ANNEXURE-27
Proforma of Running bond Account to be maintained by Exporters in the Warehouse in respect of B-3(General Security) Bonds- Name of the Exporter
- Address of the Exporter
- Details of B-3 Bond
Sl.No. | Bond No. | Bond Amount | Security Amount |
---|
1. | | | |
2. | | | |
3. | | | |
Entry No. | Date | Opening Balance | Credit | Debit | Balance | Remarks | Signature of Exporter of his agent |
---|
1 | 2 | 3 | 4 | 5 | 6 | 7 | 8 |
- Debit & Credit entries should be entered in separate lines.
- Opening Balance is the amount of Bond as soon as it is executed and accepted.
- Provisional debit entry shall be made at the time of issue of CT-1A. Suffix P may be added to indicate provisional debit.
- The provisional debit will be converted into actual debit on receipt of ARE-3.
- Credit entry shall be made on acceptance of proof of export or execution of fresh bond.
- The bond amount, security amount, opening balance, credit, debit and balance will be indicated in rupee terms.
.....................(Above Annexure 27 has been vide
CIR. No.581/18/2001-CX, DT. 29/06/2001)
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