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Last Updated on: Thursday, 20 August 2026
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Foreign Exchange → Outward Remittance → Commercial Remittance - PART-I
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Title
1
Remittance against overseas tour packages. Ref: FEPD-1 Circular No. 28 dated 09-Aug-2026.
2
Facilitating the receipt of inward remittance from alternative entities by licenced freight forwarders. Ref: FEPD-2 Circular No. 04 dated 08-Jun-2026.
3
Foreign exchange regulations regarding outward remittances on account of transportation services. Ref: FEPD-1 Circular No. 08 dated 07-May-2026.
4
Remittances against current account transactions. Ref: FEPD Circular No. 23 dated 19-Jun-2025.
5
Master Circular on Regulation for Overseas Banking Operation. Ref: BRPD Circular No. 04 dated 08-May-2025.
6
Remittances on account of fees for banking services and capital market intermediaries. Ref: FEPD Circular No. 03 dated 12-Jan-2025.
7
Registration of Agreements for remittances abroad against services received from International Service Providers by local companies running Star-rated Hotel Business in Bangladesh. Ref: FEID Circular No. 01 dated 20-Nov-2024.
8
Issuance of payment commitments as collaterals against surplus earnings payable to airlines/shipping companies abroad. Ref: FEPD Circular No. 19 dated 03-Oct-2024.
9
Remittances of surplus earnings and submission of monthly/quarterly statement by foreign airlines as well as foreign shipping companies operating in Bangladesh. Ref: FEOD Circular No. 02 dated 20-May-2024.
10
Generation of “Information of freight charge on prepaid basis against export”& “Information of freight charge against FOB (or similar term) import” by using Bangladesh Bank Online Export Monitoring System (OEMS) & Bangladesh Bank Online Import Monitoring System (OIMS) respectively. Ref: SPA Circular No. 03 dated 09-Aug-2023.
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