BANK OF UGANDA OTHER CENTRAL SECURITIES DEPOSITORY SYSTEM OPERATIONAL FORMS

Similar documents
THE BANK OF TANZANIA CENTRAL DEPOSITORY SYSTEM OPERATIONAL GUIDELINES 2015 BANK OF TANZANIA

BANK OF UGANDA FINANCIAL MARKETS DEPARTMENT RULES GOVERNING THE LOMBARD AND THE REDISCOUNT WINDOW

APPLICATION TO OPEN A CDS SECURITIES ACCOUNT (To be submitted in duplicate and delivered to the Manager Domestic Markets)

STANDARD TERMS FOR AUCTIONS OF GOVERNMENT OF CANADA ULTRA LONG BONDS

TABLE OF CONTENTS BANK OF UGANDA P.O.BOX 7120 KAMPALA

EXCHANGE CONTROL SOFTWARE EXPORT DECLARATION (SOFTEX) FORM

EXCHANGE CONTROL SOFTWARE EXPORT DECLARATION (SOFTEX) FORM

Freddie Mac Reference Bill Auction Procedures

FREQUENTLY ASKED QUESTIONS REGARDING THE AUCTION RATE SECURITIES MARKET OPPENHEIMER SETTLEMENTS FEBRUARY, 2010

e-auction Registration & Bidding Process Web portal for e-auction at Punjab Urban Planning & Development Authority portal

Regulation on Book Entry System of Securities, approved by the DCA of the NBM, No. 250 of October 25, 2012

Securities trading, clearing and settlement statistics

Please only print the page(s) that you need. Branch Number. Branch. (Appointments, Changes to the particulars and Terminations)

Bill of Exchange A. Date of issue

Bond Market Development in Myanmar

Head office, 2, Netaji Subhash Road, Kolkata

COMMON APPLICATION FORM

For Office Use Only Date of Receipt of Application / / 1 6 Registered Office: Vishwakarma, 86C Topsia Road (South), Kolkata Tel: (033)

Guide to the Domestic Securities Investment Registration and Settlement Business of Qualified Foreign Institutional Investors


APPLICATION FORM FOR SOVEREIGN GOLD BOND Series II

EXTERNAL OPERATING RULES AND GUIDELINES. For GOVERNMENT SECURITIES

IPG MSTC LIMITED Manual for Buyer for Internet Payment Gateway : Step 1 :

OFF MARKET TRANSFER FORM FOR NON MARKET TRANSACTIONS

APPLICATION FOR OPENING AN ACCOUNT

SYSTEMATIC INVESTMENT PLAN (SIP) APPLICATION FORM

APPLICATION FORM (For Bonds / Debentures / PTCs)

The following statement was issued by the Treasury Department:

VI. SETTLEMENT OF SECURITIES IN DEMAT MODE

RESOLUTION 7/2015 OF THE MANAGEMENT BOARD OF NARODOWY BANK POLSKI. of 12 March 2015

ENERGY COMMERCIAL BANK LIMITED (ECBL) INITIAL PUBLIC OFFERING FREQUENTLY ASKED QUESTIONS

FINANCIAL MARKETS DEPARTMENT DOMESTIC MARKETS SECTION OPERATING RULES AND GUIDELINES

PROCEDURE MANUAL FOR REPURCHASE (REPO) OPERATIONS BOLSA DE VALORES DE PANAMÁ, S.A.

