2006-06-06 | Resolución 046/2006Added · Updated
The Board of Directors of the Central Bank of Bolivia modifies the 2006 fee schedule for services by renaming item 12 from "Daily withdrawal of cash" to "Daily deposit and withdrawal of cash" in the Central Bank of Bolivia's vault. This amendment applies to fees for national currency (Bs 500 for the second and subsequent withdrawals) and foreign currency (Bs 1,000 plus 0.04% for net withdrawals by financial entities). The modification enters into force on June 14, 2006.
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