Примери коришћења General foreign exchange на Енглеском и њихови преводи на Српски
{-}
-
Colloquial
-
Ecclesiastic
-
Computer
-
Latin
-
Cyrillic
The bank shall transfer such funds using a general foreign exchange order, within the time period specified in Section 5, paragraph 4 of the Decision.
The bank shall effect payment of costs in the Republic of Serbia from a non- resident account using a general foreign exchange order(transaction type- 66), reference code 704.
The paying bank shall receive the funds using a general foreign exchange order(transaction type- 66), reference code 562, to credit the collection beneficiary's account.
The bank shall send the redeemed cheque abroad for collection and record an entry in respect of this change on Account 052 using a general foreign exchange order(reference code 115).
The collection order,payment order and general foreign exchange order shall contain the following elements: COLLECTION ORDER(transaction type- 60) Name.
Banks that are connected with other banks in the Republic of Serbia through Account 5001 andAccount 050 shall record entries using a general foreign exchange order(transaction type- 66), reference code 569.
The beneficiary bank shall receive funds from abroad on Account 050 via a general foreign exchange order(transaction type- 66), reference code 562, by specifying the identification number of the paying bank; it shall send a SWIFT message 103(with fields 50 and 52 filled in) to the paying bank and transfer the funds using a general foreign exchange order(transaction type- 77), reference code 162.
The beneficiary bank shall transfer the funds received to the paying bank using a general foreign exchange order(transaction type- 77), reference code 162.
If a person who went on business travel abroad has an account with another bank, that bank shall transfer the funds using a general foreign exchange order(transaction type- 77), reference code 162, from Account 050, while the bank of the travel order issuer shall effect the return of foreign currency using a collection order(transaction type- 60), reference code 340, payment instrument 2, to Account 050.
The order issuer shall provide payment cover in respect of the documentary credit at the latest by the date of payment in respect of such documentary credit, andsuch cover shall be debited using a general foreign exchange order to the accounts referred to in Section 3 hereof and credited to the cover account.
To reimburse confirmed deposits, unused portion of the documentary credit or unused documentary credit,entries shall be made using a general foreign exchange order to debit Account 050 or Account 5007 and credit Account 265, specifying reference code 411, or to debit the cover account and credit the accounts referred to in Section 3 hereof.
The bank shall process collections in foreign exchange using the collection order(transaction type- 60) and specifying the collection reference code if the beneficiary is a resident or,if the beneficiary is a non-resident, by issuing a general foreign exchange order(transaction type- 66) and specifying reference codes 501 or 502.
A bank may sell foreign exchange to a non-resident at its request, in which case entry to the debit of Account 4007 shall be made using a general foreign exchange order(transaction type- 77), specifying reference code 703, while entry to the credit of Account 5007 shall be made against a general foreign exchange order(transaction type- 66), specifying reference code 501 or 502.
The paying bank shall receive funds on Account 050 based on a collection order(transaction type- 60) bearing an adequate reference code for collection if the beneficiary is a resident and shall credit such funds to accounts referred to in Section 3 hereof or,if the beneficiary is a non-resident, based on a general foreign exchange order(transaction type- 66) bearing reference code 501 or 502 to credit account 5007.
A bank may purchase foreign exchange from a non-resident, at its request, in which case entry to the debit of non-resident account 5007 shall be made against a general foreign exchange order(transaction type- 77), specifying reference code 101 or 102, while entry to the credit of account 4007 shall be made using a general foreign exchange order(transaction type- 66), specifying reference code 703.
The bank shall effect foreign payment through foreign exchange clearing using a resident payment order(transaction type- 70), specifying the reference code if the order issuer is a resident and implementing the procedure from Sections 21 to 26 hereof,while transfer at a non-resident's request shall be effected using a general foreign exchange order(transaction type- 77), reference codes 101 or 102.
After receiving the MT202 message, the bank shall make entries internally using a general foreign exchange order to the debit of Account 000 and to the credit of Account 037.
The bank shall process foreign collection effected through foreign exchange clearing using a collection order(transaction type- 60), with an adequate collection reference code, to debit Account 060 and to credit the accounts referred toin Section 3 hereof, if the collection beneficiary is a resident, or using a general foreign exchange order(transaction type- 66), reference codes 501 or 502, to credit Account 5007, if the payment beneficiary is a non-resident.
For payments, collections, pay-ins and payouts in foreign cash between residents the bank shall specify the transaction reference code 808 in the general foreign exchange order. For payments, collections, pay-ins and payouts in foreign cash between a resident and a non-resident the bank shall specify the transaction reference code from Annex 2. Cancellation of collection and payment 38.
If the dinar account of a non-resident bank is maintained in one domestic bank and foreign exchange is purchased from another domestic bank,the bank with which the dinar account is maintained shall make entries using a general foreign exchange order(transaction type- 77), to the debit of Account 4007 and to the credit of Account 037, specifying reference code 101.
For the bank to provide cover for confirmation abroad, it shall make an entry in respect of such cover using a general foreign exchange order to debit Account 265 and to credit Account 050 or Account 5007, specifying reference code 411.
If the dinar account of a non-resident bank is maintained in another domestic bank,the bank shall make entries using a general foreign exchange order(transaction type- 66), specifying reference code 888, to the debit of Account 050 and to the credit of Account 037.