Wednesday, 10, Jun, 2026
 
 
 
Expand O P Jindal Global University
 
 

RBI : Circulars

 
 
 
Meant For : Regional Rural Banks
Circular Number : RBI/2008-2009/286RPCD.CO.RRB. BC No.64 /03.05.072/2008-09
Subject : RRBs – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – provisioning
Department : Rural Planning and Credit Department
Date Of Issue : 17 November, 2008
Meant For : All Regional Rural Banks
Circular Number : RBI/2008-2009/285RPCD.CO.RRB.BC. No.61 /03.05.90-A /2008-09
Subject : RRBs – Branch Licensing further liberalised
Department : Rural Planning and Credit Department
Date Of Issue : 17 November, 2008
Meant For : All Scheduled Banks [excluding Regional Rural Banks (RRBs)]
Circular Number : RBI/2008-2009/284Ref. MPD. No. 310 /07.01.279/2008-09
Subject : Export Credit Refinance Facility: Relaxation
Department : Monetary Policy Department
Date Of Issue : 15 November, 2008
Meant For : All Commercial Banks (excluding RRBs and LABs)
Circular Number : RBI/2008-2009/282DBOD.BP.BC. 83 / 21.01.002/2008-09
Subject : Review of Prudential Norms – Provisioning for Standard Assets and Risk Weights for Exposures to Corporates, Commercial Real Estate and NBFC- ND-SI
Department : Department of Banking Operations and Development
Date Of Issue : 15 November, 2008
Meant For : All Scheduled Commercial Banks (Excluding RRBs)
Circular Number : RBI/2008-2009/281DBOD. No. Dir. BC. 82 /13.03.00/2008-09
Subject : Interest Rates on Non-Resident (External) Rupee (NRE) Deposits and FCNR(B) deposits
Department : Department of Banking Operations and Development
Date Of Issue : 15 November, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs)
Circular Number : RBI/2008-2009/280DBOD.Dir.(Exp).BC.No.80/04.02.01/2008- 09
Subject : Rupee Export Credit Interest Rates-Extension of period of credit
Department : Department of Banking Operations and Development
Date Of Issue : 15 November, 2008
Meant For : All Scheduled Commercial Banks (Excluding RRBs and LABs)
Circular Number : RBI/2008-2009/283DBOD.No.BP.BC. 84 /21.04.048/2008-09
Subject : Asset Classification Norms for Infrastructure Projects under Implementation
Department : Department of Banking Operations and Development
Date Of Issue : 14 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/279A.P. (DIR Series) Circular No.36
Subject : Exim Bank's Line of Credit of USD 25 million to the Government of the Syrian Arab Republic
Department : Foreign Exchange Department
Date Of Issue : 14 November, 2008
Meant For : The Chairman / CMD / MD / CEO All Scheduled Commercial Banks (including Local Area Banks)
Circular Number : RBI/2008-2009/278DBOD.No.BP.BC. 78 /21.04.048/2008-09
Subject : Union Budget 2008-09 – Agricultural Debt Waiver and Debt Relief Scheme, 2008 – Prudential Norms on Income Recognition, Asset Classification, Provisioning and Capital Adequacy
Department : Department of Banking Operations and Development
Date Of Issue : 11 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/277A.P. (DIR Series) Circular No.35
Subject : Remittance related to Commodity Derivative Contract Issuance of Standby Letter of Credit / Bank Guarantee
Department : Foreign Exchange Department
Date Of Issue : 10 November, 2008
Meant For : All Category - I Authorised Dealer Banks and Authorised Banks
Circular Number : RBI/2008-2009/276A.P. (DIR Series) Circular No.34
Subject : Foreign Exchange Management (Deposit) Regulations, 2000 Credit to Non Resident (External) Rupee Accounts - Clarification
Department : Foreign Exchange Department
Date Of Issue : 10 November, 2008
Meant For : The Chief Executive Officer of All Primary (Urban) Co-operative Banks.
Circular Number : RBI/2008-2009/275UBD.PCB.Cir.No. 24/ 13.05.001/ 08-09
Subject : UCBs – Advances against pledge of Gold/Silver Ornaments
Department : Urban Banks Department
