Currency clearings: Difference between revisions
From ACT Wiki
Jump to navigationJump to search
imported>Administrator (CSV import) |
imported>Doug Williamson (Classify page.) |
||
(One intermediate revision by the same user not shown) | |||
Line 1: | Line 1: | ||
Refers to the UK’s paper-based currency clearing facility for cheques, drafts, banker’s payments and mandated currency debits in USD drawn on or payable at certain branches of the UK’s clearing banks. | Refers to the UK’s paper-based currency clearing facility for cheques, drafts, banker’s payments and mandated currency debits in USD drawn on or payable at certain branches of the UK’s clearing banks. | ||
== See also == | == See also == | ||
* [[Clearing bank]] | * [[Clearing bank]] | ||
[[Category:Cash_management]] | |||
[[Category:Liquidity_management]] |
Latest revision as of 17:26, 29 June 2022
Refers to the UK’s paper-based currency clearing facility for cheques, drafts, banker’s payments and mandated currency debits in USD drawn on or payable at certain branches of the UK’s clearing banks.