Index to RBI Circulars - RBI - Reserve Bank of India
Index to RBI Circulars
Circular Number | Date Of Issue | Department | Subject | Meant For |
---|---|---|---|---|
RBI/2021-2022/82 DOR.RET.REC.36/12.01.001/2021-22 | 09.08.2021 | Department of Regulation | Section 24 of the Banking Regulation Act, 1949 - Maintenance of Statutory Liquidity Ratio (SLR) - Marginal Standing Facility (MSF) - Extension of Relaxation | All Scheduled Banks |
RBI/2021-2022/81 DOR.MRG.39/21.04.157/2021-22 | 06.08.2021 | Department of Regulation | Prudential Norms for Off-Balance Sheet Exposures of Banks - Restructuring of derivative contracts | All Banks |
RBI/2021-2022/80 DOR.STR.REC.38/21.04.048/2021-22 | 06.08.2021 | Department of Regulation | Resolution Framework for COVID-19-related Stress - Financial Parameters - Revised timelines for compliance | All Commercial Banks (including Small Finance Banks, Local Area Banks and Regional Rural Banks) All Primary (Urban) Co-operative Banks/State Co-operative Banks/ District Central Co-operative Banks All All-India Financial Institutions All Non-Banking Financial Companies (including Housing Finance Companies) |
RBI/2021-2022/79 DOR.DIR.REC.37/04.02.002/2021-22 | 06.08.2021 | Department of Regulation | Export Credit in Foreign Currency - Benchmark Rate | All Scheduled Commercial Banks (excluding Regional Rural Banks) All Primary (Urban) Co-operative Banks All Small Finance Banks |
RBI/2021-2022/78 A.P. (DIR Series) Circular No.08 | 05.08.2021 | Foreign Exchange Department | Exim Bank's Government of India supported Line of Credit (LoC) of USD 30.00 million to the Government of the Republic of Sierra Leone | All Category - I Authorised Dealer Banks |
RBI/2021-2022/77 DOR.CRE.REC.35/21.04.048/2021-22 | 04.08.2021 | Department of Regulation | Guidelines for Implementation of the circular on Opening of Current Accounts by Banks | All Scheduled Commercial Banks All Payments Banks |
RBI/2021-2022/76 CO.DPSS.POLC.No.S-384/02.32.001/2021-2022 | 03.08.2021 | Department of Payment and Settlement Systems | Framework for Outsourcing of Payment and Settlement-related Activities by Payment System Operators | The Chairman / Managing Director / Chief Executive Officer All Non-Bank Payment System Operators |
RBI/2021-2022/75 DGBA.GBD.No.S391/42.01.011/2021-22 | 02.08.2021 | Department of Government and Bank Accounts | Maintenance of State Government Accounts - Recovery of Interest on Excess put through/ Double claim (State Government Transactions) | The Chairman and Managing Directors/ Managing Director/ CEO All Agency Banks |
RBI/2021-2022/74 DOR.FIN.REC.No.34/03.10.136/2021-22 | 29.07.2021 | Department of Regulation | Rating of Deposits of HFCs - Approved Credit Rating Agencies and Minimum Investment Grade Credit Rating | All deposit taking Housing Finance Companies (HFCs) |
RBI/2021-2022/73 DPSS.CO.LVPD No.S290/04.04.009/2021-22 | 28.07.2021 | Department of Payment and Settlement Systems | Access for Non-banks to Centralised Payment Systems | The Chairman / Managing Director / Chief Executive Officer Authorised Non-bank Payment System Providers |
Page Last Updated on: November 18, 2024