TMI BlogRisk Management and Interbank Dealings- Reports to the Reserve BankX X X X Extracts X X X X X X X X Extracts X X X X ..... I) banks is invited to the Foreign Exchange Management (Foreign Exchange Derivative Contracts) Regulations, 2000 dated May 3, 2000 ( Notification No. FEMA. 25/RB-2000 dated May 3, 2000 ) and Master Directions on Risk Management and Inter-Bank Dealings dated July 5, 2016 as amended from time to time. 2. In terms of para (viii) under Part-E (Reports to the Reserve Bank) of the aforementioned m ..... X X X X Extracts X X X X X X X X Extracts X X X X ..... is report. 4. The directions contained in this circular have been issued under Sections 10(4) and 11(1) of the Foreign Exchange Management Act, 1999 (42 of 1999) and is without prejudice to permissions / approvals, if any, required under any other law. Yours faithfully, (T Rabi Sankar) Chief General Manager - Circular - Trade Notice - Public Notice - Instructions - Offic ..... X X X X Extracts X X X X X X X X Extracts X X X X
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