2012
2012 CIRCULARS
CB CIRCULAR 26/2012 CASH WITHDRAWAL OF REBASED CURRENCY BY COMMERCIAL BANKS FROM BANK OF ZAMBIA AND SUBCHESTS26-2012.pdf
CB CIRCULAR 25/2012 MAXIMUM EFFECTIVE ANNUAL LEADING INTEREST RATES25-2012.pdf
CB CIRCULAR 24/2012 REVISION OF FOREIGN CURRENCY RISK (OVERALL AND SINGLE) EXPONSURE LIMITS24-2012.pdf
CB CIRCULAR 23/2012 SCALING DOWN OF INDUSTRY WIDE TESTS FOR CHEQUE TRUNCATION SYSTEM (CTS)23-2012.pdf
CB CIRCULAR 22/2012 ISSUANCE OF GUIDELINES FOR HANDLING COINS AND BANK NOTES 22-2012.pdf
CB CIRCULAR 21/2012 CASH ADVANCE TO COMMERCIAL BANKS FOR THE CURRENCY REBASING EXCHANGE EXERCISE 21-2012.pdf
CB CIRCULAR 20/2012 OPERATION OF FOREIGN CURRENCY ACCOUNTS 20-2012.pdf
CB CIRCULAR 19/2012 DIRECTIVES ON OVER THE COUNTER FOREIGN CURRENCY CASH TRANSACTIONS 19-2012.pdf
CB CIRCULAR 18/2012 PRINTING AND DISTRIBUTION OF CHEQUE TRUNCATION SYSTEM (CTS) CHEQUES TO CUSTOMERS 18-2012.pdf
CB CIRCULAR 17/2012 ISSUANCE OF TECHNICAL GUIDELINES FOR THE CURRENCY REBASING EXERCISE17-2012.pdf
CB CIRCULAR 16/2012 SETTLEMENT OF CASH LEG OF LUSE TRADES THROUGH ZIPSS/RTGS16-2012.pdf
CB CIRCULAR 15/2012 CHANGEOVER DATE FOR THE REBASED CURRENCY 15-2012.pdf
CB CIRCULAR 14/2012 IMPLEMENTATION OF CHEQUE TRUNCATION CLEARING SYSTEM IN ZAMBIA14-2012.pdf
CB CIRCULAR 13/2012 INTRODUCTION OF CHEQUE TRUNCATION CLEARING SYSTEM IN ZAMBIA13-2012.pdf
CB CIRCULAR 12/2012 GUIDANCE ON THE TREATMENT OF FOREIGN CURRENCY CHEQUES 12-2012.pdf
CB CIRCULAR 11/2012 FOREIGN EXCHANGE RATE MARGINS11-2012.pdf
CB CIRCULAR 10/2012 DISPLAY OF NOTICES OF CONSEQUENCES OF BOUNCING CHEQUES 10-2012.pdf
CB CIRCULAR 09/2012 BANK OF CANADA ISSUE OF NEW $100 BANK NOTE 09-2012.pdf
CB CIRCULAR 09/2012 BANK OF CANADA ISSUE OF NEW $100 BANK NOTE
CB CIRCULAR 08/2012 DEVELOPMENT OF INFORMATION DATABASE FOR PROFESSIONAL STAFF 08-2012.pdf
CB CIRCULAR 07/2012 REGISTRATION FEES ON REVISED NOMINAL CAPITAL 07-2012.pdf
CB CIRCULAR 06/2012 MONEY CIRCULATION SCHEMES06-2012.pdf
CB CIRCULAR 05/2012 INTRODUCTION OF A BANK OF ZAMBIA POLICY RATE05-2012.pdf
CB CIRCULAR 04/2012 COLLATERAL ACCOUNT FOR THE OVERNIGHT LENDING FACILITY 04-2012.pdf
CB CIRCULAR 03/2012 ENHANCED SECURITY MEASURES AT BUSINESS PREMISES03-2012.pdf
CB CIRCULAR 02/2012 NEW CAPITAL ADEQUACY FRAMEWORK02-2012.pdf
CB CIRCULAR 01/2012 CALENDAR FOR SUBMISSION OF PRUDENTIAL RETURNS01-2012.pdf