![]() ![]() ![]() ![]() ![]() |
2003-04-28 Reserve requirements during non-reserve day May 2, 2003 |
|
Series of 2003 TO: All Banks and NBQBs |
|
In view of the official declaration of May 2, 2003 as a non-working holiday for government employees, May 2, 2003 shall likewise be considered as a non-reserve day.
For purposes of determining the reserve requirements on deposit substitutes/liabilities, common trust funds and other similarly managed funds (CTF) and trust and other fiduciary activities-others (TOFA-Others) for the period May 1 to 4, 2003, the reserve position as computed at the close of business day of April 30, 2003 shall be carried over to May 1, 2003 for reserve week April 25 to May 1, 2003, which balance shall be forwarded to May 2 to 4, 2003 for reserve week May 2 to 8, 2003. For guidance. ALBERTO V. REYES Deputy Governor 28 April 2003 |
![]() |
Circular Letters/Memoranda |
![]() |
Speeches/ Presentations |
![]() |
Photo Gallery |
![]() |
The 2008 RBAP Charter Symposium |
![]() |
2008 CFI Awards |
![]() |
Rural Banking Week Celebration Golf Tournament |
![]() |
Client Satisfaction Survey for Licensing Management System of the Supervision and Examination Sector |
![]() |
Financial Reporting Package 2008 |
![]() |
BSP releases regulations on liquidity, market risk weighting |