Skip to content
Home Interest Rates Schedule of Charges Exchange Rates Site Map
Feedback

Banking Information

Stay Updated

Last Updated on: Thursday, 20 August 2026

  • About
  • General Banking
    • AC Opening
    • Deposit Management
    • Cash Management
    • Clearing
    • Accounts
    • Logistics/ General Services
    • Customer Services
  • Credit Operations
    • Own Bank Finance
    • Bangladesh Bank Finance
    • Int'l Agency Finance
    • Credit Management
    • Credit Administration
    • Credit Monitoring
    • Credit Recovery
  • Foreign Exchange
    • Forex Fundamentals
    • Inward Remittance
    • Outward Remittance
    • Import Trade
    • Export Trade
    • Export Incentive
    • Offshore Banking
    • Forex Reporting
  • Branch Compliance
    • AML & Terrorist Financing
    • Fraud & Forgeries
    • Comprehensive Inspection
    • Acts and Rules and Ordinance
  • Head Office
    • Board of Directors
    • Human Resources
    • General Services
    • Financial Administration
    • Treasury Management
    • International Banking
    • Information Technology
    • Risk Management
  • Reporting
    • Statement Frequency
    • Daily
    • Weekly Statement
    • Monthly Statement
    • Quarterly Statement
    • Half-Yearly Statement
    • Yearly Statement
  • Channel Banking
    • Agent Banking
    • Digital Banking
    • Card Services
  • Banking Services
    • Bancassurance
    • E-Tender
    • Nat'l Savings Scheme
    • NRB Remittance
    • Islamic Banking
Foreign Exchange → Forex Reporting → Miscellaneous Reporting
SL Title
1 Regarding Monthly Statement of LC/Contract Opening and Settlement for 26 Essential Commodities. Ref: FEOD-1 Circular Letter No. 01 dated 11-Mar-2026.
2 Regarding Post Import Financing-PIF statement  Data Input Template. Ref: DOS Circular Letter No. 31 dated 30-Dec-2024.
3 Regarding the inclusion of OBU (Offshore Banking Units) data in SBS-2, SBS-3, and interest rate statements. Ref: SD Circular No. 01 dated 26-Nov-2024.
4 Information regarding Post Import Financing. Ref: DOS Circular Letter No. 02 dated 08-Jan-2024.
5 Submission of statement by Bangladeshi Shipping Companies/Airlines. Ref: SPA Circular No. 01 dated 10-Apr-2023.
6 Regarding data submission of Foreign Direct Investment according to new time schedule. Ref: SD Circular Letter No. 02 dated 16-Feb-2023.
7 Regarding Allocation of OBU code for Bank Companies. Ref: SD Circular No. 03 dated 21-Mar-2022.
8 Regarding submission of statement of VAT deducted at source against services provided by non residents. Ref: FEPD Circular Letter No. 29 dated 10-Nov-2021.
9 Submission of statement of VAT deducted at source against services provided by non residents. Ref: FEPD Circular Letter No. 21 dated 25-Aug-2021.
10 Information regarding Post Import Financing. Ref: DOS Circular Letter No. 34 dated 18-Aug-2021.

Posts pagination

1 2 Next

Banking Information

The Banking Circular is an independent website dedicated to publishing Bangladesh Bank circulars, banking guidelines, notices and reference materials for bankers, students and researchers.

Categories

  • General Banking
  • Credit Operations
  • Foreign Exchange
  • General Banking
  • Head Office

Useful Links

  • Bangladesh Bank
  • BIDA
  • Ministry of Finance

Contact

  • Dhaka-1207, Bangladesh
  • WhatsApp: +88 01 712259310
  • info@thebankingcircular.com
⇧
Disclaimer| Privacy Policy| Terms of Use
© 2026 The Banking Circular. All Rights Reserved.
Designed & Developed by Md. Hafizur Rahman