Banking Regulation Act, 1949 – Opening of Extension Counters
February 21, 1977
8735
DBOD.No.BP.BC.23/C.469(64)-77
Deposit Mobilisation
February 19, 1977
8736
DBOD.No.RRB.206/C.530(4)-77
Exemption from the Provisions of Sub-Section (1A) of Section 42 if the Reserve Bank of India Act, 1934
February 18, 1977
8737
DBOD.No.Ret.BC.19/C.96(Ret)-77
Section 42(1) of the Reserve Bank of India Act, 1934
February 17, 1977
8738
DBOD.No.Ret.BC.21/C.96(Ret)-77
Notification
February 17, 1977
8739
DBOD.No.Ret.BC.22/C.96(Ret)-77
Section 42(1A) of the Reserve Bank of India Act, 1934 – Maintenance of Additional Balances
February 17, 1977
8740
DBOD.No.RRB.184/C.530(4)-77
Notification
February 17, 1977
8741
DBOD.No.B.L.B.C.20/C.168-77
Section 23 of the Banking Regulation Act, 1949 – Statement of Loss Making Branches
February 16, 1977
8742
DBOD.No.CAS.18/C.446(STU)-77
Particulars of Closed Industrial Units
February 15, 1977
8743
DBOD.No.BP.455/C.452(H)-77
Provision for Depreciation on Immovable Properties, etc.
February 14, 1977
8744
ACD.Plan.(IFS) 3731/PR.474-76/7
Advances against Cotton and Kapas
February 11, 1977
8745
ACD.Plan.(IFS)3730/PR.474-76/7
Advances against Cotton and Kapas
February 11, 1977
8746
ACD.Plan.(IFS)3733/PR.474-76/7
Advances against Cotton and Kapas
February 11, 1977
8747
ACD.Plan.(IFS)3734/PR.474-76/7
Advances against Cotton and Kapas
February 11, 1977
8748
DBOD.No.BP.BC.16/C.464(A)-77
Expenditioius Disposal of Loan Applications for Rs. 10,000/- and Above
February 8, 1977
8749
DBOD.No.RRB.161/C.530(10).77
Simplified Accounting and Other Procedures Regional Rural Banks
February 7, 1977
8750
DBOD.No.TEP.20/C.517-77
State Level Bankers’ Committees
February 2, 1977
8751
DBOD.No.ECC.BC.8/C.297M-77
Export Credit (Interest Subsidy) Scheme, 1968
January 13, 1977
8752
DBOD.No.Ret.BC.10/C.96(Ret)-77
Reserve Bank of India Act, 1934 – Section 42(1A) – Requirements for Maintaining Additional Balances
January 13, 1977
8753
DBOD.No.Ret.BC.9/C.96(Ret)-77
Notification
January 13, 1977
8754
DBOD.No.BL.BC.6/C.168(61)-77
Advances/Loans to Landlords/Lessors of Premises for Banks’ Offices
January 10, 1977
8755
DBOD.No.CAS.BC.3/C.446(HB)-77
Bank Finance for Housing Schemes for the Economically Weaker Sections of the Community
January 8, 1977
8756
DBOD.No.B.L.B.C.2/C.168-77
Section 23 of the Banking Regulation Act, 1949 – Intimation Regarding the Change in Location of Existing Offices
January 7, 1977
8757
DBOD.No.Inf.16/C.124(V)-77
Reconciliation of Inter-Branch Transactions
January 4, 1977
8758
DBOD.No.Leg.BC.158/C.90(H)-76
Opening of Bank Accounts in the Names of Minors with Mothers as Guardians
December 29, 1976
8759
DBOD.No.ECC.BC.154/C.297P-76
Export Credit
December 27, 1976
8760
DBOD.No.B.L.B.C.153/C.168-76
Section 23 of the Banking Regulation Act, 1949 – Branch Expansion
December 24, 1976
8761
DBOD.No.Dir.BC.155/C.347-76
Interest Rates on Deposits – Regional Rural Banks
December 24, 1976
8762
ACD.BR.651/A.1-76/7
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 22 – Application for Licence by Primary Credit Societies which have Attained the Status of Primary Co-operative Banks
December 22, 1976
8763
DBOD.No.TEP.BC.150/C.516-76
Guidelines for Implementation of the Recommendation of the Expert Committee on Consumption Credit by Commerical Banks
December 20, 1976
8764
DBOD.No.Dir.BC.148/C.347-76
Interest Rates on Deposits
December 18, 1976
8765
DBOD.No.Dir.BC.149/C.347-76
Interest Rates on Deposits
December 18, 1976
8766
DBOD.No.Ret.BC.147/C.254-76
Classification of Inter-Bank Deposits in the Balance Sheet
December 17, 1976
8767
ACD:ID:4998-J:17-76-7
Deposit Accounts – Introduction
December 9, 1976
8768
DBOD.No.CAS.BC.142/C.446-76
Credit Authorisation Scheme – Submission of Periodical Data
December 7, 1976
8769
DBOD.No.Ret.BC.141/C.96(Ret)-76
Inland Bills Purchased and Discounted
December 7, 1976
8770
DBOD.No.ECC.BC.140/C.297A-76
Refinance under Export Bills Credit Scheme and Pre-shipment Credit Scheme
December 3, 1976
8771
DBOD.No.B.L.6864/C.168-76
Intimation Regrading Opening/Closing of Offices by Banks – Submission of Monthly Statements
December 1, 1976
8772
DBOD.No.CAS(COD)BC.139/27C-76
Implementation of the Recommendations of Reserve Bank of India Study Group on Follow-up of Bank Credit
November 30, 1976
8773
DBOD.No.CAS.BC.133/C.446(STU)-76
Sick Industrial Undertakings
November 26, 1976
8774
DBOD.No.Inf.1491/C.124(V)-76
Reconciliation of Inter-Branch Accounts
November 16, 1976
8775
DBOD.No.Dir.BC.131/C.96-76
Penal Rates of Interest and Service Charges on Advances
November 15, 1976
8776
DBOD.No.Ret.BC.127/C.96(Ret)-76
Notification
November 8, 1976
8777
DBOD.No.Ret.BC.128/C.96(Ret)-76
Section 42(1) of the RBI Act
November 8, 1976
8778
ACD.Plan.(IFS)1819/PR./74-76/7
Advances against Sugar, Gur and Khandsari
November 4, 1976
8779
DBOD.No.ACC.BC.126/C.297V-76
Banks Availing of Advances against Demand Loan Arragements – Deposit of Approved Securities, Bonds Debentures, etc. with Reserve Bank of India as Cover
November 4, 1976
8780
ACD.ID.3677/V.1-76/7
Interest Rates on Deposits-linked Janata Personal Accident Policy
November 1, 1976
8781
DBOD.No.BP.BC.124/C.453(B)-76
Agricultural Finance – Construction of Warehouses for Storage of Foodgrains
October 28, 1976
8782
DBOD.No.CAS.BC.123/C.446-76
Study Group Recommendations
October 27, 1976
8783
DBOD.No.CAS.BC.121/C.446(BB)-76
Bank Finance for Housing Schemes for the Economically Weaker Sections of the Community
October 25, 1976
8784
DBOD.No.CAS.(COD)BC.119/27C-76
Credit Authorisation Scheme – Revision of Database – Sugar Industry
October 21, 1976
8785
DBOD.No.CAS.BC.115/C.450-76
Advances against Shares – Exercise of Voting Rights
October 15, 1976
8786
ACD.Plan.(IFS)1504/HG.4-76/7
Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of India Act, 1934 to Primary (Urban) Co-operative Banks
October 12, 1976
8787
DBOD.No.CAS.BC.107/C.446-76
Loans/Advances Against Security of Fixed Deposits Under Non-Resident (External) Account Schemes
October 11, 1976
8788
DBOD.No.RRB.524/C.530(4)-76
Regional Rural Banks – Exemption from the Provision to Sub-section (1) of Section 42 of the Reserve Bank of India Act, 1934
October 11, 1976
8789
ACD.Plan.1502/PR.338-76/7
Co-operative Bank Finance for Housing Schemes for the Economically Weaker Sections of the Community
October 11, 1976
8790
DBOD.No.BP.BC.109/C453(A)-76
Command Area of Branches of Commerical Banks
October 8, 1976
8791
DBOD.No.BP.2099/C.464(A)-76
Expenditious Disposal of Small Loan Applications
September 28, 1976
8792
ACD:ID:2444-J:21-76/7
Financing of Primary Co-operative Banks Before Issue of a Licence
September 21, 1976
8793
DBOD.No.Ret.BC.102/C.96(Ret)-76
Weekly Return Under Section 42 of The Reserve Bank of India Act, 1934
September 10, 1976
8794
DBOD.No.RRB.460/C.4-76
Notification
September 7, 1976
8795
ACD.Plan.(781)/PR.338-76/77
Co-operative Bank Finance for Housing Schemes for the Economically Weaker Sections of the Community
August 24, 1976
8796
DBOD.No.B.L.B.C.97/C.168-76
Section 23 of the Banking Regulation Act, 1949 – Period of Validity of Licences
August 21, 1976
8797
DBOD.No.BP.BC.96/C.453(U)-76
Scheme of Differential Rates of Interest
August 18, 1976
8798
DBOD.No.BP.BC.94/C.453(A)-76
Method of Charging Interest on Agricultural Advances
August 17, 1976
8799
ACD.Plan.517/PR.7(Gen.)/76-7
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institution
August 5, 1976
8800
DBOD.No.ECC.BC.89/C.297L(1-D)-76
Bid Bonds and Performance Guarantees
August 4, 1976
8801
ACD.Plan.(IFS)444/PR.474/76-7
Advances against Groundnut, Mustardseed/Rapeseed, Castorseed, Cottonseed and Linseed and Oils thereof and Vanaspati
July 30, 1976
8802
DBOD.No.RRB.392/C.6-76
Issue of Share Certificates
July 21, 1976
8803
DBOD.No.B.L.3655/C.168-76
Information regarding Opening/Closing of Offices by Banks
July 20, 1976
8804
DBOD.No.Ret.BC.82/C.254-76
Banks Balance Sheets – Item Bills for Collection
July 15, 1976
8805
DBOD.No.B.L.B.C.81/C.168-76
Opening of Offices of Commerical Banks in the Conforming Buildings/Areas/Zones in the Residential Localities of Metropolitican Centers in the Union Territory of Delhi
July 14, 1976
8806
DBOD.No.CAS(COD)B.C.83/27C-76
Guideliness for Scrutiny of Annual/Quarterly Statements
July 14, 1976
8807
ACD.ID.235/R1-76/7
Maximum Limit on Advances
July 8, 1976
8808
DBOD.No.Ret.BC.75/C.236(G)-76
Section19 of the Banking Regulation Act, 1949 – Cash Reserve Requirements-Return in Form VIII
July 8, 1976
8809
DBOD.No.Ret.BC.73/C.110-76
Weekly Statement of Position of Scheduled Commerical Banks under Section 42 of the Reserve Bank of India Act, 1934
July 5, 1976
8810
DBOD.No.CAS.BC.71/C.446(SIU)-76
Sick Industrial Undertakings
June 29, 1976
8811
DBOD.No.Dir.BC.70/C.96-76
Penal Rates of Interest and Service Charges on Advances
June 26, 1976
8812
ACD.Plan.(IFS)5517/HG.4-75-6
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1796-7
June 24, 1976
8813
DBOD.No.ACC.BC.66/C.297P(C)-76
Duty Draw-back Credit Scheme, 1976
June 23, 1976
8814
DBOD.No.CAS.BC.65/C.446-76
Bank Finance for Housing Schemes for the Economically Weaker Sections of the Community
June 23, 1976
8815
ACD.ID.12504/J.32-75/6
Interest Rates on Deposits
June 21, 1976
8816
ACD.ID.12505/J.32-75/6
Interest Rates on Deposits
June 21, 1976
8817
DBOD.No.Dir.BC.55/C.347-76
Interest Rates on Deposits – Prohibiting Banks from Paying Interest on certain types of Current Accounts Opened – Directive
May 25, 1976
8818
DBOD.No.Dir.BC.56/C.347-76
Interest Rates on Deposits
May 25, 1976
8819
DBOD.No.BP.BC.57/C.469(81-A)-76
Deposits Accounts – Introduction
May 24, 1976
8820
DBOD.No.Ret.BC.58/C.96(Ret)-76
Computation of Liabilities
May 22, 1976
8821
ACD:ID:11551-J:17-75/6
Fixing up of Office Premises by Co-operative Banks
May 10, 1976
8822
DBOD.No.CAS.1046/C.446(SIU)-76
Seminar on Sick Industrial Undertakings
May 3, 1976
8823
DBOD.No.CAS.BC.53/C.446-76
Study Group to Frame Guidelines for Follow-up of Bank Credit
April 29, 1976
8824
DBOD.No.Dir.BC.49/C.96-76
Minimum Lending Rate – Relaxation in Respect of Advances to Indigent Students
April 10, 1976
8825
DBOD.No.Ret.B.C.43/C.96(Ret)-76
The Reserve Bank of India (Amendment) Act, 1974
April 3, 1976
8826
DBOD.No.ECC.BC.38/C.297P-76
Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Advances
March 22, 1976
8827
DBOD.No.BL.BC.36/C.168(61)-76
Fixing up of Office Premises by Commerical Banks
March 19, 1976
8828
DBOD.No.Dir.BC.33/C.218(T)-76
Advances against Cotton Textiles including Cotton Yarn, Man-made Fibres and Yarn and Fabrics made out of Man-Made Fibres or Partly out of Cotton Yarn and Party out of Man-made Fibres
March 15, 1976
8829
DBOD.No.Dir.BC.32/C.218M-76
Credit Control
March 15, 1976
8830
ACD.ID.9722/J.33/75-6
Maximum Limit on Advances
March 12, 1976
8831
DBOD.No.433/C.469(W-8)-76
Indo-Yugoslav Trade Banking Facilities
March 1, 1976
8832
DBOD.No.BP.B.C.26/C.469(W.6)-76
Advances to Relatives of Chief Executives of Public Sector Banks
February 23, 1976
8833
DBOD.No.Acc.BC.25/C.297P(C)-76
Duty Draw-back Credit Scheme, 1976
February 21, 1976
8834
DBOD.No.ECC.BC.19/C.297P-76
Post-shipment Credit – Operational Flexibility
February 9, 1976
8835
DBOD.No.ECC.BC.20/C.297P-76
Packing Credit Facilities to Jute Mills
February 9, 1976
8836
DBOD.No.Inf.BC.21/C.431B-76
10% Outright Grant/Subsidy for Industrial Units to be Set up in Selected Backward Districts/Areas Scheme, 1971
February 9, 1976
8837
DBOD.No.ECC.BC.16/C.297L(1.F)-76
Financing of Export Exporters
February 6, 1976
8838
DBOD.No.BC.Com.14/C.408(A)-76
Frauds in Banks
February 2, 1976
8839
ACD.ID.8217/J.32-75/6
Interest Rates on Deposits – Premature Withdrawal of Deposits
January 31, 1976
8840
ACD.BR.821/A.12/424-75/6
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 18 & 21 – Balances in Current Accounts with Nationalised Banks
January 28, 1976
8841
DBOD.No.BP.BC.13/C.453(U-1)-76
Scheme of Differential Rates of Interest
January 28, 1976
8842
ACD.RBL.809/J.75/6
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Applications of Primary (Urban) Co-operative Banks Seeking Permission to Open New Places of Business etc.