Date Of Issue : 10 November, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs)
Circular Number : RBI/2008-2009/274DBOD.Dir.(Exp).BC.No.77/04.02.01/2008- 09
Subject : Rupee Export Credit Interest Rates Subvention
Department : Department of Banking Operations and Development
Date Of Issue : 07 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/273A.P. (DIR Series) Circular No.33
Subject : Exim Bank's Line of Credit of USD 20 million (as 1st tranche of USD 80 million )to the Government of the Republic of Rwanda
Department : Foreign Exchange Department
Date Of Issue : 05 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/272A. P. (DIR Series) Circular No.32
Subject : Exim Bank's Line of Credit of USD 33 million to the Government of Lao People’s Democratic Republic (Lao PDR)
Department : Financial Markets Department
Date Of Issue : 05 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/271A.P. (DIR Series) Circular No.31
Subject : Exim Bank's Line of Credit of USD 25.5 million to the Government of Cote d’Ivoire
Department : Foreign Exchange Department
Date Of Issue : 05 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/270A.P. (DIR Series) Circular No.30
Subject : Exim Bank's Line of Credit of USD 100 million to the Government of the Democratic Socialist Republic of Sri Lanka
Department : Foreign Exchange Department
Date Of Issue : 05 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/269A.P. (DIR Series) Circular No.29
Subject : Exim Bank's Line of Credit of USD 10.59 million to Government of Suriname
Department : Foreign Exchange Department
Date Of Issue : 05 November, 2008
Meant For : All Category - I Authorised Dealer Banks
Circular Number : RBI/2008-2009/268A.P. (DIR Series) Circular No.28
Subject : Exim Bank's Line of Credit of USD 30 million to the African Export-Import Bank (Afreximbank)
Department : Foreign Exchange Department
Date Of Issue : 05 November, 2008
Meant For : The Chairman and Managing Directors/ Chief Executive Officers of All Scheduled Commercial Banks (excluding Local Area Banks and Regional Rural Banks)
Circular Number : RBI/2008-2009/267DBOD.No.BP.BC.76 /21.04.0132/2008-09
Subject : Prudential Guidelines on Restructuring of Advances by Banks
Department : Department of Banking Operations and Development
Date Of Issue : 03 November, 2008
Meant For : The Chairmen/Chief Executives of all Scheduled Banks / NABARD
Circular Number : RBI/2008-2009/266RPCD.PLFS . No. BC. 60 /05.04.02/2008-09
Subject : Temporary liquidity support for financing agricultural operations
Department : Rural Planning and Credit Department
Date Of Issue : 03 November, 2008
Meant For : The Chief Executive Officers of All Scheduled Primary (Urban) Co-operative Banks
Circular Number : RBI/2008-2009/265Ref: UBD (PCB).No./8 /12.03.000/2008-09
Subject : Scheduled UCBs – CRR reduced
Department : Urban Banks Department
Date Of Issue : 03 November, 2008
Meant For :   
Circular Number : RBI/2008-2009/264RPCD.CO.RRB.BC.No.59/ 03.05.28(B)/2008-09
Subject : RRBs – CRR reduced
Department : Rural Planning and Credit Department
Date Of Issue : 03 November, 2008
Meant For : All Regional Rural Banks
Circular Number : RBI/2008-2009/263RPCD.CO.RRB.BC. No.58 /03.05.28 (B)/2008-09
Subject : RRBs – SLR reduced
Department : Rural Planning and Credit Department
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks (excluding Regional Rural Banks)
Circular Number : RBI/2008-2009/262Ref.No.MPD.BC. 309 /02.01.009/2008-09
Subject : Special Refinance Facility (SRF) under Section 17(3B) of the Reserve Bank of India Act, 1934
Department : Monetary Policy Department
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks (Excluding RRBs)
Circular Number : RBI/2008-2009/261DBOD.No.Leg.BC. 75 /09.07.005/2008-09
Subject : Master Circular on Customer Service
Department : Department of Banking Operations and Development