BIDDER REGISTRATION PACKET FOR HIGHWAY 51 CLASSIC CAR AUCTION

PREFERRED LOAN REQUIREMENT

AMENDMENTS THE CENTRAL SECURITIES DEPOSITORY RULES AND CORRESPONDING INSTRUCTIONS

FEDERAL RESERVE BANK OF NEW YORK. Fiscal Agent of the United States

How to Service NRI Investor

Topic-III Money and Capital Markets

Terms and conditions

Form A. APPLICATION FORM FOR SOVEREIGN GOLD BOND Series III (Put wherever required) Mode of Subscription Cash Cheque / DD Electronic Transfer

SYSTEMATIC INVESTMENT PLAN (SIP) APPLICATION FORM

Chapter 6 : Money Markets

APPLICATION FORM FOR SOVEREIGN GOLD BOND Series II

Procedures Table of Contents

Octopus Titan VCT. Octopus Titan VCT. application form

Signature Date Place FORM PAS.2 [Pursuant to section 31(2) of the Companies Act, 2013 and rule 10 of Companies (Prospectus and Allotment of Securities

Lecture 7 Foundations of Finance

USED AUTO LOAN REQUIREMENT

Individual Clients Banking Products and Services Application Form

CDS Notice and Request for Comment Material Amendments to CDS Procedures GIC Funds-Only Trade Service in CDSX

Foreclosure of Retail Term Deposit Account Oracle FLEXCUBE Universal Banking Release [December] [2012] Oracle Part Number E

DEALINGS IN SECURITIES

e-court Fee Receipt There are 2 ways by which general public can avail e-court fee under this system. They are : 1. Online mode 2.

Terms And Conditions Governing Investment In Sovereign Gold Bonds

$269,000 TOWN OF TULLY, ONONDAGA COUNTY, NEW YORK PUBLIC IMPROVEMENT (SERIAL) BONDS, 2018 NOTICE OF BOND SALE

Investment Dealing Account (IDA) Instruction Form

ADDITIONAL ACCOUNT OPENING/ SERVICES APPLICATION Date: D D / MM / Y Y Y Y Branch:

FAQs Electoral Bond Scheme

ICE Clear Netherlands Regulation Buy-in Procedure

Individual Clients Banking Products and Services Application Form

< Rs 10,000 < Rs 25,000 < Rs 50,000 < Rs 1,00,000 > Rs 1,00,000 Profession:... KYC completed Yes No

APPLICATION FORM FOR SOVEREIGN GOLD BOND Series II- (Sept 16) INDIA INFOLINE LTD. Applicant(s) Detail (IN BLOCK LETTERS)

H.O.: 2, Netaji Subhas Road, Kolkata , Branch:- Raipur Main, Amrit Sandesh Complex, G.E.Road. RAIPUR (Chhattisgarh)

CHAPTER III PROVISIONS SPECIFIC TO THE LATVIAN SETTLEMENT SYSTEM

PROCESS FOR TRANSFER OF SHARES. Following documents are required to be submitted to us for transfer of shares:

Need for Treasury Market. No return from holding excess reserves for a bank. Treasury investments yield returns for the holding period.

Company Name Limited. am signing this Return of Alterations in the List and Particulars of the Directors on behalf of the company.

S T O C K H O L D I N G

RULES ON THE SCRIPLESS SECURITIES UNDER THE REAL TIME ELECTRONIC TRANSFER OF FUNDS AND SECURITIES (RENTAS) SYSTEM

EXHIBIT A FORM OF CERTIFICATE TO BE DELIVERED IN CONNECTION WITH TRANSFERS OF NOTES PURSUANT TO REGULATION S TO PERMIT REMOVAL OF THE RULE 144A LEGEND

Annex I Form ECB (Application and Reporting of loan agreement details under Foreign Exchange Management Act, 1999)

FEDERAL RESERVE BANK OF NEW YORK Fiscal Agent of the United States

TENDER FOR THE SUPPLY OF SCANNER FOR CIFT -KOCHI. Tender Enquiry No.: F.No. 20-8/2018-Purchase

Practice Guidelines for When Issued Trading in GSE Auctioned Securities

Unicorn NISA Application Form Retail (A) Shares

NRI Trading Accounts in BSE and NSE Capital Market Segment

TENDER FOR SUPPLY OF HDPE WEBBING MATERIAL

BANK OF BARODA BARODA CORPORATE CENTRE MUMBAI

APPLICATION FOR REGISTRATION LGFA SECURITY TENDERS

$4,875,000 WARWICK VALLEY CENTRAL SCHOOL DISTRICT, ORANGE COUNTY, NEW YORK SCHOOL DISTRICT (SERIAL) BONDS, 2018

Contra Costa County Schools Insurance Group Investment Policy As of June 14, 2018