January 27, 1976
8843
DBOD.No.ECC.BC.12/C.297(L.11)-76
Export of Consultancy Services
January 27, 1976
8844
ACD.Plan.(IFS)3055/PR.474/75-6
Advances against Foodgrains, Oilseeds, Oils (including Vanaspati), Sugar, Gur and Khandsari, Cotton Textiles including Yarn
January 24, 1976
8845
ACD.RBL.801/G.75-6
Amendments to the Reserve Bank of India Scheduled Banks’ Regulations, 1951
January 23, 1976
8846
DBOD.No.Fol.BC.9/C.249-76
Co-Acceptance of Bills/Guarantees by Commerical Banks of Inter-Company Deposits/Loans
January 20, 1976
8847
DBOD.No.CAS.86/C.446(H)-76
Credit Authorisation Scheme – Advances to Sugar Industry
January 18, 1976
8848
DBOD.No.Ret.BC.8/C.96(Ret)-76
Amendments to the Reserve Bank of India Scheduled Bank’s Regulations, 1951
January 17, 1976
8849
DBOD.BP.BC.6/C.453(W-2)-76
Study Team on Co-operative Agricultural Credit Institutions in Maharashtra
January 13, 1976
8850
DBOD.No.BP.BC.5/C.453C(A)-76
Financing of Milk Supply Societies
January 13, 1976
8851
DBOD.No.BP.BC.3/C453(W-1)-76
Study Team on Agricultural Credit Institutions In Rajasthan
January 8, 1976
8852
DBOD.No.ECC.BC.2/C.297L(16)-76
Duty Draw-back Credit Scheme, 1976
January 7, 1976
8853
DBOD.No.BP.BC.1/C.464(E)-76
Scheme of National Permit for Road Transport
January 2, 1976
8854
DBOD.No.CAS.BC.119/C.446-75
Credit Authorisation Scheme – Revision of the Database
December 31, 1975
8855
ACD.Plan.(IFS)2605/ PR.474/75-6
Advances against Cotton and Kapas
December 29, 1975
8856
ACD.Plan.(IFS)2606/PR.474/75-6
Advances against Cotton and Kapas
December 29, 1975
8857
ACD.Plan.(IFS)2608/PR.474-75-6
Advances against Cotton and Kapas
December 29, 1975
8858
ACD.Plan.(IFS)2609/PR.474-75/6
Advances against Cotton and Kapas
December 29, 1975
8859
ACD.Plan.(IFS)2610/IPR.474-75/6
Advances against Cotton and Kapas
December 29, 1975
8860
DBOD.No.Leg.BC.118/C.90(H)-75
Blanket Inspection of Banks’ Books of Accounts by Income Tax Authorities in the Purported Exercise of Powers Under Section 133A of the Income-Tax Act, 1961.
December 24, 1975
8861
DBOD.No.Inf.BC.112/C.107-75
Use of Ball-Point Pens
November 26, 1975
8862
DBOD.No.CAS.B.C.113/C.446-75
Extension of Credit Limits on Consortium/Participation Basis
November 25, 1975
8863
ACD.ID.5257/J.32-75/6
Interest Rates on Deposits – Schemes for Mobilising Deposits
November 24, 1975
8864
DBOD.B.L.B.C.No.108/C168-75
Section 23 of the Banking Regulation Act, 1949
November 17, 1975
8865
DBOD.No.CAS.BC.109/C.446-75
Credit Authorisation Scheme – Interim Finance/Bridge Loans
November 17, 1975
8866
DBOD.No.Dir.BC.107/C.218-75
Advances against Foodgrains, Oilseeds, Vegetable Oils (including Vanaspati), Cotton and Kapas, Sugar, Gur and Khansdshri and Cotton textiles (including Yarn), Man-made Fibres and Yarn and Fabrics made out of Man-made Fibres
November 11, 1975
8867
DBOD.No.CAS.BC.101/C.446-75
Credit Authorisation Scheme – Raising of the Minimum limit for Prior Authorisation
November 7, 1975
8868
DBOD.No.Fol.BC.100/C.249-75
Miscellaneous Non-Banking Companies (Reserve Bank) Directions, 1973 – Prize Schemes of Non-Banking Finance Companies
November 6, 1975
8869
DBOD.No.Dir.BC.98/C.347A-75
Schemes for Mobilising Deposits
October 28, 1975
8870
DBOD.No.Ret.BC.93/C.96-75
Notification
October 27, 1975
8871
DBOD.No.Ret.BC.94/C.96(Ret.)-75
Computation of Liabilities
October 27, 1975
8872
DBOD.No.Dir.BC.96/C.347-75
Interest Rates on Deposits under Foreign Currency (Non-Resident) Accounts Scheme
October 27, 1975
8873
DBOD.No.Dir.BC.95/C.347-75
Interest Rates on Deposits Held in Foreign Currency (Non-Resident) Accounts
October 27, 1975
8874
DBOD.No.Ret.BC.92/C.236-75
Section 42 of the Banking Regulation Act, 1949 – Balances in the Current Accounts with Nationalised Banks
October 24, 1975
8875
DBOD.No.ECC.BC.91/C.297P-75
Export of Goods for Exhibition and Sales
October 23, 1975
8876
ACD:ID:4298/J:1-75/6
Treatment of Accured Interest in the Balance Sheet
October 22, 1975
8877
ACD.Plan.1473/PR.389-75/6
Payment of Bonus to Employees by Co-operative Banks
October 11, 1975
8878
DBOD.No.BL.BC.83/C.168(61)-75
Advances/Loans to Landlords/Lessors of Premises for Bank’s offices
October 8, 1975
8879
DBOD.No.Dir.BC.80/C.347-75
Interest Rates on Deposits
October 2, 1975
8880
DBOD.No.Dir.BC.81/C.347-75
Interest Rates on Deposits
October 2, 1975
8881
DBOD.No.B.P.B.C.75/C.464(M)-75
Statistics Relating to Advances to the Priority Sectors
September 26, 1975
8882
DBOD.No.B.L.B.C.73/C.168-75
Perspective Plan for Branch Expansion during 1976-78
September 20, 1975
8883
DBOD.No.CAS.BC.68/C.446-75
Study Group To Frame Guidelines for Follow-up of Bank Credit
September 15, 1975
8884
DBOD.No.CAS.BC.69/C.446-75
Study Group to Frame Guidelines for Follow-up of Bank Credit
September 15, 1975
8885
DBOD.No.Clg.BC.72/94-75
Uniform Business Hours of Banks
September 15, 1975
8886
DBOD.No.ECC.BC.65/C.297L(12)-75
Statistical Relating to Export Credit
September 10, 1975
8887
ACD.Plan.(IFS)933/HG.3(9)/75-6
Financing of Industrial Units by Primary (Urban) Co-operative Banks
September 4, 1975
8888
DBOD.No.CAS.BC.62/C.446-75
Study Group to Frame Guidelines for Follow-up of Bank Credit
August 21, 1975
8889
DBOD.No.Dir.BC.60/C.218-75
Verification of Compliance by Banks with the Provisions of Selective Credit Control Directives
August 19, 1975
8890
DBOD.No.BP.1396/C.469(W)-75
Advances to Relatives of Chief Exectives of Public Sector Banks
August 18, 1975
8891
DBOD.No.ACC.BC.59/C.297V-75
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Other Financial Institutions
August 16, 1975
8892
DBOD.No.ECC.BC.57/C.297P-75
Export Consultancy Services
August 14, 1975
8893
DBOD.No.Leg.BC.56/C.90(H)-75
Negotiation of Documents Drawn under Letter of Credit Payment of Stamp Duty
August 13, 1975
8894
DBOD.No.ECC.BC.55/C.297L(12)-75
Statistical Relating to Export Credit
August 7, 1975
8895
DBOD.No.Ret.BC.53/C.178-75
Remittance Facilities
July 24, 1975
8896
ACD.BR.62/A.12-75/6
Agency Arrangements for Sale of Units on behalf of Unit Trust of India
July 15, 1975
8897
ACD.BR.24/A.12-75/6
Inclusion of Units in Trustee Securities
July 7, 1975
8898
DBOD.No.BP.BC.45/C.453-75
Institutional Arrangements for Financial Organistions Set up Exclusively for the Benefit of Certain Sectors
June 30, 1975
8899
ACD.ID.Plan.(IFS)3984/PR.474/74-5
Commodities Covered under Selective Credit Controls – Credit Facilities to Borrowers
June 17, 1975
8900
DBOD.No.CAS(SG)294/27-75
Study Group to Frame Guidelines for Follow-up of Bank Credit
May 19, 1975
8901
DBOD.No.B.P.730/C.319B-75
Employment of Indians and Non-Indians by Private/Public Limited Companies in the Public Sector
May 14, 1975
8902
DBOD.No.Dir.BC.38/C.96-75
Governor’s Circular – Credit Policy for Slack Season
May 8, 1975
8903
DBOD.No.Dir.BC.36/C.347-75
Interest Rates on Deposits
April 30, 1975
8904
DBOD.No.Dir.BC.37/C.347-75
Interest Rates on Deposits
April 30, 1975
8905
DBOD.No.Leg.BC.35/C.235-75
Section 20 of the Banking Regulation Act,1949 – General Order
April 30, 1975
8906
DBOD.No.Leg.195/C.235-75
General Order
April 29, 1975
8907
DBOD.No.ECC.BC.33/C.297P-75
Post-shipment credit given on Deferred Payment Terms
April 19, 1975
8908
DBOD.No.CAS.1068/C.446-75
Committee of Direction
April 19, 1975
8909
DBOD.No.CAS.BC.29/C.446(M)-75
Jute Industry
April 14, 1975
8910
DBOD.No.Inf.BC.27/C.107-75
Delay in Refund of Application Money by Companies to Subscribers in respect of Unallotted Shares
April 3, 1975
8911
ACD.ID.4982/J.33/74-5
Maximum Limit on Advances
March 27, 1975
8912
ACD.ID.4983/J.33/74-5
Maximum Limit on Advances
March 27, 1975
8913
ACD.Plan.(IFS)2827/PR.474/74-5
Advances against Foodgrains, Oilseeds, Oils (including Vanaspati), Sugar, Gur and Khandsari
March 15, 1975
8914
DBOD.No.Leg.BC.25/C.235-75
Section 20 of the Banking Regulation Act,1949 – Advances, etc. to Directors Clarification
March 14, 1975
8915
ACD.Plan.(IFS)2697/PR.474/74-5
Advances against Cotton and Kapas
March 11, 1975
8916
ACD.Plan.(IFS)2698/PR.474/74-5
Advances against Cotton and Kapas
March 11, 1975
8917
ACD.Plan.(IFS)2705/PR.474/74-5
Advances against Cotton and Kapas
March 11, 1975
8918
ACD.Plan.(IFS)2706/PR.474/74-5
Advances against Cotton and Kapas
March 11, 1975
8919
DBOD.No.B.P.328/C.464(L)-75
Sample Study of Newly Opened Branches of Banks
February 28, 1975
8920
DBOD.No.CAS.BC.18/C.446-75
Financing of a Borrower’s working Capital Requirements by More than one Bank – Recommendations of the study Group on Consortium Lending
February 24, 1975
8921
ACD.ID.4300/J.32-74/5
Interest Rates on Deposits
February 12, 1975
8922
ACD.ID.4301/J.32-74/5
Interest Rates on Deposits
February 12, 1975
8923
ACD.ID.4141/J.32-74/5
Interest Rates on Deposits
January 31, 1975
8924
ACD.ID.4142/J.32-74-5
Interest Rates on Deposits
January 31, 1975
8925
ACD.ID.4151/J.33/74-5
Maximum Limit on Advances
January 31, 1975
8926
ACD.ID.4152/J.33/74-5
Maximum Limit on Advances
January 31, 1975
8927
DBOD.No.BP.BC.12/C.453(U)-75
Scheme of Differential Rates of Interest – Guarantee Cover for Advances Granted under the Half-a-Million Jobs Programme
January 28, 1975
8928
DBOD.No.Leg.BC.10/C.234-75
Banking Regulation Act, 1949 – Exemption from the Provision of Note (f) Appended to the Form of Balance Sheet
January 22, 1975
8929
DBOD.No.Dir.BC.8/C.347-75
Interest Rates on Deposits
January 22, 1975
8930
ACD.RBL.675/J.-74/75
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Applications of Primary (Urban) Co-operative Banks Seeking Permission to Open New Places of Business etc.
