2018-02-09 | 007 2018 SGDB EXTAdded · Updated
The Central Bank of Bolivia establishes modified operating hours for financial and treasury operations on Friday, February 9, 2018, in compliance with a continuous work schedule directive from the Ministry of Labor. The circular specifies distinct time windows for various activities, including fund transfers, USD sales, securities operations, and specific payment cycles for PMND and PMNA systems. These adjustments apply to financial entities, participants in the Interbank Payment System (LIP), and the National Treasury (TGN).