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks
Circular Number : RBI/2008-2009/260Ref. DBOD.No.Ret.BC.74/12.02.001/2008-09
Subject : Shortfall in Maintenance of SLR/Additional Liquidity support under LAF
Department : Department of Banking Operations and Development
Date Of Issue : 03 November, 2008
Meant For : All Scheduled State Co-operative Banks
Circular Number : RBI/2008-2009/259RPCD.CO.RF.BC.No. 57/07.02.01/2008-09
Subject : Scheduled StCBs – CRR reduced
Department : Rural Planning and Credit Department
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
Circular Number : RBI/2008-2009/258FMD.MOAG. No. 29/01.01.01/2008-09
Subject : Special Fixed Rate Repo Under Liquidity Adjustment Facility
Department : Financial Markets Department
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
Circular Number : RBI/2008-2009/257FMD. MOAG. No.28/01.01.01/2008-09
Subject : Liquidity Adjustment Facility – Repo and Reverse Repo Rates
Department : Financial Markets Department
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Banks [excluding Regional Rural Banks (RRBs)] and Primary Dealers
Circular Number : RBI/2008-2009/256REF.No.MPD.BC. 308 /07.01.279/2008-09
Subject : Standing Liquidity Facilities for Banks and Primary Dealers
Department : Monetary Policy Department
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks (excluding Regional Rural Banks)
Circular Number : RBI/2008-2009/255Ref.DBOD No. Ret.BC.73 /12.02.001/2008-09
Subject : SLR reduced
Department : Department of Banking Operations and Development
Date Of Issue : 03 November, 2008
Meant For : All Scheduled Commercial Banks (excluding Regional Rural Banks)
Circular Number : RBI/2008-2009/254Ref: DBOD.No.Ret.BC.71/12.01.001/2008-09
Subject : CRR reduced
Department : Department of Banking Operations and Development
Date Of Issue : 03 November, 2008
Meant For : All Non-Deposit taking Non-Banking Finance Companies with assets size of Rs 100 crore and above
Circular Number : RBI/2008-2009/253DNBS (PD) CC. No.131 /03.05.002 / 2008-2009
Subject : Enhancement of NBFCs’ capital raising option for capital adequacy purposes
Department : Department of Non Banking Supervision
Date Of Issue : 29 October, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs and LABs) and All-India Term Lending and Refinancing Institutions
Circular Number : RBI/2008-2009/252DBOD.BP.BC.No.69/21.03.009/2008-09
Subject : Prudential Norms for Off-balance Sheet Exposures of Banks
Department : Department of Banking Operations and Development
Date Of Issue : 29 October, 2008
Meant For : All Authorised Dealer Category - I Banks
Circular Number : RBI/2008-2009/251A.P. (DIR Series) Circular No. 27
Subject : Trade Credits for Imports into India – Review of all-in-cost ceiling
Department : Foreign Exchange Department
Date Of Issue : 27 October, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs)
Circular Number : RBI/2008-2009/250DBOD.Dir.(Exp).BC.No. 68 /04.02.01/2008- 09
Subject : Rupee Export Credit Interest Rates
Department : Department of Banking Operations and Development
Date Of Issue : 27 October, 2008
Meant For : The General Manager State Bank of India and Associate Banks 17 Nationalised Banks The Managing Director Axis Bank Ltd / HDFC Bank Ltd / ICICI Bank Ltd / IDBI Bank Ltd and SHCIL
Circular Number : RBI/2008-2009/249Ref DGBA.CDD No H – 3854 / 13.01.299 / 2008-09
Subject : Relief/Savings Bonds – Rights of Customers
Department : Department of Government and Bank Accounts
Date Of Issue : 24 October, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs)
Circular Number : RBI/2008-2009/247DBOD.No.Dir.BC. 66/13.03.00/2008-2009
Subject : Savings Bonds now eligible as Collateral for Loans
Department : Department of Banking Operations and Development
Date Of Issue : 24 October, 2008