January 21, 1975
8931
ACD.ID.3986/J.32-74/5
Interest Rates on Deposits
January 20, 1975
8932
DBOD.No.ACC.BC.6/C.297V-75
Bills Rediscounting Scheme – Rediscounting of Bills with Banks and Other Financial Institutions
January 18, 1975
8933
ACD.Plan.(IFS)2015/PR.474/74-5
Advances against Foodgrains, Oilseeds, Oils (including Vanaspati), Sugar, Gur and Khandsari
January 14, 1975
8934
DBOD.No.Dir.BC.4/C.347-75
Interest Rates on Deposits
January 14, 1975
8935
DBOD.No.Dir.BC.5/C.347-75
Interest Rates on Deposits
January 14, 1975
8936
DBOD.No.BP.BC.3/C.453(U)-75
Scheme of Differential Rates of Interest
January 11, 1975
8937
DBOD.No.CAS.BC.2/C.446(T)-75
Credit Authorisation Scheme – Advances to Sick Textile Mills taken-over by the National Textile Corporation
January 9, 1975
8938
ACD.OPR.2731/A.3/74-5
Advances against Cotton and Kapas
December 26, 1974
8939
ACD.OPR.2732/A.3/74-5
Advances against Cotton and Kapas
December 26, 1974
8940
ACD.OPR.2734/A.3/74-5
Advances against Cotton and Kapas
December 26, 1974
8941
ACD.OPR.2735/A.3/74-5
Advances against Cotton and Kapas
December 26, 1974
8942
ACD.OPR.2697/A.75/74-5
Credit Authorisation Scheme for Co-operative Banks
December 24, 1974
8943
DBOD.No.BP.BC.124/C.469(27)-74
Advice to Banks for Stepping up their Usual and Necessary Provisions and Appropriation to Reserves – The Points to be kept in mind while Deciding the Question of Appropriation/Disposal of Profits
December 12, 1974
8944
DBOD.No.CAS.BC.120/C.446-74
Extension of Credit Limits on Consortium/Participation Basis
November 25, 1974
8945
ACD.ID.2918/J.32-74/5
Interest Rates on Deposits
November 22, 1974
8946
ACD.ID.2919/J.32-74/5
Interest Rates on Deposits
November 22, 1974
8947
DBOD.No.CAS.BC.113/C.446-74
Study Group to Frame Guidelines for Follow-up of Bank Credit – Inventory Norms for Financing of Industries by Commerical Banks
November 8, 1974
8948
DBOD.No.Dir.BC.109/C.96-74
Governor’s Circular – Credit Policy for 1974-75 Busy Seaon
October 29, 1974
8949
DBOD NO.Leg.417/C.235C-74
General Order
October 24, 1974
8950
DBOD.No.Leg.B.C.108/C.235C-74
Section 20 of the Banking Regulation Act, 1949 – General Order
October 24, 1974
8951
DBOD.No.BP.BC.107/C.453(A)-74
Charging of Interest on Agricultural Advances
October 5, 1974
8952
ACD.RBL.384/J/74/75
Norms of Registration of New Urban Co-operative Banks
October 5, 1974
8953
DBOD.No.Ret.BC.102/C.236-74
Classification of Bills Rediscounted in the Weekly Return Under Section 42 of the Reserve Bank of India Act and Monthly Return in Form XII
October 5, 1974
8954
DBOD.No.Dir.BC.101/C.347-74
Interest Rates on Deposits
October 4, 1974
8955
DBOD.No.Dir.BC.100/C.96-74
Advances against National Savings Certificate/Post Office Time Deposits
October 1, 1974
8956
ACD.BR.266/A.21/74-5
Advances against Cotton and Kapas
September 28, 1974
8957
DBOD.No.B.P.1471/C.453C(l)-74
Farmers’ Service Societies – Rate of Interest
September 26, 1974
8958
DBOD.No.BP.1472/C.453C(A)-74
Financing of Primary Agricultural Credit Societies by Commerical Banks – Lending Rates for Short-term and Medium Term Loans for Agricultural Purposes
September 26, 1974
8959
DBOD.No.BL.BC.99/C.168-74
Perspective Plan for Branch Expansion in 1975-77
September 25, 1974
8960
DBOD.Leg.BC.91/C.466 (I)-74
Implementation of the Recommendations of the Banking Commission-Chapter11 of the Report
September 23, 1974
8961
DBOD.No.CAS.BC.88/C.446(M)-74
Advances to Jute Industry
September 20, 1974
8962
DBOD.No.BP.BC.86/C.453B-74
Valuation of Land held as Security for Agricultural Advances
September 16, 1974
8963
DBOD.No.Dir.BC.85/C.218-74
Commodities Covered under Selective Credit Controls – Credit Facilities to Borrowers
September 11, 1974
8964
ACD.BR.188/A.21(D)/74-5
Advances against Foodgrains, Oilseeds, Vegetable Oils (including Vanaspati), Sugar, Gur and Khandsari – Minimum Lending Rate
September 9, 1974
8965
ACD.OPR.1222/A.75/74-5
Credit Authorisation Scheme for Co-operative Banks
September 7, 1974
8966
ACD.OPR.1221/A.75/74-5
Directive
September 7, 1974
8967
ACD.Plan.IFS.550/HB.164-74/5
Issue of Guarantees – Guidelines to be Followed by Primary (Urban) Co-operative Banks
August 26, 1974
8968
DBOD.No.Sch.BC.81/C.347-74
Interest Rates on Deposits
August 16, 1974
8969
ACD.ID.936/J.32/7-45
Interest Rates on Deposits
August 16, 1974
8970
ACD.ID.935/J.32/74-5
Interest Rates on Deposits
August 16, 1974
8971
ACD. BR. 96/A.21(D)/74-5
Advances against Foodgrains, Oilseeds, Vegetable Oils, (including Vanaspati) , Sugar, Gur and Khandsari – Minimum Lending Rate
August 10, 1974
8972
ACD.BR.101/A.21/7-45
Advances against Cotton and Kapas
August 10, 1974
8973
ACD.BR.102/A.21/74-5
Advances against Cotton and Kapas – Minimum Lending Rate
August 10, 1974
8974
ACD.BR.104/A.21/74-5
Advances against Cotton and Kapas
August 10, 1974
8975
ACD.BR.105/A.21/74-5
Advances against Cotton and Kapas – Minimum Lending Rate
August 10, 1974
8976
ACD.BR.107/A.21/74-5
Advances against Cotton and Kapas
August 10, 1974
8977
ACD.BR.108/A.21/74-5
Advances against Cotton and Kapas – Minimum Lending Rate
August 10, 1974
8978
ACD.BR.110/A.21(C)/74-5
Advances against Groundnut, Mustardseed/Rapeseed, Castorseed and Linseed and Oils thereof and Vanaspati
August 10, 1974
8979
ACD.BR.111/A.21(C)/74-5
Advances against Groundnut, Mustardseed/Rapeseed, Castorseed and Linseed and Oils thereof and Vanaspati – Minimum Lending Rate
August 10, 1974
8980
D.O.NO.DBOD.Leg.BC.80/C.466(l)-74
Implementation of the Recommendations of the Banking Commission – Chapter 14 of the Commission’s Report
August 10, 1974
8981
DBOD.Leg.BC.79/C.466(I)-74
Implementation of the Recommendations of the Banking Commission
August 9, 1974
8982
DBOD.Leg.BC.76/C.466 (I)-74
Implementation of the Recommendations of the Banking Commission
August 8, 1974
8983
DBOD.No.CAS.BC.78/C.446-74
Extension of Credit Limits on Consortium/Participation Basis
August 8, 1974
8984
DBOD.No.Sch.BC.73/C.347-74
Interest Rates on Deposits
July 31, 1974
8985
DBOD.No.BM.RC.71/C.297(V)-74
Bills Discounted at the Instance of the Drawee
July 24, 1974
8986
DBOD.No.CAS.1520/C.446-74
Credit Authorisation Scheme
July 24, 1974
8987
DBOD.No.Sch.BC.63/C.96-74
Minimum Lending Rate
July 22, 1974
8988
DBOD.No.Sch.BC.61/C.96-74
Governor’s Circular – Review of Credit Policy
July 22, 1974
8989
DBOD.No.Sch.BC.67/C.347-74
Interest Rates on Deposits
July 22, 1974
8990
DBOD.No.Sch.BC.66/C.347-74
Interest Rates on Deposits
July 22, 1974
8991
ACD.BR.23/A.12(24)-74-5
Sections 18 and 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies), 42(1) of the Reserve Bank of India Act, 1934 Treatment of Loan/Subsidy/Grant etc. Received from the State Government
July 18, 1974
8992
DBOD.No.NAT.BC.57/C.453(U)-74
Scheme of Differential Rates of Interest
July 11, 1974
8993
DBOD.No.CAS.BC.56/C.446-74
Credit Authorisation Scheme
July 6, 1974
8994
DBOD.No.BM.BC.51/C.297V-74
Bills Rediscounting Scheme – Rediscount of Bills with Banks and Other Financial Institutions
June 24, 1974
8995
DBOD.No.Cre.BC.50/C.218-74
Movement of Wheat from Surplus to Deficit States
June 24, 1974
8996
DBOD.No.Sch.BC.62/C.96-74
Minimum Lending Rate
June 22, 1974
8997
ACD.RBL.1145/J/73/4
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Applications of Primary (Urban) Co-operative Banks Seeking Permission to Open New Places of Business etc.
