TMI BlogProforma of Running bond Account to be maintained by Exporter in the warehouse in respect of B-3 (General Security) Bonds - [See Rule 20(2) read with C.B.E. & C. Circular No. 581/18/2001-CX]X X X X Extracts X X X X X X X X Extracts X X X X ..... rter in the Warehouse in respect of B-3 (General Security) Bonds 1. Name of the Exporter 2. Address of the Exporter 3. Details of B-3 Bond Sl. No. Bond No. Bond Amount Security Amount 1. 2. ..... X X X X Extracts X X X X X X X X Extracts X X X X ..... time of issue of CT-1A. Suffix P may be added to indicate provisional debit. 4. The provisional debit will be converted into actual debit on receipt of ARE-3. 5. Credit entry shall be made on acceptance of proof of export or execution of fresh bond. 6. The bond amount, security amou ..... X X X X Extracts X X X X X X X X Extracts X X X X
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