2021-06-21 | 13337The Central Bank of Lebanon, through Intermediary Decision No. 13337 dated June 21, 2021, amends the foundational decision governing its electronic platform for exchange operations. The amendment mandates that exchange houses report daily treasury opening and closing balances in Lebanese Lira against foreign currency directly on the platform. The Central Bank’s Foreign Currency Unit is required to verify and reconcile these daily submissions, with the decision taking immediate effect upon issuance.