June 14, 1974
8998
DBOD.No.Sch.B.C.46/C.110-74
Weekly Return Under Section 42(2) of the Reserve Bank of India Act, 1934
June 14, 1974
8999
ACD.RBL.1143/J/73-4
Opening of Branches by Primary (Urban) Co-operative Banks
June 14, 1974
9000
DBOD.No.CAS.1155/C.446(M)-74
Advances to Jute Industry
June 1, 1974
9001
DBOD.No.CAS.BC.45/C.446-74
Credit Authorisation Scheme
June 1, 1974
9002
DBOD.No.Nat.BC.42/C.453(U)-74
Scheme of Differential Rates of Interest
June 1, 1974
9003
DBOD.No.B.M.BC.44/C.297V-74
Commodities Covered under The Selective Credit Controls – Financing of Books Debts
May 30, 1974
9004
DBOD.No.Sch.BC.41/C.96-74
Maintenance of Minimum Balance Under Section 42 of the Reserve Bank of India Act, 1934
May 28, 1974
9005
ACD.RBL.1100/J/73-4
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Violation of the Provisions of Section 23
May 21, 1974
9006
ACD.BR.863/A.21/73-4
Advances against Cotton and Kapas
May 14, 1974
9007
ACD.BR.864/A.21/73-4
Advances against Cotton and Kapas
May 14, 1974
9008
DBOD.No.Sch.BC.37/C.347-74
Interest Rates on Deposits
May 2, 1974
9009
ACD:ID:9058/J:17/73-4
Grant of Secured Advances to Individuals by Co-operative Banks
April 30, 1974
9010
DBOD.No.Cre.BC.33/C.218(T)-74
Bank Advances to Cotton Textile Mills
April 25, 1974
9011
DBOD.No.Nat.BC.32/C.453(K)-74
Simplification of Lending Procedures in Respect of Agricultural Advances made by Commercial Banks
April 24, 1974
9012
DBOD.No.Nat.BC.31/C.453(A)-74
Repayment of Term Loans for Agricultural Purposes
April 23, 1974
9013
DBOD.No.Ret.BC.30/C.236-74
Section 24 of the Banking Regulation Act, 1949 – Returns in Form X
April 22, 1974
9014
DBOD.No.Sch.BC.28/C.96-74
Sectoral Deployment of Funds
April 18, 1974
9015
DBOD.No.GCS.BC.25/C.107(N)-74
Guarantee of Inter-Company Deposits/Loans by Commercial Banks
April 1, 1974
9016
ACD.RBL.916/J.1/73-4
Branch Expansion Programme of Co-operative Banks during the Fifth Five Year Plan
March 19, 1974
9017
DBOD.No.Nat.BC.20/C.469(F)-74
Finalisation of Accounts and Submission of Balance Sheet as at the 31st December 1973
March 5, 1974
9018
DBOD.No.Sch.BC.17/C.110-74
Section 42 of the Reserve Bank of India Act
February 22, 1974
9019
ACD.BR.578/A.21/73-4
Advances against Cotton and Kapas
February 2, 1974
9020
ACD.BR.579/A.21/73-4
Advances against Cotton and Kapas
February 2, 1974
9021
DBOD.No.Sch.BC.13/C.347-74
Interest Rates on Deposits
January 30, 1974
9022
DBOD.No.ARS.BC.10/C.452C-74
Section10A of the Banking Regulation Act, 1949 – Constitution of the Boards of Directors of Banks
January 15, 1974
9023
DBOD.No.BM.BC.7/C.297P-74
Pre-shipment Credit Scheme and Export Credit (Interest Subsidy) Scheme, 1968
January 12, 1974
9024
DBOD.No.Sch.BC.5/C.96-74
Sectoral Deployment of Funds – Providing Adequate Financial Assistance to Export Sector
January 11, 1974
9025
ACD.BR.496/A.21(D)/73-4
Advances against Foodgrains, Oilseeds, Vegetable Oils (including Vanaspati), Sugar, Gur and Khandsari
January 8, 1974
9026
ACD.BR.498/A.21(C)73-4
Advances against Groundnut, Mustardseed, Rapeseed, Castorseed and Linseed and Oils thereof and Vanaspati
January 8, 1974
9027
ACD.BR.499/A.21(C)/73-4
Advances against Groundnut, Mustardseed/Rapeseed, Castorseed and Linseed and Oilseed and Oils thereof and Vanaspati
January 8, 1974
9028
DBOD.No.GCS.BC.161/C.486-73
Writing Addresses in Hindi on the Envelopes to be sent to the Offices Located in Hindi Speaking Areas
December 29, 1973
9029
DBOD.No.Leg.B.C.159/C.233B.73
Amendments to the Form of Balance-Sheet Set out in the Third Schedule the Banking Regulation Act, 1949 and Classification of Inter-Bank Deposits in the Balance-Sheet
December 28, 1973
9030
DBOD.Sch.BC.157/C.96-73
Credit Control
December 24, 1973
9031
ACD.BR.446/A.21/73-74
Advances against Cotton and Kapas
December 17, 1973
9032
ACD.BR.447/A.21/73-4
Advances against Cotton and Kapas
December 17, 1973
9033
ACD.BR.449/A.21/73-4
Advances against Cotton and Kapas
December 17, 1973
9034
ACD.BR.450/A.21/73-4
Advances against Cotton and Kapas
December 17, 1973
9035
ACD.BR.452/A.21(C)/73-4
Advances against Groundnut/Mustardseed/Rapeseed, Castorseed and Linseed and Oils thereof and Vanaspati
December 17, 1973
9036
ACD.BR.453/A.21(C)/73-4
Advances against Groundnut, Mustardseed/Rapeseed, Castorseed and Linseed and Oils thereof and Vanaspati
December 17, 1973
9037
DBOD.No.Sch.BC.150/C.110-73
Section 42 of the Reserve Bank of India Act, 1934 – Payment of Interest on Additional Cash Reserves
December 14, 1973
9038
DBOD.No.Sch.BC.132/C.96-73
Advances against National Savings Certificate/Post Office Time Deposits
December 6, 1973
9039
ACD.BR.401/A.21(D)/73-4
Advances against Foodgrains, Oilseeds, Vegetable Oils (including Vnaspati), Sugar, Gur and Khandsari
November 30, 1973
9040
DBOD.No.Sch.BC.146/C.96-73
Credit Policy
November 30, 1973
9041
DBOD.No.GCS.B.C.139/C.486-73
Preparation of Annual Report for the Year 1972-73 – Inclusion of Information Regarding Progressive use of Hindi in the Annual Report
November 28, 1973
9042
DBOD.No.GCS.BC.134/C.486-73
Publication of Annual Reports, Etc. by the Companies/Corporations Owned or Controlled by the Central Government Simultaneously in Hindi as Well as English
November 21, 1973
9043
DBOD.No.GCS.BC.118/C.486-73
Publication of Statistical Pocket Books Bilingually
November 12, 1973
9044
DBOD.No.B.D.B.C.113/C.168-73
Perspective Plan for Branch Expansion for 1974-76
October 12, 1973
9045
ACD.RC.161/R(Gen)-73-4
Rehabilitation of Weak Central/Primary Co-operative Banks
October 5, 1973
9046
DBOD.No.CID.BC.112/C.127-73
Collection and Furnishing of Credit Information – Section 45C(1) of the Reserve Bank of India Act, 1934
October 5, 1973
9047
DBOD.No.BM.BC.108/C.297P-73
Packing Credit Advances – Financing of Export of Silver Ornaments/Wares
September 25, 1973
9048
DBOD.No.CAS.B.C.106/C.446(EL)-73
Credit Authorisation Scheme – Advances To State Electricity Boards
September 24, 1973
9049
DBOD.No.Sch.B.C.102/C.110-73
Weekly Return Under Section 42(2) of the Reserve Bank of India Act, 1934
September 6, 1973
9050
DBOD.No.GCS.BC.98/C.486-73
Issue of Advertisement in Hindi and English
August 22, 1973
9051
DBOD.No.BM.BC.96/C.297(M)-73
Export Credit (Interest Subsidy) Scheme, 1968
August 21, 1973
9052
ACD.BR.132/A.12(24)/73-4
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 18 and 24
August 7, 1973
9053
DBOD.No.Sch.BC.89/C.110-73
Weekly Return Under Section 42(2) of the Reserve Bank of India Act, 1934
August 4, 1973
9054
DBOD.No.CAS.BC.85/C.446-73
Credit Authorisation Scheme
July 25, 1973
9055
DBOD.No.BM.BC.81/C.297M-73
Pre-shipment Credit Scheme and Export Credit (Interest Subsidy) Scheme, 1968 – Packing Credit Facilities against Supplies to IBRD/IDA/UNICEF/Aided Projects/Programme in India
July 18, 1973
9056
DBOD.No.Sch.BC.80/C.96-73
Governor’s Circular – Review of Credit Situation and Refinance Poilcy for 1973-74
July 12, 1973
9057
DBOD.No.Nat.BC.76/C.453(C)(A)-73
Financing of Primary Agricultural Credit Socieites by Commercial Banks – Lending Rate for Short-term and Medium-term Loans for Agricultural Purposes
June 29, 1973
9058
ACD.BR.1199/A.12(24)/72-3
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 18 and 24
June 29, 1973
9059
ACD.Plan.3837/PR.28(Gen.)/72-3
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions
June 26, 1973
9060
DBOD.No.GCS.BC.74/C.486-73
First Meeting of the Reconstituted Central Hindi Committee held on the 20 December, 1972
June 22, 1973
9061
DBOD.No.Sch.BC.75/C.10-73
Weekly Return under Section 42(2) of the Reserve Bank of India Act, 1934
June 22, 1973
9062
DBOD.No.Leg.BC.73/C.234-73
Banking Regulation Act, 1949 – Exemption from the Provisions of Note (f) Appended to the Form of Balance Sheet
June 16, 1973
9063
DBOD.No.Sch.BC.71/C.96-73
Refinance Facilities Available from RBI against Export Credit – Modification
June 13, 1973
9064
DBOD.No.GCS.BC.69/C.486-73
Use of Hindi in Banks
June 12, 1973
9065
ACD.RC.646/R(Gen)/72/3
Rehabilitation of Weak Central and Primary Co-operative Banks
June 7, 1973
9066
DBOD.No.Sch.BC.68/C.96-73
x
June 6, 1973
9067
ACD.Plan.3542/PR.7(Gen)/72-3
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions 1973-4
June 5, 1973
9068
DBOD.No.Sch.BC.64/C.96-73
Clarification regarding Calculation of the Net Liquidity Ratio – Borrowings from SBI on Call Basis
June 4, 1973
9069
DBOD.No.GCS.BC.66/C.486-73
Programme for the Year 1972-73 for the Progressive Use of HIndi for the Official Purpsoes of the Union
June 1, 1973
9070
DBOD.No.BM.BC.58/C.297P-73
Refinancing under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme – Export of Precious and Semi-Precious Stones, Pearls and Synthetic Stones
May 31, 1973
9071
DBOD.No.Sch.BC.60/C.96-73
Section 42(1) of Reserve Bank of India Act, 1934 – Maintenance of CRR
May 31, 1973
9072
DBOD.No.Sch.BC.59/C.96-73
Governor’s Circular
May 30, 1973
9073
DBOD.No.BM.BC.56/C.297A-73
Packing Credit Advances for Export of Tea
May 28, 1973
9074
DBOD.No.GCS.BC.57/C.486-73
Scrutiny and Correction of Hindi Sign Boards and Notices appearing on Central Govt. Bldgs. and Structures in Hindi-speaking Areas
May 23, 1973
9075
DBOD.No.CAS.BC.55/C.446(M)-73
Advances to Jute Industry
May 18, 1973
9076
DBOD.No.GCS.BC.48/C.486-73
Use of Hindi in Banks
May 9, 1973
9077
DBOD.No.GCS.BC.47/C.48-73
Issue of Invitation Cards for Official Functions
May 3, 1973
9078
ACD.RBL.1233/B.72/3
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 23 – Application of Co-operative Banks Seeking Permission to Open New Places of Business etc.
