17-06-2015 03:00 PM
The bank said in a statement, he followed the news that 'the central bank's management decided to consider on Saturday in accordance with regular banks need to meet the demands of currency starting from the current June 20'.
The statement added that 'the bank also decided to reduce the amount of the deposit period for feeding the external accounts of banks from five to ten days starting from the first month of next July.
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Last edited by Rocky on Tue Sep 08, 2015 9:46 am; edited 1 time in total