2022-07-27 | 13464

Added · Updated

Exceptional Measures Concerning Cash Withdrawals from Foreign Currency Bank Accounts

The Central Bank of Lebanon issued Circular No. 636 and Central Board Decision No. 13464 on July 27, 2022 to amend Decision No. 13221 regarding exceptional cash withdrawal measures for foreign currency accounts. The amendment repeals and replaces the previous reporting requirement, mandating that banks monthly notify the Banking Control Commission of the foreign currency value generated from operations specified in Article 1. This measure aims to strengthen banks' foreign currency liquidity to better meet client and depositor needs, taking immediate effect upon issuance.

Banque du Liban logo

Lebanon

Banque du Liban

Scan of the document's first page
Share

BDL published 4 documents in the last 30 days — get each new one by email the day it lands.

Read the rest free

Lineage: In force

Exceptional Measures for Cash W…2020Exceptional Measures for Cash Withdrawals from Foreign-Currency Accounts (2020-04-21)Exceptional MeasuresConcerning Cash Withdrawals f…2022-07-27 · this documentExceptional Measures Concerning Cash Withdrawals from Foreign Currency Bank Accounts (2022-07-27)
amendssupersedesissued underrefers toproposed or not in RegAlertarrows run from the older text to the one that changes it

Source: Banque du Liban — original document · Summary generated with machine assistance and reviewed before publication; the authoritative text is the regulator's original document. How RegAlert works

More like this from BDL

BDL published 4 documents in the last 30 days. We email you each new one the day it's published.

Topics
monetary