May 2, 1973
9079
DBOD.No.GCS.BC.44/C.486-73
Use of Hindi in Banks
April 27, 1973
9080
DBOD.No.Sch.BC.40/C.96-73
Refinance Facility against Export Credit – Clarifications
April 25, 1973
9081
DBOD.No.Sch.BC.41/C.347-73
Interest Rates on Deposits
April 25, 1973
9082
DBOD.No.Sch.BC.42/C.347-73
Interest Rates on Deposits
April 25, 1973
9083
DBOD.No.GCS.BC.39/C.486-73
Signature in Hindi on Official Documents
April 23, 1973
9084
ACD.Plan.(IFS)3125/PR.413/72-3
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act, 1934 – Approved Industrial Units Outside the Co-operative Sector – 1973-4
April 18, 1973
9085
DBOD.No.GCS.BC.36/C.48-73
Use of Hindi in Banks
April 14, 1973
9086
DBOD.No.BM.BC.35/C.297P-73
Financing of Sea Food Exporters
April 7, 1973
9087
DBOD.No.GCS.BC.34/C.486-73
Use of Hindi in Banks
March 29, 1973
9088
DBOD.No.CAS.BC.29/C.446(CA)-73
Finance for the Cashew Industry
March 27, 1973
9089
DBOD.No.CAS.BC.33/C.446-73
CAS – Advances to Public Sector Undertakings
March 27, 1973
9090
DBOD.No.GCS.BC.32/C.486-73
Translation of Statutory and Non-Statutory Material in Hindi
March 27, 1973
9091
DBOD.No.Nat.BC.31/C.453(U)-73
Scheme of Differential Rates of Interest
March 27, 1973
9092
DBOD.No.BM.BC.28/C.297V-73
New Bills Market Scheme – Participation by Non-Financial Institutions
March 23, 1973
9093
DBOD.No.CAS.BC.25/C.446-73
CAS – Advances to Public Sector Undertakings
March 21, 1973
9094
DBOD.No.Nat.BC.24/C.464(A)-73
Credit Guarantee Corporation of India (Small Loans) Guarantee Scheme, 1971
March 21, 1973
9095
DBOD.No.Sch.BC.21/C.96-73
Governor’s Circular – Mid-term Review of Credit Situation
March 17, 1973
9096
DBOD.No.Sch.BC.22/C.347-73
Interest Rates on Deposits
March 17, 1973
9097
DBOD.No.Sch.BC.23/C.347-73
Interest Rates on Deposits
March 17, 1973
9098
DBOD.No.BD.BC.19/C.168-73
Section 23 of the Banking Regulation Act, 1949
March 8, 1973
9099
ACD.BR.797/A.12(29-31)/72-3
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 29 and 31 – Contingent Liabilities
March 2, 1973
9100
DBOD.No.Nat.355/C.453(C)-73
Financing of Primary Agricultural Credit Societies by Commercial Banks – Assignment of Charges created in favour of Societies
February 24, 1973
9101
DBOD.No.Nat.BC.17/C.469(78)-73
Janta Bank (Incorporated in Bangladesh) – Offer of Facilities
February 23, 1973
9102
DBOD.No.EFS.ROC.11/C.249-73
Books of Instructions
February 22, 1973
9103
DBOD.No.Nat.BC.14/C.469(F)-73
Finalisation of Accounts and Submission of Balance Sheet as at the 31-12-1972
February 13, 1973
9104
DBOD.No.Sch.BC.12/C.95-73
Purcahse of Local Cheques, Drafts, etc. during Suspension of Clearing
February 13, 1973
9105
DBOD.No.Ret.BC.10/C.236(G)-73
Sections 18 & 24 of the Banking Regulation Act, 1949 – Branch Adjustment Account
February 12, 1973
9106
DBOD.No.Ret.BC.8/C.236(G)-73
Classification of the ‘Branch Adjustment Account’ in the various Statutory Returns
February 12, 1973
9107
ACD.BR.718/A.12(20)72-3
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 20(1)(b)(ii)
February 6, 1973
9108
ACD.RC.412/T(Gen)-72/3
Rehabilitation of Weak Primary Co-operative Banks
February 6, 1973
9109
ACD.BR.709/A.21/72/73
Advances against Cotton and Kapas
February 5, 1973
9110
ACD.BR.710/A.21/72-73
Advances against Cotton and Kapas
February 5, 1973
9111
ACD.BR.713/A.21/72-3
Advances against Cotton and Kapas
February 5, 1973
9112
ACD.BR.712/A.21/72-3
Advances against Cotton and Kapas
February 5, 1973
9113
DBOD.Nat.222/C.469(W)-73
Advances to Coal Mines
February 1, 1973
9114
DBOD.No.CAS.BC.4/C.446(M)-73
Advances to Jute Industry
January 24, 1973
9115
DBOD.No.Nat.BC.3/C.453(K)-73
Application Forms for Agricultural Advances from Commercial Banks
January 19, 1973
9116
DBOD.No.Ins.BC.1/C.450-73
Advances against Shares
January 17, 1973
9117
DBOD.No.CAS.BC.131/C.446-73
Transfer of Accounts from One Bank to Another
January 13, 1973
9118
DBOD.No.Nat.14/C.453(K)Gen-73
Scheme of Rebate on Interest Operated by the Small Farmers Development Agencies and Marginal Farmers and Agricultural Labourer Agencies
January 3, 1973
9119
DBOD.No.CAS.2162/C.446(M)-72
Advances to Jute Industry
December 20, 1972
9120
DBOD.No.GCS.BC.129/C.492-72
Finance for the Coal Industry
December 20, 1972
9121
ACD.BR.554/A.12/72-3
Observance of Weekly Holiday by Banks
December 19, 1972
9122
DBOD.No.GCS.BC.126/C.124(V)-72
Balancing of Transactions relating to Clearing of Cheques, Drafts, etc.
December 18, 1972
9123
DBOD.No.CAS.BC.125/C.446-72
Credit Authorisation Scheme
December 18, 1972
9124
DBOD.No.Nat.2199/C.453(C)(A)-72
Financing of Primary Agricultural Credit Societies by Commercial Banks
December 18, 1972
9125
DBOD.No.GCS.BC.121/C.124(V)-72
Reconciliation of Inter-branch Accounts
December 12, 1972
9126
ACD.RBL.629/K.34 -72/3
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 18 and 24 – Return in Form I
December 12, 1972
9127
DBOD.No.BM.BC.119/C.297P-72
Packing Credit Advances – Financing of Export of Husk from Psyllium Seeds (Isabgol)
December 6, 1972
9128
DBOD.No.BM.BC.120/C.297P-72
Packing Credit Advances to Miners of Iron Ore in Goa who supply Ore to Exporters for Exports
December 6, 1972
9129
DBOD.No.CAS.BC.118/C. 446-72
Transfer of Accounts from One Bank to Another
December 4, 1972
9130
DBOD.No.EFS.BC.924/C.249-72
Technical or Management Advice
November 29, 1972
9131
DBOD.No.EFS.BC.925/C.249-72
Technical or Management Advice
November 29, 1972
9132
DBOD.No.Nat.2011/C.453(B)-72
Crash Programme for Providing Pumpsets to Farmers in Bihar
November 24, 1972
9133
ACD.Plan.1310/PR.36-72/3
Share Linking to Borrowings in Primary (Urban) Co-operative Banks
November 24, 1972
9134
DBOD.No.CAS.BC.112/C.446(H)-72
CAS – Advances to Sugar Industry – 1972-73 Crushing Season
November 17, 1972
9135
DBOD.No.Nat.BC.110/C.456(H)-72
Special Returns on Agricultural Advances
November 16, 1972
9136
ACD.RC.241-T(Gen)72-3
Rehabilitation of Weak Primary Co-operative Banks
November 13, 1972
9137
ACD.BR.446/A.12(19)/72-3
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 19
November 1, 1972
9138
DBOD.No.BM.BC.97/C.297(M)-72
Pre-shipment Credit Scheme and Export Credit (Interest Subsidy) Scheme, 1968 – Cash Incentives, Duty Drawbacks, etc.
October 30, 1972
9139
DBOD.No.Nat.BC.94/C.453(B)-72
Credit Facilities to the Agricultural Sector for Improved Types of Storage Structures
October 28, 1972
9140
ACD.LDB.625/B. 8-72/3
Assessment of Repaying Capacity and Valuation of Hyoptheca
October 24, 1972
9141
DBOD.No.Sch.BC.92/C.347-72
Interest Rates on Deposits
October 23, 1972
9142
DBOD.No.Nat.1740/C.469(78)-72
Banca Nationale Del Lavoro Rome – Offer of Facilities
October 18, 1972
9143
DBOD.No.Sch.BC.88/C.96(S)-72
Unsecured Advances Guaranteed by Credit Guarantee Corporation of India Ltd.
October 10, 1972
9144
ACD.Plan.849/PR.36/72-73
Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of India Act, 1934 to Primary (Urban) Co-operative Banks – Submission of Financial Particulars of the Small Scale Industrial Units
September 28, 1972
9145
DBOD.No.BD.5490/C.168-72
Section 23 of the BR Act, 1949 – Extension of the Period of Validity of Licenses
September 27, 1972
9146
DBOD No.CID.BC.83/C.127-72
Collection & Furnishing of Credit Information
September 20, 1972
9147
D.O.No.DBOD.Nat./C.456(F)-72
x
September 18, 1972
9148
DBOD.No.BM.BC.82/C.297-P-72
Packing Credit Advances – Financing of Export of Marine Products
September 14, 1972
9149
DBOD.No.ARS.BC.80/C.318(B)-72
Payment of Travelling Expenses to Whole-time Chairmen and Other Directors
September 14, 1972
9150
DBOD.No.BM.BC.81/C.297(P)-72
Bid Bonds and Performance Guarantees
September 14, 1972
9151
DBOD.No.BD.BC.77/C.168-72
Section 23 of the BR Act, 1949 – Branch Expansion Programme
September 9, 1972
9152
DBOD.No.GCS:BC.76/C.279-72
Term Finance to Tea Industry
September 9, 1972
9153
DBOD.No.BM.BC.74/C.297(M)-72
Pre-shipment Credit Scheme and Export Credit (Interest Subsidy) Scheme, 1968 – Cas Incentives Duty Drawbacks, etc.