HSBC Premier Account Opening Application Form

Investment Policy Fiscal Year

COMMODITY RISK MANAGEMENT & SURVEILLANCE POLICY (BRANCHES)

FOR OFFICE USE ONLY. 4. UNIT HOLDER INFORMATION (refer instruction 3) DATE OF BIRTH NAME OF FIRST / SOLE APPLICANT DD MM YYYY Mr. Ms. M/s.

$152,665,388 * TOWN OF OYSTER BAY NASSAU COUNTY, NEW YORK PUBLIC IMPROVEMENT (SERIAL) BONDS, 2018 SERIES B NOTICE OF BOND SALE

IV (Put wherever required)

SYSTEMATIC INVESTMENT PLAN (SIP) APPLICATION FORM

STATE BANK OF INDIA. Premises & Estate Department, LOCAL HEAD OFFICE, TILAK MARG, C SCHEME, JAIPUR

APPLICATION FORM FOR SOVEREIGN GOLD BOND 2016

Operational Procedures for DVP Model

/ Optional No. 1. Disposal Instruction M Copy of Sales Contract / Proforma Invoice M 5

Tender form & EMD should be submitted on or before

PIMPRI CHINCHWAD NEW TOWN DEVELOPMENT AUTHORITY (PCNTDA)

Shriram City Union Finance Limited. Issue Related FAQs

MAHINDRA MSTC RECYCLING PVT. LTD. Mahindra Towers, P. K. Kurne Chowk, Worli, Mumbai

Investment Plan Total investment (Rs.): Payment Method By Cash By Cheque Cheque Number Bank.. Guardian Acuity Money Market Fund

(Taxable) Bonds, 2018 AMOUNT OF

PART A CONTRACTUAL TERMS

Transcription:

BANK OF UGANDA OTHER CENTRAL SECURITIES DEPOSITORY SYSTEM OPERATIONAL FORMS LISTING OF CSD FORMS CSD Form 2: Bid Application Form to participate in the auction of Securities CSD Form 3: Sale Confirmation Form CSD Form 4: Purchase Confirmation Form CSD Form 5: Lien Creation Form CSD Form 6: Lien Release Form

CSD Form 2 BID APPLICATION FORM TO PARTICIPATE IN THE AUCTION OF SECURITIES (To be submitted in duplicate to the ) CDS ID of bidder: _ Title of A/C: CDS INST. A/C of participant: _ Security Type: Issuer: Date:.... (I) In accordance with the terms of the call for tenders for CSD instruments, I / We hereby tender for CSD instruments as indicated below and agree to pay for the total, or for any lesser, amount that may be allotted at the price per hundred shillings shown below. Maturity period.. Days Amount of Tender (Maturity Value) Price per 100 shillings (To three decimal places) (1) Shs... @... (2) Shs... @ (3) Shs... @... (4) Shs... @... PLEASE COMPLETE EITHER (II or III) (II) Mode of payment Reference no. Drawee bank Amount CASH..... CHEQUE..... BANK DRAFT..... TREASURY BILL..... DEBIT TO ACCOUNT..... (1) (2) (III) We, by the signatures below, hereby authorise you to debit our clearing account at the Bank of Uganda on the issue date for the cost of the amount we have tendered or the cost of a lesser amount allotted at the price quoted above. (1) (2) For Official Use Only Security Name: Bid Type: Amount Awarded: Price Awarded: Bid Form No: _ Issue No: Awarded: Yes or No Verified: Yes or No Settled and Delivered: Yes or No Name of Assigning Officer: Date:

CSD Form 3 1 Reference Number: 2 Dealing Date: 3 Dealers: 1. Selling Dealer 2. Buying Dealer 4 Parties: 1. Seller 2. Buyer 5 Subject: 1. Transaction Type* 2. Issue N o 3. Days to maturity 4. Face Value 6 Delivery from: 1. CSD INST. A/C N o 2. Value Date 7 Settlement: 1. Agreed Price 2. Beneficiary Bank 3. Branch- A/c N o 4. Value Date 5. Payment Status 8 Re-delivery to: 1. CSD INST. A/C N o 2. Value Date 9 Re-settlement to: 1. Agreed Price 2. Remitting Bank 3. Branch- A/C N o 4. Value Date 10 Confirmation: 1. 2. SALE CONFIRMATION FORM (To be submitted in duplicate and delivered to the ) *Transaction Type: 1. Sale 3. Lien 5. Reversal of REPO 7. Rediscount 2. REPO 4. Transfer 6. Lien Release Authorised Signature Authorised Signature Note: Repo / lien transactions should be cancelled 2 days before the maturity date of the affected CSD instrument; otherwise BOU will credit the CSD instrument account of their beneficiary.

NOTES FOR COMPLETING SALES CONFIRMATION FORMS 1. Reference Number: This is a pre-printed number. The seller must advise the purchaser of this number so that the purchaser can use the same number when completing the purchase confirmation form. 2. Dealing Date: Contract date (Date the SCF form is filled) 3. Dealers: Selling Dealer- Dealer selling on behalf of the owner of the CSD instrument account. Buying Dealer- Dealer buying on behalf of the prospective (new) owner. 4. Parties: Seller- Account holder of the CSD instrument being sold. Buyer- Account holder for whose account the CSD instrument is being bought. 5. Subject: Transaction Type- 1.- Sale, 2.- REPO, 3.- Lien, 4.- Transfer, 5.- Reverse REPO, 6.- Lien Release, 7- Rediscount Issue N o The number of the particular security issue being transacted. Days to Maturity- Days to redemption of the issue, calculated from the value date. Face Value- The par value i.e. amount payable at maturity 6. Delivery from: CSD INST. A/C N o - Seller s CENTRAL SECURITIES DEPOSITORY System instrument account number. Value Date- Agreed settlement date, when CSD instruments will be transferred 7. Settlement: Agreed Price- Contract price for the deal. Beneficiary Bank- Seller s bank. Branch A/C N o - Seller s branch and his/her account number with that branch. Value Date- Agreed date of settlement which must be the same as in 6. above. Payment Status- will indicate whether or not seller has received payment i.e. as Settled or Not Settled between seller and buyer. 8. Re-delivery to: CSD INST. A/C N o - Seller s CENTRAL SECURITIES DEPOSITORY System instrument account number. Value Date- Maturity date of the REPO or Lien (agreed upon the dealing date). 9. Re-Settlement to: Agreed Price- Amount agreed upon by both parties to square their positions. Remitting Bank- Bank that initially sold the REPO, either BOU or the bank that created the lien. Branch A/C N o His/her branch and respective account number. Value Date- Maturity date for the REPO/ Lien. 10. Confirmation: For single investors, his/her signature is sufficient; others will be signed by two officers authorised to commit their institutions.

CSD Form 4 1 Reference Number: 2 Dealing Date: 3 Dealers: 1. Selling Dealer 2. Buying Dealer 4 Parties: 1. Seller 2. Buyer 5 Subject: 1. Transaction Type* 2. Issue N o 3. Days to maturity 4. Face Value 6 Delivery to: 1. CSD INST. A/C N o 2. Value Date 7 Settlement: 1. Agreed Price 2. Beneficiary Bank 3. Branch- A/C N o 4. Value Date 5. Payment Status 8 Re-delivery to: 1. CSD INST. A/C N o 2. Value Date 9 Re-settlement to: 1. Agreed Price 2. Remitting Bank 3. Branch- A/C N o 4. Value Date 10 Confirmation: 1. 2. PURCHASE CONFIRMATION FORM (To be submitted in duplicate and delivered to the ) *Transaction Type: 1. Sale 3. Lien 5. Reversal of REPO 7. Rediscount 2. REPO 4. Transfer 6. Lien Release Authorised Signature Authorised Signature Note: Repo / lien transactions should be cancelled 2 days before the maturity date of the affected CSD instrument; otherwise BOU will credit the CSD instrument account of their beneficiary.

