Foreign Exchange → Outward Remittance → Commercial Remittance - PART-I
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21 Collection of Demurrage, Detention, Handling or equivalent charges by the foreign shipping lines/their agents for calculation of their remittable surplus. Ref: FEPD Circular No. 48 dated 17-Nov-2020.
22 Remittance of surplus earnings by foreign airlines operating in Bangladesh. Ref: SPA Circular No. 01 dated 03-Sep-2020.
23 Outward remittances on account of shipment tracking charges. Ref: FEPD Circular No. 31 dated 26-Jul-2020.
24 Opening of branch offices abroad. Ref: FEPD Circular Letter No. 27 dated 14-Nov-2019.
25 Repatriation of residual balance or refund of borrowing from head office of branch office, liaison office or representative office or any other places of business operating in Bangladesh. Ref: FEID Circular Letter No. 02 dated 19-Sep-2019.
26 Opening of branch offices abroad. Ref: FEPD Circular No. 16 dated 18-Apr-2019.
27 Remittance on account of head office expenses by branches of foreign banking companies operating in Bangladesh. Ref: FEPD Circular No. 15 dated 10-Jun-2018.
28 Collection of Demurrage, Detention, Handling or equivalent charges by the foreign shipping lines/ their agents as source of fund for calculation of their remittable surplus. Ref: FEPD Circular No. 43 dated 14-Dec-2017.
29 Release of foreign exchange against cost of advertisement for Bangladeshi products in foreign electronic/online media. Ref: FEPD Circular Letter No. 20 dated 08-Sep-2015.
30 Remittance of cost of training and consultancy services. Ref: FEPD Circular No. 08 dated 18-Feb-2014.