August 30, 1972
9154
DBOD.No.Nat.1370/C.453(K)Gen-72
Financing of Dairy Development Schemes by Commercial Banks
August 21, 1972
9155
DBOD.No.Leg.193/C.235-72
General Order
August 10, 1972
9156
DBOD.No.Leg.BC.71/C.235-72
The Banking Regulation Act, 1949
August 10, 1972
9157
DBOD.No.BM.BC.70/C.297P-72
Packing Credit Advances – Financing of Export of Mineral Ores
August 9, 1972
9158
DBOD.No.Sch.BC.68/C.109-72
Bank Guarantee Scheme
July 31, 1972
9159
DBOD.No.GCS.BC.67/C.486-72
Issue of Advertisements in Hindi & English
July 29, 1972
9160
DBOD.No.BM.1261/C.297V(62)-72
Bills Rediscounting Scheme – Non-availability of Hundi Papers of Higher Denominations
July 27, 1972
9161
DBOD.No.Nat.BC.63/C.453(C)(A)-72
Financing of Primary Agricultural Credit Societies by Commercial Banks – Lending Rate for Short-term and Medium-term Loans for Agricultural Purposes
July 19, 1972
9162
DBOD.No.Sch.BC.62/C.96(AA)-72
Commitment Charge
July 19, 1972
9163
DBOD.No.BM.BC.61/C.297M-72
Export Credit (Interest Subsidy) Scheme,1968 – Calculation of Intererst Subsidy Claims
July 5, 1972
9164
DBOD.No.BM.BC.58/C.297P-72
Advances to Scheduled Banks under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme
June 16, 1972
9165
DBOD.No.Sch.BC.57/C.96(AA)-72
Commitment Charge
June 15, 1972
9166
DBOD.No.BD.BC.55/C.168-72
Intimation regarding Opening/Closing of Offices by Banks – Submission of Monthly Statment
June 10, 1972
9167
DBOD.No.Sch.BC.53/C.96-72
Advice to Banks to build up adequate Investments in Government and other Approved Securities and to Increase their SLR to 29%
June 5, 1972
9168
DBOD.No.Nat.BC.52/C.453(U)-72
Charging of Differential Rate of Interest on Advances by Public Sector Banks – Guidelines
June 3, 1972
9169
DBOD.No.GCS.BC.51/C.486-72
Use of Hindi in Banks
June 2, 1972
9170
DBOD.No.Nat.833/C.453(L)-72
Bank Advances against stocks of Fertilisers and Pesticides
May 30, 1972
9171
DBOD.No.CAS.BC.49/C.446(U)-72
Credit Facilities to the Coal Industry
May 26, 1972
9172
DBOD.No.BD.2558/C.168-72
Branch Expansion Programme – Report of the Administrative Reforms Commission on Treasuries
May 25, 1972
9173
DBOD.No.Leg.BC.46/C.234-72
Banking Regualtion Act, 1949
May 6, 1972
9174
DBOD.No.BM.BC.44/C. 297(A)-72
Advances under Section 17(4)(c) of the RBI Act, 1934 – Old Bill Market Scheme
May 2, 1972
9175
DBOD.No.Nat.634/C.464(M)-72
Statistics relating to Advances to Priority Sector
April 25, 1972
9176
ACD.IL.4152/A.3/71-2
Collection of Insurance Premia and Electricity Bills by Urban Co-operative Banks on behalf of their Constituents
April 20, 1972
9177
DBOD.No.Cre.BC.38/C.218-72
Advances against Commodities Covered by Selective Credit Controls – Clean T.T. Purchase Facility
April 13, 1972
9178
DBOD.No.Sch.BC.34/C.96-72
Clarification related to Refinance Facilities available to Scheduled Commercial Banks from Reserve Bank
April 8, 1972
9179
DBOD.No.Nat.471/C.456(G)-72
Advice to Banks to Furnish Information relating to Employees in all Categories
March 25, 1972
9180
DBOD.No.Nat.466/C.469-72
New Loan Applications
March 24, 1972
9181
DBOD.No.Sch.BC.28/C.347-72
Interest Rates on Deposits
March 24, 1972
9182
DBOD.No.Sch.BC.27/C.96(S)-72
Continuance of Exemption in respect of Inland D/A Bills for the purpose of Norm relating to Unsecured Advances/Guarantees
March 24, 1972
9183
DBOD.No.Nat.389/C.453(A)-72
Charging of Interest on Agricultural Advances
March 14, 1972
9184
DBOD.No.Nat.379/C.464(A)-72
Credit Guarantee Corporation of India (Small Loans) Guarantee Scheme, 1971
March 13, 1972
9185
DBOD.No.GCS.BC.25/C.486-72
Use of Hindi in Banks
March 11, 1972
9186
ACD.IL:3574/A.3/71-2
Linking of the Maximum Borrowing Power of the Primary (Urban) Co-operative Banks with their Owned Funds
March 8, 1972
9187
DBOD.No.GCS.BC.21/C.279-72
Advances to Tea Industry
March 8, 1972
9188
ACD:IL:3193/A:3/71-2
Loans Sanctioned by the Primary (Urban) Co-operative Banks for Unproductive Purposes such as for Consumption Expenditure
February 11, 1972
9189
ACD.IL.3195/A.3-71/72
Restrictions on Loans given by a Primary (Urban) Co-operative Bank to a Single Party
February 11, 1972
9190
ACD.IL:3197/A.3/71-2
Defaults in the Maintenance of Cash Reserve and Liquid Assets by the Urban Co-operative Banks
February 11, 1972
9191
DBOD.No.Nat.207/C.453-72
Scheme for Providing Employment to Unemployed Technical Personnel through Agro-Service Centres
February 8, 1972
9192
DBOD.No.Nat.194/C.464-72
Scheme Formulated by State Bank of India for Financing Small Weavers
February 4, 1972
9193
DBOD.No.BM.BC.16/C.297P-72
Advances to Scheduled Banks under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme
February 3, 1972
9194
DBOD.No.Nat.152, 153, 154/C.464(M)72
Statistics relating to Advances to the Priority Sectors
February 1, 1972
9195
DBOD.No.CID.BC.11/C.127-72
Collection and Furnishing of Credit Information
January 28, 1972
9196
DBOD.No.Leg.BC.13/C.181B-72
Advice to Banks to Submit a Return regarding Possession of Pakistani Property to the Custodian of Enemy Property for India – Government Notification
January 28, 1972
9197
DBOD.No.CAS.BC.9/C.446(U)-72
Credit Facilities to the Coal Industry
January 19, 1972
9198
DBOD.No.CAS.BC.6/C.446-72
Credit Authorisation Scheme
January 7, 1972
9199
DBOD.No.BM.BC.153/C.297A-71
Extension of the Bill Market Scheme under Section 17(4)(c) of RBI Act, 1934 for Refinancing Advances Granted by way of Defence Packing-cum-Supply Credit
December 31, 1971
9200
DBOD.No.CAS.BC.154/C.446(H)-71
CAS – Advances to Sugar Industry 1971-72 Season
December 29, 1971
9201
DBOD.No.GCS.BC.142/C.483-71
Governor’s Circular – Credit Needs of Industries Manufacturing and Supplying Goods for Defence Efforts, in the context of War Situation
December 11, 1971
9202
DBOD.No.CAS.1755/C.446-71
Advances to Shoddy and Woollen Mills
December 10, 1971
9203
DBOD.No.CAS.BC.141/C.446(T)-71
Advances to Textile Mills and Dealers
December 8, 1971
9204
DBOD.No.Nat.2051/C.452(H)-71
Advice to Foreign Banks regarding Provision for Bad and Doubtful Debts/Gratuity
December 7, 1971
9205
DBOD.No.Ret.BC.138/C.236-71
Borrowings from IDBI – Classification in the Balance Sheet
December 3, 1971
9206
DBOD.No.CAS.BC.137/C.446(H)-71
Advances to Sugar Industry – Payment of Cane Dues by Sugar Mills
November 27, 1971
9207
DBOD.No.Nat.1901/C.453(F)-71
Financing of Minor Irrigation Schemes
November 13, 1971
9208
DBOD.No.BD.BC.125/C.168-71
Section 23 of the BR Act, 1949 – Branch Expansion
November 9, 1971
9209
DBOD.No.Sch.BC.127/C.347-71
Interest Rates on Deposits
November 8, 1971
9210
DBOD.No.Nat.1715/C.453-71
Financing of Agricultural Development by Commercial Banks
October 14, 1971
9211
ACD:INSP:1505/E:0/71-2
Grant of Secured Advances to Individuals by Co-operative Banks
September 30, 1971
9212
ACD.BR.319/A.1/71-72
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 22 – Application for Licence by Primary Credit Societies which have Attained the Status of Primary Co-operative Banks
September 14, 1971
9213
DBOD.No.CAS.BC.112/C.446-71
Credit Authorisation Scheme
September 13, 1971
9214
DBOD.No.CAS.1200/C.446(M)-71
Financial Problems of Jute Industry
September 13, 1971
9215
DBOD.No.Cre.BC.106/C.218-71
Advances against Commodities Covered by Selective Credit Controls
August 23, 1971
9216
DBOD.No.FCS.1153/C.408(A)-71
Internal Controls in Banks
August 5, 1971
9217
DBOD.No.Sch.BC.96/C.347-71
Interest Rates on Deposits
August 5, 1971
9218
ACD.Plan.356/PR.36-71/2
Share Linking to Borrowings in Primary (Urban) Co-operative Banks
July 31, 1971
9219
ACD.Plan.358/PR.7(Gen)71-2
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions
July 31, 1971
9220
DBOD.No.CAS.BC.89/C.446-71
Credit Authorisation Scheme
July 22, 1971
9221
DBOD.No.Sch.BC.81/C.347(B)-71
Deposit-linked Life Insurance Scheme
June 29, 1971
9222
DBOD.No.CAS.BC.78/C.446(J)-71
CAS – Term Lending by Banks
June 26, 1971
9223
DBOD.No.Sch.BC.76/C.347-71
Interest Rates on Deposits
June 25, 1971
9224
ACD.Plan.BR.3919/PR.413-70/71
Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of India Act – Approved Industrial Units outside the Co-operative Sector
June 22, 1971
9225
ACD.Plan.3839/PR.7(Gen)/70-71
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions – 1971-72
June 21, 1971
9226
ACD:INSP:5173/F:15/70-71
Register for Unclaimed Deposits
June 17, 1971
9227
DBOD.No.BD.BC.73/C.168-71
Branch Expansion Programme
June 16, 1971
9228
DBOD.No.Nat.Cir.C.13/C.469-71
Procedure to be followed by Employees of Nationalised Banks while Applying for Employment elsewhere
June 9, 1971
9229
DBOD.No.Sch.BC.71/C.96-71
Advances against National Savings Certificates/Post Office Time Deposits
June 7, 1971
9230
DBOD.No.Sch.BC.67/C.347-71
Interest Rates on Deposits
June 7, 1971
9231
DBOD.No.Nat.BC.68/C.469-71
Inward Bills for Collection
May 31, 1971
9232
DBOD.No.BM.BC.62/C.297(M)-71
Pre-shipment Credit Scheme and Export Credit (Interest Subsidy) Scheme, 1968
May 21, 1971
9233
DBOD.No.CAS.BC.63/C.446-71
CAS – Term Lending by Banks
May 20, 1971
9234
DBOD.No.Nat.803/C.453(F)-71
Financing of Minor Irrigation Schemes
May 17, 1971
9235
DBOD.No.BD.BC.60/C.168-71
Intimation regarding Opening of Offices by Banks
May 12, 1971
9236
DBOD.No.Nat.685/C.452(D)-71
Deployment of Foreign Funds in Indian Business
April 22, 1971
9237
DBOD.No.Leg.BC.49/C.124(P)-71
Exemption from Quarterly Declarations by Banks of Gold Ornaments/Articles under Section 16 of the Gold (Control) Act, 1968
April 22, 1971
9238
DBOD.Sch.BC.38/C.96(AA)-71
Commitment Charge Levied by Banks
March 22, 1971
9239
DBOD.No.Sch.BC.36/C.347-71
Interest Rates on Deposits
March 22, 1971
9240
DBOD.No.Nat.477/C.464(G)-71
Credit Schemes of Banks with Particular Reference to Employment Potential
March 19, 1971
9241
DBOD.No.Ins.BC.32/C124(C)-71
Jenmikaram Payment (Abolition) Act, 1960 – Acceptance of Bonds Issued under the Act by the State of Kerala as Security for Advances
March 16, 1971
9242
DBOD.No.Sch.BC.28/C.347-71
Interest Rates on Deposits
March 4, 1971
9243
DBOD.No.Nat.351/C.453(F)-71
Financing of Minor Irrigation Schemes
March 1, 1971
9244
DBOD.No.CID.25/127-71
Collection and Furnishing of Credit Information – Section 45C(1) of the RBI Act, 1934
March 1, 1971
9245
DBOD.No.BM.BC.14/C.297P-71
Advances under Section 17(3A) of the RBI Act, 1934
February 12, 1971
9246
DBOD.No.Nat.189/C.453-71
Credit Facilities to the Agricultural Sector – Advances against Pumpsets
February 1, 1971
9247
DBOD.No.Nat.85/C.469(W)-71
Scheme for Rediscounting of Bills arising out of Deferred Payment Sales of Indigenous Machinery
January 18, 1971
9248
DBOD.No.Sch.BC.6/C.341-71
Interest Rates on Deposits
January 15, 1971
9249
DBOD.No.Sch.BC.3/C.347-71
Interest Rates on Deposits
January 8, 1971
9250
DBOD.No.Nat.3153/C.469(W)-70
Credit Facilities to Book Publishers and Book Traders
December 24, 1970
9251
DBOD.No.Nat.CIR.C.23/C.469(F)-70
Hindi Version of the Balance Sheet, etc.