Meant For : The Chairman and Managing Director / Chief Executive Officers All Scheduled Commercial Banks including RRBs /Urban Co-operative Banks / State Co-operative Banks /.District Central Co-operative Banks
Circular Number : RBI/DPSS No.711/02.10.02/2008-2009RBI/DPSS No.711/02.10.02/2008-2009
Subject : Reconciliation of transactions at ATMs failure-Time limit
Department : Payment Systems
Date Of Issue : 23 October, 2008
Meant For : All Category-I Authorised Dealer Banks
Circular Number : RBI/2008-2009/245A.P. (DIR Series) Circular No. 26.
Subject : External Commercial Borrowings Policy: Liberalisation
Department : Foreign Exchange Department
Date Of Issue : 22 October, 2008
Meant For : The Chairmen/Chief Executives of all Scheduled Banks / NABARD
Circular Number : RBI/2008-2009/244RPCD.PLFS . No. BC. 55 /05.04.02/2008-09
Subject : Temporary liquidity support for financing agricultural operations
Department : Rural Planning and Credit Department
Date Of Issue : 22 October, 2008
Meant For : All Commercial Banks (excluding LABs and RRBs) and All-India Term Lending and Refinancing Institutions
Circular Number : RBI/2008-2009/243DBOD.No.BP.BC. 65 /21.06.001/2008-09
Subject : Loans to Mutual Funds against and buy–back of Certificates of Deposits (CDs)
Department : Department of Banking Operations and Development
Date Of Issue : 20 October, 2008
Meant For : All Scheduled Banks [excluding Regional Rural Banks (RRBs)] and Primary Dealers
Circular Number : RBI/2008-2009/242REF.No.MPD.BC. 305 /07.01.279/2008-09
Subject : Standing Liquidity Facilities for Banks and Primary Dealers
Department : Monetary Policy Department
Date Of Issue : 20 October, 2008
Meant For : All Scheduled Commercial Banks (excluding RRBs) and Primary Dealers
Circular Number : RBI/2008-2009/241FMD.MOAG. No.28/01.01.01/2008-09
Subject : Liquidity Adjustment Facility – Repo and Reverse Repo Rates
Department : Financial Markets Department
Date Of Issue : 20 October, 2008
Meant For : All Authorised Dealer Category –I Banks
Circular Number : RBI/2008-2009/240A. P. (DIR Series) Circular No.25
Subject : Allocation of FII Investment between debt and equity
Department : Foreign Exchange Department
Date Of Issue : 17 October, 2008
Meant For : The Chief Executive Officers of All Scheduled Primary (Urban) Co-operative Banks
Circular Number : RBI/2008-2009/239Ref: UBD (PCB).No./7 /12.03.000/2008-09
Subject : Maintenance of Cash Reserve Ratio - Urban Co-operative Banks
Department : Urban Banks Department
Date Of Issue : 16 October, 2008
Meant For : Chief Executive Officer of All AD Category-I UCBs
Circular Number : RBI/2008-2009/238UBD BPD. AD Cir No. 23 /13.01.000/2008-09
Subject : Interest Rate on FCNR (B) Deposits- UCBs (ADs)
Department : Urban Banks Department
Date Of Issue : 16 October, 2008
Meant For : Chief Executive Officer of All Primary (urban) Cooperative Banks
Circular Number : RBI/2008-2009/237UBD (PCB) CO BPD Cir No: 22 /13.01.000/2008-09
Subject : Interest Rates on Non-Resident (External) Rupee (NRE) Deposits- UCBs
Department : Urban Banks Department
Date Of Issue : 16 October, 2008
Meant For : All Authorised Dealer Category – I Banks
Circular Number : RBI/2008-2009/236A.P. (DIR Series) Circular No. 24.
Subject : Deferred Payment Protocols dated April 30, 1981 and December 23, 1985 between Government of India and erstwhile USSR
Department : Foreign Exchange Department
Date Of Issue : 16 October, 2008
Download the LatestLaws.com Mobile App
 
 
Latestlaws Newsletter
 

Publish Your Article

 

Campus Ambassador

 

Media Partner

 

Campus Buzz

 

LatestLaws Guest Court Correspondent

LatestLaws Guest Court Correspondent Apply Now!
 

LatestLaws.com presents: Lexidem Offline Internship Program, 2026

 

LatestLaws.com presents 'Lexidem Online Internship, 2026', Apply Now!

 
 
 

LatestLaws Partner Event : MAIMS

 
 
Latestlaws Newsletter