NOTES FOR COMPLETING PURCHASE CONFIRMATION FORMS 1. Reference Number: This is a pre-printed number. The seller must advise the purchaser of this number so that the purchaser can use the same number when completing the purchase confirmation form. 2. Dealing Date: Contract date (Date the PCF form is filled) 3. Dealers: Selling Dealer- Dealer selling on behalf of the owner of the CSD instrument account. Buying Dealer- Dealer buying on behalf of the prospective (new) owner. 4. Parties: Seller- Account holder of the CSD instrument being sold. Buyer- Account holder for whose account the CSD instrument is being bought. 5. Subject: Transaction Type- 1.- Sale, 2.- REPO, 3.- Lien, 4.- Transfer 5.- Reverse REPO, 6.- Lien Release, 7- Rediscount Issue N o The number of the particular security issue being transacted. Days to Maturity- Days to redemption of issue, calculated from the value date. Face Value- The par value i.e. amount payable at maturity 6. Delivery to: CSD INST. A/C N o - Purchaser s CENTRAL SECURITIES DEPOSITORY System instrument account number. Value Date- Agreed settlement date, when CSD instrument will be transferred 7. Settlement: Agreed Price- Contract price for the deal. Beneficiary Bank- Seller s bank. Branch A/C N o - Seller s branch and his/her account number with that branch. Value Date- Agreed date of settlement which must be the same as in 6. above. Payment Status- will indicate whether or not buyer has made payment i.e. as Settled or Not Settled between buyer and seller. 8. Re-delivery to: CSD INST. A/C N o - Purchaser s CENTRAL SECURITIES DEPOSITORY System instrument account number. Value Date- Maturity date of the REPO or Lien (agreed upon the dealing date). 9. Re-Settlement to: Agreed Price- Amount agreed upon by both parties to square their positions. Remitting Bank- Bank that initially sold the REPO, either BOU or the bank that created the lien. Branch A/C N o His/her branch and respective account number. Value Date- Maturity date for the REPO/ Lien. 10. Confirmation: For single investors, his/her signature is sufficient; others will be signed by two officers authorised to commit their institutions.

CSD Form 5 LIEN CREATION FORM (To be completed in triplicate and delivered to the ) Date:.. 1. Name of the CSD instrument account on which the lien is being created: 2. CSD instrument a/c. number on which the lien is being created 3. Name of the CSD instrument account holder to benefit from the lien: 4. CSD instrument a/c. number of the CSD member to benefit from the lien 5. Value date of the lien: / / DD MM YYYY 6. Issue number of the CSD instrument to be placed under lien: / / / 7. Maturity date of the issue: 8. Maturity date of the lien: 9. Value of the lien: Ushs. 10. Value in words: 1. Instructions for disposing of the lien: In the event that CSD instruments posted as collateral mature before the lien has been released by the creator of the lien, then the face value of the affected CSD instruments will automatically be credited to the clearing account of the beneficiary of the lien. (1). (2) For Official Use Only Approved by Date Prepared by Date

CSD Form 6 LIEN RELEASE FORM (To be completed in triplicate and delivered to the ) Date:.. 1. Name of the CSD instrument account on which the lien is being released: 2. CSD instrument a/c. number to to be credited on release of the lien. 3. Name of the CSD instrument account holder releasing the lien: 4. CSD instrument a/c. number on which the lien is being released 5. Value date of the lien release: / / DD MM YYYY 6. Issue number of the CSD instrument to be released from the lien: / / / 7. Maturity date of the issue: 8. Maturity date of the lien release: 9. Value of the lien release: Ushs. 10. Value in words: (1).. (2) For Official Use Only Approved by: Date Prepared by: Date