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Saturday, 18 January 2014

FOREIGN EXCHANGE MANAGEMENT OF JANATA BANK LIMITED

Table of Content


Chapter – 1
Introduction
1.1
Introduction

1.2
Origin of the Report

1.3
Objectives of the Report

1.4
Broad objective

1.5
Specific Objectives

1.6
Scope of the report

1.7
Importance of the report

1.8
Limitations

1.9
Analysis techniques

1.10
Required data

1.11
Sources of Data

1.12
Sample Information

1.13
Primary Source of Data

1.14
Secondary Sources of Data


Chapter – 2
An Overview of The Organization
2.1
Organizational Profile

2.2
Historical Background of the organization

2.3
Organization mission and vision

2.4
Mission

2.5
Vision

2.6
Offered Services by the organization

2.7
Bills Collection

2.8
Payments made on behalf of Govt.

2.9
Services Areas

2.10
Organizational structure

2.11
Management Aspect


Chapter – 3
Future Plan Of Customer Service
3.1
Future plans of the organization

3.2
Introduction

3.3
SWIFT

3.4
Cash Reporting: Supporting customer’s need for account information

3.5
The Functions of SWIFT

3.6
Changes made in UCP-600


Chapter - 4
Description of Foreign Exchange
4.1
Opening Letter of Credit (L/C)

4.2
Procedure of opening the Letter of Credit (L/C)

4.3
L/C Application Form (L/CAF)

4.4
L/C Authorization Form (L/CAF)

4.5
Securities of L/C

4.6
Export

4.7
Formalities of Export Procedure

4.8
Disposal of Export procedure

4.9
Import

4.10
Import procedure

4.11
Payment Modes

4.12
Export Finance

4.13
Export Target & World Economic Crisis

4.14
Import Finance


Chapter – 5
Conclusion & Recommendation
5.1
Foreign Remittance

5.2
Problem of Foreign Exchange in Bangladesh

5.3
Conclusion

References



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