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Master Circular on Risk Management and Inter-Bank Dealings

Last updated: 01 July 2010

 Notice Date : 01 July 2010

 Master Circular on Risk Management and Inter-Bank Dealings

RBI/2010-11/14

Master Circular No. 14/2010-11

July 1,  2010

To,

All Authorised Dealers - Category I Banks

Madam / Sir,

Master Circular on Risk Management and Inter-Bank Dealings

Foreign Exchange Derivative Contracts, Overseas Commodity & Freight  Hedging, Rupee Accounts of Non-Resident Banks, Inter-Bank Foreign Exchange Dealings, etc. are governed by the provisions in Notification No. FEMA 1/2000-RB, Regulation 4(2) of Notification No. FEMA 3/RB-2000 and Notification No. FEMA 25/RB-2000 dated May 3, 2000 and subsequent amendments thereto.

2. This Master Circular consolidates the existing instructions on the subject of "Risk Management and Inter-Bank Dealings"at one place. The list of underlying circulars/notifications is set out in Appendix.

3. This Master Circular is issued with a sunset clause of one year. This circular will stand withdrawn on July 1, 2011 and would be replaced by an updated Master Circular on the subject.

Yours faithfully,

Salim Gangadharan

Chief General Manager- in- Charge

 

 

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Notification No : Master Circular No. 14/2010-11
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