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Official Website of Reserve Bank of India
Index to RBI Circulars
| Circular Number | Date Of Issue | Department | Subject | Meant For |
|---|---|---|---|---|
| Notification No. FEMA. 395/2019-RB | 17.10.2019 | Foreign Exchange Department | Foreign Exchange Management (Mode of Payment and Reporting of Non-Debt Instruments) Regulations, 2019 (Amended upto January 15, 2025) | |
| No. FEMA 396/2019-RB | 17.10.2019 | Financial Markets Regulation Department | Foreign Exchange Management (Debt Instruments) Regulations, 2019 (Amended up to October 01, 2025) | |
| of Government Stock (GS) | 07.10.2019 | Internal Debt Management Department | Auction for Sale (Re-issue) of Government Stock (GS) | |
| RBI/2019-2020/67 DPSS.CO.PD No.629/02.01.014/2019-20 | 20.09.2019 | Department of Payment and Settlement Systems | Harmonisation of Turn Around Time (TAT) and customer compensation for failed transactions using authorised Payment Systems | All Operators and Participants of Authorised Payment Systems |
| Auction for Sale (Re-issue) of Government Stock (GS) | 22.07.2019 | Internal Debt Management Department | Auction for Sale (Re-issue) of Government Stock (GS) | |
| RBI/2019-2020/02 DCM (NE) No. G-2/08.07.18/2019-20 | 01.07.2019 | Department of Currency Management | Master Circular - Facility for Exchange of Notes and Coins | The Chairman and Managing Director / The Managing Director/ The Chief Executive Officer All Banks |
| Ref. CEPD. PRS. No.4535/13.01.004/2018-19 | 26.04.2019 | Department of Non Banking Regulation | Ombudsman Scheme for Non-Banking Financial Companies, 2018 | |
| RBI/2018-2019/150 DBR.No.Leg.BC.30/09.07.005/2018-19 | 26.03.2019 | Department of Banking Regulation | All Agency Banks to remain open for public on March 31, 2019 (Sunday) | All Agency Banks |
| RBI/FED/2018-2019/67 FED Master Direction No.5/2018-19 | 26.03.2019 | Foreign Exchange Department | Master Direction - External Commercial Borrowings, Trade Credits and Structured Obligations (Updated as on December 22, 2023)(Supersedes Master Direction - External Commercial Borrowings, Trade Credit, Borrowing and Lending in Foreign Currency by Authorised Dealers and Persons other than Authorised Dealers (Updated as on February 16, 2026) | All Authorised Dealer Category - I banks and Authorised Banks |
| RBI/2018-2019/128 DBR.DIR.BC.No.27/13.03.00/2018-19 | 22.02.2019 | Department of Banking Regulation | Review of Instructions on Bulk Deposit (Amended) | All Scheduled Commercial Banks (excluding Regional Rural Banks) All Small Finance Banks |
| RBI/2018-2019/117 DBR.No.Ret.BC.23/12.01.001/2018-19 | 07.02.2019 | Department of Banking Regulation | Change in Bank Rate | The Chairperson / CEOs of all Scheduled and Non Scheduled Banks |
| Executive Director | 31.01.2019 | Department of Payment and Settlement Systems | Ombudsman Scheme for Digital Transactions, 2019 | |
| RBI/2018-2019/107 DBR.Dir.BC.No.22/04.02.001/2018-19 | 11.01.2019 | Department of Banking Regulation | Interest Equalisation Scheme on Pre and Post Shipment Rupee Export Credit | All Scheduled Commercial Banks (excluding RRBs) Small Finance Banks and Primary (Urban) Cooperative Banks |
| RBI/2018-2019/106 DBR.BP.BC.No.20/21.06.201/2018-19 | 10.01.2019 | Department of Banking Regulation | Basel III Capital Regulations- Review of transitional arrangements | All Scheduled Commercial Banks (Excluding RRBs and LABs) |
| Notification No. FEMA.3(R)/2018-RB Notification No. FEMA.3(R)/2018-RB | 17.12.2018 | Foreign Exchange Department | Foreign Exchange Management (Borrowing and Lending) Regulations, 2018 (Amended up to February 16, 2026) | |
| RBI/DNBR/2018-19/66 Master Direction DNBR. PD (ARC) CC. No. 06/26.03.001/2018-19 | 25.10.2018 | Department of Non Banking Regulation | Master Direction - Fit and Proper Criteria for Sponsors - Asset Reconstruction Companies (Reserve Bank) Directions, 2018 | The Chairman / Managing Director / Chief Executive Officer All registered Asset Reconstruction Companies |
| RBI/2018-2019/49 FIDD.CO.Plan.BC.08/04.09.01/2018-19 | 21.09.2018 | Financial Inclusion and Development Department | Co-origination of loans by Banks and NBFCs for lending to priority sector | The Chairman / Managing Director/ Chief Executive Officer All Scheduled Commercial Banks (excluding RRBs & SFBs) and All NBFC-ND-SIs |
| RBI/2018-2019/38 DCBR.BPD.(PCB/RCB).Cir.No.3/16.27.000/2018-19 | 16.08.2018 | Department of Co operative Banking Regulation | Introduction of Liquidity Adjustment Facility (LAF) and Marginal Standing Facility (MSF) for Scheduled Co-operative Banks | The Chief Executive Officers of All Scheduled Primary (Urban) Co-operative Banks/ All Scheduled State Co-operative Banks |
| RBI/2018-2019/34 DBR.Ret.BC.No.01/12.01.001/2018-19 | 02.08.2018 | Department of Banking Regulation | Maintenance of CRR/SLR on Foreign Currency Assets/Liabilities- Reference rate for INR/USD and exchange rate of other major currencies | The Chairperson / CEOs of all Scheduled and Non- Scheduled Banks |
| RBI/2018-2019/24 FMRD.DIRD.01/14.03.038/2018-19 | 24.07.2018 | Financial Markets Regulation Department | Repurchase Transactions (Repo) (Reserve Bank) Directions, 2018 | All participants in repo markets |
Page Last Updated on: March 02, 2026