December 16, 1970
9252
DBOD.No.Nat.C.24/C.456-70
Financing of Agricultural Development by Commercial Banks – Guidelines
December 16, 1970
9253
DBOD.No.Ins.1473/C.450-70
Advances against Shares
December 14, 1970
9254
DBOD.No.EFS.2519/C.249-70
Advances against Hypothecation of Stocks
December 9, 1970
9255
D.O.No.CPBDC.6/C.26-70/71
Financing of Agricultural Development by Commercial Banks – Guidelines
December 9, 1970
9256
DBOD.No.Nat.3046/C.469(45)-70
Public Relations and Publicity
December 7, 1970
9257
DBOD.No.EFS.2361/C.453-70
Financing of Minor Irrigation Schemes
November 10, 1970
9258
ACD.BR.463/A.12(19)/70-7
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 19
November 9, 1970
9259
DBOD.No.CIR.C.16/C.469(F)-70
Closing of Books and Preparation of Final Accounts
October 24, 1970
9260
DBDO.CPBDC.No.1872/145-70
Deposit Mobilisation by Banks
October 24, 1970
9261
DBOD.No.Sch.1610/C.96(S)-70
Unsecured Advances and Guarantees
October 23, 1970
9262
DBOD.NO.HINDI NO.204/14T.2B-70/71
Learning of Hindi Typewriting by Bank’s Employees
October 12, 1970
9263
ACD:INSP:1568/M:16/70-71
Forfeiture of Unclaimed Dividends by Co-operative Banks – Period of Limitation
October 5, 1970
9264
DBOD.No.Nat.CIR.C.11/C.469(F)-70
Section 10(7) of the Banking Companies (Acquisition and Transfer of Undertakings) Act, 1970 – Transfer of Balance of Profit to Central Government
October 5, 1970
9265
DBOD.No.EFS.2112/C.452(K)-70
Half-yearly Closing and Audit of Books as on the 30th June
September 26, 1970
9266
DBOD.No.Sch.1465/C.107-70
Mobilisation of Deposits – Incentive Scheme – Staff Involvement
September 18, 1970
9267
ACD.Plan.946/PR.413/70-71
Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of India Act, 1934 – Industrial Units
September 17, 1970
9268
DBOD.No.Rem.351/C.318(B)-70
Section 35B of the BR Act, 1949 – Amendments to Articles of Association
September 11, 1970
9269
DBOD.No.INS.827/C.450A-70
Advances against Shares
August 28, 1970
9270
DBOD.No.INS.828/C.450A-70
Advances against Shares
August 28, 1970
9271
DBOD.No.BM.1304/C.297(V)-70
Creation of a Bill Market in India
August 28, 1970
9272
DBOD.No.Sch.1308/C.96-70
Committment Charge
August 27, 1970
9273
DBOD.No.EFS.1811/C.452(X)-79
Section 228 of the Companies Act, 1956 – Audit of Branches
August 14, 1970
9274
DBOD.No.BD.2955/C.168-70
Lead Bank Scheme
August 11, 1970
9275
DBOD.No.Nat.2002/C.473-70
Personal Guarantees of Directors and Other Managerial Personnel of Borrowing Concerns
July 29, 1970
9276
ACD.BR.114/A.12(19)/70-71
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 19
July 27, 1970
9277
DBOD.No.INS.616/C.124(P)-70
Exemption from Quarterly Declarations by Banks of Gold Ornaments/Articles under Section 16 of the Gold (Control) Act, 1968
July 16, 1970
9278
DBOD.No.Ins.606/C.408(A)-70
Frauds in Banks
July 15, 1970
9279
DBOD.No.Nat.1694/C.469(F)-70
Closing of Books and Preparation of Final Accounts
July 3, 1970
9280
DBOD.No.CAS.952/C.446-70
Credit Authorisation Scheme
June 30, 1970
9281
DBOD.No.Nat.1448/C.469(F)-70
Printing and Publication of Balance Sheet, etc.
June 11, 1970
9282
DBOD.No.Leg.168/C.90(H)-70
Deduction of Tax under Section 194A of the Income Tax Act, 1961
June 8, 1970
9283
DBOD.No.EFS.1245/C.452(K)-70
Half-yearly Closing & Audit of Books
June 5, 1970
9284
DBOD.No.Ref.798/MPP(1)-70
Development of Managerial and Other Personnel
May 29, 1970
9285
DBOD.No.Sch.777/C.96-70
Levying Commitment Charge on Unutilised Portion of Limits Indicated by Borrowers
May 16, 1970
9286
ACD.Plan.4142/PR.414(7)/69-70
Setting up of the Industrial Section and Tehnical Group in State Co-operative Banks
May 15, 1970
9287
DBOD.No.Nat.964/C.469(F)-70
Audit of Balance Sheets of Nationalised Banks
April 29, 1970
9288
DBOD.No.Nat.975/C.469(F)-70
Closing of Book and Preparation of Final Accounts
April 29, 1970
9289
DBOD.No.Cre.729/C.218-70
Advances against Demand Documentary Bills Drawn in Connection with the Movement of Goods
April 11, 1970
9290
ACD.BR.1184/A.1/69-70
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
April 1, 1970
9291
DBOD.No.Sch.492/C.96-70
Directive
March 29, 1970
9292
DBOD.Sch.491/C.96-70
Commitment Charge in respect of Unutilised Portion of Credit Limits – Directive
March 28, 1970
9293
ACD.Plan.3290/PR.14(1)/69-70
State Government Guarantee for and on behalf of Co-operative Institutions and Charging of Guarantee Fee
March 20, 1970
9294
DBOD.No.BD.825/C.168-70
Branch Expansion Programme
February 25, 1970
9295
DBOD.No.EFS.313/C.249-70
Premises for Branches of Banks – Advances made to Landlords – Terms
February 6, 1970
9296
ACD.Plan.2481/PR.403/69-70
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Primary (Urban) Co-operative Banks and Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of India Act to Primary (Urban) Co-operative Banks
February 3, 1970
9297
ACD.Plan.2383/PR.414(9)/69-70
Financial Assistance under Section 17(2)(bb) of the Reserve Bank of India Act to Institutions Registered under the Societies Registration Act, 1860
January 27, 1970
9298
DBOD.No.BM.64/C.297P-70
Refinance under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme – Export of Precious and Semi-precious Stones, Pearls and Synthetic Stones
January 12, 1970
9299
DBOD.No.Cre.2953/C.218-69
Advances against Commodities Covered by Our Selective Credit Control Directives
December 31, 1969
9300
DBOD.No.B.D.4327/C.168-69
Branch Expansion Programme Allocations of Districts Under the
December 23, 1969
9301
ACD.BR.697/A.13/69-70
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Salary Earners/Employees’ Co-operative Credit Societies
December 17, 1969
9302
ACD.OPR.3472/M.1/69-70
Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of Undia Act to Primary Co-operative Banks
December 16, 1969
9303
ACD.Plan(INDC)1571/HB.164/69-70
Guidelines for the Guarantee Business of State Co-operative Banks
December 10, 1969
9304
ACD.OPR.3101/A.2/69-70
Financial Accommodation under Section 17(2)(bb) read with Section 17(4)(c) of the Reserve Bank of India Act – Form of Deed of Guarantee
November 17, 1969
9305
ACD:INSP:3102/M:16/69-70
Branch Manager’s Certificate – Adoption by Co-operative Banks
November 7, 1969
9306
ACD.Plan.1052/PR.7(Gen.)69-70
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to Share Capital of the Primary (Urban) Co-operative Banks – 1969-70
October 18, 1969
9307
ACD.Plan.558/PR.414(9)/69-70
Reserve Bank’s Working Group on Industrial Financing through Co-operative Banks – Recommendation Requiring Action on the Part of the State Government and the Urban Co-operative Banks
September 4, 1969
9308
DBOD.No.BM.1396/C.297A-69
Advances to Scheduled Banks under Section 17(4)(c) of RBI Act, 1934 – Refinancing Advances relating to SSI Units
August 27, 1969
9309
DBOD.No.CAS.1486/C.446-69
Credit Authorisation Scheme
August 19, 1969
9310
DBOD.No.BM.1316/C.297A-69
Advances under Section 17(4)(c) of the RBI Act, 1934 – Refinancing Fertiliser Credit
August 14, 1969
9311
ACD.Plan.311/PR.7(Gen.)/69-70
Loans from the National Agricultural Credit (Long-term Operations) Fund for Contribution to the Share Capital of Co-operative Credit Institutions 1969-70
August 4, 1969
9312
DBOD.No.Sch.1140/C.96-69
Loans to Finance Budla Transactions in Silver – Advice to Banks not to Support Speculative Activity
July 12, 1969
9313
DBOD.No.BM.1152/C.297(M)-69
Advances to Scheduled Banks under Section 17(3A) of the RBI Act, 1934
July 11, 1969
9314
DBOD.No.BM.1064/C.297P-69
Refinance under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme – Export of Diamonds
July 1, 1969
9315
DBOD.No.Sch.1051/C.96(S)-69
Unsecured Advances made to Exporters made on Consignment Basis to be excluded for the purpose of Norm
July 1, 1969
9316
ACD.OPR.7377/M.1/68-9
Financial Accommodation under Section 17(2)(bb) or (4)(c) of the Reserve Bank of India Act, 1934
June 28, 1969
9317
DBOD.No.BM.1040/C.297P-69
Refinance under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme – Export of Leather and Leather Goods through the STC
June 27, 1969
9318
DBOD.No.Ins.648/C.124(C)-69
Profit on Sale of Fixed Assets like Land, Premises, etc.
June 26, 1969
9319
DBOD.No.Sch.1001/C.96Z-69
Bank Guarantees
June 23, 1969
9320
DBOD.No.BL.2155/C.168-69
Branch Expansion Programme – Distance Stipulation
June 19, 1969
9321
DBOD.No.BM.984/C.297P-69
Refinance under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme
June 19, 1969
9322
ACD.OPR.8000/C.1/68-9
Loans and Advances to Co-operative Banks – Execution of Guarantee Deeds by the State Government
June 18, 1969
9323
ACD.Plan.3097/PR.414/(4)/68-9
Working Group on Industrial Financing through Co-operative Banks – Recommendations pertaining to the State Governments – Action Required
June 18, 1969
9324
ACD.BR.1506/A.1/68-9
The Banking Regulation Act, 1949 (As Applicable to Co-operative Societies)
June 18, 1969
9325
ACD.Plan.3109/PR.414(9)/68-9
Working Group on Industrial Financing through Co-operative Banks : Recommendations pertaining to the Urban Co-operative Banks – Action Required
June 18, 1969
9326
DBOD.No.BM.931/C.297P-69
Refinance under Section 17(3A) of the RBI Act, 1934 – Pre-shipment Credit Scheme
June 9, 1969
9327
DBOD.No.BM.919/C.297A-69
Post-shipment Finance
June 6, 1969
9328
DBOD.No.CAS.969/C.446-69
Credit Authorisation Scheme
May 12, 1969
9329
DBOD.No.Ref.436/C.456-69
Advances against Immovable Property
April 19, 1969
9330
DBOD.No.CAS.733/C.446-69
Credit Regulation Scheme
April 8, 1969
9331
DBOD.No.BM.682/C.297K-69
Export Credit
April 7, 1969
9332
DBOD.No.BM.680/C.297K-69
Opening of Export Counsel Offices in Banks
April 7, 1969
9333
DBOD.No.BM.588/C.297A-69
Refinancing Packing Credit Advance relating to Export of Ores through the Minerals & Metals Trading Corpn.
