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Last Updated on: Thursday, 20 August 2026

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Foreign Exchange → Export Trade
SL Title
21 Export under open account credit terms backed by payment undertaking/ payment risk coverage from local insurance companies. Ref: FEPD Circular No. 39 dated 07-Oct-2025.
22 Receipts of advance remittances against exports. Ref: FEPD Circular Letter No. 31 dated 25-Sep-2025.
23 Regarding inclusion of raw jute as a conditional exportable item in Annex-2 of Export Policy 2024-2027. Ref: FEPD Circular Letter No. 30 dated 14-Sep-2025.
24 Retention of export proceeds in foreign currency by Type B and Type C industrial enterprises of specialized zones. Ref: FEPD Circular No. 32 dated 10-Aug-2025.
25 Foreign exchange regulations – export trade transactions. Ref: FEPD Circular No. 31 dated 31-Jul-2025.
26 Export under open account credit terms against payment undertaking/payment risk coverage with option of early payment arrangement on non-recourse basis. Ref: FEPD Circular Letter No. 22 dated 19-Jun-2025.
27 Declaration of export value on EXP Form. Ref: FEPD Circular Letter No. 21 dated 18-Jun-2025.
28 Notification regarding government revenue fees for exporting raw jute and jute products abroad. Ref: FEPD Circular Letter No. 17 dated 24-Apr-2025.
29 Resolving Existing Difficulties of Raw Jute Exporters. Ref: BRPD Circular Letter No. 04 dated 16-Feb-2025.
30 Retention of export proceeds in back to back settlement pool. Ref: FEPD Circular Letter No. 06 dated 09-Feb-2025.

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Banking Information

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