S. No. |
Return Name |
Return Description |
1 |
FII Weekly |
All AD banks advised to report inflow/ of outflow of foreign funds on account of investment by FIIs/FPIs in the Indian capital market in a format which consists of two parts: Part A: Inflow/outflow- Fund Position and Part B: Residual Maturity Pattern |
2 |
MTSS |
Statement showing details of remittances received through Money Transfer Service Scheme during the quarter ended, within 15 days from the close of the quarter to which it relates. |
3 |
Statement on default in MTT |
Statement on default in Merchanting Trade Transactions (MTT) |
4 |
Details of remittances made by NRO account |
Remittances made out of NRO accounts up to 1 million USD per calendar year - Facilities to NRIs/PIOs and foreign nationals - liberalisation |
5 |
Overseas Principal-wise list of Sub Agents |
Overseas principal-wise list of sub-agents of MTSS Indian Agents |
6 |
Declaration confirming the veracity of the list placed on RBI website |
Confirmation of veracity of the list of sub-agents |
7 |
List of additional locations |
List of additional locations of MTSS Agents |
8 |
Statement of Foreign Currency Account/s maintained in India in their names with AD Category-I Banks out of export proceeds of Foreign Currency Notes/ encashed Travelers’ Cheques |
Statement of Foreign Currency Account/s maintained in India in their names with AD Category-I Banks out of export proceeds of Foreign Currency Notes/ encashed Travelers’ Cheques |
9 |
Statement of the amount of foreign currency written off during a financial year |
Statement of the amount of foreign currency written off during a financial year |
10 |
Form RMC-F |
RMC- Restricted Money Changing |
11 |
Statement of the collateral held by MTSS Indian Agents |
Statement of the collateral held by MTSS Indian Agents |
12 |
Details of Online Payment Gateway Service Providers (OPGSP) arrangements |
Details of Online Payment Gateway Service Providers (OPGSP) arrangements |
13 |
Extension of time in respect of clean credit for import of rough, cut and polished diamonds |
Extension of time in respect of clean credit for import of rough, cut and polished diamonds |
14 |
Advance remittances made for import of rough diamonds without a bank guarantee or standby letter of credit, where the amount of advance payment is equivalent to or exceeds USD 5,000,000/- |
Advance remittances made for import of rough diamonds without a bank guarantee or standby letter of credit, where the amount of advance payment is equivalent to or exceeds USD 5,000,000/- |
15 |
ESOP reporting |
“Statement of shares repurchased by the issuing foreign company from Indian employees/ Directors under ESOP Schemes for the year ended March 31, …………. (Year) |
(to be submitted on the letterhead of the Indian Company / Office / Branch through their AD bank)” |
16 |
FLM-8 (Sale and purchase of foreign currency) |
Summary statement of purchases and sale of foreign currency notes during the month reported by FFMCs and AD-Category II. |
17 |
LO/BO/PO |
Consolidated list of all the Branch Office (BO)/ Liaison Office (LO) / Project Office (PO) opened and closed by them during a month |
18 |
Reporting of Long term Advance |
Reporting of Long term Advance of USD 100 million & more along with Progress Report to be submitted by Authorised Dealer Bank on utilization of Long term export Advances |
19 |
Form ECB |
Application and Reporting of loan agreement details |
20 |
Form ECB 2 |
Reporting of actual ECB transactions through AD Category -1 banks |
21 |
Form TC |
Compilation of short-term credit extended for imports and payments thereof |