March 26, 1969
9334
DBOD.No.BM.511/C.297A-69
Bill Market Scheme
March 18, 1969
9335
DBOD.No.BM.422/C.297A-69
Packing Credit Advances relating to Export of Tobacco
March 10, 1969
9336
DBOD.No.BM.426/C.297A-69
Refinancing Packing Credit Advances relating to Export of Dressed Bristles
March 10, 1969
9337
DBOD.No.BM.254/C.297A-69
Packing Credit Advances
February 14, 1969
9338
DBOD.No.BL.490/C.168-69
Branch Expansion Programme
February 11, 1969
9339
DBOD.No.Leg.33/C.233-69
General Order
February 1, 1969
9340
DBOD.No.Leg.39/C.233-69
The Banking Regulation Act, 1949 as amended by the Banking Laws (Amendment) Act, 1968
February 1, 1969
9341
DBOD.No.CAS.194/C.446-69
Credit Limits
January 27, 1969
9342
ACD.BR.760/A.1/68-9
The Banking Laws (Amendment) Act, 1968
January 23, 1969
9343
DBOD.No.BM.78/C.297(M)-69
Refinancing of Pre-shipment Credit
January 20, 1969
9344
DBOD.No.BM.1489/C.297A-68
Packing Credit Advances
November 7, 1968
9345
ACD.Plan.699/PR.413/68-9
Financial Accommodation under Section 17(2)(bb) or 4(c) of the Reserve Bank of India Act for Financing Cottage and Small Scale Industries – Policy
October 10, 1968
9346
DBOD.No.Ins.881/C.408B-68
Organisation and Methods Unit in Banks
September 30, 1968
9347
ACD.BR.231/A.20(8)/68-9
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 8
August 28, 1968
9348
DBOD.No.BM.1179/C.297A-68
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to Export of Cashewnuts
August 19, 1968
9349
DBOD.No.Sch.2381/C.96(Z)-68
Bank Guarantees
August 14, 1968
9350
DBOD.No.Sch.2342/C.96S-68
Advances against Book Debts
August 8, 1968
9351
DBOD.No.CAS.1185/C.446-68
Credit Limits
July 22, 1968
9352
DBOD.No.CAS.1121/C.446-68
Credit Limits
July 11, 1968
9353
DBOD.No.BM.990/C.297A-68
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to the Export of Coffee
July 3, 1968
9354
ACD.BR.1/A.12(19)/68-9
Section 19 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Restriction on Holding Shares in Other Co-operative Societies
July 1, 1968
9355
ACD.BR.3/A.12(19)/68-9
Section 19 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Restriction on Holding Shares in Other Co-operative Societies
July 1, 1968
9356
DBOD.No.BM.974/C.297A-68
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to the Export of Cashewnuts
June 27, 1968
9357
DBOD.No.EFS.1068/C.249-68
Advances against Real Estate
June 19, 1968
9358
DBOD.No.EFS.1018/C.249-68
Unsecured Advances
June 11, 1968
9359
DBOD.No.BM.883/C.297(A)-68
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to Exports
June 5, 1968
9360
DBOD.No.BM.804/C.297A-68
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to Exports
May 23, 1968
9361
DBOD.No.BM.785/C.297A-68
Extension of Bill Market Scheme for Refinancing Packing Credit Advances relating to the Export of Cashwenuts
May 18, 1968
9362
DBOD.No.783/C.297A-68
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to Export of Jute Goods
May 17, 1968
9363
DBOD.No.Leg.59/C.90(H)-68
The Banking Regulation Act, 1949
April 19, 1968
9364
ACD.BR.1454/A.1/67-8
Position of Term Deposits Accepted prior to the Commencement of the Banking Laws (Application to Co-operative Societies) Act, 1965 by a Co-operative Society other than a Primary Credit Society or a Co-operative Bank
April 8, 1968
9365
DBOD.No.BM.558/C.297A-68
Packing Credit Facilities to Exporters
April 6, 1968
9366
DBOD.No.Sch.481/C.96S-68
Unsecured Advances
March 30, 1968
9367
DBOD.No.Sch.421/C.96(S)-68
Unsecured Advances – Advances against Supply Bills Drawn on Central/State Governments
March 19, 1968
9368
DBOD.No.Ins.236/C.453-68
Credit Facilities to the Agricultural Sector
March 13, 1968
9369
DBOD.No.Sch.359/C.96S-68
Unsecured Advances – Inland D/A Bills having a Usance of 90 Days
March 7, 1968
9370
DBOD.No.EFS.213/C.249-68
Advances against Real Estate
February 13, 1968
9371
DBOD.No.EFS.151/C.450-68
Advances against Shares
January 31, 1968
9372
DBOD.No.BL.99/C.168-68
Section 23 of the BR Act, 1949 – Opening of Mobile Offices
January 19, 1968
9373
DBOD.No.EFS.61/C.450-68
Advances against Shares – Additional Guidelines
January 13, 1968
9374
DBOD.No.Sch.68/C.96(S)-68
Unsecured Advances – Guidelines
January 12, 1968
9375
ACD.BR.903/A.12(19)/67-8
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Section 19 – Restriction on Holding of Shares in Other Co-operative Societies
December 22, 1967
9376
DBOD.No.Sch.1850/C.96Z-67
Bank Guarantees
December 7, 1967
9377
DBOD.No.Sch.1794/C.96Z-67
Bank Guarantees
November 29, 1967
9378
DBOD.No.BM.683/C.297A-67
Extension of the Bill Market Scheme for Refinancing Packing Credit Advances relating to Exports
November 25, 1967
9379
ACD.BR.750/B.1/67-8
The Banking Laws (Application to Co-operative Societies) Act, 1965
November 24, 1967
9380
DBOD.No.EFS.1102/C.450-67
Advances against Shares – Guidelines – Clarification
November 18, 1967
9381
DBOD.No.Sch.1720/C.110-67
Classification of Usance Bills in the Weekly/Monthly Returns
November 16, 1967
9382
DBOD.No.Sch.1693/C.96S-67
Advances against Shares and Unsecured Advances – Guidelines
November 8, 1967
9383
ACD.BR.399/A.12(11)67-8
Inspection of Urban Co-operative Banks – Share Capital & Reserves
September 12, 1967
9384
DBOD.No.Sch.1296/C.96Z-67
Bank Guarantees
August 21, 1967
9385
DBOD.No.Sch.1288/C.96Z-67
Guarantee Business Undertaken by Banks
August 17, 1967
9386
DBOD.No.Sch.1069/C.96Z-67
Guarantee Business of Banks – Guidelines – Clarification
July 11, 1967
9387
DBOD.No.BL.602/C.168-67
Section 23 of the Banking Regulation Act, 1949 – Change of Location of Offices
June 2, 1967
9388
DBOD.No.Sch.666/C.96Z-67
Guidelines and Norms for Guarantee Business Undertaken by Banks
May 3, 1967
9389
DBOD.No.Ret.30/C.254-67
The Banking Regulation Act, 1949 – Form of Balance Sheet set out in the Third Schedule
February 13, 1967
9390
ACD.BR.1169/A.17/66-7
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Urban Banks and Non-Agricultural Credit Societies other than Salary Earners/Employees Co-operative Credit Societies
December 3, 1966
9391
ACD.OPR.3156/B.1/66-7
Deeds of Guarantee – Loans and Advances by Reserve Bank of India
October 31, 1966
9392
ACD.IL.677/A.6/66-7
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Salary Earners/Employees Co-operative Credit Societies
September 19, 1966
9393
ACD.BR.351/A.12/66-7
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Sections 29 and 31 – Preparation of Balance Sheet and Profit and Loss Account and their Submission of Returns by Co-operative Banks
July 25, 1966
9394
ACD.BR.286/A.13/66-7
Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Salary Earners/Employees Co-operative Credit Societies
July 20, 1966
9395
ACD.Plan.189/PR. 389/66/7
Payment of Bonus Act, 1965
July 16, 1966
9396
ACD.OPR.208/B.1/66-7
Deeds of Guarantee – Loans and Advances by Reserve Bank of India
July 11, 1966
9397
ACD.BR.1454/A.1/65/6
Banking Laws (Application to Co-operative Societies Act, 1965 – Primary Co-operative Banks
June 1, 1966
9398
ACD.RBL.17/B/65-6
The Banking Laws (Application to Co-operative Societies) Act, 1965 – Application for Permission to Open a New Place of Business under Section 23 of the Banking Regulation Act, 1949 – Form V
April 13, 1966
9399
ACD.BR.694/A.12(24)-65/66
Section 24 of the Banking Regulation Act, 1949 (As Applicable to Co-operative Societies) – Maintenance of Percentage of Assets
April 11, 1966
9400
ACD.BR.696/A.12(18)/65-6
Banking Laws (Application to Co-operative Societies) Act, 1965
April 11, 1966
9401
ACD.BR.392/B.1-65/66
The Banking Laws (Application to Co-operative Societies) Act, 1965
March 1, 1966
9402
ACD.BR.390/A.1/65-66
Section 20 of the Banking Regulation Act – Unsecured Loans or Advances by the Primary Co-operative Banks to their Directors
March 1, 1966
9403
ACD.BR.388/A.11(19)65-6
Section 19 of the Banking Regulation Act – Restriction on Holding Shares in Other Co-operative Societies
March 1, 1966
9404
ACD.BR.333/A.1-65/66
The Banking Laws (Application to Co-operative Societies) Act, 1965
February 9, 1966
9405
ACD.BR.236/A.1-65/66
The Banking Laws (Application to Co-operative Societies) Act, 1965 – Position of Salary Earners/Employees Co-operative Credit Societies
January 13, 1966
9406
DBOD.No.Ret.310/C.236-65
The Banking Regulation Act, 1949 – Returns in Form XII (Revised)
December 31, 1965
9407
ACD.BR.198/A.1-65/66
Banking Laws (Application to Co-operative Societies) Act, 1965-6 – Primary Co-operative Banks
December 22, 1965
9408
DBOD.No.CAS.11/C.446-65
Credit Limits
December 8, 1965
9409
DBOD.No.BL.1639/C.168-65
Section 23 of The Banking Companies Act, 1949 – Record of Shifted Offices/Depts.
November 12, 1965
9410
DBO.No.Ref.606/C.215-64
Preservation of Banks’ Records
October 16, 1965
9411
DBOD.No.EFS.540/C.196-65
Fixed and Short-term Deposits
April 9, 1965
9412
DBO.No.Sch.192/C.96-65
Advances to Parties Affected by Cutailment of Hundi Accommodation by Indigenous Bankers
February 9, 1965
9413
DBO.No.Rem.102/C.267A-64
Rule 5 of the Banking Companies Rules, 1949 – Return in Form I
October 22, 1964
9414
DBO.No.Ret.10066/C.236-64
Section
August 14, 1964
9415
DBO.No.Cre.8218/C.218(K)-64
Clean Advances
July 2, 1964
9416
DBO.No.Rem.5967/C.318(B)-64
Accumulation of Earned Leave, Retirement Age, etc. of the Chief Executives of Banks
May 11, 1964
9417
DBO.No.Ref.835/C.215-64
Preservation of Banks’ Records
January 22, 1964
9418
DBO.No.Ref.50/C.215-64
Preservation of Banks’ Records
January 4, 1964
9419
DBO.No.Ref.15127/C.215-63
Preservation of Banks’ Records
December 24, 1963
9420
DBO.No.CIB.12532/C.421-63
Limits Sanctioned and Utilisation thereof
November 2, 1963
9421
DBO.No.Leg.11977/C.236-63
Keeping of Deposits by Banks with Business Houses
October 22, 1963
9422
DBO.No.Ref.11527/C.215-63
Preservation of Banks Records
October 10, 1963
9423
DBO.No.BM.2732/C.297K-63
Export Bills Credit Scheme
March 13, 1963
9424
DBO.No.Bom.2061/C.236(D)-63
RBI Act, 1934 – Weekly Returns – The Banking Companies Act, 1949 – Returns in Form III, X & XI
February 25, 1963
9425
DBO.No.Sch.384/C.96-63
Investment in Govt. Securities by Trusts, Provident Funds and Other Unincorporated Bodies
January 11, 1963
9426
DBO.No.Sch.3268/C.96-62
National Plan Savings Certificates – Section 9B(1) of the Public Debt Act, 1944
April 2, 1962
9427
DBO.No.Sch.2448/C.96-62
Ten Year Treasury Savings Deposit Certificates – Acceptance as Security against Loans
March 14, 1962
9428
DBO.No.Sch.1614/C.96-62
Ten Year Treasury Savings Deposit Certificates – Section 9B(1) of the Public Debt Act, 1944
February 17, 1962
9429
DBO.No.Bom.500/C.236-62
The Banking Companies Act, 1949 and The Companies Act, 1956 – Distinction between Provision & Reserve
January 15, 1962
9430
DBO.No.Ref.8457/C.124(C)-60
Advertisement by Banks regarding Working Capital/Funds
October 25, 1960
9431
DBO.No.Sch.8279/C.96-60
Ten Year Treasury Savings Deposit Certificates – Endorsements made under Old Rule 7-A
October 18, 1960
9432
DBO.No.Sch.7397/C.107-60
Employment of Senior Officers of Banks who have left Service of Other Banks
September 22, 1960
9433
DBO.No.Sch.9417/C.218-59
Rediscounting of Clean Usance Hundis
December 11, 1959
9434
DBO.No.Bom.9168/C.236-59
Borrowings from the Refinance Corporation for Industry (Pvt.) Ltd. – Classification in the Balance Sheet
December 2, 1959
9435
DBO.No.Leg.8259/C.235-59
Sections 15 & 17 of the Banking Companies Act, 1949
October 28, 1959
9436
DBO.No.Bom.7818/C.236-59
The Banking Companies Act, 1949 and The Companies Act, 1956 – Distinction between Provision & Reserve
October 15, 1959
9437
ACD.OPR:2058-AC.16/59
Maintenance of Demand, Collection and Balance Register
July 28, 1959
9438
DBO.No.Sch.2531/C.103(B)-59
Banking Statistics as on March 31
April 1, 1959
9439
DBO.No.Sch.1905/C.96-58
Advances against Savings Certificates
March 20, 1958
9440
ACD:3014/F(See)-9-56
Treatment of Accured Interest in the Balance Sheet
June 19, 1956
9441
DBO.No.Ref.2124/C.107-54
Relaxation of Procedure for Issue of Duplicates in the case of Govt. Promissory Notes Lost or Destroyed in Air Accidents
April 14, 1954
9442
DBO.No.1993/C.212-50
The Banking Companies Act, 1949
April 18, 1950
9443
DBO.No.3797/C.207-48
Investments of Scheduled Banks in Government Securities
August 10, 1948
9444
DBO.No.579/52B-46
Profits on Sale of Securities & Shares
July 31, 1946
9445
ACD.No.1096/BS.C.55-44
Advances against Government Securities
April 22, 1944

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